The Virginia Register OF  REGULATIONS is an official state publication issued every other week  throughout the year. Indexes are published quarterly, and are cumulative for  the year. The Virginia Register has several functions. The new and  amended sections of regulations, both as proposed and as finally adopted, are  required by law to be published in the Virginia Register. In addition,  the Virginia Register is a source of other information about state  government, including petitions for rulemaking, emergency regulations,  executive orders issued by the Governor, and notices of public hearings on  regulations.
    ADOPTION,  AMENDMENT, AND REPEAL OF REGULATIONS
    An  agency wishing to adopt, amend, or repeal regulations must first publish in the  Virginia Register a notice of intended regulatory action; a basis,  purpose, substance and issues statement; an economic impact analysis prepared  by the Department of Planning and Budget; the agency’s response to the economic  impact analysis; a summary; a notice giving the public an opportunity to  comment on the proposal; and the text of the proposed regulation.
    Following  publication of the proposal in the Virginia Register, the promulgating agency  receives public comments for a minimum of 60 days. The Governor reviews the  proposed regulation to determine if it is necessary to protect the public  health, safety and welfare, and if it is clearly written and easily understandable.  If the Governor chooses to comment on the proposed regulation, his comments  must be transmitted to the agency and the Registrar no later than 15 days  following the completion of the 60-day public comment period. The Governor’s  comments, if any, will be published in the Virginia Register. Not less  than 15 days following the completion of the 60-day public comment period, the  agency may adopt the proposed regulation.
    The  Joint Commission on Administrative Rules (JCAR) or the appropriate standing  committee of each house of the General Assembly may meet during the  promulgation or final adoption process and file an objection with the Registrar  and the promulgating agency. The objection will be published in the Virginia  Register. Within 21 days after receipt by the agency of a legislative  objection, the agency shall file a response with the Registrar, the objecting  legislative body, and the Governor.
    When  final action is taken, the agency again publishes the text of the regulation as  adopted, highlighting all changes made to the proposed regulation and  explaining any substantial changes made since publication of the proposal. A  30-day final adoption period begins upon final publication in the Virginia  Register.
    The  Governor may review the final regulation during this time and, if he objects,  forward his objection to the Registrar and the agency. In addition to or in  lieu of filing a formal objection, the Governor may suspend the effective date  of a portion or all of a regulation until the end of the next regular General  Assembly session by issuing a directive signed by a majority of the members of  the appropriate legislative body and the Governor. The Governor’s objection or  suspension of the regulation, or both, will be published in the Virginia  Register. If the Governor finds that changes made to the proposed  regulation have substantial impact, he may require the agency to provide an  additional 30-day public comment period on the changes. Notice of the  additional public comment period required by the Governor will be published in  the Virginia Register.
    The  agency shall suspend the regulatory process for 30 days when it receives  requests from 25 or more individuals to solicit additional public comment,  unless the agency determines that the changes have minor or inconsequential  impact.
    A  regulation becomes effective at the conclusion of the 30-day final adoption  period, or at any other later date specified by the promulgating agency, unless  (i) a legislative objection has been filed, in which event the regulation,  unless withdrawn, becomes effective on the date specified, which shall be after  the expiration of the 21-day objection period; (ii) the Governor exercises his  authority to require the agency to provide for additional public comment, in  which event the regulation, unless withdrawn, becomes effective on the date  specified, which shall be after the expiration of the period for which the  Governor has provided for additional public comment; (iii) the Governor and the  General Assembly exercise their authority to suspend the effective date of a  regulation until the end of the next regular legislative session; or (iv) the  agency suspends the regulatory process, in which event the regulation, unless  withdrawn, becomes effective on the date specified, which shall be after the  expiration of the 30-day public comment period and no earlier than 15 days from  publication of the readopted action.
    A  regulatory action may be withdrawn by the promulgating agency at any time  before the regulation becomes final.
    FAST-TRACK  RULEMAKING PROCESS
    Section 2.2-4012.1 of the Code of Virginia provides an exemption from certain  provisions of the Administrative Process Act for agency regulations deemed by  the Governor to be noncontroversial.  To use this process, Governor's  concurrence is required and advance notice must be provided to certain  legislative committees.  Fast-track regulations will become effective on the  date noted in the regulatory action if no objections to using the process are  filed in accordance with § 2.2-4012.1.
    EMERGENCY  REGULATIONS
    Pursuant  to § 2.2-4011 of the Code  of Virginia, an agency, upon consultation with the Attorney General, and at the  discretion of the Governor, may adopt emergency regulations that are  necessitated by an emergency situation. An agency may also adopt an emergency  regulation when Virginia statutory law or the appropriation act or federal law  or federal regulation requires that a regulation be effective in 280 days or less  from its enactment. The emergency  regulation becomes operative upon its adoption and filing with the Registrar of  Regulations, unless a later date is specified. Emergency regulations are  limited to no more than 12 months in duration; however, may be extended for six  months under certain circumstances as provided for in § 2.2-4011 D.  Emergency regulations are published as soon as possible in the Register.
    During  the time the emergency status is in effect, the agency may proceed with the  adoption of permanent regulations through the usual procedures. To begin  promulgating the replacement regulation, the agency must (i) file the Notice of  Intended Regulatory Action with the Registrar within 60 days of the effective  date of the emergency regulation and (ii) file the proposed regulation with the  Registrar within 180 days of the effective date of the emergency regulation. If  the agency chooses not to adopt the regulations, the emergency status ends when  the prescribed time limit expires.
    STATEMENT
    The  foregoing constitutes a generalized statement of the procedures to be followed.  For specific statutory language, it is suggested that Article 2 (§ 2.2-4006  et seq.) of Chapter 40 of Title 2.2 of the Code of Virginia be examined  carefully.
    CITATION  TO THE VIRGINIA REGISTER
    The Virginia  Register is cited by volume, issue, page number, and date. 26:20 VA.R. 2510-2515  June 7, 2010, refers to Volume 26, Issue 20, pages 2510 through 2515 of the  Virginia Register issued on 
  June 7, 2010.
    The  Virginia Register of Regulations is  published pursuant to Article 6 (§ 2.2-4031 et seq.) of Chapter 40 of Title 2.2  of the Code of Virginia. 
    Members  of the Virginia Code Commission: John  S. Edwards, Chairman; Bill Janis, Vice Chairman; James M.  LeMunyon; Ryan T. McDougle; Robert L. Calhoun; Frank S. Ferguson;  E.M. Miller, Jr.; Thomas M. Moncure, Jr.; Wesley G. Russell, Jr.; Charles  S. Sharp; Patricia L. West.
    Staff  of the Virginia Register: Jane  D. Chaffin, Registrar of Regulations; June T. Chandler, Assistant  Registrar.
         
       
                                                        PUBLICATION SCHEDULE AND DEADLINES
Vol. 27 Iss. 22 - July 04, 2011
July 2011 through August 2012
 
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                                                        PETITIONS FOR RULEMAKING
Vol. 27 Iss. 22 - July 04, 2011
    TITLE 9. ENVIRONMENT
    STATE AIR POLLUTION CONTROL BOARD
    Initial Agency Notice
    Title of Regulation: None  specified.
    Statutory Authority: § 10.1-1308 of the Code of  Virginia.
    Name of Petitioner: Emma Serrels, Alec Loorz, and  Victoria Loorz (Kids vs. Global Warming).
    Nature of Petitioner's Request: The petitioner is  requesting the State Air Pollution Control Board to adopt regulations to:
    1. Ensure that carbon dioxide emissions from fossil fuels peak  in the year 2012;
    2. Adopt a carbon dioxide emissions reduction plan that,  consistent with the best available science, reduces statewide fossil fuel  carbon dioxide emissions by at least 6.0% annually until at least 2050 and  expands Virginia's capacity for carbon sequestration;
    3. Establish a statewide greenhouse gas emissions accounting,  verification and inventory and issue annual progress reports so that the public  has access to accurate data regarding the effectiveness of Virginia's efforts  to reduce fossil fuel carbon dioxide emissions; and
    4. Adopt any necessary policies or regulations to implement the  greenhouse gas emissions reduction plan, as detailed in 1 and 2 above.
    Agency's Plan for Disposition of Request: The State Air  Pollution Control Board received the petition on June 10, 2011. In accordance  with the Administrative Process Act, the board will receive comments from the  public on whether or not to initiate a rulemaking for 21 days after publication  of the notice of receipt of the petition is published in the Virginia Register  of Regulations. The notice will be published in the July 4, 2011 issue of the  Register and the public comment period will run from July 4, 2011, through July  25, 2011. A copy of the petition is available on the Department of  Environmental Quality's website, www.deq.virginia.gov, under Air Public  Notices.
    In addition, staff has been asked to provide, when the petition  is presented to the board for a decision, information, to the extent  practicable, on the following: 
    • What are the impacts on the  regulated community?
    • What is the feasibility of the  requested action?
    • How would it be enforced?
    • Is a state-by-state approach  appropriate?
    • How would a determination be made  that any regulation adopted had achieved the stated purpose of the regulation?
    • Would the reduction of fossil fuel  carbon dioxide emissions, given current and foreseeable technologies, be  expected to be accompanied by:
    a. Reductions of other emissions such as sulfur oxides,  nitrogen oxides, and mercury or other beneficial environmental consequences?
    b. Increases of other emissions or other adverse environmental  consequences?
    • What are the benefits of reducing  carbon dioxide emissions, including any co-benefits resulting from the  reduction of other emissions or other beneficial environmental consequences?  Quantify with respect to such items as premature deaths, emergency room visits,  asthma attacks, lost workdays, and lost productivity; and estimated dollar  benefit to society.
    • What are the harms of any  identified increased emissions or adverse environmental consequences resulting  from carbon dioxide emission reductions?  Quantify with respect to such items  as increases in premature deaths, emergency room visits, asthma attacks, lost  workdays, and lost productivity; and estimated dollar harm to society.
    Public comment on these items will also be accepted from July  4, 2011, through July 25, 2011.
    Public Comment Deadline: July 25, 2011.
    Agency Contact: Karen  Sabasteanski, Department of Environmental Quality, 629 East Main Street, P.O.  Box 1105, Richmond, VA 23218, telephone (804) 698-4426, or email karen.sabasteanski@deq.virginia.gov.
    VA.R. Doc. No. R11-47; Filed June 15, 2011, 8:37 a.m.
     
         
       
                                                        
                                                        NOTICES OF INTENDED REGULATORY ACTION
Vol. 27 Iss. 22 - July 04, 2011
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING 
Board for Geology Regulations
Withdrawal of Notice of Intended Regulatory Action
    Notice is hereby given in accordance with § 2.2-4007.01 of  the Code of Virginia that the Board of Geology has WITHDRAWN the Notice of  Intended Regulatory Action for 18VAC70-20, Board for Geology Regulations, which  was published in 18:24 VA.R. 3188 August 12, 2002. 
    Contact: Mark N. Courtney, Deputy Director for Licensing  and Regulation, Department of Professional and Occupational Regulation, 9960  Mayland Drive, Suite 400, Richmond, VA 23233, telephone (804) 367-8537, FAX  (804) 527-4403, or email mark.courtney@dpor.virginia.gov.
    VA.R. Doc. No. R11-2875; Filed June 7, 2011, 2:00 p.m. 
TITLE 24. TRANSPORTATION AND MOTOR VEHICLES
General Rules and Regulations of the Commonwealth Transportation Board
Withdrawal of Notice of Intended Regulatory Action
    Notice is hereby given in accordance with § 2.2-4007.01 of  the Code of Virginia that the Commonwealth Transportation Board has WITHDRAWN  the Notice of Intended Regulatory Action for 24VAC30-20, General Rules and  Regulations of the Commonwealth Transportation Board, which was published  in 13:18 VA.R. 2097 May 26, 1997.
    Contact: Keith M. Martin, Agency Regulatory Coordinator,  Department of Transportation, Policy Division, 11th Floor, 1401 E. Broad  Street, Richmond, VA 23219, telephone (804) 786-1830, FAX (804) 225-4700, or  email keithm.martin@vdot.virginia.gov.
    VA.R. Doc. No. R11-2878; Filed June 8, 2011, 11:00 a.m. 
TITLE 24. TRANSPORTATION AND MOTOR VEHICLES
State Owned Urban Tunnel Safety Regulation
Withdrawal of Notice of Intended Regulatory Action
    Notice is hereby given in accordance with § 2.2-4007.01 of  the Code of Virginia that the Commonwealth Transportation Board has WITHDRAWN  the Notice of Intended Regulatory Action for 24VAC30-65, State Owned Urban  Tunnel Safety Regulation, which was published in 16:10 VA.R. 1212  January 31, 2000.
    Contact: Keith M. Martin, Agency Regulatory Coordinator,  Department of Transportation, Policy Division, 11th Floor, 1401 E. Broad  Street, Richmond, VA 23219, telephone (804) 786-1830, FAX (804) 225-4700, or  email keithm.martin@vdot.virginia.gov.
    VA.R. Doc. No. R11-2881; Filed June 8, 2011, 12:53 p.m. 
TITLE 24. TRANSPORTATION AND MOTOR VEHICLES
Regulations for Landscape Recognition and Identification Signs and Structures
Withdrawal of Notice of Intended Regulatory Action
    Notice is hereby given in accordance with § 2.2-4007.01 of  the Code of Virginia that the Commonwealth Transportation Board has WITHDRAWN  the Notice of Intended Regulatory Action for 24VAC30-125, Regulations for  Landscape Recognition and Identification Signs and Structures, which was  published in 16:10 VA.R. 1213 January 31, 2000.
    Contact: Keith M. Martin, Agency Regulatory Coordinator,  Department of Transportation, Policy Division, 11th Floor, 1401 E. Broad  Street, Richmond, VA 23219, telephone (804) 786-1830, FAX (804) 225-4700, or  email keithm.martin@vdot.virginia.gov.
    VA.R. Doc. No. R11-2880; Filed June 8, 2011, 12:38 p.m. 
TITLE 24. TRANSPORTATION AND MOTOR VEHICLES
 Utility Accommodation Policy
Withdrawal of Notice of Intended Regulatory Action
    Notice is hereby given in accordance with § 2.2-4007.01  of the Code of Virginia that the Commonwealth Transportation Board has  WITHDRAWN the Notice of Intended Regulatory Action for 24VAC30-215,  Utility Accommodation Policy, which was published in 13:18 VA.R. 2097 May  26, 1997.
    Contact: Keith M. Martin, Agency Regulatory Coordinator,  Department of Transportation, Policy Division, 11th Floor, 1401 E. Broad  Street, Richmond, VA 23219, telephone (804) 786-1830, FAX (804) 225-4700, or  email keithm.martin@vdot.virginia.gov.
    VA.R. Doc. No. R11-2879; Filed June 8, 2011, 11:50 a.m. 
 
                                                        REGULATIONS
Vol. 27 Iss. 22 - July 04, 2011
TITLE 1. ADMINISTRATION
STATE BOARD OF ELECTIONS
Forms
        NOTICE: The following  form used in administering the regulation has been filed by the agency. The  form is not being published; however, online users of this issue of the  Virginia Register of Regulations may click on the name to access the form. The  form is also available through the agency contact or at the Office of the  Registrar of Regulations, General Assembly Building, 2nd Floor, Richmond,  Virginia 23219.
         Title of Regulation: 1VAC20-60. Election  Administration.
    Agency Contact: Peter J. Goldin, Policy Analyst,  Virginia State Board of Elections, 1100 Bank Street, Richmond, VA 23219, (804) 864-8930,  peter.goldin@sbe.virginia.gov.
    FORMS (1VAC20-60)
    Commonwealth of Virginia Petition of  Qualified Voters For Referendum, SBE-684.1(1) (rev. 11/09). 
    Commonwealth  of Virginia Petition of Qualified Voters For Referendum, SBE-684.1(1) (rev.  5/11).
    VA.R. Doc. No. R11-2871; Filed June 2, 2011, 10:24 a.m. 
TITLE 4. CONSERVATION AND NATURAL RESOURCES
BOARD OF GAME AND INLAND FISHERIES
Proposed Regulation
    Title of Regulation: 4VAC15-50. Game: Bear (amending 4VAC15-50-70, 4VAC15-50-71,  4VAC15-50-110). 
    Statutory Authority: §§ 29.1-501, 29.1-502, and 29.1-516.1 of the Code of Virginia.
    Public Hearing Information:
    July 12, 2011 - 9 a.m. - Department of Game and Inland  Fisheries, 4000 West Broad Street, Richmond, VA
    Public Comment Deadline: June 24, 2011.
    Agency Contact: Phil Smith, Regulatory Coordinator, 4016  West Broad Street, Richmond, VA 23230, telephone (804) 367-8341, or email  phil.smith@dgif.virginia.gov.
    Summary:
    The proposal makes it lawful to use leashed tracking dogs  to find wounded or dead bear while hunting bears in Virginia, including during  the bear archery hunting and bear muzzleloading hunting seasons.
    4VAC15-50-70. Bow and arrow hunting.
    A. It shall be lawful to hunt bear during the special archery  season with bow and arrow from the first Saturday in October through the Friday  prior to the third Monday in November, both dates inclusive.
    B. It shall be unlawful to carry firearms while hunting with  bow and arrow during the special archery seasons, except that a muzzleloading  gun, as defined in 4VAC15-50-71, may be in the possession of a properly  licensed muzzleloading gun hunter when and where the early special archery bear  season overlaps the early special muzzleloading bear season.
    C. Arrows used for hunting big game must have a minimum width  head of 7/8 of an inch and the bow used for such hunting must be capable of  casting a broadhead arrow a minimum of 125 yards.
    D. It shall be unlawful to use dogs when hunting with bow and  arrow from the second Saturday in October through the Saturday prior to the  second Monday in November, both dates inclusive, except that tracking dogs  as defined in § 29.1-516.1 of the Code of Virginia may be used.
    E. It shall be lawful for persons with permanent physical  disabilities, who are in full compliance with the requirements of 4VAC15-40-20  B, to hunt bear subject to the provisions of subsections A through D of this  section. For the purpose of the application of subsections A through D to this  subsection the phrase "bow and arrow" includes crossbow.
    4VAC15-50-71. Muzzleloading gun hunting.
    A. Except as otherwise provided by specific exceptions in  this chapter, it shall be lawful to hunt bear during the special muzzleloading  season with muzzleloading guns from the Saturday prior to the second Monday in  November through the Friday prior to the third Monday in November, both dates  inclusive, except in Bland, Buchanan, Carroll, Craig, Dickenson, Floyd, Giles,  Grayson, Lee, Montgomery, Pulaski, Russell, Scott, Smyth, Tazewell, Washington,  Wise and Wythe counties and in the cities of Chesapeake, Suffolk and Virginia  Beach.
    B. It shall be lawful to hunt bear during the special  muzzleloading season with muzzleloading guns from the Saturday prior to the  first Monday in November through the Friday prior to the third Monday in  November, both dates inclusive, in the counties (including the cities and towns  within) of Accomack, Caroline, Charles City, Chesterfield, Culpeper, Essex,  Fauquier, Fairfax, Fluvanna, Gloucester, Goochland, Hanover, Henrico, James  City, King George, King William, King and Queen, Lancaster, Loudoun, Louisa,  New Kent, Northampton, Northumberland, Orange, Powhatan, Prince William,  Richmond, Spotsylvania, Stafford, Mathews, Middlesex, Westmoreland, and York  and in the cities of Hampton, Newport News, Norfolk, and Portsmouth.
    C. It shall be unlawful to hunt bear with dogs during any  special season for hunting with muzzleloading guns, except that tracking  dogs as defined in § 29.1-516.1 of the Code of Virginia may be used.
    D. A muzzleloading gun, for the purpose of this section, means  a single shot weapon, excluding muzzleloading pistols, .45 caliber or  larger, firing a single projectile or sabot (with a .38 caliber or larger  projectile) of the same caliber loaded from the muzzle of the weapon and  propelled by at least 50 grains of black powder (or black powder equivalent or  smokeless powder).
    E. It shall be unlawful to have in immediate possession any  firearm other than a muzzleloading gun while hunting with a muzzleloading gun  in a special muzzleloading season.
    4VAC15-50-110. Use of dogs in hunting bear.
    A. It shall be unlawful to use dogs for the hunting of bear  during the open season for hunting deer in the counties west of the Blue Ridge  Mountains and in the counties of Amherst (west of U.S. Route 29), Bedford, and  Nelson (west of Route 151); and within the boundaries of the national forests,  except that tracking dogs as defined in § 29.1-516.1 of the Code of  Virginia may be used.
    B. It shall be unlawful to use dogs for the hunting of bear  during the first 12 hunting days of the open season for hunting deer in the  counties of Greene and Madison, except that tracking dogs as defined in § 29.1-516.1  of the Code of Virginia may be used.
    C. It shall be unlawful to use dogs for the hunting of bear  in the counties of Campbell (west of Norfolk Southern Railroad), Carroll (east  of the New River), Fairfax, Floyd, Franklin, Grayson (east of the New River),  Henry, Loudoun, Montgomery (south of Interstate 81), Patrick, Pittsylvania  (west of Norfolk Southern Railroad), Pulaski (south of Interstate 81), Roanoke  (south of Interstate 81), Wythe (southeast of the New River or that part  bounded by Route 21 on the west, Interstate 81 on the north, the county line on  the east, the New River on the southeast and Cripple Creek on the south); in  the city of Lynchburg; and on Amelia, Chester F. Phelps, G. Richard Thompson,  and Pettigrew wildlife management areas, except that tracking dogs as  defined in § 29.1-516.1 of the Code of Virginia may be used.
    VA.R. Doc. No. R11-2890; Filed June 15, 2011, 0:46 a.m. 
TITLE 4. CONSERVATION AND NATURAL RESOURCES
BOARD OF GAME AND INLAND FISHERIES
Proposed Regulation
    Title of Regulation: 4VAC15-90. Game: Deer (amending 4VAC15-90-23, 4VAC15-90-70,  4VAC15-90-80, 4VAC15-90-260). 
    Statutory Authority: §§ 29.1-501, 29.1-502, and 29.1-516.1 of the Code of Virginia.
    Public Hearing Information:
    July 12, 2011 - 9 a.m. - Department of Game and Inland  Fisheries, 4000 West Broad Street, Richmond, VA
    Public Comment Deadline: June 24, 2011.
    Agency Contact: Phil Smith, Regulatory Coordinator, 4016  West Broad Street, Richmond, VA 23230, telephone (804) 367-8341, or email  phil.smith@dgif.virginia.gov.
    Summary:
    The proposal makes it lawful to use leashed tracking dogs  to find wounded or dead deer while hunting deer in Virginia, including during  the archery, muzzleloader, and firearms deer hunting seasons and the youth deer  hunting day.
    4VAC15-90-23. Youth deer hunting day.
    It shall be lawful for deer hunters 15 years of age and  under, when in compliance with all applicable laws and license requirements, to  hunt deer on the last Saturday in September when accompanied and directly  supervised by an adult who has a valid Virginia hunting license on his person  or is exempt from purchasing a hunting license except in Fairfax, Loudoun, and  Prince William counties. Deer of either-sex may be taken on this special youth  deer hunting day. Adult hunters accompanying youth deer hunters on this day may  not carry or discharge weapons. Blaze orange is required for all persons  hunting any species or any person accompanying a hunter on this day unless  otherwise exempted by state law. Deer hunting with dogs is prohibited,  except that tracking dogs as defined in § 29.1-516.1 of the Code of  Virginia may be used.
    4VAC15-90-70. Bow and arrow hunting.
    A. It shall be lawful to hunt deer during the early special  archery season with bow and arrow from the first Saturday in October through  the Friday prior to the third Monday in November, both dates inclusive.
    B. In addition to the season provided in subsection A of this  section, it shall be lawful to hunt deer during the late special archery season  with bow and arrow from the Monday following the close of the general firearms  season on deer through the first Saturday in January, both dates inclusive, in  all cities, towns, and counties west of the Blue Ridge Mountains (except Clarke  County and on non-national forest lands in Frederick County) and in the  counties (including the cities and towns within) of Amherst (west of U.S. Route  29), Bedford, Campbell (west of Norfolk Southern Railroad), Franklin, Henry,  Nelson (west of Route 151), Patrick and on the Chester F. Phelps Wildlife  Management Area and on national forest lands in Frederick County and from  December 1 through the first Saturday in January, both dates inclusive, in the  cities of Chesapeake, Suffolk (east of the Dismal Swamp line) and Virginia  Beach.
    C. Deer of either sex may be taken full season during the  special archery seasons as provided in subsections A and B of this section  (except on PALS (Public Access Lands) in Dickenson County where it shall be  unlawful to take antlerless deer during the special archery seasons provided  for in subsections A and B of this section).
    D. It shall be unlawful to carry firearms while hunting with  bow and arrow during the special archery seasons, except that a muzzleloading  gun, as defined in 4VAC15-90-80, may be in the possession of a properly  licensed muzzleloading gun hunter when and where a special archery deer season  overlaps a special muzzleloading deer season.
    E. Arrows used for hunting big game must have a minimum width  head of 7/8 of an inch and the bow used for such hunting must be capable of  casting a broadhead arrow a minimum of 125 yards.
    F. It shall be unlawful to use dogs when hunting with bow and  arrow during any special archery season, except that tracking dogs as  defined in § 29.1-516.1 of the Code of Virginia may be used.
    G. For the purpose of the application of subsections A  through I to this section, the phrase "bow and arrow" includes  crossbows.
    H. It shall be lawful to hunt antlerless deer during the  special urban archery season with bow and arrow from the first Saturday in  September through the Friday prior to the first Saturday in October, both dates  inclusive, and from the Monday following the first Saturday in January through  the last Saturday in March, both dates inclusive, within the incorporated  limits of any city or town in the Commonwealth (except in the cities of  Chesapeake, Suffolk, and Virginia Beach) and the counties of Fairfax and York  provided that its governing body submits by certified letter to the department  prior to April 1, its intent to participate in the special urban archery  season. Any city, town, or county no longer participating in this season shall  submit by certified letter to the department prior to April 1 notice of its  intent not to participate in the special urban archery season.
    I. It shall be lawful to hunt antlerless deer during the  special antlerless archery season with bow and arrow from the first Saturday in  September through the Friday prior to the first Saturday in October, both dates  inclusive, in Loudoun and Prince William counties, except on department-owned  lands.
    4VAC15-90-80. Muzzleloading gun hunting.
    A. It shall be lawful to hunt deer during the early special  muzzleloading season with muzzleloading guns from the Saturday prior to the  first Monday in November through the Friday prior to the third Monday in  November, both dates inclusive, in all cities, towns, and counties where deer  hunting with a rifle or muzzleloading gun is permitted, except in the cities of  Chesapeake, Suffolk (east of the Dismal Swamp Line) and Virginia Beach. 
    B. It shall be lawful to hunt deer during the late special  muzzleloading season with muzzleloading guns starting 18 consecutive hunting  days immediately prior to and inclusive of the first Saturday in January, in  all cities, towns, and counties west of the Blue Ridge Mountains (except Clarke  County and on non-national forest lands in Frederick County), and east of the  Blue Ridge Mountains in the counties (including the cities and towns within) of  Amherst (west of U.S. Route 29), Bedford, Campbell (west of Norfolk Southern  Railroad), Franklin, Henry, Nelson (west of Route 151), Patrick and on national  forest lands in Frederick County and in the cities of Chesapeake, Suffolk (east  of the Dismal Swamp line), and Virginia Beach.
    C. Deer of either sex may be taken during the entire early  special muzzleloading season east of the Blue Ridge Mountains unless otherwise  noted below: 
    - Deer of either sex may be taken on the second Saturday only  of the early special muzzleloading season on state forest lands, state park  lands (except Occoneechee State Park), department-owned lands and Philpott  Reservoir.
    - Antlered bucks only—no either sex deer hunting days during  the early special muzzleloading season on national forest lands in Amherst,  Bedford, and Nelson counties.
    D. Deer of either sex may be taken on the second Saturday  only during the early special muzzleloading season west of the Blue Ridge  Mountains unless otherwise noted below:
    - Deer of either sex may be taken during the entire early  special muzzleloading season in Clarke and Floyd counties and on private lands  in Carroll, Frederick, Grayson, Montgomery, Roanoke, and Warren counties.
    - Antlered bucks only—no either sex deer hunting days during  the early special muzzleloading season in Buchanan, Dickenson, Lee, Russell,  Smyth, Tazewell, Washington, and Wise counties and on national forest lands in  Alleghany, Botetourt, Frederick, Grayson, Page, Rockingham, Scott, Shenandoah,  Warren, and on national forest and department-owned lands in Augusta, Bath,  Highland, and Rockbridge counties and on Grayson Highlands State Park and on  private lands west of Routes 613 and 731 in Rockingham County.
    E. Deer of either sex may be taken during the last six days  of the late special muzzleloading season unless otherwise listed below:
    - Deer of either sex may be taken full season during the  entire late special muzzleloading season in the counties (including the cities  and towns within) of Amherst (west of U.S. Route 29 except on national forest  lands), Bedford (except on national forest lands), Campbell (west of Norfolk  Southern Railroad), Floyd, Franklin, Henry, Nelson (west of Route 151, except  on national forest lands), and Patrick and on private lands in Carroll,  Grayson, Montgomery, Roanoke and Warren counties.
    - Deer of either sex may be taken the last day only during the  late special muzzleloading season in Dickenson (north of Route 83), Lee,  Russell, Scott, Smyth, Tazewell, Washington, and Wise counties and on national  forest lands in Alleghany, Amherst, Bedford, Botetourt, Frederick, Grayson,  Nelson, Page, Rockingham, Shenandoah, and Warren counties, and on national  forest and department-owned lands in Augusta, Bath, Highland, and Rockbridge counties  and on private lands west of Routes 613 and 731 in Rockingham County and  Grayson Highlands State Park.
    - Antlered bucks only—no either-sex deer hunting days during  the late special muzzleloading season in Buchanan and Dickenson (south of Route  83).
    F. Deer of either sex may be taken full season during the  special muzzleloading seasons within the incorporated limits of any city or  town in the Commonwealth that allows deer hunting except in the counties of  Buchanan, Dickenson, and Wise and in the cities of Chesapeake, Suffolk, and  Virginia Beach.
    G. It shall be unlawful to hunt deer with dogs during any  special season for hunting with muzzleloading guns, except that tracking  dogs as defined in § 29.1-516.1 of the Code of Virginia may be used.
    H. A muzzleloading gun, for the purpose of this section,  means a single shot weapon, excluding muzzleloading pistols,.45 caliber or  larger, firing a single projectile or sabot (with a .38 caliber or larger  projectile) of the same caliber loaded from the muzzle of the weapon and  propelled by at least 50 grains of black powder (or black powder equivalent or  smokeless powder).
    I. It shall be unlawful to have in immediate possession any  firearm other than a muzzleloading gun while hunting with a muzzleloading gun  in a special muzzleloading season. 
    4VAC15-90-260. Hunting with dogs prohibited in certain counties  and areas. 
    A. Generally. It shall be unlawful to hunt deer with dogs in  the counties of Amherst (west of U.S. Route 29), Bedford, Campbell (west of  Norfolk Southern Railroad, and in the City of Lynchburg), Fairfax, Franklin,  Henry, Loudoun, Nelson (west of Route 151), Northampton, Patrick and  Pittsylvania (west of Norfolk Southern Railroad); and on the Amelia, Chester F.  Phelps, G. Richard Thompson and Pettigrew Wildlife Management Areas, except  that tracking dogs as defined in § 29.1-516.1 of the Code of Virginia may  be used. 
    B. Special provision for Greene and Madison counties. It  shall be unlawful to hunt deer with dogs during the first 12 hunting days in  the counties of Greene and Madison, except that tracking dogs as defined in  § 29.1-516.1 of the Code of Virginia may be used. 
    VA.R. Doc. No. R11-2891; Filed June 15, 2011, 1:39 a.m. 
TITLE 6. CRIMINAL JUSTICE AND CORRECTIONS
BOARD OF CORRECTIONS
Final Regulation
        REGISTRAR'S NOTICE: The  Board of Corrections is claiming an exemption from the Administrative Process  Act in accordance with § 2.2-4006 A 4 a of the Code of Virginia, which  excludes regulations that are necessary to conform to changes in Virginia  statutory law where no agency discretion is involved. The Board of Corrections  will receive, consider, and respond to petitions from any interested person at  any time with respect to reconsideration or revision.
         Title of Regulation: 6VAC15-50. Community Diversion  Program Standards (repealing 6VAC15-50-10 through  6VAC15-50-650). 
    Statutory Authority: § 53.1-182 (repealed) of the  Code of Virginia.
    Effective Date: August 4, 2011. 
    Agency Contact: Jim Bruce, Agency Regulatory  Coordinator, Department of Corrections, 6900 Atmore Drive, P.O. Box 26963,  Richmond, VA 23261-6963, telephone (804) 674-3303 ext. 1130, FAX (804)  674-3017, or email james.bruce@vadoc.virginia.gov.
    Summary:
    This action repeals 6VAC15-50, Community Diversion Program  Standards, which is obsolete due to the transfer of the responsibility for the  Community Diversion Program to the Department of Criminal Justice Services and  subsequent repeal of § 53.1-182 of the Code of Virginia.
    VA.R. Doc. No. R11-2877; Filed June 8, 2011, 10:54 a.m. 
TITLE 8. EDUCATION
STATE BOARD OF EDUCATION
Final Regulation
        REGISTRAR'S NOTICE: The  State Board of Education is claiming an exemption from the Administrative  Process Act in accordance with § 2.2-4006 A 4 a of the Code of Virginia,  which excludes regulations that are necessary to conform to changes in Virginia  statutory law where no agency discretion is involved. The State Board of  Education will receive, consider, and respond to petitions by any interested  person at any time with respect to reconsideration or revision.
         Title of Regulation: 8VAC20-131. Regulations  Establishing Standards for Accrediting Public Schools in Virginia (amending 8VAC20-131-350). 
    Statutory Authority: § 22.1-253.13:3 of the Code of  Virginia.
    Effective Date: August 3, 2011. 
    Agency Contact: Anne Wescott, Assistant Superintendent,  Policy and Communications, Department of Education, P.O. Box 2120, Richmond, VA  23218-2120, telephone (804) 225-2403, FAX (804) 225-2524, or email  anne.wescott@doe.virginia.gov.
    Summary:
    The amendment adds a provision that permits a waiver of  some of the mandatory graduation requirements for individual students under  certain circumstances. The amendment addresses Chapter 313 of the 2010 Acts of  Assembly (HB 1199), requiring the Board of Education to provide for the waiver  of certain graduation requirements, which may be granted only for good cause  and on a case-by-case basis. 
    8VAC20-131-350. Waivers.
    Waivers of some of the requirements of these regulations may  be granted by the Board of Education based on submission of a request from the  division superintendent and chairman of the local school board. The request  shall include documentation of the need for the waiver. In no event shall  waivers be granted to the requirements of Part III (8VAC20-131-30 et seq.) of  these regulations except that the Board of Education may provide for the  waiver of certain graduation requirements in 8VAC20-131-50 (i) upon the board's  initiative or (ii) at the request of a local school board on a case-by-case  basis. The board shall develop guidelines for implementing these requirements.
    VA.R. Doc. No. R11-2745; Filed June 8, 2011, 4:00 p.m. 
TITLE 9. ENVIRONMENT
VIRGINIA WASTE MANAGEMENT BOARD
Final Regulation
        REGISTRAR'S NOTICE: The  Virginia Waste Management Board is claiming an exemption from the  Administrative Process Act in accordance with § 2.2-4006 A 3,  which excludes regulations that consist only of changes in style or form or  corrections of technical errors. The Virginia Waste Management Board will  receive, consider, and respond to petitions by any interested person at any  time with respect to reconsideration or revision.
         Titles of Regulations: 9VAC20-60. Virginia Hazardous  Waste Management Regulations (amending 9VAC20-60-261).
    9VAC20-70. Financial Assurance Regulations for Solid Waste  Disposal, Transfer and Treatment Facilities (amending 9VAC20-70-10, 9VAC20-70-50,  9VAC20-70-70, 9VAC20-70-75, 9VAC20-70-90, 9VAC20-70-113, 9VAC20-70-210,  9VAC20-70-290).
    9VAC20-81. Solid Waste Management Regulations (amending 9VAC20-81-10, 9VAC20-81-35, 9VAC20-81-95,  9VAC20-81-140, 9VAC20-81-160, 9VAC20-81-250, 9VAC20-81-260, 9VAC20-81-300,  9VAC20-81-397, 9VAC20-81-470, 9VAC20-81-485, 9VAC20-81-490, 9VAC20-81-530,  9VAC20-81-600).
    9VAC20-85. Coal Combustion Byproduct Regulations (amending 9VAC20-85-10, 9VAC20-85-40,  9VAC20-85-50, 9VAC20-85-60, 9VAC20-85-90, 9VAC20-85-150, 9VAC20-85-180).
    9VAC20-120. Regulated Medical Waste Management Regulations (amending 9VAC20-120-10, 9VAC20-120-70,  9VAC20-120-100, 9VAC20-120-300, 9VAC20-120-540, 9VAC20-120-810).
    9VAC20-130. Solid Waste Planning and Recycling Regulations (amending 9VAC20-130-10, 9VAC20-130-60,  9VAC20-130-120).
    9VAC20-140. Regulations for the Certification of Recycling  Machinery and Equipment for Tax Exemption Purposes (amending 9VAC20-140-10).
    9VAC20-150. Waste Tire End User Reimbursement Regulation (amending 9VAC20-150-10, 9VAC20-150-20,  9VAC20-150-40).
    9VAC20-160. Voluntary Remediation Regulations (amending 9VAC20-160-10, 9VAC20-160-30).
    9VAC20-170. Transportation of Solid and Medical Wastes on  State Waters (amending 9VAC20-170-30, 9VAC20-170-40). 
    Statutory Authority: §§ 10.1-1232, 10.1-1402, 10.1-1410, 10.1-1411, 10.1-1422.3, 10.1-1422.4, and 58.1-3661 of the Code of  Virginia.
    Effective Date: August 3, 2011. 
    Agency Contact: Debra Miller, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4206, FAX (804) 698-4346, or email  debra.miller@deq.virginia.gov.
    Summary:
    Amendment 7 to the Solid Waste Management Regulations  amended and recodified these regulations creating 9VAC20-81, which became  effective March 16, 2011. This regulatory action makes necessary style and form  changes and technical corrections to that chapter and, as a secondary action,  makes the appropriate citations changes in other waste management regulations. 
    9VAC20-60-261. Adoption of 40 CFR Part 261 by reference. 
    A. Except as otherwise provided, the regulations of the  United States Environmental Protection Agency set forth in 40 CFR Part 261 are  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. Except as otherwise provided, all material definitions, reference  materials and other ancillaries that are a part of 40 CFR Part 261 are also  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. 
    B. In all locations in these regulations where 40 CFR Part  261 is incorporated by reference, the following additions, modifications and  exceptions shall amend the incorporated text for the purpose of its  incorporation into these regulations: 
    1. Any agreements required by 40 CFR 261.4(b)(11)(ii) shall be  sent to the United States Environmental Protection Agency at the address shown  and to the Department of Environmental Quality, P.O. Box 1105, Richmond,  Virginia 23218. 
    2. In 40 CFR 261.4(e)(3)(iii), the text "in the Region  where the sample is collected" shall be deleted. 
    3. In 40 CFR 261.4(f)(1), the term "Regional  Administrator" shall mean the regional administrator of Region III of the  United States Environmental Protection Agency or his designee. 
    4. In 40 CFR 261.6(a)(2), recyclable materials shall be  subject to the requirements of 9VAC20-60-270 and Part XII (9VAC20-60-1260 et  seq.) of this chapter. 
    5. No hazardous waste from a conditionally exempt small  quantity generator shall be managed as described in 40 CFR 261.5(g)(3)(iv) or  40 CFR 261.5(g)(3)(v) unless such waste management is in full compliance with  all requirements of the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    6. In 40 CFR 261.9 and wherever elsewhere in Title 40 of the  Code of Federal Regulations there is a listing of universal wastes or a listing  of hazardous wastes that are the subject of provisions set out in 40 CFR Part  273 as universal wastes, it shall be amended by addition of the following  sentence: "In addition to the hazardous wastes listed herein, the term  "universal waste" and all lists of universal waste or waste subject  to provisions of 40 CFR Part 273 shall include those hazardous wastes listed in  Part XVI (9VAC20-60-1495 et seq.) of the Virginia Hazardous Waste Management  Regulations as universal wastes, under such terms and requirements as shall  therein be ascribed." 
    7. In Subparts B and D of 40 CFR Part 261, the term  "Administrator" shall mean the administrator of the United States  Environmental Protection Agency, and the term "Director" shall not  supplant "Administrator" throughout Subparts B and D. 
    8. Regardless of the provisions of 9VAC20-60-18, the revisions  to 40 CFR Part 261 as promulgated by U.S. EPA on October 30, 2008, (73 FR 64757  - 64788) (definition of solid waste rule) are not adopted herein.
    Part I 
  Definitions 
    9VAC20-70-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings, unless the context clearly indicates otherwise: 
    "Abandoned facility" means any inactive solid waste  management facility that has not met closure and post-closure care  requirements. 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at the completion  of closure activities required by 9VAC20-80-10 et seq the Solid Waste  Management Regulations (9VAC20-81). Active life does not include the  post-closure care monitoring period. 
    "Anniversary date" means the date of issuance of a  financial mechanism. 
    "Assets" means all existing and all probable future  economic benefits obtained or controlled by a particular entity. 
    "Authority" means an authority created under the  provisions of the Virginia Water and Waste Authorities Act, Chapter 51 (§ 15.2-5100  et seq.) of Title 15.2 of the Code of Virginia, or, if any such authority shall  be abolished, the board, body, or commission succeeding to the principal  functions thereof or to whom the powers given by the Virginia Water and Waste  Authorities Act to such authority shall be given by law. 
    "Board" means the Virginia Waste Management Board. 
    "Cash plus marketable securities" means all the  cash plus marketable securities held on the last day of a fiscal year,  excluding cash and marketable securities designed to satisfy past obligations  such as pensions. 
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of 9VAC20-80-10  et seq., 9VAC20-101-10 et seq., 9VAC20-120-10 et seq., or 9VAC20-170-10 et seq.  the Solid Waste Management Regulations (9VAC20-81), the Regulated Medical  Waste Management Regulations (9VAC20-120), or the Transportation of Solid and  Medical Wastes on State Waters Regulations (9VAC20-170). A closed facility  may be undergoing post-closure care. 
    "Closure" means the act of securing a solid waste  management facility pursuant to the requirements of this chapter and any other  applicable solid waste management standards. 
    "Commercial transporter" means any person who  transports for the purpose of commercial carriage of solid wastes or regulated  medical wastes as cargo. 
    "Corrective action" means all actions necessary to  mitigate the public health or environmental threat from a release to the  environment of solid waste or constituents of solid waste from an operating,  abandoned, or closed solid waste management facility and to restore the  environmental conditions as required. 
    "Current annual inflation factor" means the annual  inflation factor derived from the most recent Implicit Price Deflator for Gross  National Product published by the U.S. Department of Commerce in its Survey of  Current Business. 
    "Current assets" means cash or other assets or  resources commonly identified as those which are reasonably expected to be  realized in cash or sold or consumed during the normal operating cycle of the  business. 
    "Current closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-111. 
    "Current dollars" means the figure represented by  the total of the cost estimate multiplied by the current annual inflation  factor. 
    "Current liabilities" means obligations whose  liquidation is reasonably expected to require the use of existing resources  properly classifiable as current assets or the creation of other current  liabilities. 
    "Current post-closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-112. 
    "Current year expenses for closure" means  expenditures documented by the facility during the previous fiscal year for  construction-related activities associated with closing the facility. Expenses  for closure must be detailed and identified in an approved closure plan. 
    "Debt service" means the amount of principal and  interest due on a loan in a given time period, typically the current year. 
    "Deficit" means total annual revenues less total  annual expenditures. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent thereof may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means any solid waste management facility  unless the context clearly indicates otherwise. The term "facility"  includes transfer stations. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Governmental unit" means any department,  institution or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.  
    "Groundwater" means any water, except capillary  moisture or unsaturated zone moisture, beneath the land surface in the zone of  saturation or beneath the bed of any stream, lake, reservoir or other body of  surface water within the boundaries of this Commonwealth, whatever may be the  subsurface geologic structure in which such water stands, flows, percolates or  otherwise occurs. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60). 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill as defined by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Leachate" means a liquid that has passed through  or emerged from solid waste and that contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation for disposal in an off-site facility is regulated as septage,  and leachate discharged into a wastewater collection system is regulated as  industrial wastewater. 
    "Liabilities" means probable future sacrifices of  economic benefits arising from present obligations to transfer assets or  provide services to other entities in the future as a result of past  transactions or events. 
    "Local government" means a county, city or town or  any authority, commission, or district created by one or more counties, cities  or towns. 
    "Net working capital" means current assets minus  current liabilities. 
    "Net worth" means total assets minus total  liabilities and is equivalent to owner's equity. 
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means a person who owns a solid waste  management facility or part of a solid waste management facility. For the  purposes of this chapter, all individuals, corporations, companies, partnerships,  societies or associations, and any federal agency or governmental unit of the  Commonwealth having any title or interest in any solid waste management  facility or the services or facilities to be rendered thereby shall be  considered an owner. 
    "Parent corporation" means a corporation that  directly owns at least 50% of the voting stock of the corporation that is the  facility owner or operator; the latter corporation is deemed a  "subsidiary" of the parent corporation. 
    "Permit" means the written permission of the  director to own, operate, modify, or construct a solid waste management  facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Post-closure care" means the requirements placed  upon an owner or operator of a solid waste disposal facility after closure to  ensure environmental and public health and safety are protected for a specified  number of years after closure. 
    "Receiving facility" means a facility, vessel or  operation that receives solid wastes or regulated medical wastes transported,  loaded or unloaded upon the navigable waters of the Commonwealth, to the extent  allowable under state law, by a commercial transporter. A receiving facility is  considered as a solid waste management facility. A facility that receives solid  waste from a ship, barge or other vessel and is regulated under § 10.1-1454.1  of the Code of Virginia shall be considered a transfer facility for purposes of  this chapter. 
    "Regulated medical waste" means solid waste so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120) as promulgated by the Virginia Waste  Management Board. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of solid waste which is so located, designed,  constructed and operated to contain and isolate the solid waste so that it does  not pose a substantial present or potential hazard to human health or the  environment. 
    "Signature" means the name of a person written with  his own hand. 
    "Site" means all land and structures, other  appurtenances, and improvements thereon used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the property  boundary used for utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Virginia Waste Management Act and the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility (SWMF)" means a  site used for planned treating, storing, or disposing of solid waste. A  facility may consist of several treatment, storage, or disposal units. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Substantial business relationship" means the  extent of a business relationship necessary under applicable Virginia law to  make a guarantee contract incident to that relationship valid and enforceable.  A "substantial business relationship" shall arise from a pattern of recent  and on-going business transactions, in addition to the guarantee itself, such  that a currently existing business relationship between the guarantor and the  owner or operator is demonstrated to the satisfaction of the director. 
    "Tangible net worth" means the tangible assets that  remain after deducting liabilities; such assets would not include intangibles  such as goodwill and rights to patents or royalties. 
    "Total expenditures" means all expenditures  excluding capital outlays and debt repayment. 
    "Total revenue" means revenue from all taxes and  fees but does not include the proceeds from borrowing or asset sales, excluding  revenue from funds managed on behalf of a specific third party. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Treatment" means any method, technique, or  process, including incineration or neutralization, designed to change the  physical, chemical, or biological character or composition of any waste to  neutralize it or render it less hazardous or nonhazardous, safer for transport,  or more amenable to use, reuse, reclamation or recovery. 
    "Unit" means a discrete area of land used for the  management of solid waste. 
    9VAC20-70-50. Applicability of chapter. 
    A. This chapter applies to all persons who own, operate, or  allow the following permitted or unpermitted facilities to be operated on their  property: 
    1. Solid waste treatment, transfer and disposal facilities  regulated under the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81);
    2. Facilities Vegetative waste management facilities  regulated under the Vegetative Waste Management and Yard Waste Composting  Regulations (9VAC20-101-10 et seq.) Solid Waste Management Regulations  (9VAC20-81);
    3. Medical waste treatment, transfer or disposal facilities  regulated under the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120); or 
    4. Receiving facilities as defined herein.
    B. Exemptions. 
    1. Owners or operators of facilities who are federal or state  government entities whose debts and liabilities are the debts or liabilities of  the United States or the Commonwealth, are exempt from this chapter; 
    2. Owners and operators of facilities conditionally exempt  under 9VAC20-80-60 D 9VAC20-81-95 of the Virginia Solid  Waste Management Regulations are exempt from this chapter so long as they meet  the conditions of the exemption; 
    3. Owners and operators of facilities that manage solely  wastes excluded under 9VAC20-80-150 or conditionally exempt under 9VAC20-80-160  9VAC20-81-95 of the Virginia Solid Waste Management Regulations  are exempt from this chapter; 
    4. Owners or operators of facilities exempt under  9VAC20-120-120 or excluded under 9VAC20-120-130 of the Virginia  Regulated Medical Waste Management Regulations (9VAC20-120-10 et seq.) (9VAC20-120)  are exempt from this chapter; 
    5. Owners and operators of yard waste composting facilities  exempt under 9VAC20-101-60 and 9VAC20-101-70 of the Vegetative Waste  Management and Yard Waste Composting Regulations 9VAC20-81-95 of the  Solid Waste Management Regulations are exempt from this chapter; and 
    6. Owners and operators of hazardous waste management units  regulated under the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60) are exempt from this chapter as far as such  units are concerned. 
    C. Owners and operators of facilities or units that treat or  dispose of wastes which are exempted from the Virginia Hazardous Waste  Management Regulations (9VAC20-60-12 et seq.) (9VAC20-60) are  subject to these regulations unless also exempted herein. 
    D. Facilities with separate ownership and operation. If  separate, nonexempt persons own and operate a facility subject to this chapter,  the owner and operator shall be jointly and severally liable for meeting the  requirements of this chapter. If either the owner or operator is exempt, as  provided in 9VAC20-70-50 B, then the other person shall be liable for meeting  the requirements of this chapter. If both the owner and the operator are  exempt, as provided in 9VAC20-70-50 B, then the requirements of this chapter  are not applicable to that facility. 
    E. Exemptions for facilities owned and operated by local  governments. 
    1. Closed facilities. Owners and operators of facilities who  are local governmental entities or regional authorities that have completed  closure by October 9, 1994, are exempt from all the requirements of this  chapter, provided they: 
    a. Have (i) disposed of less than 100 tons per day of solid  waste during a representative period prior to October 9, 1993; (ii) disposed of  less than 100 tons per day of solid waste each month between October 9, 1993,  and April 9, 1994; (iii) ceased to accept solid waste prior to April 9, 1994;  and (iv) whose units are not on the National Priority List as found in Appendix  B to 40 CFR Part 300; or 
    b. Have (i) disposed of more than 100 tons per day of solid  waste prior to October 9, 1993, and (ii) ceased to accept solid waste prior to  that date. 
    2. All other facilities. Owners and operators of facilities  who are local governmental entities or regional authorities that are not exempt  under subdivision 1 of this subsection are subject to the requirements of this  chapter. 
    9VAC20-70-70. Suspensions and revocations. 
    The director may revoke, suspend, or amend any permit for  cause as set in § 10.1-1409 of the Code of Virginia and as provided for in  9VAC20-80-600 9VAC20-81-570 and 9VAC20-80-620 9VAC20-81-600  of the Virginia Solid Waste Management Regulations, 9VAC20-120-790 and  9VAC20-120-810 of the Regulated Medical Waste Management Regulations, 9VAC20-101-200  of the Vegetative Waste Management and Yard Waste Composting Regulations,  and any other applicable regulations. Failure to provide or maintain adequate  financial assurance in accordance with these regulations shall be a basis for  revocation of such facility permit. Failure to provide or maintain adequate  financial assurance in accordance with this chapter, taken with other relevant  facts and circumstances, may be a basis for summary suspension of such facility  permit pending a hearing to amend or revoke the permit, or to issue any other appropriate  order. 
    9VAC20-70-75. Forfeitures. 
    Forfeiture of any financial obligation imposed pursuant to  this chapter shall not relieve any owner or operator of a solid waste  management facility from any obligations to comply with provisions of the Solid  Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  or the Regulated Medical Waste Management Regulations (9VAC20-120-10 et  seq.), the Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.) (9VAC20-120), and any other applicable  regulations or any other legal obligations for the consequences of abandonment  of any facility. 
    Article 2 
  Closure, Post-Closure Care and Corrective Action Requirements 
    9VAC20-70-90. Closure, post-closure care and corrective action  requirements. 
    A. The owner or operator shall close his facility in a manner  that minimizes the need for further maintenance; and controls, minimizes or  eliminates, to the extent necessary to protect human health and the  environment, the post-closure escape of uncontrolled leachate, surface runoff,  or waste decomposition products to the groundwater, surface water, or to the  atmosphere. The owner or operator shall close his facility in accordance with  all applicable regulations. 
    The closure standards applicable to the solid waste  management facilities are described in 9VAC20-80-210 B, 9VAC20-80-210 B 2,  9VAC20-80-250 E, 9VAC20-80-260 E, 9VAC20-80-270 E, 9VAC20-80-330 E,  9VAC20-80-340 E, 9VAC20-80-360 E, 9VAC20-80-370 E, 9VAC20-80-380 B, and  9VAC20-80-470 E 9VAC20-81-160, 9VAC20-81-360, and 9VAC20-81-370 of  the Solid Waste Management Regulations. The closure requirements applicable to  the regulated medical waste facilities are specified in 9VAC20-120-290 of the  Regulated Medical Waste Management Regulations. The closure requirements for  vegetative waste management and yard waste composting facilities are specified  in 9VAC20-101-150 of the Vegetative Waste Management and Yard Waste Composting  Regulations. 
    B. Following closure of each solid waste disposal unit, the  owner or operator shall conduct post-closure care in accordance with the  requirements of 9VAC20-80-250 F, 9VAC20-80-260 F, or 9VAC20-80-270 F 9VAC20-81-170  of the Solid Waste Management Regulations, as applicable. 
    C. The owner or operator shall institute a corrective action  program when required to do so by 9VAC20-80-190, 9VAC20-80-210 B 2, or  9VAC20-80-310 9VAC20-81-45 or 9VAC20-81-260 of the Solid Waste  Management Regulations, as applicable. 
    D. During any re-examination of a determination of the amount  of financial assurance required, the owner or operator of a landfill facility  not closed in accordance with 9VAC20-80-10 et seq. 9VAC20-81  shall demonstrate financial assurance by using one or more of the approved  mechanisms listed in Article 4 (9VAC20-70-140 et seq.) of this part for the  lesser of the following: 
    1. The amount requested by the director; or 
    2. The following default amounts: 
    a. $200,000 per acre of fill for sanitary landfills; or 
    b. $150,000 per acre of fill for construction demolition  debris landfills and industrial landfills. 
    9VAC20-70-113. Financial assurance for corrective action. 
    A. Within 120 days of a facility's finding or the director's  determining (whichever first occurs) that Groundwater Protection Standards  established as required by 9VAC20-80-250 D 6, or Appendix 5.6 D of  9VAC20-80-10 et seq. as applicable 9VAC20-81-250 have been  statistically exceeded, an owner or operator of a landfill or other unit  subject to groundwater monitoring shall provide additional financial assurance  in the amount of $1 million to the department using the mechanisms listed under  Article 4 (9VAC20-70-140 et seq.) of this part. The director shall release the  owner or operator from this requirement after the director has determined: 
    1. The owner or operator is providing financial assurance for  a corrective action program using one or more mechanisms listed under Article 4  (9VAC20-70-140 et seq.) of this part, as required under 9VAC20-70-90 C and  subsections B and C of this section; or 
    2. The owner of operator has achieved compliance with  Groundwater Protection Standards by demonstrating that concentrations of APPENDIX  5.1 constituents of 9VAC20-80-10 et seq. Table 3.1, Column B of  9VAC20-81-250 have not exceeded the Groundwater Protection Standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards. 
    B. An owner or operator of a solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  prepare and submit to the director a detailed written estimate, in current  dollars, of the cost of hiring a third party to perform the corrective action.  The corrective action cost estimate shall account for the total costs of  corrective action activities as described in the corrective action plan for the  entire corrective action period. The owner or operator shall notify the  director that the estimate has been placed in the operating record unless  corrective action is proceeding under Part IV of the Solid Waste Management  Regulations (9VAC20-80-10 et seq.) 9VAC20-81-45. In the latter case,  the new corrective action cost estimate shall be submitted to the director  within 30 days of its preparation. The corrective action cost estimate shall be  approved by the director. 
    1. The owner or operator shall adjust the estimate annually  for inflation within 60 days prior to the anniversary date of the establishment  of the financial mechanism used to comply with this part until the corrective  action program is completed. For owners or operators using the financial test  or guarantee, the corrective action cost estimate shall be updated for  inflation within 30 days after the close of the owner's or operator's fiscal  year. The adjustment process to be used is described in 9VAC20-70-111 B. 
    2. The owner or operator shall increase the corrective action  cost estimate and the amount of financial assurance provided under this  subsection no later than 30 days after revisions to the corrective action  program or where a change in the solid waste management unit conditions  increase the maximum costs of corrective action. 
    3. The owner or operator may request a reduction in the amount  of the corrective action cost estimate and the amount of financial assurance  provided under this subsection if the cost estimate exceeds the maximum  remaining costs of corrective action. The owner or operator shall submit a  revised cost estimate with the justification for the reduction to the director  when requesting a reduction in the amount of the corrective action cost  estimate and the amount of financial assurance provided. The justification  shall include an itemization of all corrective action costs. No reduction  request shall be reviewed until a complete cost estimate acceptable to the  department has been submitted. A request for a reduction in the corrective  action cost estimate shall be reviewed in a timely manner. 
    C. The owner or operator of each solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  establish financial assurance in the amount specified by the most recently  approved cost estimate for the selected remedy in accordance with  9VAC20-70-140. The owner or operator shall provide continuous coverage for  corrective action until released from financial assurance requirements for  corrective action by the director. 
    9VAC20-70-210. Local government financial test. 
    An owner or operator that satisfies the requirements of  subdivisions 1 through 3 of this section may demonstrate financial assurance  using the local government financial test up to the amount specified in  subdivision 4 of this section. 
    1. Financial component. 
    a. The owner or operator shall satisfy the provisions of  subdivision 1 a of this section, as applicable: 
    (1) If the owner or operator has outstanding, rated, general  obligation bonds that are not secured by insurance, a letter of credit, or  other collateral or guarantee, he shall supply the director with documentation  demonstrating that the owner or operator has a current rating of Aaa, Aa, A, or  Baa, as issued by Moody's, or AAA, AA, A, or BBB, as issued by Standard and  Poor's on all such general obligation bonds; or 
    (2) If the owner or operator does not have outstanding, rated  general obligation bonds, he shall satisfy each of the following financial  ratios based on the owner's or operator's most recent audited annual financial  statement: 
    (a) A ratio of cash plus marketable securities to total  expenditures greater than or equal to 0.05; and 
    (b) A ratio of annual debt service to total expenditures less  than or equal to 0.20. 
    b. The owner or operator shall prepare his financial  statements in conformity with Generally Accepted Accounting Principles for  governments and have its financial statements audited by an independent  certified public accountant or by the Auditor of Public Accounts. 
    c. An owner or operator is not eligible to assure its  obligations under this section if he: 
    (1) Is currently in default on any outstanding general  obligation bonds; 
    (2) Has any outstanding general obligation bonds rated lower  than Baa as issued by Moody's or BBB as issued by Standard and Poor's; 
    (3) Operated at a deficit equal to 5.0% or more of total  annual revenue in each of the past two fiscal years; or 
    (4) Receives an adverse opinion, disclaimer of opinion, or  other qualified opinion from the independent certified public accountant or  Auditor of Public Accounts auditing its financial statement as required under  subdivision 1 b of this section. However, the director may evaluate qualified  opinions on a case-by-case basis and allow use of the financial test in cases  where the director deems the qualification insufficient to warrant disallowance  of the test. 
    2. Public notice component. The local government owner or  operator shall place a reference to the closure, post-closure care, or  corrective action costs assured through the financial test into the next  comprehensive annual financial report (CAFR) after January 7, 1998, or prior to  the initial receipt of waste at the facility, whichever is later. Disclosure  shall include the nature and source of closure and post-closure requirements,  the reported liability at the balance sheet date, the estimated total closure  and post-closure care cost remaining to be recognized, the percentage of  landfill capacity used to date, and the estimated landfill life in years. A  reference to corrective action cost shall be placed in CAFR no later than 120  days after the corrective action remedy has been selected in accordance with 9VAC20-80-310  9VAC20-81-260. For the first year the financial test is used to assure  costs at a particular facility, the reference may instead be placed in the  operating record until issuance of the next available CAFR if timing does not  permit the reference to be incorporated into the most recently issued CAFR or  budget. For closure and post-closure care costs, conformance with Government  Accounting Standards Board Statement 18 assures compliance with this public  notice component. 
    3. Recordkeeping and reporting requirements. 
    a. The local government owner or operator must submit to the  department the following items and place copies of the items in the facility's  operating record: 
    (1) An original letter signed by the local government's chief  financial officer worded as specified in 9VAC20-70-290 G; 
    (2) The local government's independently audited year-end  financial statements for the latest fiscal year, including the unqualified  opinion of the auditor who must be an independent, certified public accountant  or an appropriate state agency that conducts equivalent comprehensive audits; 
    (3) A report to the local government from the local  government's independent certified public accountant (CPA) or the Auditor of  Public Accounts based on performing an agreed upon procedures engagement  relative to the financial ratios required by subdivision 1 a (3) of this  section, if applicable, and the requirements of subdivisions 1 b, 1 c (3) and 1  c (4) of this section. The CPA or state agency's report shall state the  procedures performed and the CPA or state agency's findings; 
    (4) A copy of the comprehensive annual financial report (CAFR)  used to comply with subdivision 2 of this section or certification that the  requirements of General Accounting Standards Board Statement 18 have been met; 
    (5) A certification from the local government's chief  executive officer stating in detail the method selected by the local government  for funding closure and post-closure costs. If the method selected by the local  government is a trust fund, escrow account or similar mechanism, there shall be  included a certification from the local government's chief financial officer  indicating the current reserve obligated to closure and post-closure care cost.  If the method selected by local governments is the use of annual operating  budget and Capital Investment Funds, there shall be a certification from the  local government's chief financial officer so indicating. Nothing herein shall  be construed to prohibit the local government from revising its plan for  funding closure and post-closure care costs if such revision provides economic  benefit to the local government and if such revision provides adequate means  for funding closure and post-closure care cost. This certification shall be  worded as specified in 9VAC20-70-290 H; and 
    (6) If the local government is required under this section to  fund a restricted sinking fund, escrow account, or to obtain an irrevocable  letter of credit, an original letter signed by the local government's chief  financial officer and worded as specified in 9VAC20-70-290 I must be submitted.  
    b. The items required in subdivision 3 a of this section shall  be submitted to the department and placed in the facility operating record as  follows: 
    (1) In the case of closure and post-closure care, either  before January 7, 1998, or prior to the initial receipt of waste at the  facility, whichever is later; or 
    (2) In the case of corrective action, not later than 120 days  after the corrective action remedy is selected in accordance with the  requirements of 9VAC20-80-310 9VAC20-81-260. 
    c. After the initial submission of the items, the local  government owner or operator must update the information, place a copy of the  updated information in the operating record, and submit the updated  documentation described in subdivisions 3 a (1) through (6) of this section to  the department within 180 days following the close of the owner or operator's  fiscal year. 
    d. The local government owner or operator is no longer  required to meet the requirements of subdivision 3 of this section when: 
    (1) The owner or operator substitutes alternate financial  assurance as specified in this section; or 
    (2) The owner or operator is released from the requirements of  this section in accordance with 9VAC20-70-111 E, 9VAC20-70-112 B, or  9VAC20-70-113 C. 
    e. A local government shall satisfy the requirements of the  financial test at the close of each fiscal year. If the local government owner  or operator no longer meets the requirements of the local government financial  test it must, within 210 days following the close of the owner or operator's  fiscal year, obtain alternative financial assurance that meets the requirements  of this section, place a copy of the financial assurance mechanism in the  operating record, and submit the original financial assurance mechanism to the  director. 
    f. The director, based on a reasonable belief that the local  government owner or operator may no longer meet the requirements of the local  government financial test, may require additional reports of financial  condition from the local government at any time. If the director finds, on the  basis of such reports or other information, that the owner or operator no  longer meets the requirements of the local government financial test, the local  government shall provide alternate financial assurance in accordance with this  article. 
    4. Calculation of costs to be assured. The portion of the  closure, post-closure, and corrective action costs for which an owner or  operator can assure under subdivision 1 of this section is determined as  follows: 
    a. If the local government owner or operator does not assure  other environmental obligations through a financial test, it may assure  closure, post-closure, and corrective action costs that equal up to 43% of the  local government's total annual revenue or the sum of total revenues of  constituent governments in the case of regional authorities. If the local  government assures closure, post-closure, and corrective action costs that  exceed 20% (but do not exceed 43%) of the local government's total annual  revenue or the sum of the revenue of constituent governments in the case of  regional authorities, the locality must also establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    b. If the local government assures other environmental obligations  through a financial test, including those associated with UIC facilities under  40 CFR 144.62, petroleum underground storage tank facilities under  9VAC25-590-10 et seq., PCB storage facilities under 40 CFR Part 761, and  hazardous waste treatment, storage, and disposal facilities under Part IX or X  of the Virginia Hazardous Waste Management Regulations (9VAC20-60-12 et  seq.) (9VAC20-60), it shall add those costs to the closure,  post-closure, and corrective action costs it seeks to assure under subdivision  1 of this section. The total shall not exceed 43% of the local government's  total annual revenue. If the local government's total environmental liabilities  assured through financial tests exceed 20% (but do not exceed 43%) of the local  government's total annual revenue or the sum of the revenue of constituent  governments in the case of regional authorities, the locality must also  establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    c. The owner or operator shall obtain an alternate financial  assurance mechanism for those costs that exceed the limits set in subdivisions  4 a and 4 b of this section. 
    9VAC20-70-290. Wording of financial mechanisms. 
    A. Wording of trust agreements. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    TRUST AGREEMENT 
    Trust agreement, the "Agreement," entered into as  of (date) by and between (name of the owner or operator), a (State)  (corporation, partnership, association, proprietorship), the  "Grantor," and (name of corporate trustee), a (State corporation)  (national bank), the "Trustee." 
    Whereas, the Virginia Waste Management Board has established  certain regulations applicable to the Grantor, requiring that the owner or operator  of a (solid) (regulated medical) (yard) waste (transfer station) (receiving)  (management) facility must provide assurance that funds will be available when  needed for (closure, post-closure care, or corrective action) of the facility, 
    Whereas, the Grantor has elected to establish a trust to  provide (all or part of) such financial assurance for the facility identified  herein, 
    Whereas, the Grantor, acting through its duly authorized  officers, has selected the Trustee to be the trustee under this agreement, and  the Trustee is willing to act as trustee, 
    Now, therefore, the Grantor and the Trustee agree as follows:  
    Section 1. Definitions. As used in this Agreement: 
    A. The term "fiduciary" means any person who  exercises any power of control, management, or disposition or renders  investment advice for a fee or other compensation, direct or indirect, with  respect to any moneys or other property of this trust fund, or has any  authority or responsibility to do so, or who has any authority or  responsibility in the administration of this trust fund. 
    B. The term "Grantor" means the owner or operator  who enters into this Agreement and any successors or assigns of the Grantor. 
    C. The term "Trustee" means the Trustee who enters  into this Agreement and any successor Trustee. 
    Section 2. Identification of Facility and Cost Estimates.  This Agreement pertains to facility(ies) and cost estimates identified on  attached Schedule A. 
    (NOTE: On Schedule A, for each facility list, as applicable,  the permit number, name, address, and the current closure, post-closure,  corrective action cost estimates, or portions thereof, for which financial  assurance is demonstrated by this Agreement.) 
    Section 3. Establishment of Fund. The Grantor and the Trustee  hereby establish a trust fund, the "Fund," for the benefit of the  Department of Environmental Quality, Commonwealth of Virginia. The Grantor and  the Trustee intend that no third party have access to the Fund except as herein  provided. The Fund is established initially as property consisting of cash or  securities, which are acceptable to the Trustee, described in Schedule B  attached hereto. Such property and any other property subsequently transferred  to the Trustee is referred to as the fund, together with all earnings and  profits thereon, less any payments or distributions made by the Trustee  pursuant to this Agreement. The Fund will be held by the Trustee, IN TRUST, as  hereinafter provided. The Trustee undertakes no responsibility for the amount  or adequacy of, nor any duty to collect from the Grantor, any payments to  discharge any liabilities of the Grantor established by the Commonwealth of  Virginia's Department of Environmental Quality. 
    Section 4. Payment for (Closure, Post-Closure Care, or  Corrective Action). The Trustee will make such payments from the Fund as the  Department of Environmental Quality, Commonwealth of Virginia will direct, in  writing, to provide for the payment of the costs of (closure, post-closure  care, corrective action) of the facility covered by this Agreement. The Trustee  will reimburse the Grantor or other persons as specified by the Department of  Environmental Quality, Commonwealth of Virginia, from the Fund for (closure,  post-closure care, corrective action) expenditures in such amounts as the  Department of Environmental Quality will direct, in writing. In addition, the  Trustee will refund to the Grantor such amounts as the Department of  Environmental Quality specifies in writing. Upon refund, such funds will no  longer constitute part of the Fund as defined herein. 
    Section 5. Payments Comprising the Fund. Payments made to the  Trustee for the fund will consist of cash or securities acceptable to the  Trustee. 
    Section 6. Trustee Management. The Trustee will invest and  reinvest the principal and income of the Fund and keep the Fund invested as a  single fund, without distinction between principal and income, in accordance  with investment guidelines and objectives communicated in writing to the  Trustee from time to time by the Grantor, subject, however, to the provisions  of this Section. In investing, reinvesting, exchanging, selling and managing  the Fund, the Trustee or any other fiduciary will discharge his duties with  respect to the trust fund solely in the interest of the beneficiary and with  the care, skill, prudence, and diligence under the circumstances then  prevailing which persons of prudence, acting in a like capacity and familiar  with such matters, would use in the conduct of any enterprise of a like  character and with like aims; except that: 
    A. Securities or other obligations of the Grantor, or any  other owner or operator of the facility, or any of their affiliates as defined  in the Investment Company Act of 1940, as amended, 15 USC § 80a-2(a), will not  be acquired or held, unless they are securities or other obligations of the  federal or a state government; 
    B. The Trustee is authorized to invest the Fund in time or  demand deposits of the Trustee, to the extent insured by an agency of the  federal or state government; and 
    C. The Trustee is authorized to hold cash awaiting investment  or distribution uninvested for a reasonable time and without liability for the  payment of interest thereon. 
    Section 7. Commingling and Investment. The Trustee is  expressly authorized in its discretion: 
    A. To transfer from time to time any or all of the assets of  the Fund to any common, commingled or collective trust fund created by the  Trustee in which the Fund is eligible to participate subject to all of the  provisions thereof, to be commingled with the assets of other trusts  participating herein. To the extent of the equitable share of the Fund in any  such commingled trust, such commingled trust will be part of the Fund; and 
    B. To purchase shares in any investment company registered  under the Investment Company Act of 1940, 15 USC § 80a-1 et seq., of one which  may be created, managed, underwritten, or to which investment advice is  rendered or the shares of which are sold by the Trustee. The Trustees may vote  such shares in its discretion. 
    Section 8. Express Powers of Trustee. Without in any way  limiting the powers and discretions conferred upon the Trustee by the other  provisions of this Agreement or by law, the Trustee is expressly authorized and  empowered: 
    A. To sell, exchange, convey, transfer or otherwise dispose of  any property held by it, by private contract or at public auction. No person  dealing with the Trustee will be bound to see to the application of the  purchase money or to inquire into the validity or expediency of any such sale  or other dispositions; 
    B. To make, execute, acknowledge and deliver any and all  documents of transfer and conveyance and any and all other instruments that may  be necessary or appropriate to carry out the powers herein granted; 
    C. To register any securities held in the fund in its own name  or in the name of a nominee and to hold any security in bearer form or in book  entry, or to combine certificates representing such securities with  certificates of the same issue held by the Trustee in other fiduciary  capacities, or to deposit or arrange for the deposit of such securities in a  qualified central depository even though, when so deposited, such securities  may be merged and held in bulk in the name of the nominee of such depository  with other securities deposited therein by another person, or to deposit or  arrange for the deposit of any securities issued by the United State  government, or any agency or instrumentality thereof with a Federal Reserve  Bank, but the books and records of the Trustee will at all times show that all  such securities are part of the Fund; 
    D. To deposit any cash in the fund in interest-bearing  accounts maintained or savings certificates issued by the Trustee, in its  separate corporate capacity, or in any other banking institution affiliated  with the Trustee, to the extent insured by an agency of the Federal or State  government; and 
    E. To compromise or otherwise adjust all claims in favor of or  against the Fund. 
    Section 9. Taxes and Expenses. All taxes of any kind that may  be assessed or levied against or in respect of the Fund and all brokerage  commissions incurred by the Fund will be paid from the Fund. All other expenses  incurred by the Trustee in connection with the administration of this Trust,  including fees for legal services rendered to the Trustee, the compensation of  the Trustee to the extent not paid directly by the Grantor, and all other  proper charges and disbursements of the Trustee will be paid from the Fund. 
    Section 10. Annual Valuation. The Trustee will annually, at  the end of the month coincident with or preceding the anniversary date of  establishment of the Fund, furnish the Grantor and to the director of the  Department of Environmental Quality, Commonwealth of Virginia, a statement  confirming the value of the Trust. Any securities in the Fund will be valued at  market value as of no more than 30 days prior to the date of the statement. The  failure of the Grantor to object in writing to the Trustee within 90 days after  the statement has been furnished to the Grantor and the director of the  Department of Environmental Quality, Commonwealth of Virginia will constitute a  conclusively binding assent by the Grantor, barring the Grantor from asserting  any claim or liability against the Trustee with respect to matters disclosed in  the statement. 
    Section 11. Advice of Counsel. The Trustee may from time to  time consult with counsel, who may be counsel to the Grantor, with respect to  any question arising as to the construction of this Agreement or any action to  be taken hereunder. The Trustee will be fully protected, to the extent  permitted by law, in acting upon the advice of counsel. 
    Section 12. Trustee Compensation. The Trustee will be  entitled to reasonable compensation for its services as agreed upon in writing  from time to time with the Grantor. 
    Section 13. Successor Trustee. The Trustee may resign or the  Grantor may replace the Trustee, but such resignation or replacement shall not  be effective until the Grantor has appointed a successor trustee and this  successor accepts the appointment. The successor trustee shall have the same  powers and duties as those conferred upon the Trustee hereunder. Upon  acceptance of the appointment by the successor trustee, the Trustee will  assign, transfer and pay over to the successor trustee the funds and properties  then constituting the Fund. If for any reason the grantor cannot or does not  act in the event of the resignation of the Trustee, the Trustee may apply to a  court of competent jurisdiction for the appointment of a successor trustee or  for instructions. The successor trustee and the date on which he assumes  administration of the trust will be specified in writing and sent to the  Grantor, the director of the Department of Environmental Quality, Commonwealth  of Virginia, and the present trustees by certified mail 10 days before such  change becomes effective. Any expenses incurred by the Trustee as a result of  any of the acts contemplated by this section will be paid as provided in Part  IX. 
    Section 14. Instructions to the Trustee. All orders, requests  and instructions by the Grantor to the Trustee will be in writing, signed by  such persons as are designated in the attached Exhibit A or such other  designees as the grantor may designate by amendment to Exhibit A. The Trustee  will be fully protected in acting without inquiry in accordance with the  Grantor's orders, requests and instructions. All orders, requests, and  instructions by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, to the Trustee will be in writing, signed by the  Director and the Trustee will act and will be fully protected in acting in  accordance with such orders, requests and instructions. The Trustee will have  the right to assume, in the absence of written notice to the contrary, that no  event constituting a change or a termination of the authority of any person to  act on behalf of the Grantor or the Commonwealth of Virginia's Department of  Environmental Quality hereunder has occurred. The Trustee will have no duty to  act in the absence of such orders, requests and instructions from the Grantor  and/or the Commonwealth of Virginia's Department of Environmental Quality,  except as provided for herein. 
    Section 15. Notice of Nonpayment. The Trustee will notify the  Grantor and the Director of the Department of Environmental Quality,  Commonwealth of Virginia, by certified mail within 10 days following the  expiration of the 30-day period after the anniversary of the establishment of  the Trust, if no payment is received from the Grantor during that period. After  the pay-in period is completed, the Trustee is not required to send a notice of  nonpayment. 
    Section 16. Amendment of Agreement. This Agreement may be  amended by an instrument in writing executed by the Grantor, the Trustee, and  the Director of the Department of Environmental Quality, Commonwealth of  Virginia, or by the Trustee and the Director of the Department of Environmental  Quality, Commonwealth of Virginia, if the Grantor ceases to exist. 
    Section 17. Irrevocability and Termination. Subject to the  right of the parties to amend this Agreement as provided in Section 16, this  Trust will be irrevocable and will continue until terminated at the written  agreement of the Grantor, the Trustee, and the Director of the Department of  Environmental Quality, Commonwealth of Virginia, or by the Trustee and the  Director if the Grantor ceases to exist. Upon termination of the Trust, all  remaining trust property, less final trust administration expenses, will be  delivered to the Grantor. 
    Section 18. Immunity and Indemnification. The Trustee will  not incur personal liability of any nature in connection with any act or  omission, made in good faith, in the administration of this Trust, or in  carrying out any directions by the Grantor or the Director of the Department of  Environmental Quality, Commonwealth of Virginia, issued in accordance with this  Agreement. The Trustee will be indemnified and saved harmless by the Grantor or  from the Trust Fund, or both, from and against any personal liability to which  the Trustee may be subjected by reason of any act or conduct in its official  capacity, including all expenses reasonably incurred in its defense in the  event the Grantor fails to provide such defense. 
    Section 19. Choice of Law. This Agreement will be  administered, construed and enforced according to the laws of the Commonwealth  of Virginia. 
    Section 20. Interpretation. As used in the Agreement, words  in the singular include the plural and words in the plural include the  singular. The descriptive headings for each section of this Agreement will not  affect the interpretation of the legal efficacy of this Agreement. 
    In witness whereof the parties have caused this Agreement to  be executed by their respective officers duly authorized and their corporate  seals to be hereunto affixed and attested as of the date first above written.  The parties below certify that the wording of this Agreement is identical to  the wording specified in 9VAC20-70-290 A of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer and Treatment Facilities, as such regulations  were constituted on the date shown immediately below. 
           |      (Signature of Grantor)      |                 |    
       |      By: (Title)      |          (Date)      |    
       |      Attest:      |                 |    
       |      (Title)      |          (Date)      |    
       |      (Seal)      |                 |    
       |      (Signature of Trustee)      |                 |    
       |      By      |                 |    
       |      Attest:      |                 |    
       |      (Title)      |                 |    
       |      (Seal)      |          (Date)      |    
  
    Certification of Acknowledgment: 
    COMMONWEALTH OF VIRGINIA 
    STATE OF __________ 
    CITY/COUNTY OF __________ 
    On this date, before me personally came (owner or operator)  to me known, who being by me duly sworn, did depose and say that she/he resides  at (address), that she/he is (title) of (corporation), the corporation  described in and which executed the above instrument; that she/he knows the  seal of said corporation; that the seal affixed to such instrument is such  corporate seal; that it was so affixed by order of the Board of Directors of said  corporation, and that she/he signed her/his name thereto by like order. 
    (Signature of Notary Public) 
    B. Wording of surety bond guaranteeing performance or  payment. 
    (NOTE: instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    PERFORMANCE OR PAYMENT BOND 
    Date bond executed: __________ 
    Effective date: __________ 
    Principal: (legal name and business address) _____________ 
    Type of organization: (insert "individual,"  "joint venture," "partnership," or "corporation")  _____________ 
    State of incorporation: __________ 
    Surety: (name and business address) _____________ 
    Name, address, permit number, if any, and (closure,  post-closure care, or corrective action) cost estimate for the facility:  _____________ 
    Penal sum of bond: $________ 
    Surety's bond number: __________ 
    Know all men by these present, That we, the Principal and  Surety hereto are firmly bound to the Department of Environmental Quality,  Commonwealth of Virginia, (hereinafter called the Department) in the above  penal sum for the payment of which we bind ourselves, our heirs, executors,  administrators, successors and assigns, jointly and severally; provided that,  where the Surety(ies) are corporations acting as co-sureties, we, the Sureties,  bind ourselves in such sum "jointly and severally" only for the  purpose of allowing a joint action or actions against any or all of us, and for  all other purposes each Surety binds itself, jointly and severally with the  Principal, for the payment of each sum only as is set forth opposite the name  of such Surety, but if no limit of liability is indicated, the limit of  liability shall be the full amount of the penal sum. 
    Whereas, said Principal is required to have a permit from the  Department of Environmental Quality, Commonwealth of Virginia, in order to own  or operate the (solid, regulated medical, yard) waste management facility  identified above, and 
    Whereas, said Principal is required to provide financial  assurance for (closure, post-closure care, corrective action) of the facility  as a condition of the permit or an order issued by the department, 
    Now, therefore the conditions of this obligation are such  that if the Principal shall faithfully perform (closure, post-closure care,  corrective action), whenever required to do so, of the facility identified  above in accordance with the order or the (closure, post-closure care,  corrective action) plan submitted to receive said permit and other requirements  of said permit as such plan and permit may be amended or renewed pursuant to  all applicable laws, statutes, rules, and regulations, as such laws, statutes,  rules, and regulations may be amended, 
    Or, if the Principal shall faithfully perform (closure,  post-closure care, corrective action) following an order to begin (closure,  post-closure care, corrective action) issued by the Commonwealth of Virginia's  Department of Environmental Quality or by a court, or following a notice of  termination of the permit, 
    Or, if the Principal shall provide alternate financial assurance  as specified in the Department's regulations and obtain the director's written  approval of such assurance, within 90 days of the date notice of cancellation  is received by the Director of the Department of Environmental Quality from the  Surety, then this obligation will be null and void, otherwise it is to remain  in full force and effect for the life of the management facility identified  above. 
    The Surety shall become liable on this bond obligation only  when the Principal has failed to fulfill the conditions described above. Upon  notification by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, that the Principal has been found in violation of the  requirements of the Department's regulations, the Surety must either perform  (closure, post-closure care, corrective action) in accordance with the approved  plan and other permit requirements or forfeit the (closure, post-closure care,  corrective action) amount guaranteed for the facility to the Commonwealth of  Virginia. 
    Upon notification by the Director of the Department of  Environmental Quality, Commonwealth of Virginia, that the Principal has been  found in violation of an order to begin (closure, post-closure care, corrective  action), the Surety must either perform (closure, post-closure care, corrective  action) in accordance with the order or forfeit the amount of the (closure,  post-closure care, corrective action) guaranteed for the facility to the  Commonwealth of Virginia. 
    The Surety hereby waives notification of amendments to the  (closure, post-closure care, corrective action) plans, orders, permit,  applicable laws, statutes, rules, and regulations and agrees that such  amendments shall in no way alleviate its obligation on this bond. 
    For purposes of this bond, (closure, post-closure care,  corrective action) shall be deemed to have been completed when the Director of  the Department of Environmental Quality, Commonwealth of Virginia, determines  that the conditions of the approved plan have been met. 
    The liability of the Surety shall not be discharged by any  payment or succession of payments hereunder, unless and until such payment or  payments shall amount in the aggregate to the penal sum of the bond, but the  obligation of the Surety hereunder shall not exceed the amount of said penal  sum unless the Director of the Department of Environmental Quality,  Commonwealth of Virginia, should prevail in an action to enforce the terms of  this bond. In this event, the Surety shall pay, in addition to the penal sum  due under the terms of the bond, all interest accrued from the date the  Director of the Department of Environmental Quality, Commonwealth of Virginia,  first ordered the Surety to perform. The accrued interest shall be calculated  at the judgment rate of interest pursuant to § 6.1-330.54 6.2-302  of the Code of Virginia. 
    The Surety may cancel the bond by sending written notice of  cancellation to the owner or operator and to the Director of the Department of  Environmental Quality, Commonwealth of Virginia, provided, however, that cancellation  cannot occur (1) during the 120 days beginning on the date of receipt of the  notice of cancellation by the director as shown on the signed return receipt;  or (2) while an enforcement action is pending. 
    The Principal may terminate this bond by sending written  notice to the Surety, provided, however, that no such notice shall become  effective until the Surety receives written authorization for termination of  the bond by the Director of the Department of Environmental Quality,  Commonwealth of Virginia. 
    In witness whereof, the Principal and Surety have executed  this Performance Bond and have affixed their seals on the date set forth above.  
    The persons whose signatures appear below hereby certify that  they are authorized to execute this surety bond on behalf of the Principal and  Surety and I hereby certify that the wording of this surety bond is identical  to the wording specified in 9VAC20-70-290 B of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    Principal 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Surety 
    Name and Address: __________ 
    State of Incorporation: __________ 
    Liability Limit: $___ 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Seal: 
    C. Wording of irrevocable standby letter of credit. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    IRREVOCABLE STANDBY LETTER OF CREDIT 
    Director 
    Department of Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia 23240-0009 
    Dear (Sir or Madam): 
    We hereby establish our Irrevocable Letter of Credit No......  in your favor at the request and for the account of (owner's or operator's name  and address) up to the aggregate amount of (in words) U.S. dollars $____,  available upon presentation of 
    1. Your sight draft, bearing reference to this letter of  credit No ____ together with 
    2. Your signed statement declaring that the amount of the  draft is payable pursuant to regulations issued under the authority of the  Department of Environmental Quality, Commonwealth of Virginia. 
    The following amounts are included in the amount of this  letter of credit: (Insert the facility permit number, if any, name and address,  and the closure, post-closure care, corrective action cost estimate, or  portions thereof, for which financial assurance is demonstrated by this letter  of credit.) 
    This letter of credit is effective as of (date) and will  expire on (date at least one year later), but such expiration date will be  automatically extended for a period of (at least one year) on (date) and on  each successive expiration date, unless, at least 120 days before the current  expiration date, we notify you and (owner or operator's name) by certified mail  that we decide not to extend the Letter of Credit beyond the current expiration  date. In the event you are so notified, unused portion of the credit will be  available upon presentation of your sight draft for 120 days after the date of  receipt by you as shown on the signed return receipt or while a compliance  procedure is pending, whichever is later. 
    Whenever this letter of credit is drawn on under and in  compliance with the terms of this credit, we will duly honor such draft upon  presentation to us, and we will pay to you the amount of the draft promptly and  directly. 
    I hereby certify that I am authorized to execute this letter  of credit on behalf of (issuing institution) and I hereby certify that the  wording of this letter of credit is identical to the wording specified in  9VAC20-70-290 C of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities as such regulations were  constituted on the date shown immediately below. 
    Attest: 
    (Print name and title of official of issuing institution)  (Date) 
        This credit is subject to (insert "the most recent  edition of the Uniform Customs and Practice for Documentary Credits, published by  the International Chamber of Commerce," of "the Uniform Commercial  Code.") 
    D. Assignment of certificate of deposit account. 
    City _______________________ ____________, 20___ 
    FOR VALUE RECEIVED, the undersigned assigns all right, title  and interest to the Virginia Department of Environmental Quality, Commonwealth  of Virginia, and its successors and assigns the Virginia Department of  Environmental Quality the principal amount of the instrument, including all  monies deposited now or in the future to that instrument, indicated below: 
    ( ) If checked here, this assignment includes all interest  now and hereafter accrued. 
    Certificate of Deposit Account No. _____________________ 
    This assignment is given as security to the Virginia  Department of Environmental Quality in the amount of _______________________  Dollars ($_____________). 
    Continuing Assignment. This assignment shall continue to  remain in effect for all subsequent terms of the automatically renewable  certificate of deposit. 
    Assignment of Document. The undersigned also assigns any  certificate or other document evidencing ownership to the Virginia Department  of Environmental Quality. 
    Additional Security. This assignment shall secure the payment  of any financial obligation of the (name of owner/operator) to the Virginia  Department of Environmental Quality for ("closure" "post closure  care" "corrective action") at the (facility name and permit  number) located (physical address) 
    Application of Funds. The undersigned agrees that all or any  part of the funds of the indicated account or instrument may be applied to the  payment of any and all financial assurance obligations of (name of  owner/operator) to the Virginia Department of Environmental Quality for  ("closure" "post closure care" "corrective  action") at the (facility name and address). The undersigned authorizes  the Virginia Department of Environmental Quality to withdraw any principal  amount on deposit in the indicated account or instrument including any  interest, if indicated, and to apply it in the Virginia Department of  Environmental Quality's discretion to fund ("closure" "post  closure care" "corrective action") at the (facility name) or in  the event of (owner or operator's) failure to comply with the Virginia Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities, 9VAC20-70-10 et seq 9VAC20-70. The undersigned agrees  that the Virginia Department of Environmental Quality may withdraw any  principal and/or interest from the indicated account or instrument without demand  or notice. (The undersigned) agrees to assume any and all loss of penalty due  to federal regulations concerning the early withdrawal of funds. Any partial  withdrawal of principal or interest shall not release this assignment. 
    The party or parties to this Assignment set their hand or  seals, or if corporate, has caused this assignment to be signed in its  corporate name by its duly authorized officers and its seal to be affixed by  authority of its Board of Directors the day and year above written. 
           |             |                 |          SEAL       |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
       |             |                 |          SEAL      |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
  
    THE FOLLOWING SECTION IS TO BE COMPLETED BY THE BRANCH OR  LENDING OFFICE: 
    The signature(s) as shown above compare correctly with the  name(s) as shown on record as owner(s) of the Certificate of Deposit indicated  above. The above assignment has been properly recorded by placing a hold in the  amount of $ _______________________ for the benefit of the Department of  Environmental Quality. 
    ( ) If checked here, the accrued interest on the Certificate  of Deposit indicated above has been maintained to capitalize versus being  mailed by check or transferred to a deposit account. 
           |             |                 |                 |    
       |      (Signature)      |                 |          (Date)      |    
       |             |                 |                 |    
       |      (print name)      |                 |                 |    
       |             |                 |                 |    
       |      (Title)      |                 |                 |    
  
    E. Wording of certificate of insurance. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    CERTIFICATE OF INSURANCE 
    Name and Address of Insurer (herein called the  "Insurer"): 
    _____________ 
    _____________
    Name and Address of Insured (herein called the  "Insured"): 
    _____________ 
    _____________ 
    _____________
    Facilities Covered: (List for each facility: Permit number  (if applicable), name, address and the amount of insurance for closure,  post-closure care, or corrective action. (These amounts for all facilities  covered shall total the face amount shown below.)) 
    Face Amount: $___ 
    Policy Number: __________ 
    Effective Date: __________ 
    The Insurer hereby certifies that it has issued to the  Insured the policy of insurance identified above to provide financial assurance  for (insert "closure," "post-closure care,"  "corrective action") for the facilities identified above. The Insurer  further warrants that such policy conforms in all respects with the requirements  of 9VAC20-70-190 of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities ("Regulations") (9VAC20-70-10  et seq.) (9VAC20-70), as such regulations were constituted on the  date shown immediately below. It is agreed that any provision of the policy  inconsistent with such regulations is hereby amended to eliminate such  inconsistency. 
    Whenever requested by the Director, the Insurer agrees to  furnish to the Director a duplicate original of the policy listed above,  including all endorsements thereon. 
    I hereby certify that the wording of this certificate is  identical to the wording specified in 9VAC20-70-290 E of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Authorized signature for Insurer) 
    (Name of person signing) 
    (Title of person signing) 
    Signature of witness or notary: 
    (Date) 
    F. Wording of letter from chief financial officer. 
    (NOTE: Instructions in  parentheses are to be replaced with the relevant information and the  parentheses removed.) 
    Director 
    Department of  Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia  23240-0009 
    Dear (Sir, Madam): 
    I am the chief financial officer of (name and address of  firm). This letter is in support of this firm's use of the financial test to  demonstrate financial assurance, as specified in 9VAC20-70-200 of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities (9VAC20-70-10 et seq.) (9VAC20-70)  ("Regulations"). 
    (Fill out the following four paragraphs regarding solid  waste, regulated medical waste, yard waste composting, hazardous waste,  underground injection (regulated under the federal program in 40 CFR Part 144,  or its equivalent in other states), petroleum underground storage (9VAC25-590-10  et seq.) (9VAC25-590), above ground storage facilities (9VAC25-640-10  et seq.) (9VAC25-640) and PCB storage (regulated under 40 CFR Part  761) facilities and associated cost estimates. If your firm has no facilities  that belong in a particular paragraph, write "None" in the space  indicated. For each facility, include its name, address, permit number, if any,  and current closure, post-closure care, corrective action or any other  environmental obligation cost estimates. Identify each cost estimate as to  whether it is for closure, post-closure care, corrective action or other  environmental obligation.) 
    1. This firm is the owner or operator of the following  facilities for which financial assurance is demonstrated through the corporate  test specified in 9VAC20-70-200 or its equivalent in other applicable  regulations. The current cost estimates covered by the test are shown for each  facility: 
    2. This firm guarantees, through the corporate guarantee  specified in 9VAC20-70-220, the financial assurance for the following  facilities owned or operated by subsidiaries of this firm. The current cost  estimates so guaranteed are shown for each facility: 
    3. This firm, as owner or operator or guarantor, is  demonstrating financial assurance for the following facilities through the use  of a financial test. The current cost estimates covered by such a test are  shown for each facility: 
    4. This firm is the owner or operator of the following waste  management facilities for which financial assurance is not demonstrated through  the financial test or any other financial assurance mechanism. The current cost  estimates for the facilities which are not covered by such financial assurance  are shown for each facility: 
    This firm (insert "is required" or "is not  required") to file a Form 10K with the Securities and Exchange Commission  (SEC) for the latest fiscal year. 
    The fiscal year of this firm ends on (month, day). The  figures for the following items marked with an asterisk are derived from this  firm's independently audited, year-end financial statements for the latest  completed fiscal year, ended (date). 
           |      1) Sum of current closure, post-closure care, corrective    action or other environmental obligations cost estimates (total of all cost    estimates shown in the four paragraphs above.)       |          $__________      |    
       |      2) Tangible net worth*       |          $__________      |    
       |      3) Total assets located in the United States*       |          $__________      |    
       |             |           YES      |          NO      |    
       |      Line 2 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
       |      Line 3 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
        |      |      |      |    
  
    (Fill in Alternative I if the criteria of 9VAC20-70-200 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-200 1 a (2)  are used. Fill in Alternative III if the criteria of 9VAC20-70-200 1 a (3) are  used.) 
    ALTERNATIVE I 
    Current bond rating of this firm's senior unsubordinated debt  and name of rating service 
    Date of issuance of bond 
    Date of maturity of bond 
           |      ALTERNATIVE II       |    
       |      4) Total liabilities* (if any portion of the closure,    post-closure care, corrective action or other environmental obligations cost    estimates is included in total liabilities, you may deduct the amount of that    portion from this line and add that amount to line 5.)       |          $___________      |    
       |      5) Net worth*       |          $___________      |    
       |      Is line 4 divided by line 5 less than 1.5?      |          YES      |          NO      |    
        |      |      |      |    
  
     
     
                    ALTERNATIVE III       |    
       |      6) Total liabilities*        |          $___________      |    
       |      7) The sum of net income plus depreciation, depletion, and    amortization minus $10 million*      |                 |          $___________      |    
       |      Is line 7 divided by line 6 less than 0.1?      |           YES      |          NO      |                 |    
        |      |      |      |    
  
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 F of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name) 
    (Title) 
    (Date) 
    G. Wording of the local government letter from chief  financial officer. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    LETTER FROM CHIEF FINANCIAL OFFICER 
    I am the chief financial officer of (insert: name and address  of local government owner or operator, or guarantor). This letter is in support  of the use of the financial test to demonstrate financial responsibility for  ("closure care" "post-closure care" "corrective action  costs") arising from operating a solid waste management facility. 
    The following facilities are assured by this financial test:  (List for each facility: the name and address of the facility, the permit  number, the closure, post-closure and/or corrective action costs, whichever  applicable, for each facility covered by this instrument). 
    This owner's or operator's financial statements were prepared  in conformity with Generally Accepted Accounting Principles for governments and  have been audited by ("an independent certified public accountant"  "Auditor of Public Accounts"). The owner or operator has not received  an adverse opinion or a disclaimer of opinion from ("an independent  certified public accountant" "Auditor of Public Accounts") on  its financial statements for the latest completed fiscal year. 
    This owner or operator is not currently in default on any  outstanding general obligation bond. Any outstanding issues of general  obligation, if rated, have a Moody's rating of Aaa, Aa, A, or Baa or a Standard  and Poor's rating of AAA, AA, A or BBB; if rated by both firms, the bonds have  a Moody's rating of Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA,  AA, A, or BBB. 
    The fiscal year of this owner or operator ends on (month,  day). The figures for the following items marked with the asterisk are derived  from this owner's or operator's independently audited, year-end financial  statements for the latest completed fiscal year ended (date). 
    (Please complete Alternative I or Alternative II.) 
    (Fill in Alternative I if the criteria in 9VAC20-70-210 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-210 1 a (2)  are used.) 
    ALTERNATIVE I—BOND RATING TEST 
    The details of the issue date, maturity, outstanding amount,  bond rating, and bond rating agency of all outstanding general obligation bond  issues that are being used by (name of local government owner or operator, or  guarantor) to demonstrate financial responsibility are as follows: (complete  table): 
           |      Issue Date      |          Maturity Date      |          Outstanding Amount      |          Bond Rating      |          Rating Agency      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
  
    Any outstanding issues of general obligation bonds, if rated,  have a Moody's rating of Aaa, Aa, A, or Baa or a Standard and Poor's rating of  AAA, AA, A or BBB; if rated by both firms, the bonds have a Moody's rating of  Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA, AA, A or BBB. 
           |      1) Sum of current closure,    post-closure and corrective action cost estimates (total of all cost    estimates listed above)      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |             |           YES      |          NO      |                 |    
       |      5) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |                 |    
       |      6) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |                 |    
       |      7) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |                 |    
       |      8) Is (line 1 + line 4e) <= (line 3a x 0.20)?      |          ____      |          ____      |                 |    
        |      |      |      |      |      |    
  
    If the answer to line 7 is yes and the answer to line 8 is  no, please attach documentation from the agent/trustee /issuing institution  stating the current balance of the account/fund /irrevocable letter of credit  as of the latest fiscal reporting year to this form as required by  9VAC20-70-210. 
    ALTERNATIVE II—FINANCIAL RATIO  TEST 
           |      1) Sum of current closure, post-closure and corrective    action cost estimates      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |      *5) Cash plus marketable securities      |          $_______________      |    
       |      *6) Total Expenditures      |          $_______________      |    
       |      *7) Annual Debt Service      |          $_______________      |    
       |             |          YES      |          NO      |    
       |      8) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |    
       |      9) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |    
       |      10) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |    
       |      11) Is (line 5 / line 6) >= 0.05?      |          ____      |          ____      |    
       |      12) Is (line 7 / line 6) <= 0.20?      |          ____      |          ____      |    
       |      13) Is (line 1 + line 4e) <= (line 3a x.20)      |          ____      |          ____      |    
  
    If the answer to line 13 is no, please attach documentation  from the agent/trustee/issuing institution stating the current balance of the  account/fund/irrevocable letter of credit as of the latest fiscal reporting  year to this form as required by 9VAC20-70-210. 
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 G of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    H. Certification of funding. 
    CERTIFICATION OF FUNDING 
    I certify the following information details the current plan  for funding closure and post closure at the solid waste management facilities  listed below. 
           |       Facility Permit #       |                 |          Source for funding closure and post closure       |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |      Name of Locality or Corporation:    _______________________________________      |    
       |             |                 |                 |                 |                 |    
       |      Signature      |                 |          Printed Name      |                 |          Date      |    
       |             |                 |                 |                 |                 |    
       |      Title      |                 |                 |                 |                 |    
        |      |      |      |      |      |      |      |    
  
    I. Certification of escrow/sinking fund /irrevocable letter  of credit balance. 
    CERTIFICATION OF ESCROW/SINKING FUND BALANCE OR AMOUNT OF  IRREVOCABLE LETTER OF CREDIT 
    I am the Chief Financial Officer of (name of locality) and  hereby certify that as of (date) the current balance in the restricted sinking  (type of fund) fund or the escrow account or the amount of the irrevocable  letter of credit restricted to landfill closure costs is $_____________ 
    The calculation used to determine the amount required to be  funded is as follows: 
    (Show the values that were used in the following formula: 
    (CE * CD) - E 
    Where CE is the current closure cost estimate, CD is the  percentage of landfill capacity used to date, and E is current year expenses  for closure.) 
    Therefore, this account has been funded or an irrevocable  letter of credit has been obtained in accordance with the Financial Assurance  Regulations for Solid Waste Disposal, Transfer and Treatment Facilities, 9VAC20-70-10  et seq 9VAC20-70. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    J. Wording of corporate guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    CORPORATE GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a business corporation organized under the laws of the state of (insert name of  state), herein referred to as guarantor. This guarantee is made on behalf of  the (owner or operator) of (business address), which is (one of the following:  "our subsidiary"; "a subsidiary of (name and address of common  parent corporation) of which guarantor is a subsidiary"; or "an  entity with which the guarantor has a substantial business relationship, as  defined in Part I of the Virginia Financial Assurance Regulations for Solid  Waste Disposal, Transfer, and Treatment Facilities (9VAC20-70-10 et seq.)  (9VAC20-70)") to the Virginia Department of Environmental Quality  ("Department"), obligee, on behalf of our subsidiary (owner or  operator) of (business address). 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-200 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-220 of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer, and Treatment Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care, corrective  action or other environmental obligations.) 
    3. "Closure plans", "post-closure care  plans" and "corrective action plans" as used below refer to the  plans maintained as required by the Solid Waste Management Regulations (9VAC20-80-10  et seq.), (9VAC20-81), or the Regulated Medical Waste Management  Regulations (9VAC20-120-10 et seq.), (9VAC20-120) or  Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.). 
    4. For value received from (owner or operator), guarantor guarantees  to the Department that in the event that (owner or operator) fails to perform  (insert "closure," "post-closure care," or "corrective  action") of the above facility(ies) in accordance with the closure or  post-closure care plans and other (requirements of the) permit or (the order)  whenever required to do so, the guarantor shall do so or establish a trust fund  as specified in 9VAC20-70-140 in the name of (owner or operator) in the amount  of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (Bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure, post-closure or corrective action plan, amendment or modification of  the permit, amendment or modification of the order, the extension or reduction  of the time of performance of closure, post-closure, or corrective action or  any other modification or alteration of an obligation of the owner or operator  pursuant to the (Virginia Solid or Regulated Medical Waste Management or  Vegetative Waste Management and Yard Waste Composting Regulations or § 10.1-1454.1 of the Code of Virginia) (Solid Waste Management Regulations  or Regulated Medical Waste Management Regulations or § 10.1-1454.1 of the  Code of Virginia). 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. (Insert the following language if the guarantor is (a) a  direct or higher-tier corporate parent, or (b) a firm whose parent corporation  is also the parent corporation of the owner or operator:) Guarantor may  terminate this guarantee by sending notice by certified mail to the Director of  the Department of Environmental Quality and to the (owner or operator),  provided that this guarantee may not be terminated unless and until (the owner  or operator) obtains and the director approves, alternate (closure,  post-closure, corrective action) coverage complying with the requirements of 9VAC20-70-10  et seq 9VAC20-70. (Insert the following language if the guarantor is  a firm qualifying as a guarantor due to its "substantial business  relationship" with the owner or operator:) Guarantor may terminate this  guarantee 120 days following the receipt of notification, through certified  mail, by the director and by (the owner or operator). 
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of the  Regulations, and obtain written approval of such assurance from the director  within 90 days after a notice of cancellation by the guarantor is received by  the director from guarantor, guarantor shall provide such alternate financial  assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording in 9VAC20-70-290 J of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    (Name of guarantor) 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    K. Wording of local government guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    LOCAL GOVERNMENT GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a local government created under the laws of the state of Virginia, herein  referred to as guarantor. This guarantee is made on behalf of the (owner or  operator) of (address), to the Virginia Department of Environmental Quality  ("Department"), obligee. 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-210 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-230 of the Financial Assurance Regulations  for Solid Waste Disposal, Treatment and Transfer Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care,  corrective action or other environmental obligations.) 
    3. "Closure plans" and "post-closure care  plans" as used below refer to the plans maintained as required by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.), or Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101-10 et seq.)  (9VAC20-81).
    4. For value received from (owner or operator), guarantor  guarantees to the Department that in the event that (owner or operator) fails  to perform (insert "closure," "post-closure care," or  "corrective action") of the above facility(ies) in accordance with  the closure or post-closure care plans and other (requirements of the) permit  or (the order) whenever required to do so, the guarantor shall do so or  establish a trust fund as specified in 9VAC20-70-150 in the name of (owner or  operator) in the amount of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations in  the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure or post-closure plan, amendment or modification of the closure or  post-closure plan, amendment or modification of the permit, amendment or  modification of the order, the extension or reduction of the time of performance  of the closure or post-closure, or any other modification or alteration of an  obligation of the owner or operator pursuant to the Virginia (Solid Waste  Management or Regulated Medical Waste Management) or Vegetative  Waste Management and Yard Waste Composting) Regulations. 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. Guarantor may terminate this guarantee by sending notice  by certified mail to the Director of the Department of Environmental Quality  and to the (owner or operator), provided that this guarantee may not be  terminated unless and until (the owner or operator) obtains and the director  approves, alternate (closure, post-closure, corrective action,) coverage  complying with the requirements of 9VAC20-70-10 et seq 9VAC20-70.  
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of  the Regulations, and obtain written approval of such assurance from the  director with 90 days after a notice of cancellation by the guarantor is  received by the director from guarantor, guarantor shall provide such alternate  financial assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording specified in 9VAC20-70-290 K of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Name of guarantor) __________ 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    Part I 
  Definitions 
    9VAC20-81-10. Definitions.
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at completion of  closure activities required by this chapter. 
    "Active portion" means that part of a facility or  unit that has received or is receiving wastes and that has not been closed in  accordance with this chapter. 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Airport" means, for the purpose of this chapter, a  military airfield or a public-use airport open to the public without prior  permission and without restrictions within the physical capacities of available  facilities.
    "Aquifer" means a geologic formation, group of  formations, or a portion of a formation capable of yielding significant  quantities of groundwater to wells or springs.
    "Ash" means the fly ash or bottom ash residual  waste material produced from incineration or burning of solid waste or from any  fuel combustion. 
    "Base flood" see "Hundred-year flood."
    "Bedrock" means the rock that underlies soil or  other unconsolidated, superficial material at a site. 
    "Benchmark" means a permanent monument constructed  of concrete and set in the ground surface below the frostline with identifying  information clearly affixed to it. Identifying information will include the  designation of the benchmark as well as the elevation and coordinates on the  local or Virginia state grid system. 
    "Beneficial use" means a use that is of benefit as  a substitute for natural or commercial products and does not contribute to  adverse effects on health or environment. 
    "Bioremediation" means remediation of contaminated  media by the manipulation of biological organisms to enhance the degradation of  contaminants. 
    "Bird hazard" means an increase in the likelihood  of bird/aircraft collisions that may cause damage to the aircraft or injury to  its occupants. 
    "Board" means the Virginia Waste Management Board. 
    "Bottom ash" means ash or slag that has been  discharged from the bottom of the combustion unit after combustion. 
    "Capacity" means the maximum permitted volume of  solid waste, inclusive of daily and intermediate cover, that can be disposed in  a landfill. This volume is measured in cubic yards.
    "Captive industrial landfill" means an industrial  landfill that is located on property owned or controlled by the generator of  the waste disposed of in that landfill.
    "Clean wood" means solid waste consisting of  untreated wood pieces and particles that do not contain paint, laminate,  bonding agents, or chemical preservatives or are otherwise unadulterated.
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of  this chapter. 
    "Closure" means that point in time when a permitted  landfill has been capped, certified as properly closed by a professional  engineer, inspected by the department, and closure notification is performed by  the department in accordance with 9VAC20-81-160 D. 
    "Coal combustion byproducts" or "CCB"  means residuals, including fly ash, bottom ash, boiler slag, and flue gas  emission control waste produced by burning coal. 
    "Combustion unit" means an incinerator, waste heat  recovery unit, or boiler. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants,  and shopping centers. 
    "Compliance schedule" means a time schedule for  measures to be employed on a solid waste management facility that will  ultimately upgrade it to conform to this chapter. 
    "Compost" means a stabilized organic product  produced by a controlled aerobic decomposition process in such a manner that  the product can be handled, stored, and/or applied to the land without  adversely affecting public health or the environment. 
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Conditionally exempt small quantity generator"  means a generator of hazardous waste who has been so defined in 40 CFR 261.5,  as amended. That section applies to the persons who generate in that calendar  month no more than 100 kilograms of hazardous waste or one kilogram of acutely  hazardous waste. 
    "Construction" means the initiation of permanent  physical change at a property with the intent of establishing a solid waste  management unit. This does not include land-clearing activities, excavation for  borrow purposes, activities intended for infrastructure purposes, or activities  necessary to obtain Part A siting approval (i.e., advancing of exploratory  borings, digging of test pits, groundwater monitoring well installation, etc.).
    "Construction/demolition/debris landfill" or  "CDD landfill" means a land burial facility engineered, constructed  and operated to contain and isolate construction waste, demolition waste,  debris waste, split tires, and white goods or combinations of the above solid  wastes. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes include,  but are not limited to lumber, wire, sheetrock, broken brick, shingles, glass,  pipes, concrete, paving materials, and metal and plastics if the metal or  plastics are a part of the materials of construction or empty containers for  such materials. Paints, coatings, solvents, asbestos, any liquid, compressed  gases or semi-liquids and garbage are not construction wastes. 
    "Contaminated soil" means, for the purposes of this  chapter, a soil that, as a result of a release or human usage, has absorbed or  adsorbed physical, chemical, or radiological substances at concentrations above  those consistent with nearby undisturbed soil or natural earth materials. 
    "Container" means any portable device in which a  material is stored, transported, treated, or otherwise handled and includes  transport vehicles that are containers themselves (e.g., tank trucks) and  containers placed on or in a transport vehicle. 
    "Containment structure" means a closed vessel such  as a tank or cylinder. 
    "Convenience center" means a collection point for  the temporary storage of solid waste provided for individual solid waste  generators who choose to transport solid waste generated on their own premises  to an established centralized point, rather than directly to a disposal  facility. To be classified as a convenience center, the collection point may  not receive waste from collection vehicles that have collected waste from more  than one real property owner. A convenience center shall be on a system of  regularly scheduled collections.
    "Cover material" means compactable soil or other  approved material that is used to blanket solid waste in a landfill.
    "Daily disposal limit" means the amount of solid  waste that is permitted to be disposed at the facility and shall be computed on  the amount of waste disposed during any operating day.
    "Debris waste" means wastes resulting from  land-clearing operations. Debris wastes include, but are not limited to stumps,  wood, brush, leaves, soil, and road spoils. 
    "Decomposed vegetative waste" means a stabilized organic  product produced from vegetative waste by a controlled natural decay process in  such a manner that the product can be handled, stored, or applied to the land  without adversely affecting public health or the environment.
    "Demolition waste" means that solid waste that is  produced by the destruction of structures and their foundations and includes  the same materials as construction wastes. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. For purposes of submissions to the director as specified  in the Waste Management Act, submissions may be made to the department. 
    "Discard" means to abandon, dispose of, burn,  incinerate, accumulate, store, or treat before or instead of being abandoned,  disposed of, burned, or incinerated. 
    "Discarded material" means a material that is: 
    1. Abandoned by being: 
    a. Disposed of; 
    b. Burned or incinerated; or 
    c. Accumulated, stored, or treated (but not used, reused, or  reclaimed) before or in lieu of being abandoned by being disposed of, burned,  or incinerated; or
    2. Recycled used, reused, or reclaimed material as defined in  this part.
    "Disclosure statement" means a sworn statement or  affirmation as required by § 10.1-1400 of the Code of Virginia. (see DEQ  Form DISC-01 and 02 (Disclosure Statement)).
    "Displacement" means the relative movement of any  two sides of a fault measured in any direction. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Disposal unit boundary" or "DUB" means  the vertical plane located at the edge of the waste disposal unit. This  vertical plane extends down into the uppermost aquifer. The DUB must be  positioned within or coincident to the waste management boundary.
    "EPA" means the United States Environmental  Protection Agency. 
    "Exempt management facility" means a site used for  activities that are conditionally exempt from management as a solid waste under  this chapter. The facility remains exempt from solid waste management  requirements provided it complies with the applicable conditions set forth in  Parts II (9VAC20-81-20 et seq.) and IV (9VAC20-81-300 et seq.) of this chapter.
    "Expansion" means a horizontal expansion of the  waste management boundary as identified in the Part A application. If a  facility's permit was issued prior to the establishment of the Part A process,  an expansion is a horizontal expansion of the disposal unit boundary. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Facility boundary" means the boundary of the solid  waste management facility. For landfills, this boundary encompasses the waste  management boundary and all ancillary activities including, but not limited to  scales, groundwater monitoring wells, gas monitoring probes, and maintenance  facilities as identified in the facility's permit application. For facilities  with a permit-by-rule (PBR) the facility boundary is the boundary of the  property where the permit-by-rule activity occurs. For unpermitted solid waste  management facilities, the facility boundary is the boundary of the property  line where the solid waste is located.
    "Facility structure" means any building, shed, or  utility or drainage line on the facility. 
    "Fault" means a fracture or a zone of fractures in  any material along which strata on one side have been displaced with respect to  that on the other side. 
    "Floodplain" means the lowland and relatively flat  areas adjoining inland and coastal waters, including low-lying areas of  offshore islands where flooding occurs. 
    "Fly ash" means ash particulate collected from air  pollution attenuation devices on combustion units. 
    "Food-chain crops" means crops grown for human  consumption, tobacco, and crops grown for pasture and forage or feed for  animals whose products are consumed by humans. 
    "Fossil fuel combustion products" means coal  combustion byproducts as defined in this regulation, coal combustion byproducts  generated at facilities with fluidized bed combustion technology, petroleum  coke combustion byproducts, byproducts from the combustion of oil, byproducts  from the combustion of natural gas, and byproducts from the combustion of  mixtures of coal and "other fuels" (i.e., co-burning of coal with  "other fuels" where coal is at least 50% of the total fuel). For  purposes of this definition, "other fuels" means waste-derived fuel  product, auto shredder fluff, wood wastes, coal mill rejects, peat, tall oil,  tire-derived fuel, deionizer resins, and used oil. 
    "Free liquids" means liquids that readily separate  from the solid portion of a waste under ambient temperature and pressure as  determined by the Paint Filter Liquids Test, Method 9095, U.S. Environmental  Protection Agency, Publication SW-846. 
    "Garbage" means readily putrescible discarded  materials composed of animal, vegetable or other organic matter. 
    "Gas condensate" means the liquid generated as a  result of gas control or recovery processes at the solid waste management  facility. 
    "Governmental unit" means any department,  institution, or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.
    "Ground rubber" means material processed from waste  tires that is no larger than 1/4 inch in any dimension. This includes crumb  rubber that is measured in mesh sizes. 
    "Groundwater" means water below the land surface in  a zone of saturation. 
    "Hazardous constituent" means a constituent of  solid waste found listed in Appendix VIII of 9VAC20-60-261.
    "Hazardous waste" means a "hazardous  waste" as described by the Virginia Hazardous Waste Management Regulations  (9VAC20-60).
    "Holocene" means the most recent epoch of the  Quaternary period, extending from the end of the Pleistocene Epoch to the  present. 
    "Home use" means the use of compost for growing  plants that is produced and used on a privately owned residential site. 
    "Host agreement" means any lease, contract,  agreement, or land use permit entered into or issued by the locality in which  the landfill is situated that includes terms or conditions governing the  operation of the landfill. 
    "Household hazardous waste" means any waste  material derived from households (including single and multiple residences,  hotels, motels, bunkhouses, ranger stations, crew quarters, campgrounds, picnic  grounds, and day-use recreation areas) which, except for the fact that it is  derived from a household, would otherwise be classified as a hazardous waste in  accordance with 9VAC20-60.
    "Household waste" means any waste material,  including garbage, trash, and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds, and day-use recreation  areas. Household wastes do not include sanitary waste in septic tanks (septage)  that is regulated by other state agencies. 
    "Hundred-year flood" means a flood that has a 1.0%  or greater chance of recurring in any given year or a flood of magnitude  equaled or exceeded on the average only once in a hundred years on the average  over a significantly long period. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Incinerator" means a facility or device designed  for the treatment of solid waste by combustion. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts; inorganic  chemicals; iron and steel manufacturing; leather and leather products;  nonferrous metals manufacturing/foundries; organic chemicals; plastics and  resins manufacturing; pulp and paper industry; rubber and miscellaneous plastic  products; stone, glass, clay, and concrete products; textile manufacturing;  transportation equipment; and water treatment. This term does not include  mining waste or oil and gas waste. 
    "Industrial waste landfill" means a solid waste  landfill used primarily for the disposal of a specific industrial waste or a  waste that is a byproduct of a production process. 
    "Injection well" means, for the purposes of this  chapter, a well or bore hole into which fluids are injected into selected  geological horizons. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Interim cover systems" means temporary cover  systems applied to a landfill area when landfilling operations will be  temporarily suspended for an extended period (typically, longer than one year).  At the conclusion of the interim period, the interim cover system may be  removed and landfilling operations resume or final cover is installed.
    "Karst topography" means areas where karst terrane,  with its characteristic surface and subterranean features, is developed as the  result of dissolution of limestone, dolomite, or other soluble rock.  Characteristic physiographic features present in karst terranes include, but  are not limited to, sinkholes, sinking streams, caves, large springs, and blind  valleys. 
    "Key personnel" means the applicant itself and any  person employed by the applicant in a managerial capacity, or empowered to make  discretionary decisions, with respect to the solid waste or hazardous waste  operations of the applicant in Virginia, but shall not include employees  exclusively engaged in the physical or mechanical collection, transportation,  treatment, storage, or disposal of solid or hazardous waste and such other  employees as the director may designate by regulation. If the applicant has not  previously conducted solid waste or hazardous waste operations in Virginia, the  term also includes any officer, director, partner of the applicant, or any  holder of 5.0% or more of the equity or debt of the applicant. If any holder of  5.0% or more of the equity or debt of the applicant or of any key personnel is  not a natural person, the term includes all key personnel of that entity,  provided that where such entity is a chartered lending institution or a  reporting company under the Federal Security and Exchange Act of 1934, the term  does not include key personnel of such entity. Provided further that the term  means the chief executive officer of any agency of the United States or of any  agency or political subdivision of the Commonwealth, and all key personnel of  any person, other than a natural person, that operates a landfill or other  facility for the disposal, treatment, or storage of nonhazardous solid waste  under contract with or for one of those governmental entities. 
    "Lagoon" means a body of water or surface  impoundment designed to manage or treat waste water. 
    "Land-clearing activities" means the removal of  flora from a parcel of land.
    "Land-clearing debris" means vegetative waste  resulting from land-clearing activities. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill. 
    "Landfill gas" means gas generated as a byproduct  of the decomposition of organic materials in a landfill. Landfill gas consists  primarily of methane and carbon dioxide. 
    "Landfill mining" means the process of excavating  solid waste from an existing landfill. 
    "Leachate" means a liquid that has passed through  or emerged from solid waste and contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation to disposal in an off-site facility is regulated as septage,  leachate discharged into a waste water collection system is regulated as  industrial waste water and leachate that has contaminated groundwater is  regulated as contaminated groundwater. 
    "Lead acid battery" means, for the purposes of this  chapter, any wet cell battery. 
    "Lift" means the daily landfill layer of compacted  solid waste plus the cover material. 
    "Liquid waste" means any waste material that is  determined to contain "free liquids" as defined by this chapter. 
    "Lithified earth material" means all rock,  including all naturally occurring and naturally formed aggregates or masses of  minerals or small particles of older rock, that formed by crystallization of  magma or by induration of loose sediments. This term does not include manmade  materials, such as fill, concrete, and asphalt, or unconsolidated earth  materials, soil, or regolith lying at or near the earth's surface. 
    "Litter" means, for purposes of this chapter, any  solid waste that is discarded or scattered about a solid waste management  facility outside the immediate working area. 
    "Lower explosive limit" means the lowest  concentration by volume of a mixture of explosive gases in air that will  propagate a flame at 25°C and at atmospheric pressure. 
    "Materials recovery facility" means a solid waste  management facility for the collection, processing, and recovery of material  such as metals from solid waste or for the production of a fuel from solid  waste. This does not include the production of a waste-derived fuel product. 
    "Maximum horizontal acceleration in lithified earth  material" means the maximum expected horizontal acceleration depicted on a  seismic hazard map, with a 90% or greater probability that the acceleration  will not be exceeded in 250 years, or the maximum expected horizontal  acceleration based on a site-specific seismic risk assessment. 
    "Monitoring" means all methods, procedures, and  techniques used to systematically analyze, inspect, and collect data on  operational parameters of the facility or on the quality of air, groundwater,  surface water, and soils. 
    "Monitoring well" means a well point below the  ground surface for the purpose of obtaining periodic water samples from  groundwater for quantitative and qualitative analysis. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses except composting as defined and regulated under this  chapter. 
    "Municipal solid waste" means that waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from combustion of these wastes. 
    "New solid waste management facility" means a  facility or a portion of a facility that was not included in a previous  determination of site suitability (Part A approval). 
    "Nuisance" means an activity that unreasonably  interferes with an individual's or the public's comfort, convenience or  enjoyment such that it interferes with the rights of others by causing damage,  annoyance, or inconvenience. 
    "Offsite" means any site that does not meet the  definition of onsite as defined in this part. 
    "Onsite" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same  person, but connected by a right-of-way that he controls and to which the  public does not have access, are also considered onsite property. 
    "Open burning" means the combustion of solid waste  without:
    1. Control of combustion air to maintain adequate temperature  for efficient combustion;
    2. Containment of the combustion reaction in an enclosed  device to provide sufficient residence time and mixing for complete combustion;  and
    3. Control of the combustion products' emission. 
    "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.
    "Operating record" means records required to be  maintained in accordance with the facility permit or this part (see  9VAC20-81-530). 
    "Operation" means all waste management activities  at a solid waste management facility beginning with the initial receipt of  solid waste for treatment, storage, disposal, or transfer and ceasing with the  initiation of final closure activities at the solid waste management facility  subsequent to the final receipt of waste.
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means the person who owns a solid waste  management facility or part of a solid waste management facility.
    "PCB" means any chemical substance that is limited  to the biphenyl molecule that has been chlorinated to varying degrees or any  combination of substances that contain such substance (see 40 CFR 761.3, as  amended).
    "Perennial stream" means a well-defined channel  that contains water year round during a year of normal rainfall. Generally, the  water table is located above the streambed for most of the year and groundwater  is the primary source for stream flow. A perennial stream exhibits the typical  biological, hydrological, and physical characteristics commonly associated with  the continuous conveyance of water.
    "Permit" means the written permission of the  director to own, operate, or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation, or any  other legal entity. 
    "Point source" means any discernible, confined, and  discrete conveyance, including but not limited to any pipe, ditch, channel,  tunnel, conduit, well, discrete fissure, container, rolling stock, vessel, or  other floating craft, from which pollutants are or may be discharged. Return  flows from irrigated agriculture are not included. 
    "Pollutant" means any substance that causes or  contributes to, or may cause or contribute to, environmental degradation when  discharged into the environment. 
    "Poor foundation conditions" means those areas  where features exist that indicate that a natural or man-induced event may  result in inadequate foundation support for the structural components of a  solid waste management facility. 
    "Postclosure" means the requirements placed upon  solid waste disposal facilities after closure to ensure environmental and  public health safety for a specified number of years after closure. 
    "Process rate" means the maximum rate of waste  acceptance that a solid waste management facility can process for a  treatment and/or storage. This rate is limited by the capabilities of  equipment, personnel, and infrastructure. 
    "Processing" means preparation, treatment, or  conversion of waste by a series of actions, changes, or functions that bring  about a desired end result. 
    "Professional engineer" means an engineer licensed  to practice engineering in the Commonwealth as defined by the rules and  regulations set forth by the Board of Architects, Professional Engineers, Land  Surveyors, and Landscape Architects (18VAC10-20).
    "Professional geologist" means a geologist licensed  to practice geology in the Commonwealth as defined by the rules and regulations  set forth by the Board for Geology (18VAC70-20).
    "Progressive cover" means cover material placed  over the working face of a solid waste disposal facility advancing over the  deposited waste as new wastes are added keeping the exposed area to a minimum. 
    "Putrescible waste" means solid waste that contains  organic material capable of being decomposed by micro-organisms and cause  odors. 
    "Qualified groundwater scientist" means a scientist  or engineer who has received a baccalaureate or postgraduate degree in the  natural sciences or engineering and has sufficient training and experience in  groundwater hydrology and related fields as may be demonstrated by professional  certifications, or completion of accredited university programs that enable  that individual to make sound professional judgments regarding groundwater  monitoring, contaminant fate and transport, and corrective action. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act of 1976 (42 USC  § 6901 et seq.), the Hazardous and Solid Waste Amendments of 1984, and any  other applicable amendments to these laws. 
    "Reclaimed material" means a material that is  processed or reprocessed to recover a usable product or is regenerated to a  usable form. 
    "Refuse" means all solid waste products having the  character of solids rather than liquids and that are composed wholly or  partially of materials such as garbage, trash, rubbish, litter, residues from  clean up of spills or contamination, or other discarded materials. 
    "Refuse-derived fuel (RDF)" means a type of  municipal solid waste produced by processing municipal solid waste through  shredding and size classification. This includes all classes of refuse-derived  fuel including low-density fluff refuse-derived fuel through densified  refuse-derived fuel and pelletized refuse-derived fuel.
    "Regulated hazardous waste" means a solid waste  that is a hazardous waste, as defined in the Virginia Hazardous Waste  Management Regulations (9VAC20-60), that is not excluded from those regulations  as a hazardous waste. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Release" means, for the purpose of this chapter,  any spilling, leaking, pumping, pouring, emitting, emptying, discharging,  injection, escaping, leaching, dumping, or disposing into the environment solid  wastes or hazardous constituents of solid wastes (including the abandonment or  discarding of barrels, containers, and other closed receptacles containing  solid waste). This definition does not include any release that results in  exposure to persons solely within a workplace; release of source, byproduct, or  special nuclear material from a nuclear incident, as those terms are defined in  the Atomic Energy Act of 1954 (68 Stat. 923); and the normal application of  fertilizer. For the purpose of this chapter, release also means substantial  threat of release. 
    "Remediation waste" means all solid waste,  including all media (groundwater, surface water, soils, and sediments) and  debris, that are managed for the purpose of remediating a site in accordance  with 9VAC20-81-45 or Part III (9VAC20-81-100 et seq.) of this chapter or under  the Voluntary Remediation Regulations (9VAC20-160) or other regulated  remediation program under DEQ oversight. For a given facility, remediation  wastes may originate only from within the boundary of that facility, and may  include wastes managed as a result of remediation beyond the boundary of the  facility. Hazardous wastes as defined in 9VAC20-60, as well as "new"  or "as generated" wastes, are excluded from this definition. 
    "Remediation waste management unit" or  "RWMU" means an area within a facility that is designated by the  director for the purpose of implementing remedial activities required under  this chapter or otherwise approved by the director. An RWMU shall only be used  for the management of remediation wastes pursuant to implementing such remedial  activities at the facility. 
    "Responsible official" means one of the following:
    1. For a business entity, such as a corporation, association,  limited liability company, or cooperative: a duly authorized representative of  such business entity if the representative is responsible for the overall  operation of one or more operating facilities applying for or subject to a  permit. The authority to sign documents must be assigned or delegated to such  representative in accordance with procedures of the business entity;
    2. For a partnership or sole proprietorship: a general partner  or the proprietor, respectively; or
    3. For a municipality, state, federal, or other public agency:  a duly authorized representative of the locality if the representative is responsible  for the overall operation of one or more operating facilities applying for or  subject to a permit. The authority to sign documents must be assigned or  delegated to such representative in accordance with procedures of the locality.
    "Rubbish" means combustible or slowly putrescible  discarded materials that include but are not limited to trees, wood, leaves,  trimmings from shrubs or trees, printed matter, plastic and paper products,  grass, rags and other combustible or slowly putrescible materials not included  under the term "garbage." 
    "Runoff" means any rainwater, leachate, or other  liquid that drains over land from any part of a solid waste management  facility. 
    "Run-on" means any rainwater, wastewater, leachate,  or other liquid that drains over land onto any part of the solid waste  management facility. 
    "Salvage" means the authorized, controlled removal  of waste materials from a solid waste management facility. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste that is so located, designed,  constructed, and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Saturated zone" means that part of the earth's crust  in which all voids are filled with water. 
    "Scavenging" means the unauthorized or uncontrolled  removal of waste materials from a solid waste management facility. 
    "Scrap metal" means metal parts such as bars, rods,  wire, empty containers, or metal pieces that are discarded material and can be  used, reused, or reclaimed. 
    "Secondary containment" means an enclosure into  which a container or tank is placed for the purpose of preventing discharge of  wastes to the environment. 
    "Seismic impact zone" means an area with a 10% or  greater probability that the maximum horizontal acceleration in lithified earth  material, expressed as a percentage of the earth's gravitational pull (g), will  exceed 0.10g in 250 years. 
    "Semiannual" means an interval corresponding to  approximately 180 days. For the purposes of scheduling monitoring activities,  sampling within 30 days of the 180-day interval will be considered semiannual. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Sludge" means any solid, semi-solid or liquid  waste generated from a municipal, commercial or industrial wastewater treatment  plant, water supply treatment plant, or air pollution control facility  exclusive of treated effluent from a wastewater treatment plant. 
    "Small landfill" means a landfill that disposed of  100 tons/day or less of solid waste during a representative period prior to  October 9, 1993, and did not dispose of more than an average of 100 tons/day of  solid waste each month between October 9, 1993, and April 9, 1994. 
    "Solid waste" means any of those materials defined  as "solid waste" in 9VAC20-81-95. 
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility" or  "SWMF" means a site used for planned treating, storing, or disposing  of solid waste. A facility may consist of several treatment, storage, or  disposal units. 
    "Special wastes" means solid wastes that are  difficult to handle, require special precautions because of hazardous  properties, or the nature of the waste creates waste management problems in  normal operations. (See Part VI (9VAC20-81-610 et seq.) of this chapter.) 
    "Speculatively accumulated material" means any  material that is accumulated before being used, reused, or reclaimed or in  anticipation of potential use, reuse, or reclamation. Materials are not being  accumulated speculatively when they can be used, reused, or reclaimed, have a  feasible means of use, reuse, or reclamation available and 75% of the materials  accumulated are being removed from the facility annually. 
    "State waters" means all water, on the surface and  under the ground, wholly or partially within, or bordering the Commonwealth, or  within its jurisdiction. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Structural fill" means an engineered fill with a  projected beneficial end use, constructed using soil or fossil fuel combustion  products spread and compacted with proper equipment and covered with a  vegetated soil cap. 
    "Sudden event" means a one-time, single event such  as a sudden collapse or a sudden, quick release of contaminants to the  environment. An example would be the sudden loss of leachate from an impoundment  into a surface stream caused by failure of a containment structure. 
    "Surface impoundment or impoundment" means a  facility or part of a facility that is a natural topographic depression,  manmade excavation, or diked area formed primarily of earthen materials  (although it may be lined with manmade materials), that is designed to hold an  accumulation of liquid wastes or wastes containing free liquids and that is not  an injection well. 
    "Surface waters" means all state waters that are  not groundwater as defined in § 62.1-255 of the Code of Virginia.
    "SW-846" means Test Methods for Evaluating Solid  Waste, Physical/Chemical Methods, EPA Publication SW-846, Second Edition, 1982  as amended by Update I (April, 1984), and Update II (April, 1985) and the third  edition, November, 1986, as amended. 
    "Tank" means a stationary device, designed to  contain an accumulation of liquid or semi-liquid components of solid waste that  is constructed primarily of nonearthen materials that provide structural  support. 
    "TEF" or "Toxicity Equivalency Factor"  means a factor developed to account for different toxicities of structural  isomers of polychlorinated dibenzodioxins and dibenzofurans and to relate them  to the toxicity of 2,3,7,8-tetrachloro dibenzo-p-dioxin. 
    "Terminal" means the location of transportation  facilities such as classification yards, docks, airports, management offices,  storage sheds, and freight or passenger stations, where solid waste that is  being transported may be loaded, unloaded, transferred, or temporarily stored. 
    "Thermal treatment" means the treatment of solid  waste in a device that uses elevated temperature as the primary means to change  the chemical, physical, or biological character, or composition of the solid  waste. 
    "Tire chip" means a material processed from waste  tires that is a nominal two square inches in size, and ranges from 1/4 inch to  four inches in any dimension. Tire chips contain no wire protruding more than  1/4 inch. 
    "Tire shred" means a material processed from waste  tires that is a nominal 40 square inches in size, and ranges from 4 inches to  10 inches in any dimension. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration, or resource recovery. 
    "Trash" means combustible and noncombustible  discarded materials and is used interchangeably with the term rubbish. 
    "Treatment" means, for the purpose of this chapter,  any method, technique, or process, including but not limited to incineration,  designed to change the physical, chemical, or biological character or  composition of any waste to render it more stable, safer for transport, or more  amenable to use, reuse, reclamation, recovery, or disposal. 
    "Underground source of drinking water" means an  aquifer or its portion:
    1. Which contains water suitable for human consumption; or
    2. In which the groundwater contains less than 10,000 mg/liter  total dissolved solids. 
    "Unit" means a discrete area of land used for the  disposal of solid waste. 
    "Unstable area" means a location that is  susceptible to natural or human-induced events or forces capable of impairing  the integrity of some or all of the landfill structural components responsible  for preventing releases from a landfill. Unstable areas can include poor  foundation conditions, areas susceptible to mass movements, and karst terranes.  
    "Uppermost aquifer" means the geologic formation  nearest the natural ground surface that is an aquifer, as well as, lower  aquifers that are hydraulically interconnected with this aquifer within the  facility boundary. 
    "Used or reused material" means a material that is  either: 
    1. Employed as an ingredient (including use as an  intermediate) in a process to make a product, excepting those materials  possessing distinct components that are recovered as separate end products; or 
    2. Employed in a particular function or application as an  effective substitute for a commercial product or natural resources. 
    "Vector" means a living animal, insect, or other  arthropod that transmits an infectious disease from one organism to another. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, woody wastes such as shrub and tree  prunings, bark, limbs, roots, and stumps. 
    "Vermicomposting" means the controlled and managed  process by which live worms convert organic residues into fertile excrement.
    "Vertical design capacity" means the maximum design  elevation specified in the facility's permit or if none is specified in the  permit, the maximum elevation based on a 3:1 slope from the waste disposal unit  boundary. 
    "VPDES" (Virginia Pollutant Discharge Elimination  System) means the Virginia system for the issuance of permits pursuant to the  Permit Regulation (9VAC25-31), the State Water Control Law (§ 62.1-44.2 et  seq. of the Code of Virginia), and § 402 of the Clean Water Act (33 USC  § 1251 et seq.). 
    "Washout" means carrying away of solid waste by  waters of the base flood. 
    "Waste-derived fuel product" means a solid waste or  combination of solid wastes that have been treated (altered physically,  chemically, or biologically) to produce a fuel product with a minimum heating  value of 5,000 BTU/lb. Solid wastes used to produce a waste-derived fuel  product must have a heating value, or act as binders, and may not be added to  the fuel for the purpose of disposal. Waste ingredients may not be listed or  characteristic hazardous wastes. The fuel product must be stable at ambient  temperature, and not degraded by exposure to the elements. This material may  not be "refuse derived fuel (RDF)" as defined in 9VAC5-40-890. 
    "Waste management boundary" means the vertical  plane located at the boundary line of the area approved in the Part A  application for the disposal of solid waste and storage of leachate. This  vertical plane extends down into the uppermost aquifer and is within the  facility boundary.
    "Waste pile" means any noncontainerized  accumulation of nonflowing, solid waste that is used for treatment or storage. 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. (See 9VAC20-150 for other definitions dealing with the  waste tire program.) 
    "Wastewaters" means, for the purpose of this  chapter, wastes that contain less than 1.0% by weight total organic carbon  (TOC) and less than 1.0% by weight total suspended solids (TSS). 
    "Water pollution" means such alteration of the  physical, chemical, or biological properties of any state water as will or is  likely to create a nuisance or render such waters: 
    1. Harmful or detrimental or injurious to the public health,  safety, or welfare, or to the health of animals, fish, or aquatic life or  plants; 
    2. Unsuitable, with reasonable treatment, for use as present  or possible future sources of public water supply; or
    3. Unsuitable for recreational, commercial, industrial, agricultural,  or other reasonable uses, provided that:
    a. An alteration of the physical, chemical, or biological  properties of state waters or a discharge or deposit of sewage, industrial  wastes, or other wastes to state waters by any owner that by itself is not  sufficient to cause pollution but which in combination with such alteration or  discharge or deposit to state waters by other persons is sufficient to cause  pollution;
    b. The discharge of untreated sewage by any person into state  waters; and 
    c. The contribution to the degradation of water quality  standards duly established by the State Water Control Board, are  "pollution" for the terms and purposes of this chapter. 
    "Water table" means the upper surface of the zone  of saturation in groundwaters in which the hydrostatic pressure is equal to the  atmospheric pressure. 
    "Waters of the United States" or "waters of  the U.S." means:
    1. All waters that are currently used, were used in the past,  or may be susceptible to use in interstate or foreign commerce, including all  waters that are subject to the ebb and flow of the tide;
    2. All interstate waters, including interstate  "wetlands";
    3. All other waters such as intrastate lakes, rivers, streams  (including intermittent streams), mud flats, sand flats, "wetlands,"  sloughs, prairie potholes, wet meadows, playa lakes, or natural ponds the use,  degradation, or destruction of which would affect or could affect interstate or  foreign commerce including:
    a. Any such waters that are or could be used by interstate or  foreign travelers for recreational or other purposes;
    b. Any such waters from which fish or shellfish are or could  be taken and sold in interstate or foreign commerce;
    c. Any such waters that are used or could be used for  industrial purposes by industries in interstate commerce;
    d. All impoundments of waters otherwise defined as waters of  the United States under this definition; 
    e. Tributaries of waters identified in subdivisions 3 a  through d of this definition;
    f. The territorial sea; and 
    g. Wetlands adjacent to waters (other than waters that are  themselves wetlands) identified in subdivisions 3 a through f of this  definition. 
    "Wetlands" means those areas that are defined by  the federal regulations under 33 CFR Part 328, as amended. 
    "White goods" means any stoves, washers, hot water  heaters, and other large appliances. 
    "Working face" means that area within a landfill  that is actively receiving solid waste for compaction and cover. 
    "Yard waste" means a subset of vegetative waste and  means decomposable waste materials generated by yard and lawn care and includes  leaves, grass trimmings, brush, wood chips, and shrub and tree trimmings. Yard  waste shall not include roots or stumps that exceed 12 inches in diameter. 
    9VAC20-81-35. Applicability of chapter.
    A. This chapter applies to all persons who treat, store,  dispose, or otherwise manage solid wastes as defined in Part III  (9VAC20-81-100 et seq.) of this chapter 9VAC20-81-95. 
    B. All facilities that were permitted prior to March 15,  1993, and upon which solid waste has been disposed of prior to October 9, 1993,  may continue to receive solid waste until they have reached their vertical  design capacity or until the closure date established pursuant to § 10.1-1413.2  of the Code of Virginia, in Table 2.1 provided: 
    1. The facility is in compliance with the requirements for  liners and leachate control in effect at the time of permit issuance. 
    2. On or before October 9, 1993, the owner or operator of the  solid waste management facility submitted to the director: 
    a. An acknowledgment that the owner or operator is familiar  with state and federal law and regulations pertaining to solid waste management  facilities operating after October 9, 1993, including postclosure care,  corrective action, and financial responsibility requirements; 
    b. A statement signed by a professional engineer that he has  reviewed the regulations established by the department for solid waste  management facilities, including the open dump criteria contained therein, that  he has inspected the facility and examined the monitoring data compiled for the  facility in accordance with applicable regulations and that, on the basis of  his inspection and review, he has concluded: 
    (1) That the facility is not an open dump; 
    (2) That the facility does not pose a substantial present or  potential hazard to human health and the environment; and 
    (3) That the leachate or residues from the facility do not  pose a threat of contamination or pollution of the air, surface water, or  groundwater in a manner constituting an open dump or resulting in a substantial  present or potential hazard to human health or the environment; and 
    c. A statement signed by the owner or operator: 
    (1) That the facility complies with applicable financial  assurance regulations; and 
    (2) Estimating when the facility will reach its vertical  design capacity. 
    3. Enlargement or closure of these facilities shall conform  with the following subconditions:
    a. The facility may not be enlarged prematurely to avoid  compliance with this chapter when such enlargement is not consistent with past  operating practices, the permit, or modified operating practices to ensure good  management.
    b. The facility shall not dispose of solid waste in any  portion of a landfill disposal area that has received final cover or has not  received waste for a period of one year, in accordance with 9VAC20-81-160 C.  The facility shall notify the department, in writing, within 30 days, when an  area has received final cover or has not received waste for a one-year period,  in accordance with 9VAC20-81-160 C. However, a facility may apply for a permit,  and if approved, can construct and operate a new cell that overlays  ("piggybacks") over a closed area in accordance with the permit  requirements of this chapter.
    c. The facilities subject to the restrictions in this  subsection are listed in Table 2.1. The closure dates were established in:  Final Prioritization and Closure Schedule for HB 1205 Disposal Areas (DEQ,  September 2001). The publication of these tables is for the convenience of the  regulated community and does not change established dates. Any facility,  including, but not limited to those listed in Table 2.1, must cease operation  if that facility meets any of the open dump criteria listed in 9VAC20-81-45 A  1.
    d. Those facilities assigned a closure date in accordance with  § 10.1-1413.2 of the Code of Virginia shall designate on a map, plat, diagram,  or other engineered drawing, areas in which waste will be disposed of in  accordance with Table 2.1 until the latest cessation of waste acceptance date  as listed in Table 2.1 is achieved. This map or plat shall be placed in the  operating record and a copy shall be submitted upon request to the department  in order to track the progress of closure of these facilities. If the facility  already has provided this information under 9VAC20-81-160, then the facility  may refer to that information.
           |      TABLE 2.1      Final Prioritization and Closure Schedule For House Bill (HB) 1205 Disposal    Areas       |    
       |      Solid Waste Permit Number and    Site Name      |          Location      |          Department Regional Office1      |          Latest Cessation of Waste    Acceptance Date2      |    
       |      429 - Fluvanna County Sanitary    Landfill      |          Fluvanna County      |          VRO      |          12/31/2007      |    
       |      92 - Halifax County Sanitary    Landfill3      |          Halifax County      |          BRRO      |          12/31/2007      |    
       |      49 - Martinsville Landfill      |          City of Martinsville      |          BRRO      |          12/31/2007      |    
       |      14 - Mecklenburg County    Landfill      |          Mecklenburg County      |          BRRO      |          12/31/2007      |    
       |      228 - Petersburg City Landfill3      |          City of Petersburg      |          PRO      |          12/31/2007      |    
       |      31 - South Boston Sanitary    Landfill      |          Town of South Boston      |          BRRO      |          12/31/2007      |    
       |      204 - Waynesboro City Landfill      |          City of Waynesboro      |          VRO      |          12/31/2007      |    
       |      91 - Accomack County Landfill    – Bobtown South      |          Accomack County      |          TRO      |          12/31/2012      |    
       |      580 – Bethel Landfill3       |          City of Hampton      |          TRO      |          12/31/2012      |    
       |      182 - Caroline County Landfill      |          Caroline County      |          NVRO      |          12/31/2012      |    
       |      149 - Fauquier County Landfill      |          Fauquier County      |          NVRO      |          12/31/2012      |    
       |      405 - Greensville County    Landfill      |          Greensville County      |          PRO      |          12/31/2012      |    
       |      29 - Independent Hill Landfill3      |          Prince William County      |          NVRO      |          12/31/2012      |    
       |      1 - Loudoun County Sanitary    Landfill      |          Loudoun County      |          NVRO      |          12/31/2012      |    
       |      194 - Louisa County Sanitary    Landfill      |          Louisa County      |          NVRO      |          12/31/2012      |    
       |      227 - Lunenburg County    Sanitary Landfill      |          Lunenburg County      |          BRRO      |          12/31/2012      |    
       |      507 - Northampton County    Landfill      |          Northampton County      |          TRO      |          12/31/2012      |    
       |      90 - Orange County Landfill      |          Orange County      |          NVRO      |          12/31/2012      |    
       |      75 - Rockbridge County    Sanitary Landfill      |          Rockbridge County      |          VRO      |          12/31/2012      |    
       |      23 - Scott County Landfill      |          Scott County      |          SWRO      |          12/31/2012      |    
       |      587 - Shoosmith Sanitary    Landfill3      |          Chesterfield County      |          PRO      |          12/31/2012      |    
       |      417 - Southeastern Public    Service Authority Landfill3       |          City of Suffolk      |          TRO      |          12/31/2012      |    
       |      461 - Accomack County Landfill    #2      |          Accomack County      |          TRO      |          12/31/2020      |    
       |      86    - Appomattox County Sanitary Landfill      |          Appomattox    County      |          BRRO      |          12/31/2020      |    
       |      582 - Botetourt County    Landfill3      |          Botetourt County      |          BRRO      |          12/31/2020      |    
       |      498 - Bristol City Landfill      |          City of Bristol      |          SWRO      |          12/31/2020      |    
       |      72 - Franklin County Landfill      |          Franklin County      |          BRRO      |          12/31/2020      |    
       |      398 - Virginia Beach Landfill    #2 – Mount Trashmore II3      |          City of Virginia Beach      |          TRO      |          12/31/2020      |    
       |      Notes:       |                 |                 |                 |    
       |      1Department of Environmental Quality Regional Offices:      |    
       |      BRRO      |          Blue Ridge Regional Office      |    
       |      NVRO      |          Northern Virginia Regional    Office      |    
       |      PRO      |          Piedmont Regional Office       |    
       |      SWRO      |          Southwest Regional    Office       |    
       |      TRO      |          Tidewater Regional    Office       |    
       |      VRO      |          Valley Regional Office       |    
       |      2This date means the latest date that the disposal    area must cease accepting waste.       |    
       |      3A portion of these facilities operated under HB 1205    and another portion currently is compliant with Subtitle D    requirements.       |    
        |      |      |      |      |    
  
    C. Facilities are authorized to expand beyond the waste  boundaries existing on October 9, 1993, as follows: 
    1. Existing captive industrial landfills. 
    a. Existing nonhazardous industrial waste facilities that are  located on property owned or controlled by the generator of the waste disposed  of in the facility shall comply with all the provisions of this chapter except  as shown in subdivision 1 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a captive industrial landfill  beyond the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements in effect at  the time of permit issuance. 
    c. Owners or operators of facilities that are authorized under  subdivision 1 of this subsection to accept waste for disposal beyond the waste  boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120. 
    d. Facilities authorized for expansion in accordance with  subdivision 1 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    2. Other existing industrial waste landfills. 
    a. Existing nonhazardous industrial waste facilities that are  not located on property owned or controlled by the generator of the waste  disposed of in the facility shall comply with all the provisions of this  chapter except as shown in subdivision 2 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand an industrial landfill beyond  the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements of  9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 2 of this subsection to accept waste for disposal beyond the  waste boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120 and 9VAC20-81-130.
    e. Facilities authorized for expansion in accordance with  subdivision 2 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    3. Existing construction/demolition/debris landfills. 
    a. Existing facilities that accept only  construction/demolition/debris waste shall comply with all the provisions of  this chapter except as shown in subdivision 3 of this subsection.
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a  construction/demolition/debris landfill beyond the waste boundaries existing on  October 9, 1993. Liners and leachate collection systems constructed beyond the  waste boundaries existing on October 9, 1993, shall be constructed in  accordance with the requirements of 9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 3 of this subsection to accept waste for disposal beyond the  active portion of the landfill existing on October 9, 1993, shall ensure that  such expanded disposal areas maintain setback distances applicable to such  facilities in 9VAC20-81-120 and 9VAC20-81-130. 
    e. Facilities, or portions thereof, which have reached their  vertical design capacity shall be closed in compliance with 9VAC20-81-160. 
    f. Facilities authorized for expansion in accordance with  subdivision 3 of this subsection are limited to expansion to the permitted  disposal area existing on October 9, 1993, or the facility boundary existing on  October 9, 1993, if no discrete disposal area is defined in the facility  permit. 
    4. Facilities or units undergoing expansion in accordance with  the partial exemptions created by subdivision 1 b, 2 b, or 3 b of this  subsection may not receive hazardous wastes generated by the exempt small  quantity generators, as defined by the Virginia Hazardous Waste Management  Regulations ( 9VAC20-60), for disposal on the expanded portions of the  facility. Other wastes that require special handling in accordance with the  requirements of Part VI (9VAC20-81-610 et seq.) of this chapter or that contain  hazardous constituents that would pose a risk to health or environment, may  only be accepted with specific approval by the director. 
    5. Nothing in subdivisions 1 b, 2 b, and 3 b of this  subsection shall alter any requirement for ground water monitoring, financial  responsibility, operator certification, closure, postclosure care, operation,  maintenance, or corrective action imposed under this chapter, or impair the  powers of the director to revoke or modify a permit pursuant to § 10.1-1409  of the Virginia Waste Management Act or Part V (9VAC20-81-400 et seq.) of this  chapter. 
    D. An owner or operator of a previously unpermitted facility  or unpermitted activity that managed materials previously exempt or excluded  from this chapter shall submit a complete application for a solid waste  management facility permit, permit by rule or a permit modification, as  applicable, in accordance with Part V (9VAC20-81-430 et seq.) of this chapter  within six months after these materials have been defined or identified as  solid wastes. If the director finds that the application is complete, the owner  or operator may continue to manage the newly defined or identified waste until  a permit or permit modification decision has been rendered or until a date two  years after the change in definition whichever occurs sooner, provided however,  that in so doing he shall not operate or maintain an open dump, a hazard, or a  nuisance. 
    Owners or operators of solid waste management facilities in  existence prior to September 24, 2003, shall now be in compliance with this  chapter. Where conflicts exist between the existing facility permit and the new  requirements of the regulations, the regulations shall supersede the permit  except where the standards in the permit are more stringent than the  regulation. Language in an existing permit shall not act as a shield to  compliance with the regulation, unless a variance to the regulations has been  approved by the director in accordance with the provisions of Part VII  (9VAC20-81-700 et seq.) of this chapter. Existing facility permits will not be  required to be updated to eliminate requirements conflicting with the  regulation, except at the request of the director or if a permit is modified  for another reason. However, all sanitary landfills and incinerators that  accept waste from jurisdictions outside of Virginia must have submitted the  materials required under 9VAC20-81-100 E 4 by March 22, 2004. 
    E. This chapter is not applicable to landfill units closed in  accordance with regulations or permits in effect prior to December 21, 1988,  unless releases from these closed landfills meet the open dump criteria found  in 9VAC20-81-45, or the closed landfills are found to be a hazard or a nuisance  under subdivision 21 of § 10.1-1402 of the Code of Virginia, or a site  where improper waste management has occurred under subdivision 19 of  § 10.1-1402 of the Code of Virginia.
    9VAC20-81-95. Identification of solid waste.
    A. Wastes identified in this part section  are solid wastes that are subject to this chapter unless regulated  pursuant to other applicable regulations issued by the department. 
    B. Except as otherwise provided, the definition of solid  waste per 40 CFR 261.2 as incorporated by 9VAC20-60-261, as amended, is also  hereby incorporated as part of this chapter. Except as otherwise provided, all  material definitions, reference materials and other ancillaries that are a part  of 9VAC20-60-261, as amended, are also hereby incorporated as part of this  chapter as well.
    C. Except as otherwise modified or excepted by 9VAC20-60, the  materials listed in the regulations of the United States Environmental  Protection Agency set forth in 40 CFR 261.4 (a) are considered a solid waste  for the purposes of this chapter. However, these materials are not regulated  under the provisions of this chapter if all conditions specified therein are  met. This list and all material definitions, reference materials and other  ancillaries that are part of 40 CFR Part 261.4 (a), as incorporated, modified  and/or accepted by 9VAC20-60 are incorporated as part of this chapter. In  addition, the following materials are not solid wastes for the purpose of this  chapter:
    1. Materials generated by any of the following, which are  returned to the soil as fertilizers: 
    a. The growing and harvesting of agricultural crops. 
    b. The raising and husbanding of animals, including animal  manures and used animal bedding. 
    2. Mining overburden returned to the mine site. 
    3. Recyclable materials used in manner constituting disposal  per 9VAC20-60-266. 
    4. Wood wastes burned for energy recovery. 
    5. Materials that are:
    a. Used or reused, or prepared for use or reuse, as an  ingredient in an industrial process to make a product, or as effective  substitutes for commercial products or natural resources provided the materials  are not being reclaimed or accumulated speculatively; or 
    b. Returned to the original process from which they are  generated. 
    6. Materials that are beneficially used as determined by the  department under this subsection. The department may consider other waste  materials and uses to be beneficial in accordance with the provisions of  9VAC20-81-97. 
    7. The following materials and uses listed in this part are  exempt from this chapter as long as they are managed so they do not create an  open dump, hazard, or public nuisance. These materials and the designated use  are considered a beneficial use of waste materials: 
    a. Clean wood, wood chips, or bark from land clearing, logging  operations, utility line clearing and maintenance operations, pulp and paper  production, and wood products manufacturing, when these materials are placed in  commerce for service as mulch, landscaping, animal bedding, erosion control,  habitat mitigation, wetlands restoration, or bulking agent at a compost  facility operated in compliance with Part IV (9VAC20-81-300 et seq.) of this  chapter;
    b. Clean wood combustion residues when used for pH adjustment  in compost, liquid absorbent in compost, or as a soil amendment or fertilizer,  provided the application rate of the wood ash is limited to the nutrient need  of the crop grown on the land on which the wood combustion residues will be  applied and provided that such application meets the requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    c. Compost that satisfies the applicable requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    d. Nonhazardous, contaminated soil that has been excavated as  part of a construction project and that is used as backfill for the same  excavation or excavations containing similar contaminants at the same site, at  concentrations at the same level or higher. Excess contaminated soil from these  projects is subject to the requirements of this chapter; 
    e. Nonhazardous petroleum contaminated soil that has been  treated to the satisfaction of the department in accordance with 9VAC20-81-660;  
    f. Nonhazardous petroleum contaminated soil when incorporated  into asphalt pavement products; 
    g. Solid wastes that are approved in advance of the placement,  in writing, by the department or that are specifically mentioned in the  facility permit for use as alternate daily cover material or other protective  materials for landfill liner or final cover system components; 
    h. Fossil fuel combustion products when used as a material in  the manufacturing of another product (e.g., concrete, concrete products,  lightweight aggregate, roofing materials, plastics, paint, flowable fill) or as  a substitute for a product or material resource (e.g., blasting grit, roofing  granules, filter cloth pre-coat for sludge dewatering, pipe bedding); 
    i. Tire chips and tire shred when used as a sub base fill for  road base materials or asphalt pavements when approved by the Virginia  Department of Transportation or by a local governing body; 
    j. Tire chips, tire shred, and ground rubber used in the  production of commercial products such as mats, pavement sealers, playground  surfaces, brake pads, blasting mats, and other rubberized commercial products; 
    k. Tire chips and tire shred when used as backfill in landfill  gas or leachate collection pipes, recirculation lines, and drainage material in  landfill liner and cover systems, and gas interception or remediation  applications; 
    l. Waste tires, tire chips or tire shred when burned for  energy recovery or when used in pyrolysis, gasification, or similar treatment  process to produce fuel; 
    m. "Waste -derived fuel product,"  as defined in 9VAC20-81-10, derived from nonhazardous solid waste; 
    n. Uncontaminated concrete and concrete products, asphalt  pavement, brick, glass, soil, and rock placed in commerce for service as a  substitute for conventional aggregate; and
    o. Clean, ground gypsum wallboard when used as a soil  amendment or fertilizer, provided the following conditions are met:
    (1) No components of the gypsum wallboard have been glued,  painted, or otherwise contaminated from manufacture or use (e.g., waterproof or  fireproof drywall) unless otherwise processed to remove contaminants. 
    (2) The gypsum wallboard shall be processed so that 95% of the  gypsum wallboard is less than 1/4 inch by 1/4 inch in size, unless an alternate  size is approved by the department.
    (3) The gypsum wallboard shall be applied only to  agricultural, silvicultural, landscaped, or mined lands or roadway construction  sites that need fertilization.
    (4) The application rate for the ground gypsum wallboard shall  not exceed the following rates.
           |      Region      |          Rate      |    
       |      Piedmont, Mountains, and Ridge and Valley      |          250 lbs/1,000 ft2      |    
       |      Coastal Plain      |          50 lbs/1,000 ft2      |    
       |      Note: These weights are for dry ground gypsum wallboard.      |    
  
    D. The following activities are conditionally exempt from  this chapter provided no open dump, hazard, or public nuisance is created: 
    1. Composting of sewage sludge at the sewage treatment plant  of generation without addition of other types of solid wastes.
    2. Composting of household waste generated at a residence and  composted at the site of generation. 
    3. Composting activities performed for educational purposes as  long as no more than 100 cubic yards of materials are on site at any time.  Greater quantities will be allowed with suitable justification presented to the  department. For quantities greater than 100 cubic yards, approval from the  department will be required prior to composting.
    4. Composting of animal carcasses onsite at the farm of  generation.
    5. Composting of vegetative waste and/or yard waste generated  onsite by owners or operators of agricultural operations or owners of the real  property or those authorized by the owners of the real property provided:
    a. All decomposed vegetative waste and compost produced is  utilized on said property;
    b. No vegetative waste or other waste material generated from  other sources other than said property is received;
    c. All applicable standards of local ordinances that govern or  concern vegetative waste handling, composting, storage or disposal are  satisfied; and 
    d. They pose no nuisance or present no potential threat to  human health or the environment. 
    6. Composting of yard waste by owners or operators who accept  yard waste generated offsite shall be exempt from all other provisions of this  chapter as applied to the composting activities provided the requirements of  9VAC20-81-397 B are met.
    7. Composting of preconsumer food waste and kitchen culls  generated onsite and composted in containers designed to prohibit vector  attraction and prevent nuisance odor generation. 
    8. Vermicomposting, when used to process Category I, Category  II, or Category III feedstocks in containers designed to prohibit vector  attraction and prevent nuisance odor generation. If offsite feedstocks are  received no more than 100 cubic yards of materials may be onsite at any one  time. For quantities greater than 100 cubic yards, approval from the department  will be required prior to composting.
    9. Composting of sewage sludge or combinations of sewage  sludge with nonhazardous solid waste provided the composting facility is  permitted under the requirements of a Virginia Pollution Abatement (VPA) or  VPDES permit.
    10. Management of solid waste in appropriate containers at the  site of its generation, provided that: 
    a. Putrescible waste is not stored more than seven days  between time of collection and time of removal for disposal; 
    b. Nonputrescible wastes are not stored more than 90 days  between time of collection and time of removal for proper management; and
    c. Treatment of waste is conducted in accordance with the  following:
    (1) In accordance with a waste analysis plan that:
    (a) Contains a detailed chemical and physical analysis of a  representative sample of the waste being treated, and contains all records  necessary to treat the waste in accordance with the requirements of this part,  including the selected testing frequency; and
    (b) Is kept in the facility's onsite file and made available  to the department upon request.
    (2) Notification is made to the receiving waste management  facility that the waste has been treated.
    11. Using rocks, brick, block, dirt, broken concrete, crushed  glass, porcelain, and road pavement as clean fill. 
    12. Storage of less than 100 waste tires at the site of  generation provided that no waste tires are accepted from offsite and that the  storage will not present a hazard or a nuisance.
    13. Storage in piles of land-clearing debris including stumps  and brush, clean wood wastes, log yard scrapings consisting of a mixture of  soil and wood, cotton gin trash, peanut hulls, and similar organic wastes that  do not readily decompose, are exempt from this chapter if they meet the  following conditions at a minimum: 
    a. The wastes are managed in the following manner: 
    (1) They do not cause discharges of leachate, or attract  vectors. 
    (2) They cannot be dispersed by wind and rain. 
    (3) Fire is prevented. 
    (4) They do not become putrescent. 
    b. Any facility storing waste materials under the provisions  of this subsection shall obtain a storm water discharge permit if they are  considered a significant source under the provisions of 9VAC25-31-120 A 1 c. 
    c. No more than a total of 1/3 acre of waste material is  stored onsite and the waste pile does not exceed 15 feet in height above base  grade. 
    d. Siting provisions. 
    (1) All log yard scrapings consisting of a mixture of soil and  wood, cotton gin trash, peanut hulls, and similar organic wastes that do not  readily decompose are stored at the site of the industrial activity that  produces them; 
    (2) A 50-foot fire break is maintained between the waste pile  and any structure or tree line; 
    (3) The slope of the ground within the area of the pile and  within 50 feet of the pile does not exceed 4:1; 
    (4) No waste material may be stored closer than 50 feet to any  regularly flowing surface water body or river, floodplain, or wetland; and
    (5) No stored waste materials shall extend closer than 50 feet  to any property line. 
    e. If activities at the site cease, any waste stored at the  site must be properly managed in accordance with these regulations within 90  days. The director can approve longer time frames with appropriate  justification. Justification must be provided in writing no more than 30 days  after ceasing activity at the site. 
    f. Waste piles that do not meet these provisions are required  to obtain a permit in accordance with the permitting provisions in Part V  (9VAC20-81-400 et seq.) of this chapter and meet all of the applicable waste  pile requirements in Part IV (9VAC20-81-300 et seq.) of this chapter.  Facilities that do not comply with the provisions of this subsection and fail  to obtain a permit are subject to the provisions of 9VAC20-81-40.
    14. Storage of nonhazardous solid wastes and hazardous wastes,  or hazardous wastes from conditionally exempt small quantity generators as  defined in Virginia Hazardous Waste Management Regulations (9VAC20-60) at a  transportation terminal or transfer station in closed containers meeting the  U.S. Department of Transportation specifications is exempt from this section  and the permitting provisions of Part V (9VAC20-81-400 et seq.) of this chapter  provided such wastes are removed to a permitted storage or disposal facility  within 10 days from the initial receipt from the waste generator. To be  eligible for this exemption, each shipment must be properly documented to show  the name of the generator, the date of receipt by the transporter, and the date  and location of the final destination of the shipment. The documentation shall  be kept at the terminal or transfer station for at least three years after the  shipment has been completed and shall be made available to the department upon  request. All such activities shall comply with any local ordinances.
    15. Open burning in accordance with the requirements of  9VAC5-130-40. 
    16. Open burning of vegetative waste is allowed at a closed  landfill that has not been released from postclosure care. The activity shall  be included in the text of the postclosure plan and conducted in accordance  with § 10.1-1410.3 of the Code of Virginia.
    17. Placement of trees, brush, or other vegetation from land  used for agricultural or silvicultural purposes on the same property or other  property of the same landowner. 
    18. Using fossil fuel combustion products in one or more of  the following applications or when handled, processed, transported, or  stockpiled for the following uses: 
    a. As a base, sub-base or fill material under a paved road,  the footprint of a structure, a paved parking lot, sidewalk, walkway or similar  structure, or in the embankment of a road. In the case of roadway embankments,  materials will be placed in accordance with VDOT specifications, and exposed  slopes not directly under the surface of the pavement must have a minimum of 18  inches of soil cover over the fossil fuel combustion products, the top six  inches of which must be capable of sustaining the growth of indigenous plant  species or plant species adapted to the area. The use, reuse, or reclamation of  unamended coal combustion byproduct shall not be placed in an area designated  as a 100-year flood plain;
    b. Processed with a cementitious binder to produce a  stabilized structural fill product that is spread and compacted with proper  equipment for the construction of a project with a specified end use; or
    c. For the extraction or recovery of materials and compounds  contained within the fossil fuel combustion products.
    E. The following solid wastes are exempt from this chapter  provided that they are managed in accordance with the requirements promulgated  by other applicable state or federal agencies: 
    1. Management of wastes regulated by the State Board of  Health, the State Water Control Board, the Air Pollution Control Board, the  Department of Mines, Minerals and Energy, Department of Agriculture and  Consumer Services, or any other state or federal agency with such authority.
    2. Drilling fluids, produced waters, and other wastes  associated with the exploration, development, or production of crude oil,  natural gas, or geothermal energy. 
    3. Solid waste from the extraction, beneficiation, and  processing of ores and minerals, including coal. 
    4. Fossil fuel combustion products used for mine reclamation,  mine subsidence, or mine refuse disposal on a mine site permitted by the  Virginia Department of Mines, Minerals and Energy (DMME) when used in  accordance with the standards.
    5. Solid waste management practices that involve only the  onsite placing of solid waste from mineral mining activities at the site of  those activities and in compliance with a permit issued by the DMME, that do  not include any municipal solid waste, are accomplished in an environmentally  sound manner, and do not create an open dump, hazard or public nuisance are  exempt from all requirements of this chapter.
    6. Waste or byproduct derived from an industrial process that  meets the definition of fertilizer, soil amendment, soil conditioner, or  horticultural growing medium as defined in § 3.2-3600 of the Code of Virginia,  or whose intended purpose is to neutralize soil acidity (see § 3.2-3700 of the  Code of Virginia), and that is regulated under the authority of the Virginia  Department of Agriculture and Consumer Services. 
    7. Fossil fuel combustion products bottom ash or boiler slag  used as a traction control material or road surface material if the use is  consistent with Virginia Department of Transportation practices.
    8. Waste tires generated by and stored at salvage yards  licensed by the Department of Motor Vehicles provided that such storage  complies with requirements set forth in § 10.1-1418.2 and such storage  does not pose a hazard or nuisance. 
    9. Tire chips used as the drainage material in construction of  septage drain fields regulated under the authority of the Virginia Department  of Health.
    F. The following solid wastes are exempt from this chapter  provided that they are reclaimed or temporarily stored incidentally to  reclamation, are not accumulated speculatively, and are managed without  creating an open dump, hazard, or a public nuisance: 
    1. Paper and paper products; 
    2. Clean wood waste that is to undergo size reduction in order  to produce a saleable product, such as mulch;
    3. Cloth;
    4. Glass;
    5. Plastics;
    6. Tire chips, tire shred, ground rubber; and
    7. Mixtures of above materials only. Such mixtures may include  scrap metals excluded from regulation in accordance with the provisions of  subsection C of this section.
    9VAC20-81-140. Operation requirements.
    The operation of all sanitary, CDD, and industrial landfills  shall be governed by the standards set forth in this section. Landfill  operations will be detailed in an operations manual that shall be maintained in  the operating record in accordance with 9VAC20-81-485. This operations manual  will include an operations plan, an inspection plan, a health and safety plan,  an unauthorized waste control plan, an emergency contingency plan, and a  landscaping plan meeting the requirements of this section and 9VAC20-81-485.  This manual shall be made available to the department when requested. If the  applicable standards of this chapter and the landfill's Operations Manual  conflict, this chapter shall take precedence.
    A. Landfill operational performance standards.
    1. Safety hazards to operating personnel shall be controlled  through an active safety program consistent with the requirements of 29 CFR  Part 1910, as amended. 
    2. A groundwater monitoring program meeting the requirements  of 9VAC20-81-250 shall be implemented, as applicable. 
    3. A corrective action program meeting the requirements of  9VAC20-81-260 is required whenever the groundwater protection standard is  exceeded at statistically significant levels.
    4. Open burning at active landfills. 
    a. Owners or operators shall ensure that the units do not  violate any applicable requirements developed by the State Air Pollution  Control Board or promulgated by the EPA administrator pursuant to § 110 of the  Clean Air Act, as amended (42 USC §§ 7401 to 7671q). 
    b. Open burning of solid waste, except for infrequent burning  of agricultural wastes, silvicultural wastes, land-clearing debris, diseased  trees, or debris from emergency cleanup operations is prohibited. There shall  be no open burning permitted on areas where solid waste has been disposed of or  is being used for active disposal.
    c. The owner or operator shall be responsible for extinguishing  any fires that may occur at the facility. A fire control plan will be developed  that outlines the response of facility personnel to fires. The fire control  plan will be provided as an attachment to the emergency contingency plan  required under the provisions of 9VAC20-81-485. The fire control plan will be  available for review upon request by the public. There shall be no open burning  permitted on areas where solid waste has been disposed or is being used for  active disposal.
    5. Except as provided in 9VAC20-81-130 K, owners or operators  shall implement a gas management plan in accordance with 9VAC20-81-200  to  control landfill gas such that: 
    a. The concentration of methane gas generated by the landfill  does not exceed 25% of the lower explosive limit for methane in landfill  structures (excluding gas control or recovery system components); and 
    b. The concentration of methane gas does not exceed the lower  explosive limit for methane at the facility boundary. 
    6. Landfills shall not: 
    a. Allow leachate from the landfill to drain or discharge into  surface waters except when treated onsite and discharged into surface water as  authorized under a VPDES Permit (9VAC25-31). 
    b. Cause a discharge of pollutants into waters of the United  States, including wetlands, that violates any requirements of the Clean Water  Act (33 USC § 1251 et seq.), including, but not limited to, the VPDES  requirements and Virginia Water Quality Standards (9VAC25-260). 
    c. Cause the discharge of a nonpoint source of pollution to  waters of the United States, including wetlands, that violates any requirement  of an areawide or statewide water quality management plan that has been  approved under § 208 or 319 of the Clean Water Act (33 USC § 1251 et  seq.), as amended or violates any requirement of the Virginia Water Quality  Standards (9VAC25-260). 
    d. Allow solid waste to be deposited in or to enter any  surface waters or groundwaters.
    7. Owners or operators shall maintain the run-on/runoff  control systems designed and constructed in accordance with 9VAC20-81-130 H. 
    8. Access to sanitary, CDD, or noncaptive industrial landfills  shall be permitted only when an attendant is on duty and only during daylight  hours, unless otherwise specified in the landfill permit. 
    9. Fencing or other suitable control means shall be used to  control litter migration. All litter blown from the landfill operations shall  be collected on a weekly basis.
    10. Odors and vectors shall be effectively controlled so they  do not constitute nuisances or hazards. Odor hazard or nuisances shall be  controlled in accordance with 9VAC20-81-200 D. Disease vectors shall be  controlled using techniques for the protection of human health and the  environment. 
    11. If salvaging is allowed by a landfill, it shall not  interfere with operation of the landfill and shall not create hazards or  nuisances. 
    12. Fugitive dust and mud deposits on main offsite roads and  access roads shall be minimized at all times to limit nuisances. Dust shall be  controlled to meet the requirements of Article 1 (9VAC5-40-60 et seq.) of Part  II of 9VAC5-40.
    13. Internal roads in the landfill shall be maintained to be  passable in all weather by ordinary vehicles. All operation areas and units  shall be accessible.
    14. All landfill appurtenances listed in 9VAC20-81-130 shall be  properly maintained and operated as designed and approved in the facility's  permit. 
    15. Adequate numbers and types of properly maintained  equipment shall be available to a landfill for operation. Provision shall be  made for substitute equipment to be available or alternate means implemented to  achieve compliance with subdivision B 1, C 1, or D 1 of this section, as  applicable, within 24 hours should the former become inoperable or unavailable.  Operators with training appropriate to the tasks they are expected to perform  and in sufficient numbers for the complexity of the site shall be on the site  whenever it is in operation.
    16. Self-Inspection. Each landfill shall implement an  inspection routine including a schedule for inspecting all applicable major aspects  of facility operations necessary to ensure compliance with the requirements of  this chapter. Records of these inspections must be maintained in the operating  record and available for review. At a minimum, the following aspects of the  facility shall be inspected on a monthly basis: erosion and sediment controls,  storm water conveyance system, leachate collection system, safety and emergency  equipment, internal roads, and operating equipment. The groundwater monitoring  system and gas management system shall be inspected at a rate consistent with  the system's monitoring frequency.
    17. Records to include, at a minimum, date of receipt,  quantity by weight or volume, and origin shall be maintained on solid waste  received and processed to fulfill the applicable requirements of the Solid  Waste Information and Assessment Program under 9VAC20-81-80 and the Control  Program for Unauthorized Waste under 9VAC20-81-100 E. Such records shall be  made available to the department for examination or use when requested.
    B. In addition to the standards in subsection A of this  section, sanitary landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread into two-foot layers or less and compacted at the working face, which  shall be confined to the smallest area practicable. 
    b. Lift heights shall be sized in accordance with daily waste  volumes. Lift height is not recommended to exceed 10 feet. 
    c. Daily cover consisting of at least six inches of  compacted soil or other approved material shall be placed upon and maintained  on all exposed solid waste prior to the end of each operating day, or at more  frequent intervals if necessary, to control disease vectors, fires, odors,  blowing litter, and scavenging. Alternate materials of an alternate thickness  may be approved by the department if it has been demonstrated that the  alternate material and thickness control disease vectors, fires, odors, blowing  litter, and scavenging without presenting a threat to human health and the  environment. At least three days of acceptable cover soil or approved material  at the average usage rate shall be maintained at the landfill or readily  available at all times. 
    d. Intermediate cover of at least six inches of additional  compacted soil shall be applied and maintained whenever an additional lift of  refuse is not to be applied within 30 days. Further, all areas with  intermediate cover exposed shall be inspected as needed, but not less than  weekly. Additional cover material shall be placed on all cracked, eroded, and  uneven areas as required to maintain the integrity of the intermediate cover  system. 
    e. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    g. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33% unless steeper slopes are approved in the  permit. 
    2. The active working face of a sanitary landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    3. A sanitary landfill that is located within 10,000 feet of  any airport runway used for turbojet aircraft or 5,000 feet of any airport  runway used by only piston type aircraft, shall operate in such a manner that  the landfill does not increase or pose additional bird hazards to aircraft. 
    4. Sanitary landfills shall not dispose of the following  wastes, except as specifically authorized by the landfill permit or by the  department: 
    a. Free liquids. 
    (1) Bulk or noncontainerized liquid waste, unless: 
    (a) The waste is household waste; or 
    (b) The waste is gas condensate derived from that landfill;
    (c) The waste is leachate derived from that landfill and the landfill  is designed with a composite liner and leachate collection system as described  in 9VAC20-81-130 J 1 a and 9VAC20-81-130 L; or 
    (2) Containers holding liquid waste, unless: 
    (a) The container is a small container similar in size to that  normally found in household waste; 
    (b) The container is designed to hold liquids for use other  than storage; or 
    (c) The waste is household waste. 
    b. Regulated hazardous wastes as defined by the Virginia  Hazardous Waste Management Regulations (9VAC20-60).
    c. Solid wastes, residues, or soils containing more than 1.0  ppb (parts per billion) TEF (dioxins). 
    d. Solid wastes, residues, or soils containing 50.0 ppm (parts  per million) or more of PCB's except as allowed under the provisions of  9VAC20-81-630. 
    e. Sludges that have not been dewatered. 
    f. Contaminated soil unless approved by the department in  accordance with the requirements of 9VAC20-81-610 or 9VAC20-81-660. 
    g. Regulated medical waste as specified in the Regulated  Medical Waste Management Regulations (9VAC20-120).
    5. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    C. In addition to the standards in subsection A of this  section, Construction/demolition/debris landfills shall also comply with the  following:
    1. Compaction and cover requirements. 
    a. Waste materials shall be compacted in shallow layers during  the placement of disposal lifts to minimize differential settlement. 
    b. Compacted soil cover shall be applied as needed for safety  and aesthetic purposes. A minimum one-foot thick progressive cover shall be  maintained weekly such that the top of the lift is fully covered at the end of  the work week. If the landfill accepts Category I or II nonfriable  asbestos-containing material for disposal, daily soil cover shall be placed  upon all exposed Category I or II nonfriable asbestos-containing material prior  to the end of each operating day. The open working face of a landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    c. When waste deposits have reached final elevations, or  disposal activities are interrupted for 15 days or more, waste deposits shall  receive a one-foot thick intermediate cover unless soil has already been  applied in accordance with subdivision 1 b of this subsection and be graded to  prevent ponding and to accelerate surface run-off. 
    d. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    e. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    f. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33%. 
    2. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    D. In addition to the standards in subsection A of this  section, Industrial Landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread and compacted at the working face, which shall be confined to the  smallest area practicable. 
    b. Lift heights shall be sized according to the volume of  waste received daily and the nature of the industrial waste. A lift height is  not required for materials such as fly ash that are not compactable. 
    c. Where it is necessary for the specific waste, such as  Category I or II nonfriable asbestos-containing material, daily soil cover, or  other suitable material shall be placed upon all exposed solid waste prior to  the end of each operating day. For wastes such as fly ash and bottom ash from  burning of fossil fuels, periodic cover to minimize exposure to precipitation  and control dust or dust control measures such as surface wetting or crusting  agents shall be applied. At least three days of acceptable cover soil or  approved material at the average usage rate shall be maintained at the fill at  all times at facilities where daily cover is required unless an offsite supply  is readily available on a daily basis.
    d. Intermediate cover of at least one foot of compacted soil  shall be applied whenever an additional lift of refuse is not to be applied  within 30 days unless the owner or operator demonstrates to the satisfaction of  the director that an alternate cover material or an alternate schedule will be  protective of public health and the environment. In the case of facilities  where fossil fuel combustion products are removed for beneficial use,  intermediate cover must be applied in any area where ash has not been placed or  removed for 30 days or more. Further, all areas with intermediate cover exposed  shall be inspected as needed but not less than weekly and additional cover  material shall be placed on all cracked, eroded, and uneven areas as required  to maintain the integrity of the intermediate cover system. 
    e. Final cover construction will be initiated in accordance  with the requirements of 9VAC20-81-160 D 2 when the following pertain: 
    (1) When an additional lift of solid waste is not to be  applied within two years or a longer period as required by the facility's  phased development. 
    (2) When any area of a landfill attains final elevation and  within 90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) When a landfill's permit is terminated within 90 days of  such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  otherwise specified by the department when seasonal conditions do not otherwise  permit. Mowing will be conducted a minimum of once a year or at a frequency  suitable for the vegetation and climate.
    2. Incinerator and air pollution control residues containing  no free liquids shall be incorporated into the working face and covered at such  intervals as necessary to minimize them from becoming airborne. 
    9VAC20-81-160. Closure requirements.
    The closure of all sanitary, CDD and industrial landfills  shall be governed by the standards set forth in this section.
    A. Closure purpose. The owner or operator shall close the  landfill in a manner that minimizes the need for further maintenance and  provides for the protection of human health and the environment. Closure shall  eliminate the postclosure escape of uncontrolled leachate or of waste  decomposition products to the groundwater or surface water to the extent  necessary to protect human health and the environment. Closure shall also  control and/or minimize surface runoff and the escape of waste decomposition  products to the atmosphere. 
    B. Closure plan and modification of plan.
    1. The owner or operator of a solid waste disposal facility  shall have a written closure plan. This plan shall identify the steps necessary  to completely close the landfill at the time when the operation will be the  most extensive and at the end of its intended life. The closure plan shall  include, at least: 
    a. A schedule for final closure that shall include, as a  minimum, the anticipated date when wastes will no longer be received, the date  when completion of final closure is anticipated, and intervening milestone  dates that will allow tracking of the progress of closure. 
    b. An estimate of waste disposed onsite over the active life  of the landfill; 
    c. An estimate of the largest area ever requiring a final  cover as required at any time during the active life; 
    d. Description of Final Cover System design in accordance with  subsection D of this section;
    e. Description of storm water management to include design,  construction, and maintenance controls;
    f. Closure cost estimate for purpose of financial assurance. 
    2. The owner or operator may amend the closure plan at any  time during the active life of the landfill. The owner or operator shall so  amend his plan any time changes in operating plans or landfill design affect  the closure plan. The amended closure plan shall be placed in the operating  record and a copy provided to the department. 
    3. Closure plans and amended closure plans not previously  approved by the director shall be submitted to the department at least 180 days  before the date the owner or operator expects to begin construction activities  related to closure. The director will approve or disapprove the plan within 90  days of receipt. 
    4. If the owner or operator intends to use an alternate final  cover design, he shall submit a proposed design meeting the requirements of  subdivision D 2 e f of this section to the department at least  180 days before the date he expects to begin closure. The department will  approve or disapprove the plan within 90 days of receipt. 
    5. At least 180 days prior to beginning closure of each solid  waste disposal unit, the owner or operator shall notify the department and the  solid waste planning unit of the intent to close. 
    C. Time allowed for closure. 
    1. The owner or operator shall begin closure activities of  each unit no later than 30 days after the date on which the unit receives the  known final receipt of wastes or, if the unit has remaining capacity and there  is a reasonable likelihood that the unit will receive additional wastes, no  later than one year after the most recent receipt of wastes. Extensions beyond  the one-year deadline for beginning closure may be granted by the director if  the owner or operator demonstrates that the unit has the capacity to receive  additional wastes and the owner or operator has taken and will continue to take  all steps necessary to prevent threats to human health and the environment from  the unclosed unit. 
    2. The owner or operator shall complete closure activities of  each unit in accordance with the closure plan and within six months after  receiving the final volume of wastes. The director may approve a longer closure  period if the owner or operator can demonstrate that the required or planned  closure activities will, of necessity, take longer than six months to complete;  and that he has taken all steps to eliminate any significant threat to human  health and the environment from the unclosed but inactive landfill.
    D. Closure implementation. 
    1. The owner or operator shall close each unit with a final  cover as specified in subdivision 2 of this subsection, grade the fill area to  prevent ponding, and provide a suitable vegetative cover. Vegetation shall be  deemed properly established when there are no large areas void of vegetation  and it is sufficient to control erosion. 
    2. Final cover system.
    a. The owner or operator shall install a final cover system  that is designed to achieve the performance requirements of this section. 
    b. Owners or operators of CDD landfill units used for the  disposal of wastes consisting only of stumps, wood, brush, and leaves from  landclearing operations may apply two feet of compacted soil as final cover  material in lieu of the final cover system specified in this section. The  provisions of this section shall not be applicable to any landfill with respect  to which the director has made a finding that continued operation of the  landfill constitutes a threat to the public health or the environment. 
    c. The final cover system shall be designed and constructed  to: 
    (1) Minimize infiltration through the closed disposal unit by  the use of an infiltration layer that is constructed of at least 18 inches of  earthen material; and which has a hydraulic conductivity less than or equal to  the hydraulic conductivity of any bottom liner system or natural subsoils  present, or a hydraulic conductivity no greater than 1x10-5 cm/sec,  whichever is less; and 
    (2) Minimize erosion of the final cover by the use of an  erosion layer that contains a minimum of six inches of earthen material that is  capable of sustaining native plant growth, and provide for protection of the  infiltration layer from the effects of erosion, frost, and wind. 
    d. The owner or operator of a sanitary landfill may choose to  use this alternate final cover system, which shall consist of at least the  following components:
    (1) An 18-inch soil infiltration layer with a hydraulic  conductivity no greater than 1x10-5 cm/sec or a geosynthetic clay  liner installed over the intermediate cover;
    (2) A barrier layer consisting of a geosynthetic membrane  having a minimum thickness of 40-mils;
    (3) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (4) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    e. The owner or operator of a CDD or industrial landfill may  choose to use this alternate final cover system, which shall consist of at  least the following components: 
    (1) A barrier layer consisting of a geosynthetic clay liner or  a geosynthetic membrane having a minimum thickness of 40 mils;
    (2) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (3) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    f. The director may approve an alternate final cover design  that includes: 
    (1) An infiltration layer that achieves an equivalent  reduction in infiltration as the infiltration layer specified in subdivision 2  c (1) of this subsection; and 
    (2) A minimum 24-inch erosion layer that is capable of  sustaining native plant growth and provide for protection of the infiltration  layer from the effects of erosion, frost, and wind.
    3. Finished side slopes shall be stable and be configured to  adequately control erosion and runoff. Slopes of 33% will be allowed provided  that adequate runoff controls are established. Steeper slopes may be considered  if supported by necessary stability calculations and appropriate erosion and  runoff control features. All finished slopes and runoff management facilities  shall be supported by necessary calculations and included in the design manual.  To prevent ponding of water, the top slope shall be at least 2.0% after  allowance for settlement. 
    4. Following construction of the final cover system for each  unit, the owner or operator shall submit to the department a certification,  signed by a professional engineer verifying that closure has been completed in  accordance with the closure plan requirements of this part. This certification  shall include the results of the CQA/QC requirements under 9VAC20-81-130 Q 1 b  (6). 
    5. Following the closure of all units the owner or operator  shall: 
    a. Post one sign at the entrance of the landfill notifying all  persons of the closing, and the prohibition against further receipt of waste  materials. Further, suitable barriers shall be installed at former accesses to  prevent new waste from being deposited.
    b. Within 90 days after closure is completed, submit to the  local land recording authority a survey plat prepared by a professional land  surveyor registered by the Commonwealth or a person qualified in accordance  with Title 54.1 of the Code of Virginia indicating the location and dimensions  of landfills. Groundwater monitoring well and landfill gas monitoring  probe locations shall be included and identified by the number on the survey  plat. The plat filed with the local land recording authority shall contain a  note, prominently displayed, which states the owner's or operator's future  obligation to restrict disturbance of the site as specified.
    c. Record a notation on the deed to the landfill property, or  on some other instrument which is normally examined during title searches,  notifying any potential purchaser of the property that the land has been used  to manage solid waste and its use is restricted under 9VAC20-81-170 A 2 c. A  copy of the deed notation as recorded shall be submitted to the department. 
    d. Submit to the department a certification, signed by a  professional engineer, verifying that closure has been completed in accordance  with the requirements of subdivisions 5 a, b, and c of this subsection and the  landfill closure plan. 
    6. The department shall inspect all solid waste management  facilities at the time of closure to confirm that the closing is complete and  adequate. It shall notify the owner or operator of a closed landfill, in  writing, if the closure is satisfactory, and shall require any construction or  such other steps necessary to bring unsatisfactory sites into compliance with  these regulations. Notification by the department that the closure is  satisfactory does not relieve the owner or operator of responsibility for  corrective action to prevent or abate problems caused by the landfill. 
    9VAC20-81-250. Groundwater monitoring program.
    A. General requirements. 
    1. Applicability. 
    a. Existing landfills. Owners or operators of all existing  landfills shall be in compliance with the groundwater monitoring requirements  specified in this section, except as provided for in subdivision 1 c of this  subsection. Owners or operators of landfills that were permitted prior to  December 21, 1988, but were closed in accordance with the requirements of their  permit or existing regulation prior to December 21, 1988, are not required to  be in compliance with the groundwater monitoring requirements specified in this  section, unless conditions are recognized that classify the landfill as an Open  Dump as defined under 9VAC20-81-45. 
    b. New landfills. Owners or operators of new facilities shall  be in compliance with the groundwater monitoring requirements specified in this  section before waste can be placed in the landfill except as provided for in  subdivision 1 c of this subsection.
    c. No migration potential exemption. Groundwater monitoring  requirements under this section may be suspended by the director if the owner  or operator can demonstrate that there is no potential for migration of any  Table 3.1 constituents to the uppermost aquifer during the active life and the  postclosure care period of the landfill. This demonstration shall be certified  by a qualified groundwater scientist and shall be based upon: 
    (1) Site-specific field collected measurements including  sampling and analysis of physical, chemical, and biological processes affecting  contaminant fate and transport; and 
    (2) Contaminant fate and transport predictions that maximize  contaminant migration and consider impacts on human health and the environment.  
    2. General requirements. 
    a. Purpose. Owners or operators shall install, operate, and  maintain a groundwater monitoring system that is capable of determining the  landfill's impact on the quality of groundwater in the uppermost aquifer at the  disposal unit boundary during the active life and postclosure care period of  the landfill. 
    b. Program requirements. The groundwater monitoring program  shall meet the requirements of subdivision 3 of this subsection and comply with  all other applicable requirements of this section. 
    c. Director authority. The groundwater monitoring and  reporting requirements set forth here are minimum requirements. The director  may require, by amending modifying the permit as allowed under  9VAC20-81-600 E, any owner or operator to install, operate, and maintain a  groundwater monitoring system and conduct a monitoring program that contains  requirements more stringent than this chapter imposes whenever it is determined  that such requirements are necessary to protect human health and the  environment. 
    3. Groundwater monitoring system. 
    a. System requirements. A groundwater monitoring system shall  be installed consisting of a sufficient number of monitoring wells, at  appropriate locations and depths, capable of yielding sufficient quantities of  groundwater for sampling and analysis purposes from the uppermost aquifer that:  
    (1) Represent the quality of background groundwater that has  not been affected by a release from the landfill; and 
    (2) Represent the quality of groundwater at the disposal unit  boundary. The downgradient monitoring system shall be installed at the disposal  unit boundary in a manner that ensures detection of groundwater contamination  in the uppermost aquifer unless a variance has been granted by the director  under 9VAC20-81-740. 
    (3) When physical obstacles preclude installation of  groundwater monitoring wells at the disposal unit boundary, the downgradient  monitoring wells may be installed at the closest practicable distance  hydraulically downgradient from the boundary in locations that ensure detection  of groundwater contamination in the uppermost aquifer. 
    b. Multiunit systems. The director may approve a groundwater  monitoring system that covers multiple waste disposal units instead of  requiring separate groundwater monitoring systems for each unit when the  landfill has several units, provided the multiunit groundwater monitoring  system meets the requirement of subdivision 3 of this subsection and can be  demonstrated to be equally protective of human health and the environment as  individual monitoring systems. The system for each waste disposal unit would be  based on the following factors: 
    (1) Number, spacing, and orientation of the waste disposal  units; 
    (2) Hydrogeologic setting; 
    (3) Site history; 
    (4) Engineering design of the waste disposal units; and 
    (5) Type of waste accepted at the waste disposal units. 
    c. Well construction. All monitoring wells shall be of a size  adequate for sampling and shall be cased and grouted in a manner that maintains  the integrity of the monitoring well bore hole. This casing shall be screened  or perforated, and packed with gravel or sand where necessary, to enable sample  collection at depths where appropriate aquifer flow zones exist. The annular  space above the sampling depth shall be sealed with a suitable material to  prevent contamination of samples and the groundwater. 
    d. Boring logs. A log shall be made of each newly installed  monitoring well describing the soils or rock encountered, and the hydraulic  conductivity of the geologic units (formations) encountered. A copy of the  final log(s) with appropriate maps, including at a minimum a site plan showing  the location of all monitoring wells, the total depth of monitoring well, the  location of the screened interval, the top and bottom of sand or gravel pack,  and the top and bottom of the seal shall be sent to the department with the  certification required under subdivision 3 g of this subsection. 
    e. Well maintenance. The monitoring wells, piezometers, and  other groundwater measurement, sampling, and analytical devices shall be  operated and maintained in a manner that allows them to perform to design  specifications throughout the duration of the groundwater monitoring program.  Nonfunctioning monitoring wells must be replaced or repaired upon recognition  of damage or nonperformance. Well repair or replacement shall be coordinated  with the department for approval prior to initiating the action. 
    f. Network specifics. The network shall include at least  one upgradient monitoring well and at least three downgradient monitoring  wells. The number, spacing, and depths of monitoring wells included in a  landfill's network shall be determined based on: 
    (1) Site-specific technical information that shall include  thorough characterization by the owner or operator of: 
    (a) The thickness of any unsaturated geologic units or fill  materials that may overlay the uppermost aquifer; 
    (b) The thickness and description of materials comprising the  uppermost aquifer;
    (c) Materials comprising the confining unit defining the lower  boundary of the uppermost aquifer, including, but not limited to, thicknesses,  stratigraphy, lithology, hydraulic conductivities, porosities, and effective  porosities; and
    (d) the calculated groundwater flow rate and direction within  the uppermost aquifer including any seasonal and temporal fluctuations in  groundwater flow. 
    (2) At least one upgradient and at least three downgradient  monitoring wells. 
    (3) A The lateral spacing between downgradient  monitoring wells based on site-specific information supplied under subdivision  3 f (1) of this subsection. 
    g. Monitoring well certification. The groundwater monitoring  well(s) shall, within 30 days of well(s) installation, be certified by a  qualified groundwater scientist noting that all wells have been installed in  accordance with the documentation submitted under subdivision 3 d of this  subsection. Within 14 days of completing this certification, the owner or  operator shall transmit the certification to the department. 
    4. The groundwater sampling and analysis requirements for the  groundwater monitoring system are as follows: 
    a. Quality assurance and control. The groundwater monitoring  program shall include consistent field sampling and laboratory analysis  procedures that are designed to ensure monitoring results that provide an  accurate representation of the groundwater quality at the background and  downgradient wells. At a minimum the program shall include procedures and  techniques for: 
    (1) Sample collection; 
    (2) Sample preservation and shipment; 
    (3) Analytical procedures; 
    (4) Chain of custody control; and 
    (5) Quality assurance and quality control. 
    b. Analytical methods. The groundwater monitoring program  shall include sampling and analytical methods that are appropriate for  groundwater sampling and that accurately measure solid waste constituents in  groundwater samples. Groundwater samples obtained pursuant to 9VAC20-81-250 B  or C shall not be filtered prior to laboratory analysis. The sampling, analysis  and quality control/quality assurance methods set forth in EPA document SW-846,  as amended, shall be used. The department may require re-sampling if it  believes the samples were not properly sampled or analyzed. 
    c. Groundwater rate and flow. Groundwater elevations at each  monitoring well shall be determined immediately prior to purging each time a  sample is obtained. The owner or operator shall determine the rate and  direction of groundwater flow each time groundwater is sampled pursuant to  subsection B or C of this section or 9VAC20-81-260. Groundwater  elevations in wells that monitor the same waste management area disposal  unit or units shall be measured within a period of time short enough to  avoid temporal variations in groundwater flow, which could preclude  accurate determination of groundwater flow rate and direction. 
    d. Background data. The owner or operator shall establish  background groundwater quality in a hydraulically upgradient or background  well, or wells, for each of the monitoring parameters or constituents required  in the particular groundwater monitoring program that applies to the landfill.  Background groundwater quality may be established at wells that are not located  hydraulically upgradient from the landfill if they meet the requirements of  subdivision 4 e of this subsection. 
    e. Alternate well provision. A determination of background  quality may be based on sampling of wells that are not upgradient from the  waste management area disposal unit or units where: 
    (1) Hydrogeologic conditions do not allow the owner or  operator to determine what wells are upgradient; and 
    (2) Sampling at these wells will provide an indication of  background groundwater quality that is as representative or more representative  than that provided by the upgradient wells. 
    f. Sampling and statistics. The number of samples collected to  establish groundwater quality data shall be consistent with the appropriate  statistical procedures determined pursuant to subdivision 4 g of this  subsection. 
    g. Statistical methods. The owner or operator shall specify in  the Groundwater Monitoring Plan the statistical method(s) listed in subsection  D of this section that will be used in evaluating groundwater monitoring data  for each monitoring constituent. The statistical test(s) chosen shall be  applied separately for each groundwater constituent in each well after each  individual sampling event required under subdivision B 2 or 3, C 2 or 3, or as  required under 9VAC20-81-260 E 1.
    h. Evaluation and response. After each sampling event required  under subsection B or C of this section, the owner or operator shall determine  whether or not there is a statistically significant increase over background  values for each groundwater constituent required in the particular groundwater  monitoring program by comparing the groundwater quality of each constituent at  each monitoring well installed pursuant to subdivision 3 a of this subsection  to the background value of that constituent. In determining whether a  statistically significant increase has occurred, the owner or operator shall:
    (1) Ensure the sampling result comparisons are made according  to the statistical procedures and performance standards specified in subsection  D of this section; 
    (2) Ensure that within 30 days of completion of sampling and  laboratory analysis actions, the determination of whether there has been a  statistically significant increase over background at each monitoring well has  been completed; and
    (3) If identified, the statistically significant increase  shall be reported to the department within the notification timeframes  identified in subsection B or C of this section and discussed in the quarterly  or semi-annual report submission described under subdivision E 2 c of this  section. Notifications qualified as being "preliminary,"  "suspect," "unverified," or otherwise not a final  determination of a statistical exceedance will not be accepted. 
    i. Verification sampling. The owner or operator may at any  time within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this section, obtain verification  samples if the initial review of analytical data suggests results that might  not be an accurate reflection of groundwater quality at the disposal unit  boundary. Undertaking verification sampling is a voluntary action on the part  of the owner or operator and shall not alter the timeframes associated with  determining or reporting a statistically significant increase as otherwise  defined under subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    j. Data validation. The owner or operator may at any time  within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this subsection, undertake third-party  data validation of the analytical data received from the laboratory.  Undertaking such validation efforts is a voluntary action on the part of the  owner or operator and shall not alter the timeframes associated with determining  or reporting a statistically significant increase as otherwise defined under  subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    5. Alternate source demonstration allowance. 
    a. Allowance. As a result of any statistically significant  increase identified while monitoring groundwater under subdivision B 2 or 3, or  C 2 or 3 of this section, or at anytime within the Corrective Action process  under 9VAC20-81-260, the owner or operator has the option of submitting an  Alternate Source Demonstration report, certified by a qualified groundwater  scientist, demonstrating:
    (1) A source other than the landfill caused the statistical  exceedance; 
    (2) The exceedance resulted from error in sampling, analysis,  or evaluation; or
    (3) The exceedance resulted from a natural variation in  groundwater quality. 
    b. Timeframes. A successful demonstration must be made within  90 days of noting a statistically significant increase. The director may  approve a longer timeframe for submittal and approval of the Alternate Source  Demonstration with appropriate justification. 
    c. Evaluation and response. Based on the information submitted  in accordance with subdivision 5 a of this subsection, the director will: 
    (1) In the case of the successful demonstration of an error in  sampling, analysis, or evaluation, allow the owner or operator to continue  monitoring groundwater in accordance with the monitoring program in place at  the time of the statistical exceedance. 
    (2) In the case of a successful demonstration of an alternate  source for the release or natural variability in the aquifer matrix:
    (a) Require changes in the groundwater monitoring system as  needed to accurately reflect the groundwater conditions and allow the owner or  operator to continue monitoring groundwater in accordance with the monitoring  program in place at the time of the statistical exceedance; 
    (b) Require any changes to the monitoring system be completed  prior to the next regularly scheduled groundwater monitoring event or within 90  days (whichever is greater); and
    (c) Require any changes to the monitoring system be approved  via the amendment modification process under 9VAC20-81-600 within  90 days of the approval of the alternate source demonstration. 
    (3) In the case of an unsuccessful Alternate Source Demonstration,  require the owner or operator to initiate the actions that would otherwise be  required as a result of the statistically significant increase noted under  subdivision B 2 or 3, or C 2 or 3 of this section as appropriate. 
    6. Establishment of groundwater protection standards. 
    a. Requirement. Upon recognition of a statistically  significant increase over background and while monitoring in the Assessment or  Phase II monitoring programs defined under subdivision B 3 or C 3 of this  section, the owner or operator shall propose a groundwater protection standard  for all detected Table 3.1 Column B constituents. The proposed standards shall  be submitted to the department by a qualified groundwater scientist and be  accompanied by relevant historical groundwater sampling data to justify the  proposed concentration levels. 
    b. Establishment process. The groundwater protection standards  shall be established in the following manner: 
    (1) For constituents for which a maximum contaminant level  (MCL) has been promulgated under § 1412 of the Safe Drinking Water Act (40 CFR  Part 141), the MCL for that constituent shall be automatically established as  the groundwater protection standard upon submission of the proposed standards. 
    (2) If the owner or operator determines that a site-specific  background concentration is greater than the MCL associated with that  constituent under subdivision 6 b (1) of this subsection, the background value  may be substituted for use as the groundwater protection standard in lieu of  the MCL for that constituent upon receiving written department approval. 
    (3) For constituents for which no MCL has been promulgated,  site-specific background concentration value(s) may be used upon receiving  written department approval. 
    (4) For constituents for which no MCL has been promulgated, a  risk-based alternate concentration levels may be used if approved by the  director as long as: 
    (a) The owner or operator submits a request to the department  asking for approval to use risk-based alternate concentration levels for a  specific list of constituents and identifies that these constituents lack an  MCL. In the request the owner or operator shall specify whether site-specific,  independently calculated, risk-based alternate concentration levels will be  applied, or if the facility will accept the default department-provided limits.  
    (b) Both the The alternate concentration levels  that may be provided as default values by the department and those  independently calculated by the owner or operator are demonstrated to meet the  following criteria or factors before they can be used as groundwater protection  standards: 
    (i) Groundwater quality - The potential for adverse quality  effects considering the physical and chemical characteristics of the waste in  the landfill, its potential for migration in the aquifer; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the proximity and withdrawal rates of groundwater users; the  current and future uses of groundwater in the area; the existing quality of  groundwater, including other sources of contamination and their cumulative  impact on the groundwater quality. 
    (ii) Human exposure - Potential for health risks caused by  exposure to waste constituents released from the landfill using federal  guidelines for assessing the health risks of environmental pollutants;  scientifically valid studies conducted in accordance with the Toxic Substances  Control Act Good Laboratory Practice Standards (40 CFR Part 792); or equivalent  standards. For carcinogens, the alternate concentration levels must be set  based on a lifetime cancer risk level due to continuous lifetime exposure  within the 1x10-4 to 1x10-6 range. For systemic  toxicants, alternate concentration levels must be demonstrated to be levels to  which the human population (including sensitive subgroups) could be exposed to  on a daily basis without the likelihood of appreciable risk of deleterious  effects during a lifetime.
    (iii) Surface water - The potential adverse effect on  hydraulically connected surface water quality based on the volume, physical and  chemical characteristics of the waste in the landfill; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the patterns of rainfall in the region; the proximity of the  landfill to surface waters; the current and future uses of surface waters in  the area and any water quality standards established for those surface waters;  the existing quality of surface water, including other sources of contamination  and the cumulative impact on surface water quality. 
    (iv) Other adverse effects - Potential damage to wildlife,  crops, vegetation, and physical structures caused by exposure to waste  constituents; the persistence and permanence of the potential adverse effects;  and the potential for health risks caused by human exposure to waste  constituents using factors shown in subdivision b (4) (b) (ii) of this  subsection. 
    (5) In making any determination regarding the use of alternate  concentration levels under this section, the director will:
    (a) Consider any identification of underground sources of  drinking water as identified by EPA under 40 CFR 144.7,
    (b) Consider additional or modified monitoring requirements or  control measures, 
    (c) Include a schedule for the periodic review of the  alternate concentration levels, or
    (d) Approve the alternate concentration levels as proposed or  issue modified alternate concentration levels.
    c. Implementation. Groundwater protection standards shall be  considered established for the facility upon completion of the actions  described under either subdivision A 6 b (1), (2), (3) or if necessary (4) and  shall be placed in the facility Operating Record and shall be used during  subsequent comparisons of groundwater sampling data consistent with the  requirements of subdivision B 3 f or C 3 e of this section. 
    d. MCL and background revisions. After establishment of  groundwater protection standards under subdivision B 6 b, if the standards are  modified as a result of revisions to any MCL or department-approved background,  the facility shall update its listing of groundwater protection standards and  shall place the new list in the Operating Record and shall use the new values  during subsequent comparisons of sampling data consistent with the requirements  of subdivision B 3 f or C 3 e of this section. 
    e. Alternate concentration levels revisions. After  establishment of groundwater protection standards under subdivision B 6 b of  this section, if the department-approved alternate concentration levels change  based on information released by EPA, to the extent practical, the department  will issue revisions to the alternate concentration levels for facility use no  more often than an annual basis. The facility shall use the alternate  concentration levels listing in effect at the time the sampling event takes  place when comparing the results against the groundwater protection standards  under subdivision B 3 f or C 3 e of this section. 
    B. Monitoring for sanitary landfills. 
    1. Applicability. 
    a. Existing facilities. Except for those sanitary landfills  identified in subdivision C 1 of this section, existing sanitary landfill  facilities and closed facilities that have accepted waste on or after October  9, 1993, and in the case of 'small' landfills on or after April 9, 1994, shall  be in compliance with the detection monitoring requirements specified in  subdivision 2 of this subsection unless existing sampling data requires a move  to assessment monitoring described under subdivision 3 of this subsection. 
    b. New facilities. Facilities placed in operation to receive  waste after October 9, 1993, shall be in compliance with the detection  monitoring requirements specified in subdivision 2 of this section before waste  can be placed in the landfill unless existing sampling data requires a move to  assessment monitoring described under subdivision 3 of this subsection. 
    c. Closed facilities. Unless an extension to the deadline  above has been granted by the director, closed facilities that have ceased to  accept any waste on or before October 9, 1993, and in the case of a  "small" landfill, before April 9, 1994, may comply with the  "State Monitoring Program" monitoring requirements specified in  subdivision C 2 or 3 of this section. 
    d. Other facilities. Owners or operators of disposal  facilities not subject to the federal groundwater monitoring requirements  prescribed under 40 CFR Parts 257 and 258 must perform the groundwater  monitoring described in subdivision C 2 or 3 of this section. 
    e. Proximity to wetlands. Owners or operators of sanitary  landfills that accepted waste after June 30, 1999, must:
    (1) Perform quarterly groundwater monitoring unless the  director determines that less frequent monitoring is necessary consistent with  the requirements of the special provisions regarding wetlands in  § 10.1-1408.5 of the Code of Virginia.
    (2) The quarterly monitoring frequency shall remain in effect  until the department is notified waste is no longer being accepted at the  sanitary landfill. 
    (3) This requirement will not limit the authority of the Waste  Management Board or the director to require more frequent groundwater  monitoring if required to protect human health and the environment. 
    (4) For purposes of this subdivision "proximity to  wetlands" shall be defined as landfills that were constructed on a  wetland, have a potential hydrologic connection to such a wetland in the event  of an escape of liquids from the facility, or are within a mile of such a  wetland.
    2. Detection monitoring program.
    a. Sampling requirements. All sanitary landfills shall  implement detection monitoring except as otherwise provided in subdivision 1 of  this subsection. The monitoring frequency for all constituents listed in Table  3.1 Column A shall be as follows: 
    (1) Initial sampling period. 
    (a) For facilities that monitor groundwater on a semi-annual  basis, a minimum of four independent samples from each well (background and  downgradient) shall be collected and analyzed for the Table 3.1 Column A  constituents during the first semi-annual sampling period. A semi-annual period  is defined under 9VAC20-81-10. 
    (b) For facilities that monitor groundwater on a quarterly  basis as a result of subdivision 1 e of this subsection, a minimum of four  samples from each well (background and downgradient) shall be collected and  analyzed for the Table 3.1 Column A constituents. The samples shall be  collected within the first quarterly period, using a schedule that ensures, to  the greatest extent possible, an accurate calculation of background concentrations.  
    (2) Subsequent sampling events. At least one sample from each  well (background and downgradient) shall be collected and analyzed during  subsequent semi-annual or quarterly events during the active life and  postclosure period. Data from subsequent background sampling events may be  added to the previously calculated background data so that the facility  maintains the most accurate representation of background groundwater quality  with which to carry out statistical analysis required under subdivision A 4 h  of this section. 
    (3) Alternate sampling events. The director may specify an  appropriate alternate frequency for repeated sampling and analysis during the  active life (including closure) and the postclosure care period. The alternate  frequency during the active life (including closure) and the postclosure period  shall be no less than annual. The alternate frequency shall be based on  consideration of the following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); and 
    (e) Resource value of the aquifer. 
    b. Evaluation and response. If the owner or operator  determines under subdivision A 4 h of this section, that there is:
    (1) A statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this section,  for one or more of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event, the owner or operator shall: 
    (a) Within 14 days of this finding, notify the department of  this fact, indicating which constituents have shown statistically significant  increases over background levels; and 
    (b) Within 90 days, (i) establish an assessment monitoring  program meeting the requirements of subdivision 3 of this subsection, or (ii)  submit an Alternate Source Demonstration as specified in subdivision A 5 of  this section. If, after 90 days, a successful demonstration has not been made,  the owner or operator shall initiate an assessment monitoring program as  otherwise required in subdivision 3 of this subsection. The 90-day Alternate  Source Demonstration period may be extended by the director for good cause. 
    (2) No statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this  section, for any of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event; the owner or operator may remain in detection monitoring and  include a discussion of the sampling results and statistical analysis in the  semi-annual or quarterly report required under subdivision E 2 c of this  section. 
    3. Assessment monitoring program. The owner or operator shall  implement the assessment monitoring program whenever a statistically  significant increase over background has been detected during monitoring  conducted under the detection monitoring program.
    a. Sampling requirements. Within 90 days of recognizing a  statistically significant increase over background for one or more of the  constituents listed in Table 3.1 Column A, the owner or operator shall, unless  in receipt of an approval to an Alternate Source Demonstration under  subdivision A 5 of this section or a director-approved extension, conduct the initial  assessment monitoring sampling event for the constituents found in Table 3.1  Column B. A minimum of one sample from each well installed under subdivision A  3 a of this section shall be collected and analyzed during the initial and all  subsequent annual Table 3.1 Column B sampling events.
    b. Director provisions: 
    (1) The owner or operator may request that the director  approve an appropriate subset of monitoring wells that may remain in detection  monitoring defined under subdivision 2 of this subsection, based on the results  of the initial, or subsequent annual Table 3.1 Column B sampling events.  Monitoring wells may be considered for the subset if:
    (a) They show no detections of Table 3.1 Column B constituents  other than those already previously detected in detection monitoring defined  under subdivision 2 of this subsection; and 
    (b) They display no statistically significant increases over  background for any constituents on the Table 3.1 Column A list. If an increase  is subsequently recognized in a well approved for the subset, the well shall no  longer be considered part of the detection monitoring subset. 
    (2) The owner or operator may request the director delete any  of the Table 3.1 Column B monitoring constituents from the assessment  monitoring program if the owner or operator demonstrates that the deleted  constituents are not reasonably expected to be in or derived from the waste. 
    (3) The director may specify an appropriate alternate  frequency for repeated sampling and analysis for the full set of Table 3.1  Column B constituents required by subdivision 3 a of this subsection during the  active life and postclosure care period based on the consideration of the  following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); 
    (e) Resource value of the aquifer; and 
    (f) Nature (fate and transport) of any constituents detected  in response to subdivision 3 f of this subsection. 
    c. Development of background. After obtaining the results from  the initial or subsequent annual sampling events required in subdivision 3 a of  this subsection, the owner or operator shall: 
    (1) Within 14 days, notify the department identifying the  Table 3.1 Column B constituents that have been detected; 
    (2) Within 90 days, and on at least a semi-annual basis  thereafter, resample all wells installed under subdivision A 3 a of this  section, conduct analyses for all constituents in Table 3.1 Column A as well as  those constituents in Column B that are detected in response to subdivision 3 a  of this subsection and subsequent Table 3.1 Column B sampling events as may be  required of this section, and report this data in the semi-annual or quarterly  report defined under subdivision E 2 c of this section;
    (3) Within 180 days of the initial sampling event, establish  background concentrations for any Table 3.1 Column B constituents detected  pursuant to subdivision B 3 a of this subsection. A minimum of four independent  samples from each well (background and downgradient) shall be collected and  analyzed to establish background for the detected constituents. 
    d. Establishment of groundwater protection standards. Within  30 days of establishing background under subdivision 3 c (3) of this  subsection, submit proposed groundwater protection standards for all  constituents detected under Assessment monitoring. The groundwater protection  standards shall be approved by the director in accordance with the provisions  of subdivision A 6 of this section. 
    e. Groundwater monitoring plan. No later than 60 days after  approval of the groundwater protection standard standards in  accordance with subdivision A 6 of this section, the owner or operator shall  submit an updated Groundwater Monitoring Plan that details the site monitoring  well network and sampling and analysis procedures undertaken during groundwater  monitoring events. The owner or operator shall additionally: 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, request a permit amendment modification  to incorporate the plan and related groundwater monitoring modules into the  landfill's permit in accordance with 9VAC20-81-600. The department may waive  the requirement for a permit amendment modification if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (2) If the 30-day timeframe specified in subdivision 3 e (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    f. Evaluation and response. 
    (1) If the concentrations of all Table 3.1 Column B constituents  are shown to be at or below background values, using the statistical procedures  in subsection D of this section, for two consecutive Table 3.1 Column B  sampling events, the owner or operator shall notify the director of this  finding in the semi-annual or quarterly monitoring report and may return to  detection monitoring defined under subdivision 2 of this subsection. 
    (2) If the concentrations of any Table 3.1 Column B  constituents are found to be above background values, but below the groundwater  protection standards established under subdivision A 6 of this section using  the statistical procedures in subsection D of this section, the owner or  operator shall continue in assessment monitoring in accordance with this  section and present the findings to the department in the semi-annual or  quarterly report. 
    (3) If one or more Table 3.1 Column B constituents are  detected at statistically significant levels above the groundwater protection  standard established under subdivision A 6 of this section using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Within 14 days of this finding, notify the department  identifying the Table 3.1 Column B constituents that have exceeded the  groundwater protection standard. The notification will include a statement that  within 90 days the owner or operator will either: 
    (i) Undertake characterization and assessment actions required  under 9VAC20-81-260 C 1; or 
    (ii) Submit an Alternate Source Demonstration as specified in  subdivision A 5 of this section. If a successful demonstration is made within  90 days, the owner or operator may continue monitoring in accordance with the  assessment monitoring program pursuant to subdivision 3 of this subsection. If  the 90-day period passes without demonstration approval, the owner or operator  shall comply with the actions under 9VAC20-81-260 C within the timeframes  specified unless the director has granted an extension to those timeframes. 
    (b) Describe the results in the semi-annual or quarterly report.  
    C. Monitoring for CDD, industrial, and State Monitoring  Program sanitary landfills. 
    1. Applicability. 
    a. Sanitary landfills. Owners or operators of sanitary  disposal facilities that have ceased to accept solid waste prior to the  federally imposed deadline of October 9, 1993, and or in the case  of a "small landfill" before April 9, 1994, are eligible, with the  director's approval, to conduct the state groundwater monitoring program  described in this section in lieu of the groundwater monitoring program  required under subdivision B 2 or 3 of this section. 
    b. CDD and industrial landfills. Owners or operators of CDD  and industrial landfills not subject to the federal groundwater monitoring  requirements prescribed under 40 CFR Parts 257 and 258 will shall  perform the groundwater monitoring described in this section. 
    c. Other landfills. All other landfills excluding sanitary  landfills, including those that accepted hazardous waste from conditionally  exempt small quantity generators after July 1, 1998, will shall  perform the groundwater monitoring described in this section. 
    2. First determination monitoring program. 
    a. Sampling requirements. A first determination monitoring  program shall consist of a background-establishing period followed by  semi-annual sampling and analysis for the constituents shown in Table 3.1  Column A at all wells installed under subdivision A 3 a of this section. Within  14 days of each event during first determination monitoring, notify the  department identifying the Table 3.1 Column A constituents that have been  detected. 
    b. Development of background. Within 360 days of the initial  first determination sampling event: 
    (1) Establish background concentrations for any constituents  detected pursuant to subdivision 2 a of this subsection. 
    (a) A minimum of four independent samples from each well  (background and downgradient) shall be collected and analyzed to establish  background concentrations for the detected constituents using the procedures in  subsection D of this section. 
    (b) In those cases where new wells are installed downgradient  of waste disposal units that already have received waste, but these wells have  not yet undergone their initial sampling event, collection of four independent  samples for background development will not be required. 
    (2) Within 30 days of completing the background calculations  required under subdivision 2 b (1) (a) of this subsection, submit a first  determination report, signed by a qualified groundwater scientist, to the  department which must include a summary of the background concentration data  developed during the background sampling efforts as well as the statistical  calculations for each constituent detected in the groundwater during the  background sampling events. 
    c. Semi-annual sampling and analysis. Within 90 days of the  last sampling event during the background-establishing period and at least  semi-annually thereafter, sample each monitoring well in the compliance network  for analysis of the constituents in Table 3.1 Column A. 
    d. Evaluation and response. Upon determination of site  background under subdivision 2 b (1) (a) of this subsection, the results of all  subsequent first determination monitoring events shall be assessed as follows: 
    (1) If no Table 3.1 Column A constituents are found to have entered  the groundwater at statistically significant levels over background, the owner  or operator shall:
    (a) Remain in first determination monitoring; and 
    (b) May request the director delete any Table 3.1 Column A  constituents from the semi-annual sampling list if the owner or operator  demonstrates that the proposed deleted constituents are not reasonably expected  to be in or derived from the waste. 
    (2) If the owner or operator recognizes a statistically  significant increase over background for any Table 3.1 Column A constituent,  within 14 days of this finding, the owner or operator shall notify the  department identifying the Table 3.1 Column A constituents that have exceeded  background levels. The notification will include a statement that within 90 days  the owner or operator will shall:
    (a) Initiate a Phase II sampling program; or 
    (b) Submit an Alternate Source Demonstration under subdivision  A 5 of this section. 
    (3) If a successful demonstration is made and approved within  the timeframes established under subdivision A 5 of this section, the owner or  operator may remain in First Determination monitoring. 
    (4) If a successful demonstration is not made and approved  within the timeframes established under subdivision A 5 of this section, the  owner or operator shall initiate Phase II monitoring in accordance with the  timeframes in subdivision C 3 of this section. The director may approve a  longer timeframe with appropriate justification. 
    3. Phase II monitoring. 
    a. Sampling requirements. The owner or operator shall:
    (1) Within 90 days of noting the exceedance over background  determined under subdivision C 2 d of this section, sample the groundwater in  all monitoring wells installed under subdivision A 3 a of this section for all  Table 3.1 Column B constituents; 
    (2) After completing the initial Phase II sampling event,  continue to sample and analyze groundwater on a semi-annual basis within the  Phase II monitoring program; 
    b. Background development. If no additional Table 3.1 Column B  constituents are detected other than those previously detected under Column A,  which already have established their background levels, the owner or operator  shall follow the requirements under subdivision 3 c of this subsection  regarding groundwater protection standard establishment while continuing to  sample for the Table 3.1 Column A list on a semi-annual basis. If one or more  additional Table 3.1 Column B constituents are detected during the initial  Phase II sampling event:
    (1) Within 360 days, establish a background value for each  additional detected Table 3.1 Column B constituent. 
    (2) Submit a Phase II Background report within 30 days of  completing the background calculations including a summary of the background  concentration data for each constituent detected in the groundwater during the  Table 3.1 Column B background sampling events.
    (3) If any detected Table 3.1 Column B constituent is  subsequently not detected for a period of two years, the owner or operator may  petition the director to delete the constituent from the list of detected Table  3.1 Column B constituents that must be sampled semi-annually. 
    c. Establishment of groundwater protection standards. No later  than:
    (1) Thirty days after submitting the Phase II Background  report required under the provisions of subdivision 3 b (2) of this subsection,  or within 30 days of obtaining the results from the initial Table 3.1 Column B  sampling event indicating no further sampling for background determination is  necessary, the owner or operator shall propose a groundwater protection  standard for all detected Table 3.1 constituents. 
    (2) The groundwater protection standard proposed shall be  established in a manner consistent with the provisions in subdivision A 6 of  this section. 
    d. Groundwater monitoring plan. No later than 60 days after  establishment of groundwater protection standards in accordance with  subdivision A 6 of this section, the owner or operator shall submit an updated  Groundwater Monitoring Plan that details the site monitoring well network and  sampling and analysis procedures undertaken during groundwater monitoring  events. The department may waive the requirement for an updated plan if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, the owner or operator shall request a permit amendment  modification to incorporate the updated plan and related groundwater  monitoring modules into the landfill's permit in accordance with 9VAC20-81-600.  
    (2) If the 30-day timeframe specified in subdivision 3 d (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    e. Evaluation and response. After each subsequent Phase II  monitoring event following establishment of groundwater protection standards,  the concentration of Table 3.1 Column B constituents found in the groundwater  at each monitoring well installed pursuant to subdivision A 3 a of this section  will be evaluated against the groundwater protection standards. The evaluation  will be presented to the department in a semi-annual Phase II report. The  evaluation will be as follows: 
    (1) If all Table 3.1 constituents are shown to be at or below  background values, using the statistical procedures in subsection D of this  section, for two consecutive Table 3.1 Column B sampling events, the owner or  operator shall notify the director of this finding in the semi-annual report  and may return to first determination monitoring; 
    (2) If any Table 3.1 Column B constituents are found to be  above background values, but are below the established groundwater protection  standard using the statistical procedures in subsection D of this section, the  owner or operator shall continue semi-annual Phase II monitoring and present  the findings in a semi-annual report; 
    (3) If one or more Table 3.1 Column B constituents are above  the established groundwater protection standard using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Notify the department within 14 days of this finding. The  notification will include a statement that within 90 days the owner or operator  will either: (i) undertake the characterization and assessment actions required  under 9VAC20-81-260 C 1; or (ii) submit an alternate source demonstration as  specified in subdivision A 5 of this section. If a successful demonstration is  made within 90 days, the owner or operator may continue monitoring in  accordance with Phase II monitoring program. If the 90-day period is exceeded,  the owner or operator shall comply with the timeframes of 9VAC20-81-260 C  unless the director has granted an extension to those timeframes; and
    (b) Present the findings in the semi-annual report. 
    D. Statistical methods and constituent lists. 
    1. Acceptable test methods. The following statistical test  methods may be used to evaluate groundwater monitoring data: 
    a. A parametric analysis of variance (ANOVA) followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's mean and the background mean levels  for each constituent. 
    b. An analysis of variance (ANOVA) based on ranks followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's median and the background median  levels for each constituent. 
    c. A tolerance or prediction interval procedure in which an  interval for each constituent is established from the distribution of the  background data, and the level of each constituent in each compliance well is  compared to the upper tolerance or prediction limit. 
    d. A control chart approach that gives control limits for each  constituent. 
    e. Another statistical test method that meets the performance  standards specified below. Based on the justification submitted to the  department, the director may approve the use of an alternative test. The  justification must demonstrate that the alternative method meets the  performance standards in subdivision 2 of this subsection. 
    2. Performance standards. Any statistical method chosen by the  owner or operator shall comply with the following performance standards, as  appropriate: 
    a. The statistical method used to evaluate groundwater  monitoring data shall be appropriate for the distribution of monitoring  parameters or constituents. If the distribution is shown by the owner or  operator to be inappropriate for a normal theory test, then the data shall be  transformed or a distribution-free theory test shall be used. If the  distributions for the constituents differ, more than one statistical method may  be needed. 
    b. If an individual well comparison procedure is used to  compare an individual compliance well constituent concentration with background  constituent concentrations or a groundwater protection standard, the test shall  be done at a Type I error level no less than 0.01 for each testing period. If a  multiple comparisons procedure is used, the Type I experiment-wise error rate  for each testing period shall be no less than 0.05; however, the Type I error  of no less than 0.01 for individual well comparisons must be maintained. 
    c. If a control chart approach is used to evaluate groundwater  monitoring data, the specific type of control chart and its associated  parameter values shall be protective of human health and the environment. The  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    d. If a tolerance interval or a predictional interval is used  to evaluate groundwater monitoring data, the levels of confidence and, for  tolerance intervals, the percentage of the population that the interval must  contain, shall be protective of human health and the environment. These  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    e. The statistical method shall account for data below the  limit of detection with one or more statistical procedures that are protective  of human health and the environment. Any estimated quantitation limit (EQL)  that is used in the statistical method shall be the lowest concentration level  that can be reliably achieved within specified limits of precision and accuracy  during routine laboratory operating conditions that are available to the  landfill. 
    f. If necessary, the statistical method shall include  procedures to control or correct for seasonal and spatial variability as well  as temporal correlation in the data.
    E. Recordkeeping and reporting. 
    1. Records pertaining to groundwater monitoring activities on  site shall be retained at a specified location by the owner or operator  throughout the active life and postclosure care period of the landfill, and  shall include at a minimum: 
    a. All historical groundwater surface elevation data obtained  from wells installed pursuant to subdivision A 3 a of this section; 
    b. All historical laboratory analytical results for  groundwater sampling events required under the groundwater monitoring programs  as described in this section; 
    c. All records of well installation, repair, or abandonment  actions; 
    d. All department correspondence to the landfill; and 
    e. All approved variances, well subsets, wetlands, or other  such director/department approvals. 
    2. Reporting requirements. 
    a. Annual report. 
    (1) An Annual Groundwater Monitoring Report shall be submitted  by the owner or operator to the department no later than 120 days from the  completion of sampling and analysis conducted under subdivision A 4 h of this  section for the second semi-annual event or fourth quarterly event during each  calendar year and shall by accompanied by:
    (a) A signature page; and 
    (b) A completed QA/QC DEQ Form ARSC-01.
    (2) The technical content of the annual report shall at a  minimum, contain the following topical content: 
    (a) The landfill's name, type, permit number, current owner or  operator, and location keyed to a USGS topographic map; 
    (b) Summary of the design type (i.e., lined versus unlined),  operational history (i.e., trench fill versus area fill), and size (acres) of  the landfill including key dates such as beginning and termination of waste  disposal actions and dates different groundwater monitoring phases were  entered;
    (c) Description of the surrounding land use noting whether any  adjoining land owners utilize private wells as a potable water source;
    (d) A discussion of the topographic, geologic, and hydrologic  setting of the landfill including a discussion on the nature of the uppermost  aquifer (i.e., confined versus unconfined) and proximity to surface waters;
    (e) A discussion of the monitoring wells network noting any  modifications that were made to the network during the year or any  nonperformance issues and a statement noting that the monitoring well network  meets (or did not meet) the requirements of subdivision A 3 of this section; 
    (f) A listing of the groundwater sampling events undertaken  during the previous calendar year; 
    (g) A historical table listing the detected constituents, and  their concentrations identified in each well during the sampling period; and
    (h) Evaluations of and appropriate responses to the  groundwater elevation data; groundwater flow rate as calculated using the prior  years elevation data; groundwater flow direction (as illustrated on a  potentiometric surface map); and sampling and analytical data obtained during  the past calendar year. 
    b. Semi-annual or quarterly report. 
    (1) After each sampling event has been completed for the 1st  semi-annual or first, second and third quarterly groundwater sampling events, a  semi-annual or quarterly monitoring report shall be submitted under separate  cover by the owner or operator to the department no later than 120 days from  the completion of sampling and analysis conducted under subdivision A 4 h of  this section, unless as allowed under a director-approved extension. The report  shall at a minimum contain the following items: 
    (a) Signature page signed by a professional geologist or  qualified groundwater scientist; 
    (b) Landfill name and permit number;
    (c) Statement noting whether or not all monitoring points  within the permitted network installed to meet the requirements of subdivision  A 3 a of this section were sampled as required under subdivision B 2 or 3 or C  2 or 3 during the event;
    (d) Calculated rate of groundwater flow during the sampling  period as required under subdivision A 4 c of this section;
    (e) The groundwater flow direction as determined during the  sampling period as required under subdivision A 4 c of this section presented  as either plain text or graphically as a potentiometric surface map;
    (f) Statement noting whether or not there were statistically  significant increases over background or groundwater protection standards  during the sampling period, the supporting statistical calculations, and  reference to the date the director was notified of the increase pursuant to  timeframes in subdivision B 2 or 3 or C 2 or 3, if applicable; 
    (g) Copy of the full Laboratory Analytical Report including  dated signature page (laboratory manager or representative) to demonstrate  compliance with the timeframes of subdivision A 4 h of this section. The  department will accept the lab report in CD-ROM format. 
    (2) In order to reduce the reporting burden on the owner or  operator and potential redundancy within the operating record, a discussion of  the second semi-annual or fourth quarterly sampling event results may be  presented in the Annual Report submission.
    c. Other submissions. Statistically significant increase  notifications, well certifications, the first determination report, alternate  source demonstration, nature and extent study, assessment of corrective  measures, presumptive remedy proposal, corrective action plan or monitoring  plan, or other such report or notification types as may be required under  9VAC20-81-250 or 9VAC20-81-260, shall be submitted in a manner which achieves  the timeframe requirements as listed in 9VAC20-81-250 or 9VAC20-81-260. 
         
                 |      TABLE 3.1      GroundWater Solid Waste Constituent Monitoring List       |    
       |      Column A – Common Name1, 2      |          Column B – Common Name1, 2      |          CAS RN3      |    
       |             |          Acenaphthene      |          83-32-9      |    
       |             |          Acenaphthylene      |          208-96-8      |    
       |      Acetone      |          Acetone      |          67-64-1      |    
       |             |          Acetonitrile; Methyl cyanide      |          75-05-8      |    
       |             |          Acetophenone      |          98-86-2      |    
       |             |          2-Acetylaminofluorene; 2-AAF      |          53-96-3      |    
       |             |          Acrolein      |          107-02-8      |    
       |      Acrylonitrile      |          Acrylonitrile      |          107-13-1      |    
       |             |          Aldrin      |          309-00-2      |    
       |             |          Allyl chloride      |          107-05-1      |    
       |             |          4-Aminobiphenyl      |          92-67-1      |    
       |             |          Anthracene      |          120-12-7      |    
       |      Antimony      |          Antimony      |          (Total)      |    
       |      Arsenic      |          Arsenic      |          (Total)      |    
       |      Barium      |          Barium      |          (Total)      |    
       |      Benzene      |          Benzene      |          71-43-2      |    
       |             |          Benzo[a]anthracene; Benzanthracene      |          56-55-3      |    
       |             |          Benzo[b]fluoranthene      |          205-99-2      |    
       |             |          Benzo[k]fluoranthene      |          207-08-9      |    
       |             |          Benzo[ghi]perylene      |          191-24-2      |    
       |             |          Benzo[a]pyrene      |          50-32-8      |    
       |             |          Benzyl alcohol      |          100-51-6      |    
       |      Beryllium      |          Beryllium      |          (Total)      |    
       |             |          alpha-BHC      |          319-84-6      |    
       |             |          beta-BHC      |          319-85-7      |    
       |             |          delta-BHC      |          319-86-8      |    
       |             |          gamma-BHC; Lindane      |          58-89-9      |    
       |             |          Bis(2-chloroethoxy)methane      |          111-91-1      |    
       |             |          Bis(2-chloroethyl) ether; Dichloroethyl ether      |          111-44-4      |    
       |             |          Bis(2-chloro-1-methylethyl) ether; 2, 2'-Dichlorodiisopropyl    ether; DCIP      |          108-60-1, See note 4      |    
       |             |          Bis(2-ethylhexyl)phthalate      |          117-81-7      |    
       |      Bromochloromethane;.Chlorobromomethane      |          Bromochloromethane;.Chlorobromomethane      |          74-97-5      |    
       |      Bromodichloromethane;.Dibromochloromethane      |          Bromodichloromethane;.Dibromochloromethane      |          75-27-4      |    
       |      Bromoform; Tribromomethane      |          Bromoform; Tribromomethane      |          75-25-2      |    
       |             |          4-Bromophenyl phenyl ether      |          101-55-3      |    
       |             |          Butyl benzyl phthalate; Benzyl butyl phthalate      |          85-68-7      |    
       |      Cadmium      |          Cadium Cadmium      |          (Total)      |    
       |      Carbon disulfide      |          Carbon disulfide      |          75-15-0      |    
       |      Carbon tetrachloride      |          Carbon tetrachloride      |          56-23-5      |    
       |             |          Chlordane      |          Note 5      |    
       |             |          p-Chloroaniline      |          106-47-8      |    
       |      Chlorobenzene      |          Chlorobenzene      |          108-90-7      |    
       |             |          Chlorobenzilate      |          510-15-6      |    
       |             |          p-Chloro-m-cresol; 4-Chloro-3-methylphenol      |          59-50-7      |    
       |      Chloroethane; Ethyl chloride      |          Chloroethane; Ethyl chloride      |          75-00-3      |    
       |      Chloroform; Trichloromethane      |          Chloroform; Trichloromethane      |          67-66-3      |    
       |             |          2-Chloronaphthalene      |          91-58-7      |    
       |             |          2-Chlorophenol      |          95-57-8      |    
       |             |          4-Chlorophenyl phenyl ether      |          7005-72-3      |    
       |             |          Chloroprene      |          126-99-8      |    
       |      Chromium      |          Chromium      |          (Total)      |    
       |             |          Chrysene      |          218-01-9      |    
       |      Cobalt      |          Cobalt      |          (Total)      |    
       |      Copper      |          Copper      |          (Total)      |    
       |             |          m-Cresol; 3-methyphenol      |          108-39-4      |    
       |             |          o-Cresol; 2-methyphenol      |          95-48-7      |    
       |             |          p-Cresol; 4-methyphenol      |          106-44-5      |    
       |             |          Cyanide      |          57-12-5      |    
       |             |          2,4-D; 2,4-Dichlorophenoxyacetic acid      |          94-75-7      |    
       |             |          4,4'-DDD      |          72-54-8      |    
       |             |          4,4'-DDE      |          72-55-9      |    
       |             |          4,4'-DDT      |          50-29-3      |    
       |             |          Diallate      |          2303-16-4      |    
       |             |          Dibenz[a,h]anthracene      |          53-70-3      |    
       |             |          Dibenzofuran      |          132-64-9      |    
       |      Dibromochloromethane; Chlorodibromomethane      |          Dibromochloromethane; Chlorodibromomethane      |          124-48-1      |    
       |      1,2-Dibromo-3-chloropropane; DBCP      |          1,2-Dibromo-3-chloropropane; DBCP      |          96-12-8      |    
       |      1,2-Dibrimoethane; Ethylene dibromide; EDB      |          1,2-Dibrimoethane; Ethylene dibromide; EDB      |          106-93-4      |    
       |             |          Di-n-butyl phthalate      |          84-74-2      |    
       |      o-Dichlorobenzene; 1,2-Dichlorobenzene      |          o-Dichlorobenzene; 1,2-Dichlorobenzene      |          95-50-1      |    
       |             |          m-Dichlorobenzene; 1,3-Dichlorobenzene      |          541-73-1      |    
       |      p-Dichlorobenzene; 1,4-Dichlorobenzene      |          p-Dichlorobenzene; 1,4-Dichlorobenzene      |          106-46-7      |    
       |             |          3,3'-Dichlorobenzidine      |          91-94-2      |    
       |      trans-1,4-Dichloro-2-butene      |          trans-1,4-Dichloro-2-butene      |          110-57-6      |    
       |             |          Dichlorodifluoromethane; CFC 12;      |          75-71-8      |    
       |      1.1-Dichloroethane; Ethylidene chloride      |          1,1-Dichloroethane; Ethylidene chloride      |          75-34-3      |    
       |      1,2-Dichloroethane; Ethylene dichloride      |          1,2-Dichloroethane; Ethylene dichloride      |          107-06-2      |    
       |      1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          75-35-4      |    
       |      cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          156-59-2      |    
       |      trans-1,2-Dichloroethylene      |          trans-1,2-Dichloroethylene; trans-1,2-Dichroroethene      |          156-60-5      |    
       |             |          2,4-Dichlorophenol      |          120-83-2      |    
       |             |          2,6-Dichlorophenol      |          87-65-0      |    
       |      1,2-Dichloropropane; Propylene dichloride      |          1,2-Dichloropropane; Propylene dichloride      |          78-87-5      |    
       |             |          1,3-Dichloropropane; Trimethylene dichloride      |          142-28-9      |    
       |             |          2, 2-Dichloropropane; isopropylidene chloride      |          594-20-7      |    
       |             |          1,1-Dichloropropene      |          563-58-6      |    
       |      cis-1,3-Dichloropropene      |          cis-1,3-Dichloropropene      |          10061-01-5      |    
       |      trans-1,3-Dichloropropene      |          trans-1,3-Dichloropropene      |          10061-02-6      |    
       |             |          Dieldrin      |          60-57-1      |    
       |             |          Diethyl phthalate      |          84-66-2      |    
       |             |          O,O-Diethyl O-2-pyrazinyl phosphorothioate; Thionazin      |          297-97-2      |    
       |             |          Dimethoate      |          60-51-5      |    
       |             |          p-(Dimethylamino)azobenzene      |          60-11-7      |    
       |             |          7,12-Dimethylbenz[a]anthracene      |          57-97-6      |    
       |             |          3,3'-Dimethylbenzidine      |          119-93-7      |    
       |             |          2,4-Dimethylphenol; m-Xylenol      |          105-67-9      |    
       |             |          Dimethyl phthalate      |          131-11-3      |    
       |             |          m-Dinitrobenzene      |          99-65-0      |    
       |             |          4,6-Dinitro-o-cresol; 4,6-Dinitro-2-methylphenol      |          534-52-1      |    
       |             |          2,4-Dinitrophenol      |          51-28-5      |    
       |             |          2,4-Dinitrotoluene      |          121-14-2      |    
       |             |          2,6-Dinitrotoluene      |          606-20-2      |    
       |             |          Dinoseb; DNBP; 2-sec-Butyl-4,6-dinitrophenol      |          88-85-7      |    
       |             |          Di-n-octyl phthalate      |          117-84-0      |    
       |             |          Diphenylamine      |          122-39-4      |    
       |             |          Disulfoton      |          298-04-4      |    
       |             |          Endosulfan I      |          959-96-8      |    
       |             |          Endosulfan II      |          33213-65-9      |    
       |             |          Endosulfan sulfate      |          1031-07-8      |    
       |             |          Endrin      |          72-20-8      |    
       |             |          Endrin aldehyde      |          7421-93-4      |    
       |      Ethylbenzene      |          Ethylbenzene      |          100-41-4      |    
       |             |          Ethyl methacrylate      |          97-63-2      |    
       |             |          Ethylmethanesulfonate      |          62-50-0      |    
       |             |          Famphur      |          52-85-7      |    
       |             |          Fluoranthene      |          206-44-0      |    
       |             |          Fluorene      |          86-73-7      |    
       |             |          Heptachlor      |          76-44-8      |    
       |             |          Heptachlor epoxide      |          1024-57-3      |    
       |             |          Hexachlorobenzene      |          118-74-1      |    
       |             |          Hexachlorobutadiene      |          87-68-3      |    
       |             |          Hexachlorocyclopentadiene      |          77-47-4      |    
       |             |          Hexachloroethane      |          67-72-1      |    
       |             |          Hexachloropropene      |          1888-71-7      |    
       |      2-Hexanone; Methyl butyl ketone      |          2-Hexanone; Methyl butyl ketone      |          591-78-6      |    
       |             |          Indeno[1,2,3-cd]pyrene      |          193-39-5      |    
       |             |          Isobutyl alcohol      |          78-83-1      |    
       |             |          Isodrin      |          465-73-6      |    
       |             |          Isophorone      |          78-59-1      |    
       |             |          Isosafrole      |          120-58-1      |    
       |             |          Kepone      |          143-50-0      |    
       |      Lead      |          Lead      |          (Total)      |    
       |             |          Mercury      |          (Total)      |    
       |             |          Methacrylonitrile      |          126-98-7      |    
       |             |          Methapyrilene      |          91-80-5      |    
       |             |          Methoxychlor      |          72-43-5      |    
       |      Methyl bromide; Bromomethane      |          Methyl bromide; Bromomethane      |          74-83-9      |    
       |      Methyl chloride; Chloromethane      |          Methyl chloride; Chloromethane      |          74-87-3      |    
       |             |          3-Methylcholanthrene      |          56-49-5      |    
       |      Methyl ethyl ketone; MEK; 2-Butanone      |          Methyl ethyl ketone; MEK; 2-Butanone      |          78-93-3      |    
       |      Methyl iodide; Iodomethane      |          Methyl iodide; Iodomethane      |          74-88-4      |    
       |             |          Methyl methacrylate      |          80-62-6      |    
       |             |          Methyl methanesulfonate      |          66-27-3      |    
       |             |          2-Methylnaphthalene      |          91-57-6      |    
       |             |          Methyl parathion; Parathion methyl methyl      |          298-00-0      |    
       |      4-Methyl-2-pentanone; Methyl isobutyl ketone      |          4-Methyl-2-pentanone; Methyl isobutyl ketone      |          108-10-1      |    
       |      Methylene bromide; Dibromomethane      |          Methylene bromide; Dibromomethane      |          74-95-3      |    
       |      Methylene chloride; Dichloromethane      |          Methylene chloride; Dichloromethane      |          75-09-2      |    
       |             |          Naphthalene      |          91-20-3      |    
       |             |          1,4-Naphthoquinone      |          130-15-4      |    
       |             |          1- Naphthylamine      |          134-32-7      |    
       |             |          2-Napthylamine      |          91-59-8      |    
       |      Nickel      |          Nickel      |          (Total)      |    
       |             |          o-Nitroaniline; 2-Nitroaniline      |          88-74-4      |    
       |             |          m-Nitroaniline; 3-Nitroaniline      |          99-09-2      |    
       |             |          p-Nitroaniline; 4-Nitroaniline      |          100-01-6      |    
       |             |          Nitrobenzene      |          98-95-3      |    
       |             |          o-Nitrophenol; 2-Nitrophenol      |          88-75-5      |    
       |             |          p-Nitrophenol; 4-Nitrophenol      |          100-02-7      |    
       |             |          N-Nitrosodi-n-butylamine      |          924-16-3      |    
       |             |          N-Nitrosodiethylamine      |          55-18-5      |    
       |             |          N-Nitrosodimethylamine      |          62-75-9      |    
       |             |          N-Nitrosodiphenylamine      |          86-30-6      |    
       |             |          N-Nitrosodipropylamine; N-Nitroso-N-dipropylamine;    Di-n-propylnitrosamine      |          621-64-7      |    
       |             |          N-Nitrosomethylethalamine      |          10595-95-6      |    
       |             |          N-Nitrosopiperidine      |          100-75-4      |    
       |             |          N-Nitrosopyrrolidine      |          930-55-2      |    
       |             |          5-Nitro-o-toluidine      |          99-55-8      |    
       |             |          Parathion      |          56-38-2      |    
       |             |          Pentachlorobenzene      |          608-93-5      |    
       |             |          Pentachloronitrobenzene      |          82-68-8      |    
       |             |          Pentachlorophenol      |          87-86-5      |    
       |             |          Phenacetin      |          62-44-2      |    
       |             |          Phenanthrene      |          85-01-8      |    
       |             |          Phenol      |          108-95-2      |    
       |             |          p-Phenylenediamine      |          106-50-3      |    
       |             |          Phorate      |          298-02-2      |    
       |             |          Polychlorinated biphenyls; PCBS; Aroclors      |          Note 6      |    
       |             |          Pronamide      |          23950-58-5      |    
       |             |          Propionitrile; Ethyl cyanide      |          107-12-0      |    
       |             |          Pyrene      |          129-00-0      |    
       |             |          Safrole      |          94-59-7      |    
       |      Selenium      |          Selenium      |          (Total)      |    
       |      Silver      |          Silver      |          (Total)      |    
       |             |          Silvex; 2,4,5-TP      |          93-72-1      |    
       |      Styrene      |          Styrene      |          100-42-5      |    
       |             |          Sulfide      |          18496-25-8      |    
       |             |          2,4,5-T; 2,4,5-Trichlorophenoxyacetic acid      |          93-76-5      |    
       |             |          1,2,4,5-Tetrachlorobenzene      |          95-94-3      |    
       |      1,1,1,2-Tetrachloroethane      |          1,1,1,2-Tetrachloroethane      |          630-20-6      |    
       |      1,1,2,2-Tetrachloroethane      |          1,1,2,2-Tetrachloroethane      |          79-34-5      |    
       |      Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          127-18-4      |    
       |             |          2,3,4,6-Tetrachlorophenol      |          58-90-2      |    
       |      Thallium      |          Thallium      |          (Total)      |    
       |             |          Tin      |          (Total)      |    
       |      Toluene      |          Toluene      |          108-88-3      |    
       |             |          o-Toluidine      |          95-53-4      |    
       |             |          Toxaphene      |          Note 7      |    
       |             |          1,2,4-Trichlorobenzene      |          120-82-1      |    
       |      1,1,1-Trichloroethane; Methychloroform      |          1,1,1-Trichloroethane; Methychloroform      |          71-55-6      |    
       |      1,1,2-Trichloroethane      |          1,1,2-Trichloroethane      |          79-00-5      |    
       |      Trichloroethylene; Trichloroethene ethene      |          Trichloroethylene; Trichloroethene ethane      |          79-01-6      |    
       |      Trichlorofluoromethane; CFC-11      |          Trichlorofluoromethane; CFC-11      |          75-69-4      |    
       |             |          2,4,5-Trichlorophenol      |          95-95-4      |    
       |             |          2,4,6-Trichlorophenol      |          88-06-2      |    
       |      1,2,3-Trichloropropane      |          1,2,3-Trichloropropane      |          96-18-4      |    
       |             |          O,O,O-Triethyl phosphorothioate      |          126-68-1      |    
       |             |          sym-Trinitrobenzene      |          99-35-4      |    
       |      Vanadium      |          Vanadium      |          (Total)      |    
       |      Vinyl acetate      |          Vinyl acetate      |          108-05-4      |    
       |      Vinyl chloride; Chloroethene      |          Vinyl chloride; Chloroethene      |          75-01-4      |    
       |      Xylene(total)      |          Xylene(total)      |          Note 8      |    
       |      Zinc      |          Zinc      |          (Total)      |    
  
    NOTES:
    1Common names are those widely used in government  regulations, scientific publications, and commerce; synonyms exist for many  chemicals.
    2The corresponding Chemical Abstracts Service Index  name as used in the 9th Collective Index, may be found in Appendix II of 40 CFR  258.
    3Chemical Abstracts Service Registry Number. Where  "Total" is entered, all species in the groundwater that contains this  element are included.
    4This substance is often called  Bis(2-chloroisopropyl) ether, the name Chemical Abstracts Service applies to  its noncommercial isomer, Propane, 2.2'-oxybis2-chloro (CAS RN 39638-32-9).
    5Chlordane: This entry includes alpha-chlordane (CAS  RN 5103-71-9), beta-chlordane (CAS RN 5103-74-2), gamma-chlordane (CAS RN  5566-34-7), and constituents of chlordane (CAS RN 57-74-9 and CAS RN  12739-03-6).
    6Polychlorinated biphenyls (CAS RN 1336-36-3); this  category contains congener chemicals, including constituents of Aroclor 1016  (CAS RN 12674-11-2), Aroclor 1221 (CAS RN 11104-28-2), Aroclor 1232 (CAS RN  11141-16-5), Aroclor 1242 (CAS RN 53469-21-9), Aroclor 1248 (CAS RN  12672-29-6), Aroclor 1254 (CAS RN 11097-69-1), and Arclor 1260 (CAS RN  11096-82-5).
    7Toxaphene: This entry includes congener chemicals  contained in technical toxaphene (CAS RN 8001-35-2), i.e., chlorinated  camphene.
    8Xylene (total): This entry includes o-xylene (CAS  RN 96-47-6), m-xylene (CAS RN 108-38-3), p-xylene (CAS RN 106-42-3), and  unspecified xylenes (dimethylbenzenes) (CAS RN 1330-20-7).
         
          9VAC20-81-260. Corrective action program.
    A. Corrective action is required whenever one or more  groundwater protection standard is exceeded at statistically significant  levels. An owner or operator of a landfill may elect to initiate corrective  action at any time; however, prior to such initiation, the appropriate  groundwater protection standards for all Table 3.1 constituents shall be  established consistent with 9VAC20-81-250 A 6. At any time during the  corrective action process, the owner or operator may elect to pursue, or the  director can determine that, interim measures as defined under subsection F of  this section are required in accordance with subdivision E 3 of this section.
    B. The director may require periodic progress reports when a  corrective action program is required but not yet implemented. At any time  during the corrective action process, the owner or operate may elect to pursue,  or the director can determine that, interim measures as defined under  subsection F of this section are required in accordance with subdivision E 3 of  this section. 
    C. Characterization and assessment requirements. 
    1. Upon notifying the department that one or more of the  constituents listed in Table 3.1 Column B has been detected at a statistically  significant level exceeding the groundwater protection standards, the owner or  operator shall, unless department approval of an Alternate Source Demonstration  has been received as noted under 9VAC20-81-250 B 3 f (3) (a) (ii) or  9VAC20-81-250 C 3 c (3) (a) (ii):
    a. Characterization. Within 90 days, install additional  monitoring wells as necessary including the installation of at least one  additional monitoring well at the facility boundary in the direction of  contaminant migration sufficient to define the vertical and horizontal  extent of the release of constituents at statistically significant levels  exceeding the groundwater protection standards including the installation of  at least one additional monitoring well at the facility boundary in the  direction of contaminant migration. 
    b. Notification. Notify all persons who own the land or reside  on the land that directly overlies any part of the release if contaminants have  migrated offsite as indicated by the results of sampling of the  characterization wells installed under subdivision 1 a of this subsection  within 15 days of completion of the characterization sampling and analysis  efforts. 
    c. Assessment. Within 90 days, initiate an assessment of  corrective measures or a proposal for presumptive remedy. 
    d. Financial assurance. Within 120 days, provide additional  financial assurance in the amount of $1 million to the department using the  mechanisms required in 9VAC20-70-140 of the Financial Assurance Requirements  for Solid Waste Disposal, Transfer, and Treatment Facilities. 
    e. Public meeting. Prior to submitting the document required  under subdivision 1 f of this subsection, schedule and hold a public meeting to  discuss the draft results of the corrective measures assessment or the proposal  for presumptive remedy, prior to the final selection of remedy. The meeting  shall be held to the extent practicable in the vicinity of the landfill. The  process to be followed for scheduling and holding the public hearing is  described under subdivision 4 of this subsection. 
    f. Submission requirements. Within 180 days, submit the  completed assessment of corrective measures defined under subdivision 3 of this  subsection, or the proposal for presumptive remedies defined under subdivision  2 of this subsection, including any responses to public comments received. 
    g. Director allowance. The submission timeframe noted in  subdivision 1 f of this subsection may be extended by the director for good cause  upon request of the owner or operator. 
    2. Presumptive remedy  allowance. 
    a. Applicability. To expedite corrective action, in lieu of an  analysis meeting the requirements of subdivision 3 of this subsection, the  owner or operator of any facility monitoring groundwater in accordance with  9VAC20-81-250 C may propose a presumptive remedy for the landfill. 
    b. Options. The presumptive remedy for solid waste landfills  shall be limited to one or more of the following: 
    (1) Containment of the landfill mass, including an impermeable  cap; 
    (2) Control of the landfill leachate; 
    (3) Control of the migration of contaminated groundwater; 
    (4) Collection and treatment of landfill gas; and 
    (5) Reduction of saturation of the landfill mass. 
    Containment may be selected as a sole or partial remedy until  a determination is made under subdivision F 1 of this section that another  remedy shall be employed to meet the requirements of subdivision G 1 of this  section concerning remediation completion. Upon recognition that presumptive  remedies may not be able to achieve the groundwater protection standards, an  assessment of corrective measures shall be initiated within 90 days.
    c. Restrictions. Presumptive remedies are not applicable to:
    (1) Landfills monitoring groundwater under the Federal  Subtitle D equivalent program defined under 9VAC20-81-250 B when the use of the  presumptive remedy will be the sole remedy applied to the groundwater release;  or
    (2) Landfills that may monitor groundwater under 9VAC20-81-250  C but that exhibit contamination beyond facility boundaries unless the proposed  presumptive remedy option under subdivision 2 b of this subsection can be  demonstrated to show it will address the reduction of contamination already  present beyond the facility boundary, and the demonstration is approved by the  department. 
    d. Submission requirements. Owner or operators who wish to  propose use of the presumptive remedy allowance shall submit with the proposal,  signed by a qualified groundwater professional, an: 
    (1) Assessment of risks resulting from the contamination at  the disposal unit boundary and at the facility boundary; 
    (2) Evaluation of the current trends in groundwater quality  data with respect to the established groundwater protection standards; and
    (3) Anticipated schedule for initiating and completing  presumptive remedy-based remedial activities. 
    e. Implementation. Upon conducting a public meeting as  required under subdivision 4 of this subsection, submitting a corrective action  monitoring plan meeting subdivision D 1 of this section, and amending modifying  the landfill permit in accordance with 9VAC20-81-600 F 2, the owner or operator  may proceed with the implementation of the remedy in accordance with  subdivision E 1 of this section. 
    f. Evaluation and response. The owner or operator shall  provide an evaluation of the performance of the implemented presumptive remedy  every three years, unless an alternate schedule is approved by the director, in  a Corrective Action Site Evaluation report containing, at a minimum, the  following information: 
    (a) A description of how the presumptive remedy is performing  with respect to the conditions in subdivision H 1 of this section;
    (b) Current and historical groundwater data and analysis; 
    (c) An evaluation of the changes seen in groundwater  contamination after the implementation of the remedy and a projection of when  the conditions in subdivision H 1 of this section will be achieved; and 
    (d) The progress toward achieving the schedule required in  subdivision C 2 d (3) of this section. 
    3. Assessment of corrective measures. 
    a. Purpose. The assessment shall include an analysis of the  effectiveness of several potential corrective measures in meeting all of the  requirements and objectives of the remedy as described under this subsection,  addressing at least the following: 
    (1) The performance, reliability, implementation ease, and  potential impacts of appropriate potential remedies, including safety impacts,  cross-media impacts, and control of exposure to any residual contamination; 
    (2) The time required to begin and complete the remedy; 
    (3) The costs of remedy implementation; and 
    (4) The institutional requirements such as state or local  permit requirements or other environmental or public health requirements that  may substantially affect implementation of the remedies. 
    b. Requirements. As part of the assessment of corrective  measures submitted to the department for review, the owner or operator must  demonstrate that one or more possible groundwater remedy has been evaluated for  potential application on site. These remedies may include a specific technology  or combination of technologies that achieve or may achieve the standards for  remedies specified in subdivision 3 c (1) of this subsection given appropriate  consideration of the factors specified in subdivision D 1 a of this section. 
    c. Selection of remedy. As part of submission of the  assessment of corrective measures document, the owner or operator shall select  a remedy that, at a minimum, meets the standards listed in subdivision H 1 of  this section. 
    (1) The selected remedies to be included in the corrective  action plan shall: 
    (a) Be protective of human health and the environment; 
    (b) Attain the groundwater protection standard as specified  pursuant to 9VAC20-81-250 A 6; 
    (c) Control the sources of releases so as to reduce or  eliminate, to the maximum extent practicable, further releases of solid waste  constituents into the environment that may pose a threat to human health or the  environment; and 
    (d) Comply with standards for management of wastes. 
    d. Evaluation and response. The department shall review the  assessment of corrective measures to evaluate the proposed remedy and may  require revisions to the assessment. If the assessment is approved without  revision, the department will notify the owner or operator to prepare a written  corrective action plan based on the proposed remedy and such plan will be  submitted within 180 days of the department's notification of approval of the  assessment of corrective measures. 
    4. Public meeting process. As part of the public meeting  process completed prior to the submission of a proposal for presumptive remedy  or assessment of corrective measures: 
    a. Newspaper notice. The owner or operator must publish a  notice once a week for two consecutive weeks in a major local newspaper of  general circulation inviting public comment on the results of the corrective  measures assessment or proposal for presumptive remedy as applicable. The  notice shall include: 
    (1) The name of the landfill, its location, and the date,  time, and place for the public meeting, and the beginning and ending dates for  the 30-day comment period. The public meeting shall be held at a time  convenient to the public. The comment period will begin on the date the owner  or operator publishes the notice in the local newspaper;
    (2) The name, telephone, and address of the owner's or  operator's representative who can be contacted by the interested persons to  answer questions or where comments shall be sent; 
    (3) Location where copies of the documentation to be submitted  to the department in support of the corrective measures assessment or proposal  of presumptive remedy can be viewed and copied prior to the meeting; 
    (4) A statement indicating that the need to perform the  corrective measures assessment or presumptive remedy is a result of a  statistically significant increase in one or more groundwater protection  standards; and 
    (5) A statement that the purpose of the public meeting is to  acquaint the public with the technical aspects of the proposal, describe how  the requirements of these regulations will be met, identify issues of concern,  facilitate communication, and establish a dialogue between the permittee and  persons who may be affected by the landfill.
    b. Document review. The owner or operator shall place a copy  of the report and supporting documentation in a location accessible to the  public during the public comment period in the vicinity of the proposed  landfill. 
    c. Meeting timeframe. The owner or operator shall hold a  public meeting within a timeframe that allows for the submission of a completed  assessment of corrective measures or presumptive remedy within 180 days of  notifying the department of a groundwater protection standard exceedance or as  granted under subdivision 1 g of this subsection. The meeting must be scheduled  and held:
    (1) No earlier than 15 days after the publication of the  notice; and
    (2) No later than seven days before the close of the 30-day  comment period.
    D. Corrective action plan and monitoring plan. 
    1. The owner or operator shall submit to the department a  Corrective Action Plan (CAP) and related Corrective Action Monitoring Plan  (CAMP) consistent with the findings as presented in the assessment of  corrective measures required under subdivision C 3 of this section, or proposal  for presumptive remedy described under subdivision C 2 of this section.
    a. Requirements. In preparing a proposed corrective action  plan, the owner or operator will consider the following evaluation factors: 
    (1) The long-term and short-term effectiveness and  protectiveness of the potential remedies, along with the degree of certainty  that the remedy will prove successful based on consideration of the following: 
    (a) Magnitude of reduction of existing risks; 
    (b) Magnitude of residual risks in terms of likelihood of  further releases due to waste remaining following implementation of a remedy; 
    (c) The type and degree of long-term management required,  including monitoring, operation, and maintenance; 
    (d) Short-term risks that might be posed to the community,  workers, or the environment during implementation of such a remedy, including  potential threats to human health and the environment associated with  excavation, transportation, and redisposal or containment; 
    (e) Time until full protection is achieved; 
    (f) Potential for exposure of humans and environmental  receptors to remaining wastes, considering the potential threat to human health  and the environment associated with excavation, transportation, re-disposal, or  containment; 
    (g) Long-term reliability of the engineering and institutional  controls; and 
    (h) Potential need for replacement of the remedy. 
    (2) The effectiveness of the remedy in controlling the source  to reduce further releases based on consideration of the following factors: 
    (a) The extent to which containment practices will reduce  further releases; 
    (b) The extent to which treatment technologies may be used; 
    (c) Magnitude of reduction of existing risks; and 
    (d) Time until full protection is achieved. 
    (3) The ease or difficulty of implementing a potential remedy  based on consideration of the following types of factors: 
    (a) Degree of difficulty associated with constructing the  technology; 
    (b) Expected operational reliability of the technologies; 
    (c) Need to coordinate with and obtain necessary approvals and  permits from other agencies; 
    (d) Availability of necessary equipment and specialists; and 
    (e) Available capacity and location of needed treatment,  storage, and disposal services. 
    (4) Practicable capability of the owner or operator, including  a consideration of the technical and economic capability. At a minimum the  owner or operator must consider capital costs, operation and maintenance costs,  net present value of capital and operation and maintenance costs, and potential  future remediation costs. 
    (5) Ensure that all solid wastes that are managed while  undergoing corrective action or an interim measure shall be managed in a  manner: 
    (a) That is protective of human health and the environment;  and 
    (b) That complies with all applicable federal and Virginia  requirements. 
    (6) The degree to which community concerns raised as the  result of the public meeting required by subdivision C 4 of this section are  addressed by the potential remedy. 
    b. Implementation and completion timeframes. The owner or  operator shall specify as part of the selected remedy a schedule for initiating  and completing remedial activities. Such a schedule shall require the  initiation of remedial activities within a reasonable period of time taking into  consideration the factors set forth in this section. The owner or operator  shall consider the following factors in determining the schedule of remedial  activities: 
    (1) Extent and nature Nature and extent of  contamination; 
    (2) Practical capabilities of remedial technologies in  achieving compliance with groundwater protection standards established under  9VAC20-81-250 A 6 and other objectives of the remedy; 
    (3) Availability of treatment or disposal capacity for wastes  managed during implementation of the remedy; 
    (4) Desirability of utilizing technologies that are not  currently available, but which may offer significant advantages over already  available technologies in terms of effectiveness, reliability, safety, or  ability to achieve remedial objectives; 
    (5) Potential risks to human health and the environment from  exposure to contamination prior to completion of the remedy; 
    (6) Resource value of the aquifer including: 
    (a) Current and future uses; 
    (b) Proximity and withdrawal rates of users; 
    (c) Groundwater quantity and quality; 
    (d) The potential damage to wildlife, crops, vegetation, and  physical structures caused by exposure to the waste constituents; 
    (e) The hydrological characteristics of the landfill and  surrounding land; 
    (f) Groundwater removal and treatment costs; and 
    (g) The cost and availability of alternate water supplies; 
    (7) Practical capability of the owner or operator; 
    (8) Timeframes for periodic progress reports during design,  construction, operation, and maintenance. Items to consider when preparing the  reports include but are not limited to: 
    (a) Progress of remedy implementation; 
    (b) Results of monitoring and sampling activities; 
    (c) Progress in meeting cleanup standards; 
    (d) Descriptions of remediation activities; 
    (e) Problems encountered during the reporting period and  actions taken to resolve problems; 
    (f) Work for next reporting period;
    (g) Copies of laboratory reports including drilling logs,  QA/QC documentation, and field data; and
    (9) Other relevant factors. 
    c. Corrective action monitoring program. Any groundwater  monitoring program to be employed during the corrective action process: 
    (1) Shall at a minimum, meet the requirements of the  applicable groundwater monitoring program described under 9VAC20-81-250 B 3 or  C 3; 
    (2) Shall determine the horizontal and vertical extent of the  plume of contamination for constituents at statistically significant levels  exceeding background concentrations; 
    (3) Can be used to demonstrate the effectiveness of the  implemented corrective action remedy; and 
    (4) Shall demonstrate compliance with the groundwater  protection standard established under 9VAC20-81-250 A 6. 
    2. The proposed corrective action plan shall be submitted to  the director for approval. Prior to rendering his approval, the director may: 
    a. Request an evaluation of one or more alternative remedies; 
    b Request technical modification of the monitoring program; 
    c. Request a change in the time schedule; or 
    d. Determine that the remediation of the release of Table 3.1  constituents is not necessary if the owner or operator demonstrates to the  satisfaction of the director that: 
    (1) The groundwater is additionally contaminated by substances  that have originated from a source other than the landfill in a demonstration  meeting the requirements of 9VAC20-81-250 A 5 and those substances are present  in concentrations such that cleanup of the release from the landfill would  provide no significant reduction in risk to actual or potential receptors;
    (2) The constituent is present in groundwater that is not  currently or reasonably expected to be a source of drinking water and not  hydraulically connected with waters to which the constituents are migrating or  are likely to migrate in a concentration that would exceed the groundwater  protection standards established;
    (3) Remediation of the release is technically impracticable;  or 
    (4) Remediation results in unacceptable cross-media impacts. 
    3. A determination by the director pursuant to subdivision 2 d  of this subsection shall not affect the authority of the state to require the  owner or operator to undertake source control measures or other measures that  may be necessary to eliminate or minimize further releases to the groundwater,  to prevent exposure to the groundwater, or to remediate the groundwater to  concentrations that are technically practicable and significantly reduce  threats to human health or the environment. 
    4. After an evaluation of the proposed or revised plan, the  director will: 
    a. Approve the proposed corrective action plan as written;
    b. Approve the proposed corrective action plan as modified by  the owner or operator;
    c. Proceed with the permit amendment modification  process in accordance with 9VAC20-81-600 F 2; or 
    d. Disapprove the proposed corrective action plan and undertake  appropriate containment or clean up actions in accordance with § 10.1-1402  (18) of the Virginia Waste Management Act. 
    E. Remedy implementation. Upon completion of the permit amendment  modification action described under subdivision D 4 c of this section,  the owner or operator shall: 
    1. Monitoring program. Implement a corrective action  groundwater monitoring program meeting the requirements of subdivision D 1 c of  this section;
    2. Remedy. Implement the remedy described in the Corrective  Action Plan and the Permit as amended under subdivision D 4 c of this section;  and 
    3. Interim measures. Take any interim measures necessary to  ensure the protection of human health and the environment as described in  subsection F of this section.
    F. Interim measures. 
    1. To the greatest extent practicable, interim measures shall  be consistent with the objectives of and contribute to the performance of any  remedy that may be required pursuant to meeting the groundwater protection  standard. 
    2. Should the director require interim measures pursuant to  this section, the director will notify the owner or operator of the necessary  actions required. Such actions will be implemented as soon as practicable in  accordance with a schedule as specified by the director. 
    3. The following factors shall be considered in determining  whether interim measures are necessary: 
    a. Timeframes. Time required to develop or implement a final  remedy; 
    b. Exposure. Actual or potential exposure of nearby  populations or environmental receptors to hazardous constituents; 
    c. Drinking water. Actual or potential contamination of  drinking water supplies; 
    d. Resource degradation. Further degradation of the  groundwater that may occur if remedial action is not initiated expeditiously; 
    e. Migration potential. Weather conditions that may cause the  constituents to migrate or be released; 
    f. Accident. Risks of fire or explosion, or potential for  exposure to constituents as a result of an accident or failure of a container  or handling system; and 
    g. Other. Situations including the presence of wastes or other  contaminants that may pose threats to human health, sensitive ecosystems, and  the environment. 
    G. Remedy performance. 
    1. The owner or operator shall provide an evaluation of the  performance of the remedy consistent with the timeframes established in the  permit and present the findings in a Corrective Action Site Evaluation report.  The evaluation shall describe the progress toward achieving the groundwater  protection standards since implementation of the remedy. 
    2. An owner or operator or the director may determine, based  on information developed after implementation of the remedy or other  information contained in the evaluation, that compliance with requirements of  subdivision H 1 of this section are not being achieved through the remedy  selected. In such cases, the owner or operator shall implement other methods or  techniques that could practicably achieve compliance with the requirements,  unless the owner or operator makes the determination under subdivision G 3 of  this section. 
    3. If the owner or operator determines that groundwater  protection standards cannot be practically achieved with any currently  available methods, the owner or operator shall, within 90 days of recognizing  that condition: 
    a. Submit a report, certified by a qualified groundwater  scientist, for director approval, that demonstrates that compliance with  groundwater protection standards established under 9VAC20-81-250 A 6 cannot be  practically achieved with any currently available groundwater remedial methods;  
    b. Upon receiving director approval under subdivision 2 a  3 a of this subsection, implement alternate measures to control exposure  of humans or the environment to residual contamination that will remain as a  result of termination of remedial actions, as necessary to protect human health  and the environment;
    c. Implement alternate measures for removal or decontamination  of any remediation-related equipment, units, devices, or structures that are: 
    (1) Technically practicable; and 
    (2) Consistent with the overall objective of the remedy; and
    d. At least 14 days prior to implementing the alternate  measures, Submit submit a request for approval to the director  describing and justifying the alternate measures to be applied. 
    H. Remedy completion.
    1. The groundwater remedy implemented under corrective action  shall be considered complete when: 
    a. The owner or operator complies with the groundwater  protection standards at all points within the plume of contamination that lie  at or beyond the disposal unit boundary by demonstrating that no Table 3.1  Column B constituents have exceeded groundwater protection standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards as described under 9VAC20-81-250 D; and
    b. All other actions required as part of the remedy have been  satisfied or completed, and the owner or operator obtains the certification  required under subdivision H 2 of this section. 
    2. Upon completion of the remedy, the owner or operator shall  notify the director within 14 days by submitting a certification that the  remedy has been completed in compliance with the requirements of the Corrective  Action Plan and the permit as amended modified under subdivision  D 4 c of this section. 
    3. The certification shall be signed by the owner or operator  and by a qualified groundwater scientist, and shall include all data relevant  to the demonstration of a successful remedy completion. 
    4. If the director, based on the review of information presented  under subdivision H 3 of this section, determines that:
    a. The corrective action remedy has been completed in  accordance with the requirements of the Corrective Action Plan, the permit as  amended, and subdivision H 1 of this section, the director will release the  owner or operator from the requirements for financial assurance for corrective  action under 9VAC20-70; or
    b. The remedy has not yet achieved completion, the owner or  operator shall remain in corrective action and meet the financial assurance requirements  until such time as a successful demonstration and certification can be made. 
    Part IV 
  Other Solid Waste Management Facility Standards: 
  Compost Facilities; Solid Waste Transfer Stations; Centralized Waste Treatment  Facilities; Materials Recovery Facilities; Waste to Energy; Incineration  Facilities; Surface Impoundments and Lagoons; Waste Piles; Remediation Waste  Management Units; Landfill Mining; Miscellaneous Units; and Exempt Management  Facilities
    9VAC20-81-300. General.
    A. Any person who designs, constructs, or operates any solid  waste treatment or storage facility not otherwise exempt under 9VAC20-81-35  D 9VAC20-81-95 shall comply with the requirements of this part. In  addition, this part sets forth conditions that yard waste composting facilities  must meet to maintain their exempt status, where applicable, under 9VAC20-81-95  D 6. Further, all applications pursuant to these standards shall demonstrate  specific means proposed for compliance with requirements set forth in this  part.
    B. All facilities, except exempted facilities, shall be  maintained and operated in accordance with the permit issued or permit-by-rule  status pursuant to this regulation. All facilities shall be maintained and  operated in accordance with the approved design and intended use of the  facility. 
    C. Hazardous wastes shall not be disposed or managed in  facilities subject to this regulation unless specified in the permit or by  specific approval of the executive director. 
    D. Solid waste management facilities regulated under this  part that place solid wastes or residues on site for disposal, or leave such  wastes or residues in place after closure, are subject to the provisions of  Part III (9VAC20-81-100 et seq.) of this chapter, including:
    1. Groundwater monitoring requirements in 9VAC20-81-250;
    2. Closure and postclosure care requirements in 9VAC20-81-160  and 9VAC20-81-170; and
    3. Permitting requirements of Part V (9VAC20-81-400 et seq.)  of this chapter.
    E. All other facilities shall close in accordance with the  closure plan prepared per the requirements described in this part and  9VAC20-81-480, as applicable.
    F. Control program for unauthorized waste. Facilities  managing solid waste per activities exempted under the provisions of  9VAC20-81-95 are not required to implement the control program for unauthorized  waste as provided in this section.
    1. Solid waste treatment or storage facilities regulated under  this part shall implement a control program for unauthorized waste in  accordance with the following provisions. The owner or operator of the facility  shall:
    a. Place a written description of the control program for  unauthorized waste in the facility's operating manual; 
    b. Institute a control program (including measures such as  signs at all maintained access points indicating hours of operation and the  types of solid waste accepted and not accepted, monitoring, alternate  collection programs, passage of local laws, etc.) to assure that only solid  waste authorized by the department to be managed at the solid waste management  facility is being managed there; and
    c. Develop and implement a program to teach the solid waste  management facility's staff to recognize, remove, and report receipt of solid  waste not authorized by the department to be managed at the solid waste  management facilities.
    2. If unauthorized waste is observed in the waste delivered to  the facility prior to unloading, the owner or operator may refuse to accept the  waste. If the unauthorized waste is observed in the waste delivered to the  facility, the owner or operator shall segregate it, notify the generator,  document the incident in the operating record, make necessary arrangements to  have the material managed in accordance with applicable federal and state laws,  and notify the department of the incident to include the means of proper  handling. If the unauthorized waste is accepted, the owner or operator shall  remove it, segregate it, and provide to the department a record identifying  that waste and its final disposition. Any unauthorized waste accepted by the  owner or operator shall be managed in accordance with applicable federal or  state laws and regulations. Unauthorized waste that has been segregated shall  be adequately secured and contained to prevent leakage or contamination to the  environment. The solid waste management facility owner or operator shall have  the unauthorized waste removed or properly managed as soon as practicable, but  not to exceed 90 days after discovery. Removal shall be by a person authorized  to transport such waste to a waste management facility approved to receive it  for treatment, disposal, or transfer.
    3. Owners or operators of waste to energy or incinerator  facilities receiving waste generated outside of Virginia shall also comply with  the increased random inspection provisions in 9VAC20-81-340 E 3.
    G. Solid waste management facilities regulated under this  part that store waste tires shall also adhere to the requirements of  9VAC20-81-640 for the waste tire storage. 
    9VAC20-81-397. Exempt yard waste composting facilities.
    A. Applicability.
    1. The standards in subsection B of this section apply to  persons who compost vegetative waste in a manner described in the conditional  exemption set forth at 9VAC20-81-95 D.
    2. The standards in subsection C of this section apply to  persons who operate small vegetative waste disposal units on their property.
    B. Composting of yard waste. Additional requirements for  managing conditionally exempt yard waste compost facilities, described under  9VAC20-81-95 D 6, are as follows: 
    1. Owners or operators of agricultural operational activities  that accept only yard waste generated offsite are exempt from all other  provisions of this chapter as applied to the composting activities provided  that:
    a. The total time for composting process and storage of  material that is being composted shall not exceed 18 months prior to its field  application or sale as a horticultural or agricultural product;
    b. No waste material other than yard waste is received;
    c. The total amount of yard waste received from offsite never  exceeds 6,000 cubic yards in any consecutive 12-month period;
    d. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;
    e. They pose no nuisance or present or potential threat to  human health or the environment; and
    f. Before receiving any waste, the owner submits a complete  DEQ Form YW-3:
    2. Owners or operators of agricultural operations that accept  only Category I yard waste feedstocks and manures from herbivorous  animals generated offsite are exempt from all other provisions of this chapter  as applied to the composting activities provided that:
    a. The composting area is located not less 300 feet from a  property boundary of a parcel owned or controlled by another person, is located  not less than 1,000 feet from an occupied dwelling not located on the same  property as the composting area, and is not located within an area designated  as a flood plain;
    b. The agricultural operation has at least one acre of ground  suitable to receive yard waste for each 150 cubic yards of finished compost;
    c. The total time for the composting process and storage of  material that is being composted or has been composted shall not exceed 18  months prior to the field application or sale as horticultural or agricultural  product;
    d. The owner or operator of any agricultural operation that  receives in any 12-month period (consecutive) more than 6,000 cubic yards of  waste generated from property not within the control of the owner or the  operator shall submit by April 1 each year to the director an annual report in  accordance with subdivision 4 of this subsection describing the volume and  types of yard waste received for composting by the operation between January 1  and December 31 of the preceding consecutive 12 months and shall certify that  the yard waste composting facility complies with local ordinances; 
    e. No waste material other than yard waste and manures from  herbivorous animals are received;
    f. The quantities of offsite manures from herbivorous animals  brought onsite are limited to achieve a carbon to nitrogen ratio of 25:1 to  40:1. All manures must be incorporated into the compost within 24 hours of  delivery. No offsite manures may be stored onsite; and
    g. Prior to the receipt of solid waste generated offsite, the  owner or operator of the agricultural operation intending to operate under this  exemption shall submit a complete DEQ Form YW-4.
    3. Owners or other persons authorized by the owner of real  property who receive only yard waste generated offsite for the purpose of  producing compost on said property shall be exempt from all requirements of  this chapter as applied to the composting activity provided that: 
    a. Not more than 500 cubic yards of yard waste generated  offsite is received at the owner's said property in any consecutive 12-month  period; 
    b. No compensation will be received, either directly or  indirectly, by the owner or other persons authorized by the owner of said  property from parties providing yard waste generated off said property; 
    c. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;  and 
    d. They pose no nuisance or present or potential threat to  human health or the environment.
    4. Owners or operators of an agricultural composting operation  in accordance with subdivision 2 of this subsection, who are exempt from the  permitting requirements in accordance with 9VAC20-81-95 D and who may receive  more than 6,000 cubic yards of yard waste generated from property not within  the control of the owner or operator in any 12-month period shall submit an  annual report on DEQ Form YW-2. The report shall describe the volume and  types of yard waste received for composting. Completion and filing of the form  by July 15 April 1 for activities in the preceding 12 months  (January 1 through December 31) constitutes compliance with the requirements.  The annual report shall be submitted on DEQ Form YW-2.
    C. Small disposal units for vegetative wastes from land  clearing. Additional requirements for managing small disposal units for  vegetative waste from land clearing as exempted under 9VAC20-81-95 D 17 are as  follows:
    Owners of real property who operate small waste disposal  units that qualify under all the conditions of this subsection shall be exempt  from other provisions, including permitting, of this chapter as applied to  those units provided:
    1. No person other than the owner of the real property shall  be exempt under this section.
    2. All owners of the real property who hold title to property  at the time the disposal unit is initially opened or during the time the unit  remains open (limited to two calendar years below) shall, in the exercise of  this exemption, accept responsibility for maintaining compliance of the unit  with all requirements of this chapter as set out in this exemption.
    3. The owner agrees that he shall not sell, give, or otherwise  transfer the responsibility for the unit's compliance to any other party  throughout its active life, the postclosure care period, and the corrective  action period, and that he shall remain the principal party responsible for the  compliance of the unit with this chapter. 
    4. Only units that are in compliance with all requirements of  this section shall qualify, and units that are not in compliance with all  requirements of this section shall not qualify or shall cease to qualify. Units  that qualify for this exemption shall comply with the following requirements:
    a. Only vegetative waste or yard waste shall be placed in the  disposal unit; however, grass trimmings or bulk leaves shall not be placed in  the disposal unit.
    b. The waste disposal unit shall not be larger than 0.50 acres  in size.
    c. The waste disposal unit shall not be located within 1,000  feet of any other waste disposal unit of any type, including other disposal  units exempted by this chapter.
    d. The waste disposal unit shall not be located within 150  feet of any existing building or planned building. The waste disposal unit  shall not be located within 50 feet of any existing or planned subdivision lot  that may be used for the erection of a building.
    e. The waste disposal unit shall not be located within 100  feet of a flowing stream; body of water; any well, spring, sinkhole, or  unstable geologic feature. Also, it shall not be located within 200 feet of any  groundwater source of drinking water.
    f. The waste disposal unit shall be constructed to separate  all waste by at least two feet vertically from the seasonal high water table.
    g. The waste disposal unit should not obstruct the scenic view  from any public road and should be graded to present a good appearance.
    h. Mounding of the waste disposal unit shall not reach an  elevation more than 20 feet above the original elevation of the terrain before  the disposal began. The elevation of the original terrain should be based on  the general area and not the bottom of ravines and small depressions in the  disposal area.
    i. The waste received by the waste disposal unit shall be  limited to the following:
    (1) Waste generated onsite;
    (2) Waste generated by clearing the path of a roadway or  appurtenances to the roadway when buried within the right-of-way of the roadway  (waste shall not be buried in the structural roadway prism) or adjacent land  under a permanent easement and the terms of the easement incorporate the  construction of the disposal unit; and
    (3) Waste from property that is owned by the owner of the  disposal unit, within the same construction project, and generated not more  than two miles from the unit.
    j. The waste disposal unit shall be closed two calendar years  from the date it first receives waste. The closure shall include cover with two  feet of compacted soil, grading for good appearance with slopes that prevent  erosion, and seeding or revegetation. During the life of the unit, earthen material  should be applied periodically to prevent excessive subsidence of the waste  disposal unit when closed. Sides of the finished unit shall be sloped to  prevent erosion, and slopes shall not be steeper than one vertical foot to  three horizontal feet.
    k. The location plat and legal description, as set out in  subdivision 4 p of this subsection, of all units that are not located wholly  within the bed or right-of-way of a public road shall be recorded in the deed  book for the property in the court of record prior to the first receipt of  waste. Waste disposal shall not be allowed within the structural roadway prism.
    l. The owner shall maintain continuous control of access to  all disposal units from the time they are opened until they are closed in  accordance with this section. The owner shall prevent fires and provide standby  equipment and supplies sufficient to easily suppress a fire. Brush and small  limbs that might provide tinder for a fire shall be covered at the end of the  work day with one foot of soil.
    m. The owner shall not be exempt from the CDD landfill  groundwater monitoring and corrective action requirements of 9VAC20-81-250 and  9VAC20-81-260, respectively, to include required monitoring during the  postclosure period.
    n. The owner shall not be exempt from the decomposition gas  monitoring and venting requirements of 9VAC20-81-210. The owner of a small  waste disposal unit shall comply in all respects with the decomposition gas  monitoring and venting requirements as established in this chapter.
    o. The owner shall not be exempt from any requirement of the  Financial Assurance Regulations For Solid Waste Disposal Facilities,  (9VAC20-70), and shall comply with all financial assurance requirements.
    p. At least six weeks before beginning construction of a  vegetative waste disposal unit, the owner of the real property shall notify in  writing the director, the governing board of the city, county, or town wherein  the property lies, and all property owners whose parcel will abut the area of  the proposed disposal unit. The notice shall give the names and legal addresses  of the owners, the type of unit to be developed, and the projected date of  initial construction of the unit. The owner shall include a plat and legal  description of the disposal unit's metes and bounds prepared and stamped by a  Virginia licensed land surveyor. The plat and description shall follow all  standard practice such as inclusion of the nearest existing intersection of  state roads and existing fixed survey markers in the vicinity.
    q. Unless otherwise designated, all monitoring and reporting  requirements shall begin at the initiation of the disposal operations and all  reports shall be sent to the department and the chief executive of the local  government. 
    9VAC20-81-470. Part B permit application for solid waste l  disposal facilities.
    Part B permit application requirements for all solid waste  disposal facilities regulated under Part III (9VAC20-81-100 et seq.) are  contained in this section. The Part B applications shall include the following  requirements and documentation: 
    A. Plans submitted as part of the Part B application shall  include the following: 
    1. Design plans. Design plans shall be certified by a  professional engineer and shall consist of, at least, the following: 
    a. A title sheet indicating the project title, who prepared  the plans, the person for whom the plans were prepared, a table of contents,  and a location map showing the location of the site and the area to be served. 
    b. An existing site conditions plans sheet indicating site  conditions prior to development. 
    c. A base grade plan sheet indicating site base grades or the  appearance of the site if it were excavated in its entirety to the base  elevation, before installation of any engineering modifications or the  beginning of any filing. 
    d. An engineering modification plan sheet indicating the  appearance of the site after installation of engineering modifications. More  than one plan sheet may be required for complicated sites. This plan is  required only for those sites with engineering modifications. 
    e. A final site topography plan sheet indicating the  appearance of the site, and final contours of the site at closing including the  details necessary to prepare the site for long-term care. 
    f. A series of phasing plan sheets showing the progression of  site development through time. At a minimum, a separate plan shall be provided  for initial site preparations and for each subsequent major phase or new area  where substantial site preparation must be performed. Each such plan shall  include a list of construction items and quantities necessary to prepare the  phase indicated. 
    g. A site monitoring plan showing the location of all devices  for the monitoring of leachate production, groundwater quality, and gas  production and venting. This plan shall include a table indicating the  parameters to be monitored for the frequency of monitoring before and during  site development. The groundwater monitoring plan shall include information as  applicable under 9VAC20-81-250 or 9VAC20-81-260. 
    h. A series of site cross-sections shall be drawn  perpendicular and parallel to the site base line at a maximum distance of 500  feet between cross-sections and at points of grade break and important  construction features. The location of the cross-sections shall be shown on the  plan sheets and the section labeled using the site grid system. Where  applicable, each cross-section shall show existing, proposed base and final  grades; soil borings and monitoring wells that the section passes through or is  adjacent to; soil types, bedrock and water table; leachate control, collection,  and monitoring systems; limits of filling for each major waste type; drainage  control structures; access roads and ramps on the site parameter perimeter  and within the active fill area; the filling sequence or phases; and other site  features. 
    i. Detailed drawings and typical sections for drainage control  structures, access roads, fencing, leachate and gas control systems, and  monitoring devices, buildings, signs, and other construction details. 
    j. Plan sheets shall include: 
    (1) A survey grid with base lines and bench marks to be used  for field control. 
    (2) Limits of filling for each major waste type or fill area. 
    (3) All drainage patterns and surface water drainage control  structures both within the actual fill area and at the site perimeter. Such  structures may include berms, ditches, sedimentation basins, pumps, sumps,  culverts, pipes, inlets, velocity breaks, sodding, erosion matting, or other  methods of erosion control. 
    (4) Ground surface contours at the time represented by the  drawing. Spot elevations shall be indicated for key features. 
    (5) Areas to be cleared and grubbed and stripped of topsoil. 
    (6) Borrow areas for liner materials, gas venting materials,  berms, roadway construction, daily cover, and final cover. 
    (7) All soil stockpiles including daily and final cover,  topsoil, liner materials, gas venting materials, and other excavation. 
    (8) Access roads and traffic flow patterns to and within the  active fill area. 
    (9) All temporary and permanent fencing. 
    (10) The methods of screening such as berms, vegetation, or  special fencing. 
    (11) Leachate collection, control, storage, and treatment  systems that may include pipes, manholes, trenches, berms, collection sumps,  storage units, pumps, risers, liners, and liner splices. 
    (12) Gas, leachate, and groundwater monitoring devices and  systems. 
    (13) Severe weather solid waste disposal areas. 
    (14) Support buildings, scale, utilities, gates, and signs. 
    (15) Special waste handling areas. 
    (16) Construction notes and references to details. 
    (17) Other site features. 
    2. Closure plan. A detailed closure plan be prepared and  submitted. Such a plan shall be prepared in two parts, one reflecting those  measures to be accomplished at the midpoint of the permit period, and the other  when the useful life of the landfill is reached. The plan shall show how the  facility will be closed to meet the requirements of 9VAC20-81-160 and  9VAC20-81-170. The plan shall include the procedures to be followed in closing  the site, sequence of closure, time schedules, final plans of completion of  closure to include final contours, and long-term care plan sheets showing the  site at the completion of closing and indicating those items anticipated to be  performed during the period of long-term care for the site. The plans shall  include a table listing the items and the anticipated schedule for monitoring  and maintenance. In many instances this information can be presented on the  final site topography sheet. 
    3. Postclosure plan. A postclosure care plan containing  long-term care information including a discussion of the procedures to be  utilized for the inspection and maintenance of: run-off control structures;  settlement; erosion damage; gas and leachate control facilities; monitoring for  gas, leachate, and groundwater; and other long-term care needs. 
    B. A design report shall be submitted, which shall include  supplemental discussions and design calculations, to facilitate department  review and provide supplemental information including the following  information: 
    1. The design report shall identify the project title;  engineering consultants; site owner, permittee and operator; proposed permitted  acreage; hours of operation; wastes to be accepted; site life; design capacity;  and the daily disposal limit. It shall also identify any variances desired by  the applicant.
    2. A discussion of the basis for the design of the major  features of the site, such as traffic routing, base grade and relationships to  subsurface conditions, anticipated waste types and characteristics, phases  development, liner design, leachate management system design, facility  monitoring, and similar design features shall be provided. A list of the  conditions of site development as stated in the department determination of  site feasibility and the measures taken to meet the conditions shall be  included. A discussion of all calculations, such as refuse-cover balance  computations, stockpile sizing estimates, estimate of site life, and run-off  and leachate volume estimates shall be included. The calculations shall be  summarized with the detailed equations presented in an appendix.
    3. Specifications, including detailed instructions to the site  operator for all aspects of site construction.
    a. Initial site preparations including specifications for  clearing and grubbing, topsoil stripping, other excavations, berm construction,  drainage control structures, leachate collection system, access roads and  entrance, screening, fencing, groundwater monitoring, and other special design  features.
    b. A plan for initial site preparation including a discussion  of the field measurements, photographs to be taken, sampling and testing  procedures to be utilized to verify that the in-field conditions encountered  were the same as those defined in the feasibility report, and to document that  the site was constructed according to the engineering plans and specifications  submitted for department approval.
    C. Financial assurance documentation. When required by the  Financial Assurance Regulations of Solid Waste Disposal, Transfer, and  Treatment Facilities (9VAC20-70), the applicant shall provide the completed  documentation to demonstrate compliance with those regulations; proof of  financial responsibility must be for the entity identified in accordance with  9VAC20-81-450 B 10.
    D. DEQ Form SW PTB (Part B Permit Application Form). The  applicant shall submit a completed DEQ Form SW PTB.
    9VAC20-81-485. Operations manual requirements for solid waste  management facilities.
    A. Solid waste disposal facilities. An operations manual  shall be prepared and maintained in the operating record. The operations manual  shall include a certification page signed by a responsible official. This  signature shall certify the manual meets the requirements of this chapter. This  manual shall be reviewed and recertified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements, and shall be made available for review by the department upon  request. The operations manual for disposal facility operation shall contain at  least the following plans: 
    1. An operations plan that at a minimum includes:
    a. Explanation of how the design and construction plans will  be implemented from the initial phase of operation until closure;
    b. Municipalities, industries, and collection and  transportation agencies served; 
    c. Waste types and quantities to be disposed; 
    d. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the operational requirements  of Part III (9VAC20-81-100 et seq.) of this chapter are achieved. References to  specifications on the plan sheet shall be pointed out as well as additional  instructions included, where appropriate. At a minimum, the plan specifications  shall include: 
    (1) Daily operations including a discussion of the timetable  for development, waste types accepted or excluded, inspection of incoming  waste, typical waste handling techniques, hours of operation, traffic routing,  drainage and erosion control, windy, wet and cold weather operations, fire  protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, direction of  filling, salvaging, recordkeeping, parking for visitors and employees,  monitoring, maintenance, closure of filled areas, gas and leachate control  methods, backup equipment with names and telephone numbers where equipment may  be obtained, and other special design features; 
    (2) Development of subsequent phases; and 
    (3) Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan. 
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part III (9VAC20-81-100 et seq.) of this chapter. 
    b. The frequency of inspection based on the rate of potential  equipment deterioration or malfunction and the probability of an adverse  incident occurring if the deterioration or malfunction goes undetected between  inspections. The plan shall establish the minimum frequencies for inspections  required in 9VAC20-81-140. This plan shall identify areas of the facility  subject to spills such as loading and unloading areas and areas in which  significant adverse environmental or health consequences may result if  breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the requirements of  9VAC20-81-140.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses, and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates. 
    6. A landscaping plan that shall:
    a. Delineate existing site vegetation to be retained;
    b. Discuss methods to be employed in order to ensure protection  of vegetation to be retained during the clearing, grading and construction  phases of the project and the supplemental vegetation to be planted; and 
    c. Information relating to vegetation type, location and  purpose, such as for buffer, screening or aesthetics, and schedules for  planting, shall accompany the plan. 
    B. Other solid waste management facilities. An operations  manual shall be prepared and maintained in the operating record. The Operations  Manual shall include a certification page signed by a responsible official.  This signature shall certify the manual meets the requirements of this chapter.  This manual shall be reviewed and re-certified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements and shall be made available to the department upon request. The  manual for facility operation shall contain at least the following plans:
    1. An operations plan that at a minimum includes:
    a. An explanation of how the design and construction plans  will be implemented from the initial phase of operation until closure.
    b. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the applicable operational  requirements of Part IV (9VAC20-81-300 et seq.) are achieved. Daily operations  including a discussion of the timetable for development, waste types accepted  or excluded, typical waste handling techniques, hours of operation, traffic  routing, drainage and erosion control, windy, wet and cold weather operations,  fire protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, salvaging,  record keeping, parking for visitors and employees, monitoring, backup equipment  with names and telephone numbers where equipment may be obtained, and other  special design features. The daily operations section of the operations manual  may be developed as a removable section to improve accessibility for the site  operator. 
    c. Development of subsequent phases of the facility, if  applicable.
    d. Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan.
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part IV (9VAC20-81-300 et seq.) of this chapter. 
    b. The frequency of inspection shall be based on the rate of  potential equipment deterioration or malfunction and the probability of an  adverse incident occurring if the deterioration or malfunction goes undetected  between inspections. The plan shall establish the minimum frequencies for  inspections required in 9VAC20-81-140 9VAC20-81-340. This plan  shall identify areas of the facility subject to spills such as loading and  unloading areas and areas in which significant adverse environmental or health  consequences may result if breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the applicable  requirements of 9VAC20-81-340.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates.
    9VAC20-81-490. Effect of the permit.
    A. A completed permit for a solid waste management facility  shall be prepared at the conclusion of the procedures outlined in  9VAC20-81-450. The permit shall be prepared in detail to establish the  construction requirements, monitoring requirements, operating limitations or  guides, waste limitations if any, and any other details essential to the  operation and maintenance of the facility and its closure. Before receipt of  waste by the facility, the applicant must: 
    1. Notify the department, in writing, that construction has been  completed; and submit to the department a letter from a professional engineer  certifying that the facilities have been completed in accordance with the  approved plans and specifications and is ready to begin operation. This  certification letter is in addition to the CQA certification required in  9VAC20-81-130 Q 3 and must be provided by a different individual than the CQA  certification. This certification letter is typically provided by the design  engineer. 
    2. Arrange for a department representative to inspect the site  and confirm that the site is ready for operation. 
    B. Certificate-to-Operate (CTO). Following review of a  complete CQA certification and site inspection the department shall issue a CTO  authorizing the facility to begin receiving waste. The facility shall not  receive waste until a CTO has been issued by the department. 
    C. Inspections. Each facility permitted to accept solid waste  requires periodic inspection and review of records and reports. Such  requirements shall be set forth in the final permit issued by the department.  The permit applicant by accepting the permit, agrees to the specified periodic  inspections. 
    D. Compliance with a valid permit during its term constitutes  compliance, for purposes of enforcement, with the Virginia Waste Management  Act. However, a permit may be modified, revoked and reissued, or revoked for  cause as set forth in 9VAC20-81-570 and 9VAC20-81-600. 
    E. The issuance of a permit does not convey any property  rights of any sort, or any exclusive privilege. 
    F. The issuance of a permit does not authorize any injury to  persons or property or invasion of other private rights, or any infringement of  federal, Commonwealth, or local law or regulations. 
    G. A permit may be transferred by the permittee to a new  owner or operator only if the permit has been revoked and reissued, or a minor  modification made to identify the new permittee and incorporate such other  requirements as may be necessary. Upon presentation of the financial assurance  proof required by 9VAC20-70 by the new owner, the department will release the  old owner from his closure and financial responsibilities and acknowledge  existence of the new or modified permit in the name of the new owner. 
    H. This section provides for the approval of permits or  permit modifications that include a time allowance for the permittee to achieve  the new standards contained in the approved permit or permit modification.
    1. The permit may specify a schedule of compliance leading to  compliance with this chapter. 
    a. Any schedules of compliance under this subsection shall  require compliance as soon as possible. 
    b. Except as otherwise provided, if a permit establishes a  schedule of compliance that exceeds one year from the date of permit issuance,  the schedule shall set forth interim requirements and the dates for their  achievement. 
    (1) The time between interim dates shall not exceed one year;  and 
    (2) If the time necessary for completion of any interim  requirement is more than one year and is not readily divisible into stages of  completion, the permit shall specify interim dates for the submission of  reports of progress toward completion of the interim requirements and indicate  a projected completion date. 
    c. The permit shall be written to require that no later than  14 days following each interim date and the final date of compliance, a  permittee shall notify the department, in writing, of his compliance or  noncompliance with the interim or final requirements. 
    2. A permit applicant or permittee may cease conducting  regulated activities (by receiving a terminal volume of solid waste, and, in  case of treatment or storage facilities, closing pursuant to applicable  requirements, or, in case of disposal facilities, closing and conducting  postclosure care pursuant to applicable requirements) rather than continue to  operate and meet permit requirements as follows: 
    a. If the permittee decides to cease conducting regulated  activities at a specified time for a permit that has already been issued: 
    (1) The permit may be modified to contain a new or additional  schedule leading to timely cessation of activities; or 
    (2) The permittee shall cease conducting permitted activities  before noncompliance with any interim or final compliance schedule requirement  already specified in the permit. 
    b. If the decision to cease conducting regulated activities is  made before the issuance of a permit whose terms will include the termination  date, the permit shall contain a schedule leading to termination that will  ensure timely compliance with applicable requirements. 
    c. If the permittee is undecided whether to cease conducting  regulated activities, the director may issue or modify a permit to continue two  schedules as follows: 
    (1) Both schedules shall contain an identical interim deadline  requiring a final decision on whether to cease conducting regulated activities  no later than a date that ensures sufficient time to comply with applicable  requirements in a timely manner if the decision is to continue conducting  regulated activities; 
    (2) One schedule shall lead to timely compliance with  applicable requirements; 
    (3) The second schedule shall lead to cessation of regulated  activities by a date that will ensure timely compliance with applicable  requirements; and
    (4) Each permit containing two schedules shall include a  requirement that, after the permittee has made a final decision, he shall  follow the schedule leading to compliance if the decision is to continue  conducting regulated activities, and follow the schedule leading to termination  if the decision is to cease conducting regulated activities. 
    d. The applicant's decisions to cease conducting regulated  activities shall be evidenced by a firm public commitment satisfactory to the  department, such as a resolution of the board of directors of a corporation.
    9VAC20-81-530. Recording and reporting required of a permitee  permittee.
    A. A permit shall specify: 
    1. Required monitoring, including type, intervals and  frequency, sufficient to yield data that are representative of the monitored  activity; 
    2. Requirements concerning the proper use, maintenance, and  installation of monitoring equipment or methods, including biological  monitoring methods when appropriate; and
    3. Applicable reporting requirements based upon the impact of  the regulated activity and as specified in this chapter. 
    B. A permittee shall be subject to the following whenever  monitoring is required by the permit: 
    1. The permittee shall retain records at the permitted  facility or another location approved by the department. Records shall include  all records required by the facility permit, these regulations, or other  applicable regulations. Records of all required monitoring information,  including all calibration and maintenance records will be maintained for at  least three years from the sample or measurement date. The director may request  that this period be extended. For operating landfills, records of the most  recent gas and groundwater monitoring event will be maintained at the facility.  
    2. Records of monitoring information shall include: 
    a. The date, exact place, and time of sampling or  measurements; 
    b. The individuals who performed the sampling or measurements;  
    c. The dates analyses were performed; 
    d. The individuals who performed the analyses; 
    e. The analytical techniques or methods used; and 
    f. The results of such analyses. 
    3. Required monitoring results shall be maintained on file for  inspection by the department. 
    C. A permittee shall be subject to the following reporting  requirements: 
    1. Written notice of any planned physical alterations to the  permitted facility shall be submitted to the department and approved before  such alterations are to occur, unless such items were included in the plans and  specifications approved by the department.
    2. Reports of compliance or noncompliance with, or any  progress reports on, interim and final requirements contained in any compliance  schedule of the permit, shall be submitted no later than 14 days following each  schedule date. 
    3. The permittee shall report to the department any  noncompliance or unusual condition that may endanger health or environment. Any  information shall be provided orally within 24 hours from the time the  permittee becomes aware of the circumstances. A written submission shall also  be provided within five days of the time the permittee becomes aware of the  circumstances. The written submission shall contain a description of the  circumstances and its cause; the period of occurrence, including exact dates  and times, and, if the circumstance has not been corrected, the anticipated time  it is expected to continue. It shall also contain steps taken or planned to  reduce, eliminate, and prevent reoccurrence of the circumstances resulting in  an unusual condition or noncompliance. 
    D. Copies of all reports required by the permit, and records  of all data used to complete the permit application must be retained by the  permittee for at least three years from the date of the report or application.  The director may request that this period be extended. 
    E. When the permittee becomes aware that he failed to submit  any relevant facts or submitted incorrect information in a permit application  or in any report to the director, he shall promptly submit such omitted facts  or the correct information with an explanation.
    9VAC20-81-600. Modification of permits.
    A. Permits may be modified at the request of any interested  person or upon the director's initiative. However, permits may only be modified  for the reasons specified in subsections E and F of this section. All requests  shall be in writing and shall contain facts or reasons supporting the request.  Any permit modification authorizing expansion of an existing sanitary landfill  shall incorporate the conditions required for a disposal capacity guarantee in  § 10.1-1408.1 P of the Code of Virginia. This provision does not apply to  permit applications from one or more political subdivisions that will only  accept waste from within those political subdivisions' jurisdiction or  municipal solid waste generated within other political subdivisions pursuant to  an interjurisdictional agreement. 
    B. If the director decides the request is not justified, he  shall send the requester a response providing justification for the decision. 
    C. If the director tentatively decides to modify, he shall  prepare a draft permit incorporating the proposed changes. The director may  request additional information and may require the submission of an updated  permit application. In a permit modification under subsection E of this  section, only those conditions to be modified shall be reopened when a new  draft permit is prepared. All other aspects of the existing permit shall remain  in effect. During any modification proceeding the permittee shall comply with  all conditions of the existing permit until the modified permit is issued. 
    D. When the director receives any information, he may  determine whether or not one or more of the causes listed for modification  exist. If cause exists, the director may modify the permit on his own  initiative subject to the limitations of subsection E of this section and may  request an updated application if necessary. If a permit modification satisfies  the criteria in subsection F of this section for minor modifications, the  permit may be modified without a draft permit or public review. Otherwise, a  draft permit shall be prepared and other appropriate procedures followed. 
    E. Causes for modification. The director may modify a permit  upon his own initiative or at the request of a third party: 
    1. When there are material and substantial alterations or  additions to the permitted facility or activity that occurred after permit  issuance that justify the application of permit conditions that are different  or absent in the existing permit; 
    2. When there is found to be a possibility of pollution  causing significant adverse effects on the air, land, surface water, or  groundwater; 
    3. When an investigation has shown the need for additional  equipment, construction, procedures and testing to ensure the protection of the  public health and the environment from adverse effects; 
    4. If the director has received information pertaining to  circumstances or conditions existing at the time the permit was issued that was  not included in the administrative record and would have justified the  application of different permit conditions, the permit may be modified  accordingly if in the judgment of the director such modification is necessary  to prevent significant adverse effects on public health or the environment; 
    5. When the standards or regulations on which the permit was  based have been changed by promulgation of amended standards or regulations or  by judicial decision after the permit was issued; 
    6. When the director determines good cause exists for  modification of a compliance schedule, such as an act of God, strike, flood, or  material shortage or other events over which the permittee has little or no  control and for which there is no reasonably available remedy; 
    7. When a modification of a closure plan is required under  9VAC20-81-160 or 9VAC20-81-360 and the permittee has failed to submit a permit  modification request within the specified period; 
    8. When the corrective action program specified in the permit  under 9VAC20-81-260 has not brought the facility into compliance with the  groundwater protection standard within a reasonable period of time; or 
    9. When cause exists for revocation under 9VAC20-81-570 and  the director determines that a modification is more appropriate. 
    F. Permit modification at the request of the permittee. 
           |      TABLE 5.2     PERMIT MODIFICATIONS      |    
       |      MAJOR      |          1. Implementation of a groundwater corrective action program    as required by 9VAC20-81-260      |    
       |      2. Change in the remedy applied as part of the groundwater    corrective action program      |    
       |      3. Groundwater monitoring plan for an existing facility    where no written plan has previously been provided      |    
       |      4. Changes to the design of final closure cover      |    
       |      5. Landfill mining      |    
       |      6. Reduction in the postclosure care period      |    
       |      7. Changes in postclosure use of the property with    disturbance of cover      |    
       |      8. All new or modifications of a leachate collection tank or    a leachate collection surface impoundment      |    
       |      9. Addition of new landfill units      |    
       |      10. Expansion or increase in capacity      |    
       |      11. Increase in daily disposal limit      |    
       |      12. Addition or modification of a liner, leachate collection    system, leachate detection system      |    
       |      13. Incorporation or modification of a Research,    Development, and Demonstration Plan       |    
       |      MINOR      |          Any change not specified as    major modification (above) or a permittee change (below)      |    
       |      PERMITTEE CHANGE      |          1. Correction of typographical errors      |    
       |      2. Equipment replacement or upgrade with functionally    equivalent components      |    
       |      3. Replacement of an existing leachate tank with a tank that    meets the same design standards and has a capacity within +/-10% of the    replaced tank      |    
       |      4. Replacement with functionally equivalent, upgrade, or    relocation of emergency equipment      |    
       |      5. Changes in name, address, or phone number of contact    personnel      |    
       |      6. Replacement of an existing well that has been damaged or    rendered nonoperable, without change to location, design, or depth of the    well      |    
       |      7. Changes to the expected year of final closure, where    other permit conditions are not changed      |    
       |      8. Changes in postclosure use of the property, without    disturbance of the cover      |    
       |      9. Modification of a leachate tank management practice      |    
  
    1. Permittee change. Items listed under Permittee Change in  Table 5.2 may be implemented without approval of the department. If a permittee  changes such an item, the permittee shall: 
    a. Notify the department of the change at least 14 calendar  days before the change is put into effect, indicating the affected permit  conditions; and
    b. Notify the governing body of the county, city, or town in  which the facility is located, within 90 calendar days after the change is put  into effect.
    2. Minor modifications. 
    a. Minor modifications apply to minor changes that keep the  permit current with routine changes to the facility or its operation. These  changes do not substantially alter the permit conditions or reduce the capacity  of the facility to protect human health or the environment.
    b. Minor modifications may be requested for changes that will  result in a facility being more protective of human health and the environment  or equivalent to the standards contained in this chapter, unless otherwise  noted in Table 5.2. The request for such a minor permit modification will be  accompanied by a description of the desired change and an explanation of the  manner in which the health and environment will be protected in a greater  degree than required by the chapter.
    c. Minor permit modifications may be made only with the prior  written approval of the department. The permittee shall notify the department  that a minor modification is being requested. Notification of the department  shall be provided by certified mail or other means that establish proof of  delivery. This notice shall specify the changes being made to permit conditions  or supporting documents referenced by the permit and shall  include an  explanation of why they are necessary. Along with the notice, the permittee  shall provide the applicable information required by 9VAC20-81-460 and  9VAC20-81-470 or as required by 9VAC20-81-480.
    d. The permittee shall send a notice of the modification to  the governing body of the county, city or town in which the facility is  located. This notification shall be made within 90 days after the department  approves the request. 
    3. Major modifications. 
    a. Major modifications substantially alter the facility or its  operation. Major modifications are listed in Table 5.2. 
    b. The permittee shall submit a modification request to the  department that: 
    (1) Describes the exact change to be made to the permit  conditions and supporting documents referenced by the permit; 
    (2) Identifies that the alteration is a major modification; 
    (3) Contains an explanation of why the modification is needed;  and
    (4) Provides the applicable information required by  9VAC20-81-460 and 9VAC20-81-470 or as required by 9VAC20-81-480. 
    c. No later than 90 days after receipt of the notification  request, the director will determine whether the information submitted under  subdivision  3 b (4) of this subsection is adequate to formulate a  decision. If found to be inadequate, the permittee will be requested to furnish  additional information within 30 days of the request by the director to complete  the modification request record. The 30-day period may be extended at the  request of the applicant. After the completion of the record, the director will  either: 
    (1) Approve the modification request, with or without changes,  and draft a permit modification accordingly;
    (2) Deny the request; or 
    (3) Approve the request, with or without changes, as a  temporary authorization having a term of up to 180 days in accordance with  subdivision 3 of this subsection. 
    d. If the director proposes to approve the permit  modification, he will proceed with the permit issuance in accordance with  9VAC20-81-450 E. 
    e. The director may deny or change the terms of a major permit  modification request under subdivision  F 3 b of this section for the  following reasons: 
    (1) The modification request is incomplete; 
    (2) The requested modification does not comply with the  appropriate requirements of Part III (9VAC20-81-100 et seq.) or Part IV  (9VAC20-81-300 et seq.) of this chapter or other applicable requirements; or 
    (3) The conditions of the modification fail to protect human  health and the environment. 
    4. Temporary authorizations. 
    a. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of subdivision  4 of this subsection.  Temporary authorizations shall have a term of not more than 180 days. 
    b. (1) The permittee may request a temporary authorization for  any major modification that meets the criteria in subdivision 4 c (2) (a) or  (b) of this subsection; or that meets the criteria in subdivision 4 c (2) (c)  and (d) of this subsection and provides improved management or treatment of a  solid waste already listed in the facility permit. 
    (2) The temporary authorization request shall include: 
    (a) A description of the activities to be conducted under the  temporary authorization; 
    (b) An explanation of why the temporary authorization is  necessary; and 
    (c) Sufficient information to ensure compliance with Part III  (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et seq.) standards. 
    (3) The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven days of submission of the authorization  request. 
    c. The director shall approve or deny the temporary  authorization as quickly as practical. To issue a temporary authorization, the  director shall find: 
    (1) The authorized activities are in compliance with the  standards of Part III (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et  seq.) of this chapter. 
    (2) The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an modification  request: 
    (a) To facilitate timely implementation of closure or  corrective action activities; 
    (b) To prevent disruption of ongoing waste management  activities; 
    (c) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (d) To facilitate other changes to protect human health and  the environment. 
    d. A temporary authorization may be reissued for one  additional term of up to 180 days provided that the permittee has requested a  major permit modification for the activity covered in the temporary  authorization, and the director determines that the reissued temporary  authorization involving a major permit modification request is warranted to  allow the authorized activities to continue while the modification procedures  of subdivision 2 3 of this subsection are conducted. 
    5. The director's decision to grant or deny a permit  modification request under subdivision of this subsection may be appealed under  the case decision provisions of the Virginia Administrative Process Act  (§ 2.2-4000 et seq. of the Code of Virginia). 
    6. Newly defined or identified wastes. The permitted facility  is authorized to continue to manage wastes defined or identified as solid waste  under 9VAC20-81-95 if: 
    a. It was in existence as a solid waste management facility  with respect to the newly defined or identified solid waste on the effective  date of the final rule defining or identifying the waste; and 
    b. It is in compliance with the standards of Part III  (9VAC20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, submits a minor modification request  on or before the date on which the waste becomes subject to the new  requirements; or 
    c. It is not in compliance with the standards of Part III  (9VAC 20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, also submits a complete permit  modification request within 180 days after the effective date of the definition  or identifying the waste. 
    7. Research, development and demonstration plans. Research,  development and demonstration (RDD) plans may be submitted for sanitary  landfills that meet the applicability requirements. These plans shall be  submitted as a major permit modification application for existing sanitary  landfills or as a part of the Part B application for new sanitary landfills.
    a. Applicability.
    (1) RDD shall be restricted to permitted sanitary landfills  designed with a composite liner system, as required by 9VAC20-81-130 J 1. The  effectiveness of the liner system and leachate collection system shall be  demonstrated in the plan and shall be assessed at the end of the testing period  in order to compare the effectiveness of the systems to the start of the RDD  testing period.
    (2) Operating permitted sanitary landfills that have exceeded  groundwater protection standards at statistically significant levels in  accordance with 9VAC20-81-250 B, from any waste unit on site shall have  implemented a remedy in accordance with 9VAC20-81-260 C prior to the RDD plan  submittal. Operating permitted sanitary landfills that have an exceedance in  the concentration of methane gas migrating from the landfill in accordance with  9VAC20-81-200 shall have a gas control system in place per 9VAC20-81-200 B  prior to the RDD plan submittal. 
    (3) An owner or operator of a sanitary landfill that disposes  of 20 tons of municipal solid waste per day or less, based on annual average,  may not apply for a modification to include a RDD plan.
    (4) The sanitary landfill shall have a leachate collection  system designed and constructed to maintain less than a 30 cm depth of leachate  on the liner.
    b. Requirements.
    (1) RDD Plans may be submitted for activities such as:
    (a) The addition of liquids in addition to leachate and gas  condensate from the same landfill for accelerated decomposition of the waste  mass; prior to the RDD Plan submittal.
    (b) Allowing run-on water to flow into the landfill waste  mass; and
    (c) Allowing testing of the construction and infiltration  performance of alternative final cover systems. An RDD plan may be proposed  for; and
    (d) For other measures to be taken to enhance  stabilization of the waste mass.
    (2) No landfill owner or operator may continue to implement an  RDD plan beyond any time limit placed in the initial plan approval or any  renewal without issuance of written prior approval by the department.  Justification for renewals shall be based upon information in annual and final  reports as well as research and findings in technical literature.
    (3) RDD plans may not include changes to the approved design  and construction of subgrade preparation, liner system, leachate collection and  removal systems, final cover system, gas and leachate systems outside the  limits of waste, run-off controls, run-on controls, or environmental monitoring  systems exterior to the waste mass.
    (4) Implementation of an approved RDD plan shall comply with  the specific conditions of the RDD Plan as approved in the permit for the  initial testing period and any renewal.
    (5) Structures and features exterior to the waste mass or  waste final grades shall be removed at the end of the testing period, unless  otherwise approved by the department in writing.
    (6) The RDD plan may propose an alternate final cover  installation schedule.
    c. An RDD plan shall include the following details and  specifications. Processes other than adding liquids to the waste mass and  leachate recirculation may be practiced in conjunction with the RDD plan.
    (1) Initial applications for RDD plans shall be submitted for  review and approval prior to the initiation of the process to be tested. These  plans shall specify the process that will be tested, describe preparation and  operation of the process, describe waste types and characteristics that the  process will affect, describe desired changes and end points that the process  is intended to achieve, define testing methods and observations of the process  or waste mass that are necessary to assess effectiveness of the process, and  include technical literature references and research that support use of the  process. The plans shall specify the time period for which the process will be  tested. The plans shall specify the additional information, operating  experience, data generation, or technical developments that the process to be  tested is expected to generate. 
    (2) The test period for the initial application shall be  limited to a maximum of three years.
    (3) Renewals of testing periods shall be limited to a maximum  of three years each. The maximum number of renewals shall be limited to three.
    (4) Renewals shall require department review and approval of  reports of performance and progress on achievement of goals specified in the  RDD plan.
    (5) RDD Plans for addition of liquids, in addition to leachate  and gas condensate from the same landfill, for accelerated decomposition of the  waste mass and/or for allowing run-on water to flow into the landfill waste  mass shall demonstrate that there is no increased risk to human health and the  environment. The following minimum performance criteria shall be demonstrated.
    (a) Risk of contamination to groundwater or surface water will  not be greater than the risk without an approved RDD plan.
    (b) Stability analysis demonstrating the physical stability of  the landfill.
    (c) Landfill gas collection and control in accordance with  applicable Clean Air Act requirements (i.e., Title V, NSPS or EG rule, etc.).
    (d) For RDD plans that include the addition of offsite  nonhazardous waste liquids to the landfill, the following information shall be  submitted with the RDD plan: 
    (i) Demonstration of adequate facility liquid storage volume  to receive the offsite liquid;
    (ii) A list of proposed characteristics for screening the  accepted liquids is developed; and
    (iii) The quantity and quality of the liquids are compatible  with the RDD plan. 
    If offsite nonhazardous liquids are certified by the offsite  generator as stormwater uncontaminated by solid waste, screening is not  required for this liquid.
    (6) RDD plans for testing of the construction and infiltration  performance of alternative final cover systems shall demonstrate that there is  no increased risk to human health and the environment. The proposed final cover  system shall be as protective as the final cover system required by  9VAC20-81-160 D. The following minimum performance criteria shall be  demonstrated:
    (a) No build up of excess liquid in the waste and on the  landfill liner;
    (b) Stability analysis demonstrating the physical stability of  the landfill; 
    (c) No moisture will escape from the landfill to the surface  water or groundwater; and
    (d) Sufficient reduction in infiltration so that there will be  no leakage of leachate from the landfill.
    (7) RDD plans that evaluate introduction of liquids in  addition to leachate or gas condensate from the same landfill shall propose  measures to be integrated with any approved leachate recirculation plan and  compliance with requirements for leachate recirculation.
    (8) RDD plans shall include a description of warning symptoms  and failure thresholds that will be used to initiate investigation, stand-by,  termination, and changes to the process and any other landfill systems that  might be affected by the process, such as gas extraction and leachate  recirculation. Warning symptoms shall result in a reduction or suspension of liquids  addition, leachate recirculation, investigation, and changes to be implemented  before resuming the process being tested. Failure thresholds shall result in  termination of the process being tested, investigation, and changes that will  be submitted to the department for review and approval in writing prior to  resumption of the process being tested.
    (9) RDD plans shall include an assessment of the manner in  which the process to be tested might alter the impact that the landfill may  have on human health or environmental quality. The assessment shall include  both beneficial and deleterious effects that could result from the process.
    (10) RDD plans shall include a geotechnical stability analysis  of the waste mass and an assessment of the changes that the implementation of  the plan are expected to achieve. The geotechnical stability analysis and  assessment shall be repeated at the end of testing period, with alteration as  needed to include parameters and parameter values derived from field  measurements. The plan shall define relevant parameters and techniques for  field measurement.
    (11) RDD plans shall propose monitoring parameters,  frequencies, test methods, instrumentation, recordkeeping and reporting to the  department for purposes of tracking and verifying goals of the process selected  for testing.
    (12) RDD plans shall propose monitoring techniques and  instrumentation for potential movements of waste mass and settlement of waste  mass, including proposed time intervals and instrumentation, pertinent to the  process selected for testing. 
    (13) RDD plans shall propose construction documentation,  construction quality control and construction quality assurance measures, and  recordkeeping for construction and equipment installation that is part of the  process selected for testing. 
    (14) RDD plans shall propose operating practices and controls,  staffing, monitoring parameters, and equipment needed to support operations of  the process selected for testing. 
    (15) RDD plans that include aeration of the waste mass shall  include a temperature monitoring plan, a fire drill and safety program,  instructions for use of liquids for control of temperature and fires in the  waste mass, and instructions for investigation and repair of damage to the  liner and leachate collection system. 
    (16) RDD plans may include an alternate interim cover system  and final cover installation schedule. The interim cover system shall be  designed to account for weather conditions, slope stability, and leachate and  gas generation. The interim cover shall also control, at a minimum, disease  vectors, fires, odors, blowing litter, and scavenging.
    d. Reporting. An annual report shall be prepared for each year  of the RDD testing period, including any renewal periods, and a final report  shall be prepared for the end of the testing period. These reports shall assess  the attainment of goals proposed for the process selected for testing,  recommend changes, recommend further work, and summarize problems and their  resolution. Reports shall include a summary of all monitoring data, testing  data and observations of process or effects and shall include recommendations  for continuance or termination of the process selected for testing. Annual  reports shall be submitted to the department within three months after the  anniversary date of the approved permit or permit modification. Final reports  shall be submitted at least 90 days prior to the end of the testing period for  evaluation by the department. The department shall review this report within 90  days. If the department's evaluation indicates that the goals of the project  have been met, are reliable and predictable, the department will provide a  minor permit modification to incorporate the continued operation of the project  with the appropriate monitoring.
    e. Termination. The department may require modifications to or  immediate termination of the RDD process being tested if any of the following  conditions occur:
    (1) Significant and persistent odors;
    (2) Significant leachate seeps or surface exposure of  leachate;
    (3) Significant leachate head on the liner;
    (4) Excessively acidic leachate chemistry or gas production  rates or other monitoring data indicate poor waste decomposition conditions;
    (5) Instability in the waste mass; or 
    (6) Other persistent and deleterious effects.
    The RDD program is an optional participation program, by  accepting the modification or new permit, the applicant acknowledges that the  program is optional; and that they are aware the department may provide  suspension or termination of the RDD program for any reasonable cause, without  a public hearing. Notice of suspension or termination will be by letter for a  cause related to a technical problem, nuisance problem, or for protection of  human health or the environment as determined by the department.
    G. Facility siting. The suitability of the facility location  will not be considered at the time of permit modification unless new  information or standards indicate that an endangerment to human health or the  environment exists which was unknown at the time of permit issuance or the  modification is for an expansion or increase in capacity. 
    Part I 
  Definitions 
    9VAC20-85-10. Definitions as established in Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.). 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations 9VAC20-80-10 et seq., 9VAC20-81,  are incorporated by reference. 
    9VAC20-85-40. Applicability. 
    A. This chapter applies to all persons who use, reuse, or  reclaim fossil fuel combustion products by applying them to or placing them on  land in a manner other than addressed in 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations, 9VAC20-80-150 and 9VAC20-80-160. 9VAC20-80-150  9VAC20-81-95 provides for the beneficial use of waste materials such as  fossil fuel combustion products, and 9VAC20-80-160 provides for  conditional exemptions from regulation for fossil fuel combustion products. 
    B. This chapter establishes minimum standards for the owners  or operators of coal mining facilities that accept CCB for mine reclamation or  mine refuse disposal on a mine site permitted by the Virginia Department of  Mines, Minerals and Energy (DMME) unless otherwise exempt under 9VAC20-80-160  B 9VAC20-81-95 D 18 of the Solid Waste Management Regulations. If  the permit issued by the DMME in accordance with the Virginia Surface Mining  Regulations, 4VAC25-130-700.1 et seq., specifies the applicable conditions set  forth in Parts III and IV of this chapter, the permittee is exempt from this  chapter. 
    C. Conditions of applicability are as follows: 
    1. Persons using fossil fuel combustion products other than in  a manner prescribed under this chapter, or managing fossil fuel combustion  products containing any constituent at a level exceeding levels set forth in  Table 1 in Part IV of this chapter, shall manage their waste in accordance with  all applicable provisions of the Virginia Solid Waste Management  Regulations, 9VAC20-80 9VAC20-81; 
    2. Materials which are accumulated speculatively, materials  which are not utilized in a manner described in the operation plan required by  9VAC20-85-90 of this chapter, and off-specification materials which cannot be  utilized or reprocessed to make them usable shall be managed in accordance with  all appropriate provisions of the Virginia Solid Waste Management Regulations,  9VAC20-80 9VAC20-81; and 
    3. Storage, stockpiling, and other processing or handling of  fossil fuel combustion products, which may need to occur prior to their final  placement or use, reuse, or reclamation, shall be in a manner necessary to protect  human health and safety and the environment. For projects permitted by the  DMME, the storage, stockpiling, or handling of CCB shall be managed in  accordance with the Virginia Surface Mining Regulations, 4VAC25-130-700.1 et  seq. 
    9VAC20-85-50. Relationship to other regulations. 
    This chapter does not affect the Virginia Solid Waste  Management Regulations, 9VAC20-80-10 et seq. 9VAC20-81, or other  pertinent regulations of the department or other agencies of the Commonwealth,  except that persons subject to and in compliance with this chapter are exempt  from the Virginia Solid Waste Management Regulations and the Financial  Assurance Regulations for Solid Waste Facilities, 9VAC20-70-10 et seq. 9VAC20-70,  for those activities covered by this chapter. 
    9VAC20-85-60. Enforcement and appeals. 
    A. All administrative enforcement and appeals taken from  actions of the department relative to the provisions of this chapter shall be  governed by the Virginia Administrative Process Act (§ 2.2-4000 et seq. of the  Code of Virginia). 
    B. The owner or operator of the fossil fuel combustion  products site who violates any provision of this chapter will be considered to  be operating an unpermitted facility as provided for in 9VAC20-80-90 9VAC20-81-40  of the Solid Waste Management Regulations and shall be required to either  obtain a permit as required by Part VII V or close under Part V  III of this chapter 9VAC20-81. 
    C. The requirement to obtain a permit or to close the project  shall not preclude additional action for remediation or enforcement, including  (without limitations) the assessment of civil charges or civil penalties, as is  otherwise authorized by law. 
    Article 3 
  Operations 
    9VAC20-85-90. Operations. 
    The owner or operator of a fossil fuel combustion products  site shall prepare an operation plan. At a minimum, the plan shall address the  requirements contained in this section. 
    1. Tracking of mud or fossil fuel combustion products onto  public roads from the site shall be controlled at all times to minimize  nuisances. 
    2. The addition of any solid waste including but not limited  to hazardous, infectious, construction, debris, demolition, industrial,  petroleum-contaminated soil, or municipal solid waste to fossil fuel combustion  products is prohibited. This prohibition does not apply to solid wastes from  the extraction, beneficiation and processing of ores and minerals conditionally  exempted under 9VAC20-80-160 A 2 9VAC20-81-95 E 3 of the Solid  Waste Management Regulations. 
    3. Fugitive dust shall be controlled at the site so it does  not constitute nuisances or hazards. 
    4. After preparing the subbase, fossil fuel combustion  products shall be placed uniformly and compacted to standards, including insitu  density, compaction effort and relative density as specified by a registered  professional engineer based on the intended use of the fossil fuel combustion  products. The placement and compaction of CCB on coal mine sites shall be  subject to the applicable requirements of the Coal Surface Mining Reclamation  Regulations, 4VAC25-130-700.1 et seq. 
    5. A surface run on and runoff control program shall be  implemented to control and reduce the infiltration of surface water through the  fossil fuel combustion products and to control the runoff from the placement  area to other areas and to surface waters. 
    6. Runoff shall not be permitted to drain or discharge into  surface waters except when in accordance with 9VAC25-10-10 et seq., of the  State Water Control Board, or otherwise approved by the department. 
    7. Fossil fuel combustion products site development shall be  in accordance with the Virginia Erosion and Sediment Control Regulations,  4VAC50-30, or the Coal Surface Mining Reclamation Regulations, 4VAC25-130-700.1  et seq., as applicable. 
    Part IV 
  Administrative Requirements 
    9VAC20-85-150. General. 
    A. Notwithstanding any provisions of Part VII V  of the Virginia Solid Waste Management Regulations, 9VAC20-80 9VAC20-81,  the owner or operator of a site which manages only fossil fuel combustion  products allowed under 9VAC20-85-40 shall not be required to have a solid waste  management facility permit, neither must a fossil fuel combustion products  facility operator certified by the Board for Waste Management Facility  Operators directly supervise operations at the site, if the owner or operator at  least 30 days prior to initial placement of fossil fuel combustion products  provides to the appropriate department regional office and verifies receipt of:  
    1. A certification that it has legal control over the fossil  fuel combustion products site for the project life and the closure period. For  the purposes of this section, on a coal mine site permitted by the DMME,  demonstration of legal right to enter and begin surface coal mining and  reclamation operations shall constitute compliance with the provisions of this  section. 
    2. A certification from the governing body of the county,  city, or town in which the fossil fuel combustion products site is to be  located that the location and operation of the fossil fuel combustion products  site are consistent with all applicable ordinances, with the exception of  projects permitted by the DMME. 
    3. A general description of the intended use, reuse, or  reclamation of fossil fuel combustion products. Such description will include: 
    a. A description of the nature, purpose and location of the  fossil fuel combustion products site, including a topographic map showing the  site area and available soils, and geological maps. The description shall  include an explanation of how fossil fuel combustion products will be stored  prior to use, reuse or reclamation, if applicable; 
    b. The estimated beginning and ending dates for the operation;  
    c. An estimate of the volume of the fossil fuel combustion  products to be utilized; and 
    d. A description of the proposed type of fossil fuel combustion  products to be used, reused or reclaimed, including physical and chemical  characteristics of the fossil fuel combustion products. The chemical  description shall contain the results of TCLP analyses for the constituents  shown in Table 1. The description shall also contain a statement that the  project will not manage fossil fuel combustion products that contain any  constituent at a level exceeding those shown in the table. 
           |      TABLE 1.      LIST OF CONSTITUENTS AND MAXIMUM LEVELS.      |    
       |      Constituent      |          Level, mg/lit      |    
       |      Arsenic      |          5.0      |    
       |      Barium      |          100      |    
       |      Cadmium      |          1.0      |    
       |      Chromium      |          5.0      |    
       |      Lead      |          5.0      |    
       |      Mercury      |          0.2      |    
       |      Selenium      |          1.0      |    
       |      Silver      |          5.0      |    
  
    4. A certification by a professional engineer licensed to  practice by the Commonwealth that the project meets the locational restrictions  of 9VAC20-85-70. Such certificate shall contain no qualifications or exemptions  from the requirements. 
    5. A certificate signed by a professional engineer licensed to  practice by the Commonwealth that the project has been designed in accordance  with the standards of 9VAC20-85-80 if applicable. Such certificate shall  contain no qualifications or exceptions from the requirements and plans. 
    6. An operational plan describing how the standards of  9VAC20-85-90 will be met. 
    7. A closure plan describing how the standards of Article 4 of  Part III of this chapter will be met, if applicable. 
    8. A signed statement that the owner or operator shall allow  authorized representatives of the Commonwealth, upon presentation of  appropriate credentials, to have access to areas in which the activities  covered by this chapter will be, are being, or have been conducted to ensure  compliance. 
    B. The materials submitted under the provisions of subsection  A of this section will be evaluated for completeness within 30 days of receipt  by the appropriate department regional office. If the department notifies the  applicant of deficiencies within 30 days, the applicant shall postpone any  construction or activities proposed in the application for the department's  approval until the department's approval has been received. If the applicant  has not received a notice of deficiency within 30 days, the applicant can  proceed. 
    9VAC20-85-180. Administrative procedures. 
    The administrative procedures associated with the submission  of the variance petition, its processing and resolution will be accomplished in  accordance with the requirements of 9VAC20-80-790 Part VII  (9VAC20-81-700 et seq.) of the Solid Waste Management Regulations. 
    Part I 
  Definitions 
    9VAC20-120-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise.  Chapter 14 (§ 10.1-1400 et seq.) of Title 10.1 of the Code of Virginia defines  words and terms that supplement those in this chapter. The Virginia  Solid Waste Management Regulations, 9VAC20-80 9VAC20-81, define  additional words and terms that supplement those in the statutes and this  chapter. When the statutes, as cited, and the solid waste management  regulations, as cited, conflict, the definitions of the statutes are  controlling. 
    "Act" or "regulations" means the federal  or state law or regulation last cited in the context, unless otherwise  indicated. 
    "Alternative treatment method" means a method for  the treatment of regulated medical waste that is not incineration or steam  sterilization (autoclaving). 
    "Approved sanitary sewer system" means a network of  sewers serving a facility that has been approved in writing by the Virginia  Department of Health, including affiliated local health departments. Such sewer  systems may be approved septic tank/drainfield systems and on-site treatment  systems, or they may be a part of a collection system served by an NPDES  permitted treatment works. 
    "Associated" means two or more firms that share  staff members, management, directors, and assets or engage in joint ventures.  Holding companies and part owners are associated parties. 
    "Ash" means the residual waste material produced  from an incineration process or any combustion. 
    "ASTM" means the American Society For Testing and  Materials. 
    "Autoclave tape" means tape that changes color or  becomes striped when subjected to temperatures that will provide sterilization  of materials during treatment in an autoclave or similar device. 
    "Blood" means human blood, human blood components,  and products made from human blood. 
    "Board" means the Virginia Waste Management Board. 
    "Body fluids" means liquid emanating or derived  from humans including blood; cerebrospinal, synovial, pleural, peritoneal and  pericardial fluids; semen and vaginal secretions; amniotic fluid; urine; saliva  in dental procedures; and any other body fluids that are contaminated with  blood, and any other liquids emanating from humans that may be mixed or  combined with body fluids. 
    "Closure" means the act of securing a regulated  medical waste management facility pursuant to the requirements of these  regulations. 
    "Closure plan" means the plan for closure prepared  in accordance with the requirements of this chapter. 
    "Commonwealth" means the Commonwealth of Virginia. 
    "Container" means any portable enclosure in which a  material is stored, transported, treated, or otherwise handled. 
    "Contaminated" means the presence or the reasonably  anticipated presence of blood or other body fluids on an item or surface. 
    "Contingency plan" means a document setting out an  organized, planned and coordinated course of action to be followed in the event  of a fire, explosion, or release of regulated medical waste or regulated  medical waste constituents that could threaten human health or the environment.  
    "CWA" means the Clean Water Act (formerly referred  to as the Federal Water Pollution Control Act), 33 USC § 1251 et seq.; PL  92-500, PL 93-207, PL 93-243, PL 93-592, PL 94-238, PL 94-273, PL 94-558, PL  95-217, PL 95-576, PL 96-148, PL 96-478, PL 96-483, PL 96-510, PL 96-561, PL  97-35, PL 97-117, PL 97-164, PL 97-216, PL 97-272, PL 97-440, PL 98-45, PL  100-4, PL 100-202, PL 100-404, and PL 100-668. 
    "Decontamination" means the use of physical or  chemical means to remove, inactivate, or destroy human pathogens on a surface  or item to the point where they are no longer capable of transmitting disease  and the surface or item is rendered safe for handling, use, or disposal. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. 
    "Discard" means to throw away or reject. When a  material is soiled, contaminated or no longer usable and it is placed in a  waste receptacle for disposal or treatment prior to disposal, it is considered  discarded. 
    "Discharge" or "waste discharge" means  the accidental or intentional spilling, leaking, pumping, pouring, emitting,  emptying, or dumping of regulated medical waste into or on any land or state  waters. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters, including  ground waters. 
    "Disposal facility" means a facility or part of a  facility at which solid waste is intentionally placed into or on any land or  water, and at which the solid waste will remain after closure. 
    "Domestic sewage" means untreated sanitary wastes  that pass through a sewer system. 
    "Empty" means wastes have been removed from a  container using the practices commonly employed to remove materials of that  type. 
    "EPA" means the U.S. Environmental Protection  Agency. 
    "Etiologic agents" means the specific organisms  defined to be etiologic agents in 42 CFR 72.3. In general, etiologic agents as  defined in 42 CFR 72.1 means a viable microorganism or its toxin which causes  or may cause human disease. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Generate" means to cause waste to become subject  to regulation. When regulated medical waste is first discarded, it must be  appropriately packaged in accordance with this regulation. At the point a  regulated medical waste is discarded it has been generated. 
    Note: Timeframes associated with storage and refrigeration  are no longer linked to the "date of generation." 
    "Generator" means any person, by site location,  whose act or process produces regulated medical waste identified or listed in  Part III (9VAC20-120-80 et seq.) of this chapter or whose act first causes a  regulated medical waste to become subject to this chapter. 
    "Hazardous material" means a substance or material  that has been so designated under 49 Parts CFR 171 and 173. 
    "Hazardous waste" means any solid waste defined as  a "hazardous waste" by the Virginia Hazardous Waste Management  Regulations. 
    "Health Care Professional" means a medical doctor  or nurse practicing under a license issued by the Department of Health  Professions. 
    "Highly leak resistant" means that leaks will not  occur in the container even if the container receives severe abuse and stress,  but remains substantially intact. 
    "Highly puncture resistant" means that punctures  will not penetrate the container even if the container receives severe abuse  and stress, but remains substantially intact. 
    "Motor vehicle" means a vehicle, machine, roll off  container, tractor, trailer, or semi-trailer, or any combination of them,  propelled or drawn by mechanical power and used in transportation or designed  for such use. 
    "Nonstationary health care providers" means those  persons who routinely provide health care at locations that change each day or  frequently. This term includes traveling doctors, nurses, midwives, and others  providing care in patients' homes, first aid providers operating from emergency  vehicles, and mobile blood service collection stations. 
    "NPDES" or "National Pollutant Discharge  Elimination System" means the national program for issuing, modifying,  revoking, reissuing, terminating, monitoring, and enforcing permits pursuant to  §§ 307, 402, 318, and 405 of the Clean Water Act. The term includes any state  or interstate program that has been approved by the Administrator of the United  States Environmental Protection Agency. 
    "Off-site" means any site that does not meet the  definition of on-site as defined in this part, including areas of a facility  that are not on geographically contiguous property or outside of the boundary  of the site. 
    "On-site" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same person  but connected by a right-of-way that he controls and to which the public does  not have access are also considered on-site property. 
    "Owner" means the person or persons who own a  regulated medical waste management facility or part of a regulated medical  waste management facility. 
    "Package" or "outside package" means a  package plus its contents. 
    "Packaging" means the assembly of one or more  containers and any other components necessary to assure compliance with minimum  packaging requirements under VRGTHM or this chapter. 
    "Permit by rule" means provisions of this chapter  stating that a facility or activity is deemed to have a permit if it meets the  requirements of the provision. 
    "Permitted waste management facility" or  "permitted facility" means a regulated medical waste treatment or  storage facility that has received a permit in accordance with the requirements  of the chapter. 
    "Physical construction" means excavation, movement  of earth, erection of forms or structures, the purchase of equipment, or any  other activity involving the actual preparation of the regulated medical waste management  facility. 
    "Processing" means preparation, treatment, or  conversion of regulated medical waste by a series of actions, changes, or  functions that bring about a decided result. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act (42 USC § 6901 et  seq.), the Hazardous and Solid Waste Amendments of 1984, and any other  applicable amendments to these laws. 
    "Regulated medical waste" means solid wastes  defined to be regulated medical wastes in Part III (9VAC20-120-80 et seq.) of  this chapter. 
    "Regulated medical waste management" means the  systematic administration of activities that provide for the collection, source  separation, storage, transportation, transfer, processing, treatment, and  disposal of regulated medical wastes whether or not such facility is associated  with facilities generating such wastes or otherwise. 
    "Regulated medical waste management facility" means  a solid waste management facility that manages regulated medical waste. 
    "Safe sharps program" means a program supported by  a city, county, town or public authority that is intended to enhance the safe  disposal of sharps discarded by private individuals. 
    "Sanitary sewer system" means a system for the  collection and transport of sewage, the construction of which was approved by  the Department of Health or other appropriate authority. 
    "Secondary container" means a storage device into  which a container can be placed for the purpose of containing any leakage from  the original container. 
    "Section" means a subpart of this chapter and when  referred to all portions of that part apply. 
    "Sharps" means needles, scalpels, knives, syringes  with attached needles, pasteur pipettes and similar items having a point or  sharp edge or that are likely to break during transportation and result in a  point or sharp edge. 
    "Shipment" means the movement or quantity conveyed  by a transporter of a regulated medical waste between a generator and a  designated facility or a subsequent transporter. 
    "Site" means the land or water area upon which a  facility or activity is physically located or conducted, including but not  limited to adjacent land used for utility systems such as repair, storage,  shipping, or processing areas, or other areas incident to the controlled facility  or activity. 
    "Solid waste" means any garbage, refuse, sludge and  other discarded material, including solid, liquid, semisolid or contained  gaseous material, resulting from industrial, commercial, mining and agriculture  operations, or community activities, but does not include (i) solid or  dissolved material in domestic sewage, (ii) solid or dissolved material in  irrigation return flows or in industrial discharges which are sources subject  to a permit from the State Water Control Board, or (iii) source, special  nuclear, or by-product material as defined by the Federal Atomic Energy Act of  1954, as amended 42 USC §§ 2011-2284. The definition of solid waste is further  clarified in the Virginia Solid Waste Management Regulations (9VAC20-80-140)  (9VAC20-81-95). 
    "Solid waste management" means the collection,  source separation, storage, transportation, transfer, processing, treatment,  and disposal of solid wastes or resource recovery. 
    "Spill" means any accidental or unpermitted  discharge, leaking, pumping, pouring, emitting, or dumping of wastes or  materials that, when spilled, become wastes. 
    "Start-up" or "cold start-up" means the  beginning of a combustion operation from a condition where the combustor unit  is not operating and less than 140°F in all areas. 
    "Storage" means the holding, including during  transportation, of more than 200 gallons of waste, at the end of which the  regulated medical waste is treated or stored elsewhere. 
    "Training" means formal instruction, supplementing  an employee's existing job knowledge, designed to protect human health and the  environment via attendance and successful completion of a course of instruction  in regulated medical waste management procedures, including contingency plan  implementation, relevant to those operations connected with the employee's  position at the facility. 
    "Transfer facility" means any transportation  related facility including loading docks, parking areas, storage areas, and  other similar areas where shipments of regulated medical waste are held during  the normal course of transportation. 
    "Transportation" or "transport" means the  movement of regulated medical waste by air, rail, highway, or water. 
    "Transport vehicle" means any vehicle used for the  transportation of cargo. 
    "Vector" means a living animal, insect or other  arthropod that may transmits an infectious disease from one organism to  another. 
    "VRGTHM" means Virginia Regulations Governing the  Transportation of Hazardous Materials promulgated by the Virginia Waste  Management Board as authorized by §§ 10.1-1450 through 10.1-1454 of the Code of  Virginia. 
    "Waste management facility" means all contiguous  land and structures, other appurtenances, and improvements on them used for  treating, storing, or disposing of waste. 
    "Waste management unit" means any unit at a  treatment or storage facility that possesses a permit, or that has received  regulated medical waste (as defined in this chapter) at any time, including  units that are not currently active. 
    9VAC20-120-70. Relationship to other bodies of regulation. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  address other requirements for regulated medical waste management. Any  regulated medical waste management facility must also conform to any applicable  sections of the solid waste management regulations issued by the board and any  special solid waste management regulations such as those defining financial  assurance requirements. If there is a conflict between the details of  regulations here and the others, this chapter is controlling. 
    B. Regulated medical waste management facility must also  comply with any applicable sections of the Hazardous Waste Management  Regulations (9VAC20-60) issued by the department. If there is a conflict  between the details of regulations here and the hazardous waste management  regulations, the latter regulations are controlling. 
    C. Intrastate shipment of hazardous materials is subject to  the Regulations Governing the Transportation of Hazardous Materials  (9VAC20-110) of the department. If there is a conflict between the details of  regulations here and the hazardous materials transportation regulations, the  latter are controlling. 
    D. Generators of regulated medical waste and regulated  medical waste management facilities may be subject to the general industry  standard for occupational exposure to bloodborne pathogens in  16VAC25-90-1910.1030 (29 CFR 1910.1030). 
    E. Persons transporting regulated medical waste are subject  to the federal hazardous material transportation requirements in 49 CFR 171  through 178. 
    F. If there is a conflict between the regulations here and  adopted regulations of another agency of the Commonwealth, the provisions of  these regulations are set aside to the extent necessary to allow compliance  with the regulations of the other agency. If neither regulation controls, the  more stringent standard applies. 
    G. Nothing here either precludes or enables a local governing  body to adopt ordinances. Compliance with one body of regulation does not  insure compliance with the other, and, normally, both bodies of regulation must  be complied with fully. 
    9VAC20-120-100. Recycled materials. 
    A. Untreated regulated medical wastes shall not be used,  reused, or reclaimed. 
    B. Wastes that have been treated in accord with these  regulations are no longer regulated medical waste and may be used, reused, or  reclaimed in accordance with the provisions of the Virginia Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81). 
    C. Bed linen, instruments, medical care equipment and other  materials that are routinely reused for their original purpose are not subject  to these regulations until they are discarded and are a solid waste. These  items do not include reusable carts or other devices used in the management of  regulated medical waste (see 9VAC20-120-260). 
    Article 6 
  Treatment and Disposal 
    9VAC20-120-300. Methods of treatment and disposal. 
    A. All regulated medical waste must be incinerated,  sterilized by steam, or treated by a method as described in Part VII  (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.), or IX (9VAC20-120-630  et seq.) of this chapter. 
    B. No regulated medical waste shall be disposed of in a solid  waste landfill or other solid waste management facility. Upon authorized  treatment and management in accord with this chapter, the solid waste or its  ash is not regulated medical waste and may be disposed of at any landfill or  other solid waste management facility permitted to receive municipal solid  waste or garbage, provided the disposal is in accordance with the Solid Waste  Management Regulations, 9VAC20-80 9VAC20-81, and other applicable  regulations and standards. 
    C. Regulated medical waste in closed bags or containers shall  not be compacted or subjected to violent mechanical stress; however, after it  is fully treated and it is no longer regulated medical waste, it may be  compacted in a closed container. Nothing in this section shall prevent the  puncturing of containers or packaging immediately prior to permitted treatment  in which grinding, shredding, or puncturing is integral to the process units;  however, all grinding, shredding and puncturing shall be done with safe and  sanitary methods. Nothing in this section shall prevent the use of devices that  grind, shred or compact to reduce volume at the point of generation. Devices  will be constructed in a manner that prevents employee exposure to the waste,  contains any aerosol or mist that may be caused by the process, and treats or  filters any air evacuated from the chamber during processing. These devices may  be employed at the point of generation and prior to enclosing the regulated  medical waste in plastic bags and other required packaging; however, the waste  remains regulated medical waste. Appropriate means must be employed to  appropriately protect workers and contain the waste when unloading regulated  medical wastes from such a device. 
    9VAC20-120-540. Analysis and management of the ash product;  procedure; results and records; disposition of ash; ash storage. 
    A. Once every eight hours of operation of a continuously fed  incinerator and once every batch or 24 hours of operation of a batch fed  incinerator, a representative sample of 250 milliliters of the bottom ash shall  be collected from the ash discharge or the ash discharge conveyer. Samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous Waste  Management Regulations for determining if a solid waste is a hazardous waste.  Also, the sample shall be tested for total organic carbon content. 
    At incinerators equipped with air pollution control devices  that remove and collect incinerator emissions control ash or dust, this ash  shall be held separately and not mixed with bottom ash. Once every eight hours  of operation of a continuously fed incinerator and once every batch or 24 hours  of operation of a batch fed incinerator, a representative sample of 250  milliliters of the air pollution control ash or dust shall be collected from  the pollution control ash discharge. Air pollution control ash or dust samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous  Waste Management Regulations for determining if a waste is a hazardous waste. 
    B. A log shall document the ash sampling, to include the date  and time of each sample collected; the date, time and identification number of  each composite sample; and the results of the analyses, including laboratory  identification. Results of analyses must be returned from the laboratory and  recorded within four weeks following collection of the composite sample. The  results and records described in this part shall be maintained for a period of  three years, and shall be available for review. 
    C. If a waste ash is found to be hazardous waste (based on a  sample and a confirmation sample) the waste ash shall be disposed of as a  hazardous waste in accord with the Virginia Hazardous Waste Management  Regulations. If ash is found not to be hazardous waste by analysis, it may be  disposed of in a solid waste landfill that is permitted to receive garbage,  municipal solid waste or incinerator ash, provided the disposal is in  accordance with the Solid Waste Management Regulations, 9VAC20-80 9VAC20-81.  If the ash is found to be hazardous waste, the operator shall notify the  Director of the Department of Environmental Quality within 24 hours. No later  than 15 calendar days following, the permittee shall submit a plan for treating  and disposing of the waste on hand at the facility and all unsatisfactorily  treated waste that has left the facility. The permittee may include with the  plan a description of the corrective actions to be taken to prevent further  unsatisfactory performance. No ash subsequently generated from the incinerator  waste stream that was found to be hazardous waste shall be sent to a  nonhazardous solid waste management facility in the Commonwealth without the  express written approval of the director. 
    D. Air pollution control ash and bottom ash shall be held  separately and not mixed; however, once both are determined not to be hazardous  waste, they may be combined and disposed of as other solid waste. Throughout  the storage of the untested material it shall be kept in covered highly leak  resistant containers. It should be held until the generator determines whether  the ash waste is hazardous waste. Areas where untested material containers are  placed must be constructed with a berm to prevent runoff from that area. 
    E. Regulated medical waste treated in compliance with Part  VII (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.) or IX  (9VAC20-120-630 et seq.) of this chapter shall be deemed to be treated in  accordance with this chapter. Regulated medical waste not treated in accordance  with this chapter shall not be transported, received for transport or disposal,  or disposed of in any solid waste management facility. 
    9VAC20-120-810. Amendment of permits. 
    A. Temporary authorizations. 
    1. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of this section. Temporary authorizations  shall have a term of not more than 180 calendar days. 
    2. a. The permittee may request a temporary authorization for:  
    (1) Any substantive amendment meeting the criteria in  subdivision 3 b (1) of this subsection; and 
    (2) Any major amendment that meets the criteria in subdivision  3 b (1) or (2) of this subsection; or that meets the criteria in subdivisions 3  b (3) and (4) of this subsection and provides improved management or treatment  of a regulated medical waste already listed in the facility permit. 
    b. The temporary authorization request shall include: 
    (1) A description of the activities to be conducted under the  temporary authorization; 
    (2) An explanation of why the temporary authorization is  necessary; and 
    (3) Sufficient information to ensure compliance with standards  in Part V (9VAC20-120-330 et seq.) or VI (9VAC20-120-400 et seq.) of this  chapter. 
    c. The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven calendar days of submission of the  authorization request. 
    3. The director shall approve or deny the temporary  authorization as quickly as is practical. To issue a temporary authorization,  the director shall find: 
    a. The authorized activities are in compliance with the  standards of Part V (9VAC20-120-330 et seq.), VII (9VAC20-120-520 et seq.),  VIII (9VAC20-120-580 et seq.) or IX (9VAC20-120-630 et seq.) of this chapter. 
    b. The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an amendment  request: 
    (1) To facilitate timely implementation of closure or  corrective action activities; 
    (2) To prevent disruption of ongoing waste management  activities; 
    (3) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (4) To facilitate other changes to protect human health and  the environment. 
    4. A temporary authorization may be reissued for one  additional term of up to 180 calendar days provided that the permittee has  requested a substantive or a major permit amendment for the activity covered in  the temporary authorization, and (i) the reissued temporary authorization  constitutes the director's decision on a substantive permit amendment in  accordance with the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  or (ii) the director determines that the reissued temporary authorization  involving a major permit amendment request is warranted to allow the authorized  activities to continue while the amendment procedures of the Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81) are conducted. 
    B. Newly defined or identified wastes. The permittee is  authorized to continue to manage wastes defined or identified as regulated  medical waste under Part III (9VAC20-120-80 et seq.) of this chapter if he: 
    1. Was in existence as a regulated medical waste management  facility with respect to the newly defined or identified regulated medical  waste on the effective date of the final rule defining or identifying the  waste; and 
    2. (i) Is in compliance with the standards of Part V, VII,  VIII or IX, as applicable, with respect to the new waste, submits a minor  modification request on or before the date on which the waste becomes subject  to the new requirements or (ii) is not in compliance with the standards of Part  V or VI, as applicable, with respect to the new waste, but submits a complete  permit amendment request within 180 calendar days after the effective date of  the definition or identifying the waste. 
    C. The suitability of the facility location will not be  considered at the time of permit amendment unless new information or standards  indicate that an endangerment to human health or the environment exists that  was unknown at the time of permit issuance. 
    9VAC20-130-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Board" means the Virginia Waste Management Board. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants  and shopping centers.
    "Compost" means a stabilized organic product  produced by composting in such a manner that the product can be handled,  stored, and/or applied to the land.
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes  include, but are not limited to, lumber, wire, sheetrock, broken brick,  shingles, glass, pipes, concrete, paving materials, and metal and plastics if  the metal or plastics are a part of the materials of construction or empty containers  for such materials. Paints, coatings, solvents, asbestos-containing material,  any liquid, compressed gases, or semi-liquids and garbage are not construction  wastes. 
    "Debris waste" means solid waste resulting from  land clearing operations. Debris wastes include, but are not limited to,  stumps, wood, brush, leaves, soil, and road spoils. 
    "Demolition waste" means solid waste produced by  the destruction of structures and their foundations and includes the same  materials as construction wastes. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. For purposes of submissions to the  director as specified in the Waste Management Act, submissions may be made to  the department.
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulation,  9VAC20-60. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts;  inorganic chemicals; iron and steel manufacturing; leather and leather  products; nonferrous metals manufacturing/foundries; organic chemicals;  plastics and resins manufacturing; pulp and paper industry; rubber and  miscellaneous plastic products; stone, glass, clay, and concrete products;  textile manufacturing; transportation equipment; and water treatment. This term  does not include mining waste or oil and gas waste. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Integrated waste management plan" means a  governmental plan that considers all elements of waste management during  generation, collection, transportation, treatment, storage, disposal, and  litter control and selects the appropriate methods of providing necessary  control and services for effective and efficient management of all wastes. An  "integrated waste management plan" must provide for source reduction,  reuse and recycling within the jurisdiction and the proper funding and  management of waste management programs. 
    "Jurisdiction" means a local governing body; city,  county or town; or any independent entity, such as a federal or state agency,  which join with local governing bodies to develop a waste management plan. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill (as these terms  are defined in the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    "Litter" means all waste material disposable  packages or containers, but not including the wastes of the primary processes  of mining, logging, farming, or manufacturing.
    "Market" or "markets" means interim or  end destinations for the recyclable materials, including a materials recovery  facility (MRF).
    "Market conditions" means business and system  related issues used to determine if materials can be targeted, collected, and  delivered to an interim or end market in an efficient manner. Issues may  include, but are not limited to: the cost of collection, storage and  preparation or both; the cost of transportation; accessible volumes of  materials targeted for recycling; market value of materials targeted for  collection/recycling; and distance to viable markets.
    "Materials recovery facility (MRF)" means, for the  purpose of this regulation, a facility for the collection, processing and  marketing of recyclable materials including, but not limited to: metal, paper,  plastics, and glass. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses, except composting as defined and regulated under the Solid  Waste Management Regulations (9VAC20-80) or the Vegetative Waste Management  and Yard Waste Composting Regulations (9VAC20-101) (9VAC20-81). 
    "Municipal solid waste" means waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from the combustion of these wastes. 
    "Permit" means the written permission of the  director to own, operate or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Principal recyclable materials (PRMs)" means  paper, metal, plastic, glass, commingled yard waste, wood, textiles, tires,  used oil, used oil filters, used antifreeze, batteries, electronics, or  material as may be approved by the director. Commingled materials refers to  single stream collections of recyclables where sorting is done at a materials  recovery facility.
    "Recycling" means the process of separating a given  waste material from the waste stream and processing it so that it may be used  again as a raw material for a product, which may or may not be similar to the  original product. For the purpose of this chapter, recycling shall not include  processes that only involve size reduction. 
    "Recycling residue" means the (i) nonmetallic  substances, including but not limited to plastic, rubber, and insulation, which  remain after a shredder has separated for purposes of recycling the ferrous and  nonferrous metal from a motor vehicle, appliance or other discarded metallic  item and (ii) organic waste remaining after removal of metals, glass, plastics  and paper that are to be recycled as part of a resource recovery process for  municipal solid waste resulting in the production of a refuse derived fuel.
    "Regional boundary" means the boundary defining an  area of land that will be a unit for the purpose of developing a waste  management plan, and is established in accordance with 9VAC20-130-180 through  9VAC20-130-220. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Residential waste" means any waste material,  including garbage, trash and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds and day-use recreation  areas. Residential wastes do not include sanitary waste in septic tanks  (septage), that is regulated by other state agencies. 
    "Resource recovery system" means a solid waste  management system that provides for collection, separation, recycling and  recovery of energy or solid wastes, including disposal of nonrecoverable waste  residues. 
    "Reuse" means the process of separating a given  solid waste material from the waste stream and using it, without processing or  changing its form, other than size reduction, for the same or another end use. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste, which is so located, designed,  constructed and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste.  (Note: This term includes all sites whether they are planned and managed  facilities or open dumps.) 
    "Sludge" means any solid, semisolid or liquid waste  generated from a public, municipal, commercial or industrial  wastewater treatment plant, water supply treatment plant, or air pollution  control facility. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Solid Waste Management Regulations (9VAC20-80)  (9VAC20-81).
    "Solid waste planning unit" means each region or  locality that submits a solid waste management plan. 
    "Solid waste management facility  ("SWMF")" means a site used for planned treating, storing, or  disposing of solid waste. A facility may consist of several treatment, storage,  or disposal units. 
    "Source reduction" means any action that reduces or  eliminates the generation of waste at the source, usually within a process.  Source reduction measures include process modifications, feedstock  substitutions, improvements in feedstock purity, improvements in housekeeping  and management practices, increases in the efficiency of machinery, and  recycling within a process. Source reduction minimizes the material that must  be managed by waste disposal or nondisposal options by creating less waste.  "Source reduction" is also called "waste prevention,"  "waste minimization," or "waste reduction."
    "Source separation" means separation of recyclable  materials by the waste generator of materials that are collected for use,  reuse, reclamation, or recycling. 
    "Tons" means 2,000 pounds.
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, and woody wastes such as shrub and  tree prunings, bark, limbs, roots, and stumps. For more detail see Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101) the  Solid Waste Management Regulations (9VAC20-81).
    "Waste exchange" means any system to identify  sources of wastes with potential for use reuse, recycling or reclamation and to  facilitate its acquisition by persons who reuse, recycle or reclaim it, with a  provision for maintaining confidentiality of trade secrets. 
    "White goods" means any stoves, washers, hot water  heaters or other large appliances. For the purposes of this chapter, this  definition also includes, but is not limited to, such Freon-containing appliances  as refrigerators, freezers, air conditioners, and dehumidifiers. 
    "Yard waste" means decomposable waste materials  generated by yard and lawn care and includes leaves, grass trimmings, brush,  wood chips, and shrub and tree trimmings. Yard waste shall not include roots or  stumps that exceed six inches in diameter. 
    9VAC20-130-60. Applicability of regulations. 
    A. This chapter applies to all cities, counties, towns,  designated solid waste planning units (under 9VAC20-130-180) and permitted  solid waste facilities within the solid waste planning unit, including those  facilities covered under permit by rule procedures found in 9VAC20-80 9VAC20-81.  Any city, county, and town may mutually agree to unite for the purpose of solid  waste management planning, and upon joint written notification to the director,  shall be deemed to be a solid waste planning unit for development of a solid  waste management plan. 
    B. Any cities, counties, and towns may be represented by a  planning district, public service authority, or designated region that has been  adopted under 9VAC20-130-90 B. 
    C. The plan may (subject to statutory authority) specify that  all solid waste must be recycled at the rate established by the plan regardless  of the point of origin of the solid waste. Solid wastes from both public and  private sources shall be subject to such requirement. 
    9VAC20-130-120. Planning requirements. 
    A. Basic planning elements:
    1. Objectives for solid waste management within the planning  unit;
    2. A discussion as to how the plan will be implemented and  tracked, consisting of an integrated waste management strategy to support and  promote the hierarchy set forth at 9VAC20-130-30; giving preference to  alternatives in the following order of priority: source reduction, reuse,  recycling, resource recovery, incineration, and landfilling;
    3. Definition of incremental stages of progress toward the  objectives and schedule for their implementation, including, for compliance  with 9VAC20-80-500 9VAC20-81-450, specific solid waste management  facility names, facility capacities, and life based on 20-year need;
    4. Strategy for the provision of necessary funds and  resources;
    5. Descriptions of the funding and resources necessary,  including consideration of fees dedicated to future facility development;
    6. Strategy for public education and information on source  reduction, reuse, and recycling; and
    7. Consideration of public and private sector partnerships and  private sector participation in execution of the plan. Existing private sector  recycling operations should be incorporated in the plan and the expansion of  such operations should be encouraged. 
    B. A minimum recycling rate as specified in § 10.1-1411 of  the Code of Virginia for total municipal solid waste generated annually in each  solid waste planning unit shall be met and maintained. 
    1. The plan shall describe how the minimum recycling rate  shall be met or exceeded. The department may approve the solid waste management  plans of units that do not currently meet the minimum recycling rate only if all  other requirements of these regulations have been met and the solid waste  planning unit demonstrates its commitment to implementing a strong and detailed  action plan for recycling to meet the required rate.
    2. When a solid waste planning unit's annual recycling rate  falls below the minimum rate, it shall constitute evidence of a significant  deviation from the plan. The plan may be subject to revocation by the  department under 9VAC20-130-110 E unless the solid waste planning unit submits  a recycling action plan acceptable to the department per subsection I of this  section.
    C. The solid waste management plan shall include data and  analyses of the following type(s) for each jurisdiction. Each item below shall  be in a separate section and labeled as to content:
    1. Population information and projections for 20 years of  population growth and development patterns;
    2. Urban concentrations, geographic conditions, economic  growth and development, markets for the reuse and recycling of materials,  transportation conditions, and related factors;
    3. Estimates of solid waste generation from residential,  commercial institutional, industrial, construction, demolition, debris and  other types of sources, including the amounts reused, recycled, recovered as a  resource, incinerated and landfilled. Entities engaged in the collection,  processing, and marketing of recyclable materials should provide data for  incorporation into the recycling rate calculation, when requested by the  planning unit.
    4. A listing of existing and planned solid waste collection,  storage, treatment, transportation, disposal and other management facilities,  their projected capacities, expected life and systems for their use;
    5. All milestones in the implementation of the solid waste  management plan over the 20-year projection and the parties responsible for  each milestone;
    6. A description of programs for solid waste reduction, reuse,  recycling, resource recovery, incineration, storage, treatment, disposal and  litter control;
    7. A description of outreach programs for waste exchange,  public education and public participation;
    8. The procedures for and results of evaluating solid waste  collection, including transfer stations; and
    9. The assessment of all current and predicted needs for solid  waste management for a period of 20 years and a description of the action to be  taken to meet those needs.
    D. All known solid waste disposal sites, closed, inactive and  active, within the area of the solid waste management plan shall be documented  and recorded at a centralized archive authorized to receive and record  information and a copy shall be sent to the department. All new sites shall be  recorded at the same central data source.
    E. A methodology shall be utilized to monitor the amount of  solid waste of each type produced within the area of the solid waste management  plan and to record the annual production by solid waste types at a centralized  archive and a copy shall be sent to the department. 
    F. The solid waste management plan shall include, when  developed locally, a copy of the local governing body's resolution adopting the  solid waste management plan.
    G. The solid waste management plan shall include, when  developed regionally, a copy of the resolution approving the plan adopted in  accordance with the Virginia Area Development Act, the Virginia Water and Waste  Authorities Act, the provisions of the Code of Virginia governing joint  exercise of powers by political subdivisions (§ 15.2-1300 of the Code of  Virginia), or other authority as applicable.
    H. The solid waste management plan shall clearly and  explicitly demonstrate the manner in which the goals of the planning  requirements in these regulations shall be accomplished and actions to take if  these requirements are not met.
    I. A planning unit that does not meet the requirements of  these regulations shall submit an action plan, by mail or electronic mail, for  approval by the department. Such action plans shall include:
    1. A description of the deficiency that requires the  development of the action plan.
    2. A time schedule to resolve the deficiency(ies) associated  with the planning unit's failure to meet the requirements of the approved solid  waste management plan.
    3. A reporting requirement to the department, of a minimum of  once every six months, including activities or updates documenting how the  action plan requirements are being met.
    4. Plans and all subsequent reports and submittals shall be  reviewed by the department within 30 days of receipt by the department.
    5. All the department's requests for further information or  response(s) shall be provided within 30 days of receipt at the planning unit.  The department may grant reasonable extensions to these deadlines on a  case-by-case basis. 
    Part I 
  Definitions 
    9VAC20-140-10. Definition incorporated by reference. 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  are incorporated by reference. 
    9VAC20-150-10. Definitions. 
    A. The definitions set out in Part I of the Virginia  Solid Waste Management Regulations, 9VAC20-80-10 et seq., (9VAC20-81)  are incorporated by reference. 
    B. The following words and terms, when used in this chapter,  shall have the following meanings, unless the context clearly indicates  otherwise: 
    "Applicant" means any person or persons seeking  reimbursement under this chapter. 
    "Asphalt pavement containing recycled rubber" means  any hot mix or spray applied binder in asphalt paving mixture that contains  rubber from waste tire materials which is used for asphalt pavement base,  surface course or interlayer, or other road and highway related uses. 
    "Authorized signature" means the signature of an  individual who has authority to sign on behalf of, and bind, the applicant. 
    "Available funds" means for a given fiscal year, a  maximum of 80% of the previous fiscal year's collection of the waste tire tax  plus 85% of nonobligated carryover funds at the end of the previous fiscal  year. 
    "Burning" means the controlled burning of waste  tire materials for the purpose of energy recovery. 
    "Cost of use" means the equipment, leasehold  improvements, buildings, land, engineering, transportation, operating, taxes,  interest, and depreciation or replacement costs of using waste tire materials  incurred by the end user after deducting any tipping fee received by the end  user. 
    "Daily cover" means using waste tire material as an  alternate cover placed upon exposed solid waste to control disease vectors,  fires, odors, blowing litter and scavenging without presenting a threat to  human health and the environment. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or the director's designee. 
    "Embankment" means a raised earthen structure to  carry a roadway. 
    "End user" means: 
    1. For energy recovery: the person who utilizes the heat  content or other forms of energy from the burning or pyrolysis of waste tire  materials; 
    2. For other eligible uses: the last person who uses the  waste tire materials to make a product with economic value. If the waste tire  materials are processed by more than one person in becoming a product, the end  user is the last person to use the tire as waste tire materials. A person who  produces waste tire materials and gives or sells them to another person to use  is not an end user. 
    "Energy recovery" means utilizing the heat content  or other forms of energy from the burning or pyrolysis of waste tire materials.  
    "Fill material for construction" means the material  is used as a base or sub-base under the footprint of a structure, a paved  parking lot, sidewalk, walkway or similar application. 
    "Generator" means any person whose act or process  produces waste tires or whose act first causes a tire to become a solid waste. 
    "Hauler" means a person who picks up or transports  waste tires for the purpose of removal to a permitted storage, processing or  disposal facility. 
    "Partial reimbursement" means reimbursement that  does not exceed the purchase price of waste tire materials or the cost of use  if the waste tire materials were not purchased. 
    "Passenger tire equivalent" means a measure of  passenger, truck tires, and oversize tires where: One passenger car tire equals  20 pounds or 1/100 ton. One truck tire 20-24 inch rim equals 100 pounds or  1/200 ton and a tire with over 24-inch rim equals 200 pounds or greater as  computed by the end user. 
    "Processor" means a person engaged in the  processing of waste tires including, but not limited to, stamping, stripping,  shredding, or crumbing; that operates under a permit issued by the local, state,  or federal government; or is exempt from permit requirements. 
    "Pyrolysis" means thermal treatment of waste tire  materials to separate it into other components with economic value. 
    "Retreading" means processing a waste tire by  attaching a new tread to make a usable tire. 
    "Road bed base" means the foundation of a road  prepared for surfacing. 
    "Tipping fee" means a fee charged to a person for  disposal of a waste tire. 
    "Tire" means a continuous solid or pneumatic rubber  covering encircling the wheel of a vehicle in which a person or property is  transported, or by which they may be drawn on a highway. 
    "Tire pile" means an accumulation of waste tire  materials that violates the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81). 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. 
    "Waste tire materials" means whole waste tires or  waste tires that have been size reduced by physical or chemical process. This  term includes waste tires or chips or similar materials as specified in §§ 10.1-1422.3  and 10.1-1422.4 of the Code of Virginia. 
    "Waste Tire Trust Fund" means the nonreverting fund  set up by § 10.1-1422.3 of the Code of Virginia in which proceeds from the  waste tire tax are deposited. 
    Part II
  General Information 
    9VAC20-150-20. Purpose. 
    The purpose of this chapter is to define the types of uses  eligible for partial reimbursement, to establish the procedures for application  and processing of reimbursement, and to establish the amount of reimbursement. 
    9VAC20-150-40. End uses of waste tires eligible for  reimbursement. 
    A. The following uses of waste tire materials will be  eligible for the reimbursement if the use complies with applicable local  ordinances and regulations and the Virginia Solid Waste Management  Regulations, 9VAC20-80 (9VAC20-81) or the equivalent regulations  in another state. The eligible uses are: 
    1. Civil engineering applications, which utilize waste tire  materials as a substitute for soil, sand, or aggregate in a construction  project such as land or surface applications, road bed base and embankments;  fill material for construction projects; and daily cover and other  substitutions at a permitted solid waste facility if the facility's permit is  so modified; 
    2. Burning of waste tire materials for energy recovery; 
    3. Pyrolysis; and 
    4. Products made from waste tire materials such as molded  rubber products, rubberized asphalt, soil amendments, playground and horse  arena surfacing materials, mulches, mats, sealers, etc. 
    B. Uses that are not eligible for reimbursement include: 
    1. Reuse as a vehicle tire; 
    2. Retreading; 
    3. Burning without energy recovery; and 
    4. Landfilling, except use as specified in subdivision A 1 of  this section. 
    9VAC20-160-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise. 
    "Authorized agent" means any person who is  authorized in writing to fulfill the requirements of this program. 
    "Carcinogen" means a chemical classification for  the purpose of risk assessment as an agent that is known or suspected to cause  cancer in humans, including but not limited to a known or likely human  carcinogen or a probable or possible human carcinogen under an EPA  weight-of-evidence classification system. 
    "Certificate" means a written certification of  satisfactory completion of remediation issued by the director pursuant to § 10.1-1232  of the Code of Virginia. 
    "Completion" means fulfillment of the commitment  agreed to by the participant as part of this program. 
    "Contaminant" means any man-made or man-induced  alteration of the chemical, physical or biological integrity of soils,  sediments, air and surface water or groundwater including, but not limited to,  such alterations caused by any hazardous substance (as defined in the  Comprehensive Environmental Response, Compensation and Liability Act, 42 USC  § 9601(14)), hazardous waste (as defined in 9VAC20-60), solid waste (as  defined in 9VAC20-80-10) 9VAC20-81), petroleum (as defined in  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.))  of the Virginia State Water Control Law, or natural gas. 
    "Cost of remediation" means all costs incurred by  the participant pursuant to activities necessary for completion of voluntary  remediation at the site, based on an estimate of the net present value (NPV) of  the combined costs of the site investigation, report development, remedial  system installation, operation and maintenance, and all other costs associated  with participating in the program and addressing the contaminants of concern at  the site. 
    "Department" means the Department of Environmental  Quality of the Commonwealth of Virginia or its successor agency. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Engineering controls" means physical modification  to a site or facility to reduce or eliminate potential for exposure to  contaminants. These include, but are not limited to, stormwater conveyance  systems, pump and treat systems, slurry walls, liner systems, caps, monitoring  systems, and leachate collection systems. 
    "Hazard index (HI)" means the sum of more than one  hazard quotient for multiple contaminants or multiple exposure pathways or  both. The HI is calculated separately for chronic, subchronic, and shorter  duration exposures. 
    "Hazard quotient" means the ratio of a single  contaminant exposure level over a specified time period to a reference dose for  that contaminant derived from a similar period. 
    "Incremental upper-bound lifetime cancer risk  level" means a conservative estimate of the incremental probability of an  individual developing cancer over a lifetime. Upper-bound lifetime cancer risk  level is likely to overestimate "true risk." 
    "Institutional controls" means legal or contractual  restrictions on property use that remain effective after remediation is  completed, and are used to reduce or eliminate the potential for exposure to  contaminants. The term may include, but is not limited to, deed and water use  restrictions. 
    "Land use controls" means legal or physical  restrictions on the use of, or access to, a site to reduce or eliminate  potential for exposure to contaminants, or prevent activities that could  interfere with the effectiveness of remediation. Land use controls include but  are not limited to engineering and institutional controls. 
    "Noncarcinogen" means a chemical classification for  the purposes of risk assessment as an agent for which there is either  inadequate toxicological data or is not likely to be a carcinogen based on an  EPA weight-of-evidence classification system. 
    "Operator" means the person currently responsible  for the overall operations at a site, or any person responsible for operations  at a site at the time of, or following, the release. 
    "Owner" means any person currently owning or  holding legal or equitable title or possessory interest in a property,  including the Commonwealth of Virginia, or a political subdivision thereof,  including title or control of a property conveyed due to bankruptcy,  foreclosure, tax delinquency, abandonment, or similar means. 
    "Participant" means a person who has received  confirmation of eligibility and has remitted payment of the registration fee. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Program" means the Virginia Voluntary Remediation  Program. 
    "Property" means a parcel of land defined by the  boundaries in the deed. 
    "Reference dose" means an estimate of a daily  exposure level for the human population, including sensitive subpopulations,  that is likely to be without an appreciable risk of deleterious effects during  a lifetime. 
    "Registration fee" means the fee paid to enroll in  the Voluntary Remediation Program, based on 1.0% of the total cost of  remediation at a site, not to exceed the statutory maximum. 
    "Release" means any spilling, leaking, pumping,  pouring, emitting, emptying, discharging, injecting, escaping, leaching,  dumping or disposing of any contaminant into the environment. 
    "Remediation" means actions taken to cleanup,  mitigate, correct, abate, minimize, eliminate, control and contain or prevent a  release of a contaminant into the environment in order to protect human health  and the environment, including actions to investigate, study or assess any  actual or suspected release. Remediation may include, when appropriate and  approved by the department, land use controls. 
    "Remediation level" means the concentration of a  contaminant with applicable land use controls, that is protective of human  health and the environment. 
    "Report" means the Voluntary Remediation Report  required by 9VAC20-160-70. 
    "Restricted use" means any use other than  residential. 
    "Risk" means the probability that a contaminant  will cause an adverse effect in exposed humans or to the environment. 
    "Risk assessment" means the process used to  determine the risk posed by contaminants released into the environment.  Elements include identification of the contaminants present in the  environmental media, assessment of exposure and exposure pathways, assessment  of the toxicity of the contaminants present at the site, characterization of  human health risks, and characterization of the impacts or risks to the  environment. 
    "Site" means any property or portion thereof, as  agreed to and defined by the participant and the department, which contains or  may contain contaminants being addressed under this program. 
    "Termination" means the formal discontinuation of  participation in the Voluntary Remediation Program without obtaining a  certification of satisfactory completion. 
    "Unrestricted use" means the designation of  acceptable future use for a site at which the remediation levels, based on  either background or standard residential exposure factors, have been attained  throughout the site in all media. 
    9VAC20-160-30. Eligibility criteria. 
    A. Candidate sites shall meet eligibility criteria as defined  in this section. 
    B. Any persons who own, operate, have a security interest in  or enter into a contract for the purchase or use of an eligible site who wish  to voluntarily remediate that site may participate in the program. Any person  who is an authorized agent of any of the parties identified in this subsection  may participate in the program. 
    C. Sites are eligible for participation in the program if (i)  remediation has not been clearly mandated by the United States Environmental  Protection Agency, the department or a court pursuant to the Comprehensive  Environmental Response, Compensation and Liability Act (42 USC § 9601 et  seq.), the Resource Conservation and Recovery Act (42 USC § 6901 et seq.),  the Virginia Waste Management Act (§ 10.1-1400 et seq. of the Code of  Virginia), the Virginia State Water Control Law (§ 62.1-44.2 et seq. of the  Code of Virginia), or other applicable statutory or common law; or (ii)  jurisdiction of the statutes listed in clause (i) has been waived. 
    A site on which an eligible party has completed remediation  of a release is potentially eligible for the program if the actions can be  documented in a way which are equivalent to the requirements for prospective  remediation, and provided the site meets applicable remediation levels. 
    Petroleum or oil releases not mandated for remediation under  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.) of  the Virginia State Water Control Law may be eligible for participation in the  program. 
    Where an applicant raises a genuine issue based on documented  evidence as to the applicability of regulatory programs in subsection D of this  section, the site may be eligible for the program. Such evidence may include a  demonstration that: 
    1. It is not clear whether the release involved a waste  material or a virgin material; 
    2. It is not clear that the release occurred after the  relevant regulations became effective; or 
    3. It is not clear that the release occurred at a regulated  unit. 
    D. For the purposes of this chapter, remediation has been  clearly mandated if any of the following conditions exist, unless jurisdiction  for such mandate has been waived: 
    1. Remediation of the release is the subject of a permit  issued by the U.S. Environmental Protection Agency or the department, a pending  or existing closure plan, a pending or existing administrative order, a pending  or existing court order, a pending or existing consent order, or the site is on  the National Priorities List; 
    2. The site at which the release occurred is subject to the  Virginia Hazardous Waste Management Regulations (9VAC20-60) (VHWMR), is a  permitted facility, is applying for or should have applied for a permit, is  under interim status or should have applied for interim status, or was  previously under interim status, and is thereby subject to requirements of the  VHWMR; 
    3. The site at which the release occurred constitutes an open  dump or unpermitted solid waste management facility under Part IV  (9VAC20-80-170 et seq.) 9VAC20-81-45 of the Virginia Solid  Waste Management Regulations; 
    4. The director determines that the release poses an imminent  and substantial threat to human health or the environment; or 
    5. Remediation of the release is otherwise the subject of a  response action required by local, state, or federal law or regulation. 
    E. The director may determine that a site under subdivision D  3 of this section may participate in the program provided that such  participation complies with the substantive requirements of the applicable  regulations. 
    9VAC20-170-30. Applicability. 
    A. This chapter applies to each owner and/or operator of a  vessel transporting solid wastes or regulated medical wastes for the purposes  of commercial carriage as cargo, and each owner or operator of a receiving  facility. This chapter also applies to the receiving facilities and vessels  transporting solid wastes or regulated medical wastes upon the navigable waters  of the Commonwealth to the extent allowable under state law. 
    B. This chapter does not apply to a public vessel as defined  under 9VAC20-170-10, the owner and operator of a public vessel, vessels transporting  solid wastes or regulated medical wastes incidental to their predominant  business or purposes, vessels transporting solid wastes or regulated medical  wastes generated during normal operations of the vessel, solid wastes or  regulated medical wastes generated during the normal operations of the vessel,  and solid wastes excluded pursuant to 9VAC20-80-150 or conditionally  exempted pursuant to 9VAC20-80-160 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations. 
    9VAC20-170-40. Relationship to other regulations. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  prescribe requirements for the solid waste management facilities in general.  While a facility utilized to receive solid wastes or regulated medical wastes  transported, loaded, or unloaded upon the navigable waters of the Commonwealth,  to the extent allowable under state law, by a commercial transporter is a solid  waste management facility, this chapter herein prescribes specific  requirements, including siting, design/construction, operation, and permitting,  for this type of facilities. If there is any overlapping requirement between  these two regulations, whichever is more stringent shall apply. 
    B. The Regulated Medical Waste Management Regulations  (9VAC20-120) address special needs for regulated medical waste management. A  facility utilized to receive regulated medical waste transported, loaded, or  unloaded upon the navigable waters of the Commonwealth, to the extent allowable  under state law, by a commercial transporter is a regulated medical waste  facility and it must conform to any applicable sections of the Regulated  Medical Waste Management Regulations adopted by the board. If there is any  overlapping requirement between these two regulations, whichever is more stringent  shall apply. 
    C. This chapter does not exempt any receiving facility from  obtaining a Virginia Water Protection Permit as required by the Virginia Water  Protection Permit Program Regulation (9VAC25-210), whenever it is applicable. 
    VA.R. Doc. No. R11-2731; Filed June 8, 2011, 1:15 p.m. 
TITLE 9. ENVIRONMENT
VIRGINIA WASTE MANAGEMENT BOARD
Final Regulation
        REGISTRAR'S NOTICE: The  Virginia Waste Management Board is claiming an exemption from the  Administrative Process Act in accordance with § 2.2-4006 A 3,  which excludes regulations that consist only of changes in style or form or  corrections of technical errors. The Virginia Waste Management Board will  receive, consider, and respond to petitions by any interested person at any  time with respect to reconsideration or revision.
         Titles of Regulations: 9VAC20-60. Virginia Hazardous  Waste Management Regulations (amending 9VAC20-60-261).
    9VAC20-70. Financial Assurance Regulations for Solid Waste  Disposal, Transfer and Treatment Facilities (amending 9VAC20-70-10, 9VAC20-70-50,  9VAC20-70-70, 9VAC20-70-75, 9VAC20-70-90, 9VAC20-70-113, 9VAC20-70-210,  9VAC20-70-290).
    9VAC20-81. Solid Waste Management Regulations (amending 9VAC20-81-10, 9VAC20-81-35, 9VAC20-81-95,  9VAC20-81-140, 9VAC20-81-160, 9VAC20-81-250, 9VAC20-81-260, 9VAC20-81-300,  9VAC20-81-397, 9VAC20-81-470, 9VAC20-81-485, 9VAC20-81-490, 9VAC20-81-530,  9VAC20-81-600).
    9VAC20-85. Coal Combustion Byproduct Regulations (amending 9VAC20-85-10, 9VAC20-85-40,  9VAC20-85-50, 9VAC20-85-60, 9VAC20-85-90, 9VAC20-85-150, 9VAC20-85-180).
    9VAC20-120. Regulated Medical Waste Management Regulations (amending 9VAC20-120-10, 9VAC20-120-70,  9VAC20-120-100, 9VAC20-120-300, 9VAC20-120-540, 9VAC20-120-810).
    9VAC20-130. Solid Waste Planning and Recycling Regulations (amending 9VAC20-130-10, 9VAC20-130-60,  9VAC20-130-120).
    9VAC20-140. Regulations for the Certification of Recycling  Machinery and Equipment for Tax Exemption Purposes (amending 9VAC20-140-10).
    9VAC20-150. Waste Tire End User Reimbursement Regulation (amending 9VAC20-150-10, 9VAC20-150-20,  9VAC20-150-40).
    9VAC20-160. Voluntary Remediation Regulations (amending 9VAC20-160-10, 9VAC20-160-30).
    9VAC20-170. Transportation of Solid and Medical Wastes on  State Waters (amending 9VAC20-170-30, 9VAC20-170-40). 
    Statutory Authority: §§ 10.1-1232, 10.1-1402, 10.1-1410, 10.1-1411, 10.1-1422.3, 10.1-1422.4, and 58.1-3661 of the Code of  Virginia.
    Effective Date: August 3, 2011. 
    Agency Contact: Debra Miller, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4206, FAX (804) 698-4346, or email  debra.miller@deq.virginia.gov.
    Summary:
    Amendment 7 to the Solid Waste Management Regulations  amended and recodified these regulations creating 9VAC20-81, which became  effective March 16, 2011. This regulatory action makes necessary style and form  changes and technical corrections to that chapter and, as a secondary action,  makes the appropriate citations changes in other waste management regulations. 
    9VAC20-60-261. Adoption of 40 CFR Part 261 by reference. 
    A. Except as otherwise provided, the regulations of the  United States Environmental Protection Agency set forth in 40 CFR Part 261 are  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. Except as otherwise provided, all material definitions, reference  materials and other ancillaries that are a part of 40 CFR Part 261 are also  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. 
    B. In all locations in these regulations where 40 CFR Part  261 is incorporated by reference, the following additions, modifications and  exceptions shall amend the incorporated text for the purpose of its  incorporation into these regulations: 
    1. Any agreements required by 40 CFR 261.4(b)(11)(ii) shall be  sent to the United States Environmental Protection Agency at the address shown  and to the Department of Environmental Quality, P.O. Box 1105, Richmond,  Virginia 23218. 
    2. In 40 CFR 261.4(e)(3)(iii), the text "in the Region  where the sample is collected" shall be deleted. 
    3. In 40 CFR 261.4(f)(1), the term "Regional  Administrator" shall mean the regional administrator of Region III of the  United States Environmental Protection Agency or his designee. 
    4. In 40 CFR 261.6(a)(2), recyclable materials shall be  subject to the requirements of 9VAC20-60-270 and Part XII (9VAC20-60-1260 et  seq.) of this chapter. 
    5. No hazardous waste from a conditionally exempt small  quantity generator shall be managed as described in 40 CFR 261.5(g)(3)(iv) or  40 CFR 261.5(g)(3)(v) unless such waste management is in full compliance with  all requirements of the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    6. In 40 CFR 261.9 and wherever elsewhere in Title 40 of the  Code of Federal Regulations there is a listing of universal wastes or a listing  of hazardous wastes that are the subject of provisions set out in 40 CFR Part  273 as universal wastes, it shall be amended by addition of the following  sentence: "In addition to the hazardous wastes listed herein, the term  "universal waste" and all lists of universal waste or waste subject  to provisions of 40 CFR Part 273 shall include those hazardous wastes listed in  Part XVI (9VAC20-60-1495 et seq.) of the Virginia Hazardous Waste Management  Regulations as universal wastes, under such terms and requirements as shall  therein be ascribed." 
    7. In Subparts B and D of 40 CFR Part 261, the term  "Administrator" shall mean the administrator of the United States  Environmental Protection Agency, and the term "Director" shall not  supplant "Administrator" throughout Subparts B and D. 
    8. Regardless of the provisions of 9VAC20-60-18, the revisions  to 40 CFR Part 261 as promulgated by U.S. EPA on October 30, 2008, (73 FR 64757  - 64788) (definition of solid waste rule) are not adopted herein.
    Part I 
  Definitions 
    9VAC20-70-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings, unless the context clearly indicates otherwise: 
    "Abandoned facility" means any inactive solid waste  management facility that has not met closure and post-closure care  requirements. 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at the completion  of closure activities required by 9VAC20-80-10 et seq the Solid Waste  Management Regulations (9VAC20-81). Active life does not include the  post-closure care monitoring period. 
    "Anniversary date" means the date of issuance of a  financial mechanism. 
    "Assets" means all existing and all probable future  economic benefits obtained or controlled by a particular entity. 
    "Authority" means an authority created under the  provisions of the Virginia Water and Waste Authorities Act, Chapter 51 (§ 15.2-5100  et seq.) of Title 15.2 of the Code of Virginia, or, if any such authority shall  be abolished, the board, body, or commission succeeding to the principal  functions thereof or to whom the powers given by the Virginia Water and Waste  Authorities Act to such authority shall be given by law. 
    "Board" means the Virginia Waste Management Board. 
    "Cash plus marketable securities" means all the  cash plus marketable securities held on the last day of a fiscal year,  excluding cash and marketable securities designed to satisfy past obligations  such as pensions. 
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of 9VAC20-80-10  et seq., 9VAC20-101-10 et seq., 9VAC20-120-10 et seq., or 9VAC20-170-10 et seq.  the Solid Waste Management Regulations (9VAC20-81), the Regulated Medical  Waste Management Regulations (9VAC20-120), or the Transportation of Solid and  Medical Wastes on State Waters Regulations (9VAC20-170). A closed facility  may be undergoing post-closure care. 
    "Closure" means the act of securing a solid waste  management facility pursuant to the requirements of this chapter and any other  applicable solid waste management standards. 
    "Commercial transporter" means any person who  transports for the purpose of commercial carriage of solid wastes or regulated  medical wastes as cargo. 
    "Corrective action" means all actions necessary to  mitigate the public health or environmental threat from a release to the  environment of solid waste or constituents of solid waste from an operating,  abandoned, or closed solid waste management facility and to restore the  environmental conditions as required. 
    "Current annual inflation factor" means the annual  inflation factor derived from the most recent Implicit Price Deflator for Gross  National Product published by the U.S. Department of Commerce in its Survey of  Current Business. 
    "Current assets" means cash or other assets or  resources commonly identified as those which are reasonably expected to be  realized in cash or sold or consumed during the normal operating cycle of the  business. 
    "Current closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-111. 
    "Current dollars" means the figure represented by  the total of the cost estimate multiplied by the current annual inflation  factor. 
    "Current liabilities" means obligations whose  liquidation is reasonably expected to require the use of existing resources  properly classifiable as current assets or the creation of other current  liabilities. 
    "Current post-closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-112. 
    "Current year expenses for closure" means  expenditures documented by the facility during the previous fiscal year for  construction-related activities associated with closing the facility. Expenses  for closure must be detailed and identified in an approved closure plan. 
    "Debt service" means the amount of principal and  interest due on a loan in a given time period, typically the current year. 
    "Deficit" means total annual revenues less total  annual expenditures. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent thereof may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means any solid waste management facility  unless the context clearly indicates otherwise. The term "facility"  includes transfer stations. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Governmental unit" means any department,  institution or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.  
    "Groundwater" means any water, except capillary  moisture or unsaturated zone moisture, beneath the land surface in the zone of  saturation or beneath the bed of any stream, lake, reservoir or other body of  surface water within the boundaries of this Commonwealth, whatever may be the  subsurface geologic structure in which such water stands, flows, percolates or  otherwise occurs. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60). 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill as defined by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Leachate" means a liquid that has passed through  or emerged from solid waste and that contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation for disposal in an off-site facility is regulated as septage,  and leachate discharged into a wastewater collection system is regulated as  industrial wastewater. 
    "Liabilities" means probable future sacrifices of  economic benefits arising from present obligations to transfer assets or  provide services to other entities in the future as a result of past  transactions or events. 
    "Local government" means a county, city or town or  any authority, commission, or district created by one or more counties, cities  or towns. 
    "Net working capital" means current assets minus  current liabilities. 
    "Net worth" means total assets minus total  liabilities and is equivalent to owner's equity. 
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means a person who owns a solid waste  management facility or part of a solid waste management facility. For the  purposes of this chapter, all individuals, corporations, companies, partnerships,  societies or associations, and any federal agency or governmental unit of the  Commonwealth having any title or interest in any solid waste management  facility or the services or facilities to be rendered thereby shall be  considered an owner. 
    "Parent corporation" means a corporation that  directly owns at least 50% of the voting stock of the corporation that is the  facility owner or operator; the latter corporation is deemed a  "subsidiary" of the parent corporation. 
    "Permit" means the written permission of the  director to own, operate, modify, or construct a solid waste management  facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Post-closure care" means the requirements placed  upon an owner or operator of a solid waste disposal facility after closure to  ensure environmental and public health and safety are protected for a specified  number of years after closure. 
    "Receiving facility" means a facility, vessel or  operation that receives solid wastes or regulated medical wastes transported,  loaded or unloaded upon the navigable waters of the Commonwealth, to the extent  allowable under state law, by a commercial transporter. A receiving facility is  considered as a solid waste management facility. A facility that receives solid  waste from a ship, barge or other vessel and is regulated under § 10.1-1454.1  of the Code of Virginia shall be considered a transfer facility for purposes of  this chapter. 
    "Regulated medical waste" means solid waste so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120) as promulgated by the Virginia Waste  Management Board. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of solid waste which is so located, designed,  constructed and operated to contain and isolate the solid waste so that it does  not pose a substantial present or potential hazard to human health or the  environment. 
    "Signature" means the name of a person written with  his own hand. 
    "Site" means all land and structures, other  appurtenances, and improvements thereon used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the property  boundary used for utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Virginia Waste Management Act and the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility (SWMF)" means a  site used for planned treating, storing, or disposing of solid waste. A  facility may consist of several treatment, storage, or disposal units. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Substantial business relationship" means the  extent of a business relationship necessary under applicable Virginia law to  make a guarantee contract incident to that relationship valid and enforceable.  A "substantial business relationship" shall arise from a pattern of recent  and on-going business transactions, in addition to the guarantee itself, such  that a currently existing business relationship between the guarantor and the  owner or operator is demonstrated to the satisfaction of the director. 
    "Tangible net worth" means the tangible assets that  remain after deducting liabilities; such assets would not include intangibles  such as goodwill and rights to patents or royalties. 
    "Total expenditures" means all expenditures  excluding capital outlays and debt repayment. 
    "Total revenue" means revenue from all taxes and  fees but does not include the proceeds from borrowing or asset sales, excluding  revenue from funds managed on behalf of a specific third party. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Treatment" means any method, technique, or  process, including incineration or neutralization, designed to change the  physical, chemical, or biological character or composition of any waste to  neutralize it or render it less hazardous or nonhazardous, safer for transport,  or more amenable to use, reuse, reclamation or recovery. 
    "Unit" means a discrete area of land used for the  management of solid waste. 
    9VAC20-70-50. Applicability of chapter. 
    A. This chapter applies to all persons who own, operate, or  allow the following permitted or unpermitted facilities to be operated on their  property: 
    1. Solid waste treatment, transfer and disposal facilities  regulated under the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81);
    2. Facilities Vegetative waste management facilities  regulated under the Vegetative Waste Management and Yard Waste Composting  Regulations (9VAC20-101-10 et seq.) Solid Waste Management Regulations  (9VAC20-81);
    3. Medical waste treatment, transfer or disposal facilities  regulated under the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120); or 
    4. Receiving facilities as defined herein.
    B. Exemptions. 
    1. Owners or operators of facilities who are federal or state  government entities whose debts and liabilities are the debts or liabilities of  the United States or the Commonwealth, are exempt from this chapter; 
    2. Owners and operators of facilities conditionally exempt  under 9VAC20-80-60 D 9VAC20-81-95 of the Virginia Solid  Waste Management Regulations are exempt from this chapter so long as they meet  the conditions of the exemption; 
    3. Owners and operators of facilities that manage solely  wastes excluded under 9VAC20-80-150 or conditionally exempt under 9VAC20-80-160  9VAC20-81-95 of the Virginia Solid Waste Management Regulations  are exempt from this chapter; 
    4. Owners or operators of facilities exempt under  9VAC20-120-120 or excluded under 9VAC20-120-130 of the Virginia  Regulated Medical Waste Management Regulations (9VAC20-120-10 et seq.) (9VAC20-120)  are exempt from this chapter; 
    5. Owners and operators of yard waste composting facilities  exempt under 9VAC20-101-60 and 9VAC20-101-70 of the Vegetative Waste  Management and Yard Waste Composting Regulations 9VAC20-81-95 of the  Solid Waste Management Regulations are exempt from this chapter; and 
    6. Owners and operators of hazardous waste management units  regulated under the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60) are exempt from this chapter as far as such  units are concerned. 
    C. Owners and operators of facilities or units that treat or  dispose of wastes which are exempted from the Virginia Hazardous Waste  Management Regulations (9VAC20-60-12 et seq.) (9VAC20-60) are  subject to these regulations unless also exempted herein. 
    D. Facilities with separate ownership and operation. If  separate, nonexempt persons own and operate a facility subject to this chapter,  the owner and operator shall be jointly and severally liable for meeting the  requirements of this chapter. If either the owner or operator is exempt, as  provided in 9VAC20-70-50 B, then the other person shall be liable for meeting  the requirements of this chapter. If both the owner and the operator are  exempt, as provided in 9VAC20-70-50 B, then the requirements of this chapter  are not applicable to that facility. 
    E. Exemptions for facilities owned and operated by local  governments. 
    1. Closed facilities. Owners and operators of facilities who  are local governmental entities or regional authorities that have completed  closure by October 9, 1994, are exempt from all the requirements of this  chapter, provided they: 
    a. Have (i) disposed of less than 100 tons per day of solid  waste during a representative period prior to October 9, 1993; (ii) disposed of  less than 100 tons per day of solid waste each month between October 9, 1993,  and April 9, 1994; (iii) ceased to accept solid waste prior to April 9, 1994;  and (iv) whose units are not on the National Priority List as found in Appendix  B to 40 CFR Part 300; or 
    b. Have (i) disposed of more than 100 tons per day of solid  waste prior to October 9, 1993, and (ii) ceased to accept solid waste prior to  that date. 
    2. All other facilities. Owners and operators of facilities  who are local governmental entities or regional authorities that are not exempt  under subdivision 1 of this subsection are subject to the requirements of this  chapter. 
    9VAC20-70-70. Suspensions and revocations. 
    The director may revoke, suspend, or amend any permit for  cause as set in § 10.1-1409 of the Code of Virginia and as provided for in  9VAC20-80-600 9VAC20-81-570 and 9VAC20-80-620 9VAC20-81-600  of the Virginia Solid Waste Management Regulations, 9VAC20-120-790 and  9VAC20-120-810 of the Regulated Medical Waste Management Regulations, 9VAC20-101-200  of the Vegetative Waste Management and Yard Waste Composting Regulations,  and any other applicable regulations. Failure to provide or maintain adequate  financial assurance in accordance with these regulations shall be a basis for  revocation of such facility permit. Failure to provide or maintain adequate  financial assurance in accordance with this chapter, taken with other relevant  facts and circumstances, may be a basis for summary suspension of such facility  permit pending a hearing to amend or revoke the permit, or to issue any other appropriate  order. 
    9VAC20-70-75. Forfeitures. 
    Forfeiture of any financial obligation imposed pursuant to  this chapter shall not relieve any owner or operator of a solid waste  management facility from any obligations to comply with provisions of the Solid  Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  or the Regulated Medical Waste Management Regulations (9VAC20-120-10 et  seq.), the Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.) (9VAC20-120), and any other applicable  regulations or any other legal obligations for the consequences of abandonment  of any facility. 
    Article 2 
  Closure, Post-Closure Care and Corrective Action Requirements 
    9VAC20-70-90. Closure, post-closure care and corrective action  requirements. 
    A. The owner or operator shall close his facility in a manner  that minimizes the need for further maintenance; and controls, minimizes or  eliminates, to the extent necessary to protect human health and the  environment, the post-closure escape of uncontrolled leachate, surface runoff,  or waste decomposition products to the groundwater, surface water, or to the  atmosphere. The owner or operator shall close his facility in accordance with  all applicable regulations. 
    The closure standards applicable to the solid waste  management facilities are described in 9VAC20-80-210 B, 9VAC20-80-210 B 2,  9VAC20-80-250 E, 9VAC20-80-260 E, 9VAC20-80-270 E, 9VAC20-80-330 E,  9VAC20-80-340 E, 9VAC20-80-360 E, 9VAC20-80-370 E, 9VAC20-80-380 B, and  9VAC20-80-470 E 9VAC20-81-160, 9VAC20-81-360, and 9VAC20-81-370 of  the Solid Waste Management Regulations. The closure requirements applicable to  the regulated medical waste facilities are specified in 9VAC20-120-290 of the  Regulated Medical Waste Management Regulations. The closure requirements for  vegetative waste management and yard waste composting facilities are specified  in 9VAC20-101-150 of the Vegetative Waste Management and Yard Waste Composting  Regulations. 
    B. Following closure of each solid waste disposal unit, the  owner or operator shall conduct post-closure care in accordance with the  requirements of 9VAC20-80-250 F, 9VAC20-80-260 F, or 9VAC20-80-270 F 9VAC20-81-170  of the Solid Waste Management Regulations, as applicable. 
    C. The owner or operator shall institute a corrective action  program when required to do so by 9VAC20-80-190, 9VAC20-80-210 B 2, or  9VAC20-80-310 9VAC20-81-45 or 9VAC20-81-260 of the Solid Waste  Management Regulations, as applicable. 
    D. During any re-examination of a determination of the amount  of financial assurance required, the owner or operator of a landfill facility  not closed in accordance with 9VAC20-80-10 et seq. 9VAC20-81  shall demonstrate financial assurance by using one or more of the approved  mechanisms listed in Article 4 (9VAC20-70-140 et seq.) of this part for the  lesser of the following: 
    1. The amount requested by the director; or 
    2. The following default amounts: 
    a. $200,000 per acre of fill for sanitary landfills; or 
    b. $150,000 per acre of fill for construction demolition  debris landfills and industrial landfills. 
    9VAC20-70-113. Financial assurance for corrective action. 
    A. Within 120 days of a facility's finding or the director's  determining (whichever first occurs) that Groundwater Protection Standards  established as required by 9VAC20-80-250 D 6, or Appendix 5.6 D of  9VAC20-80-10 et seq. as applicable 9VAC20-81-250 have been  statistically exceeded, an owner or operator of a landfill or other unit  subject to groundwater monitoring shall provide additional financial assurance  in the amount of $1 million to the department using the mechanisms listed under  Article 4 (9VAC20-70-140 et seq.) of this part. The director shall release the  owner or operator from this requirement after the director has determined: 
    1. The owner or operator is providing financial assurance for  a corrective action program using one or more mechanisms listed under Article 4  (9VAC20-70-140 et seq.) of this part, as required under 9VAC20-70-90 C and  subsections B and C of this section; or 
    2. The owner of operator has achieved compliance with  Groundwater Protection Standards by demonstrating that concentrations of APPENDIX  5.1 constituents of 9VAC20-80-10 et seq. Table 3.1, Column B of  9VAC20-81-250 have not exceeded the Groundwater Protection Standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards. 
    B. An owner or operator of a solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  prepare and submit to the director a detailed written estimate, in current  dollars, of the cost of hiring a third party to perform the corrective action.  The corrective action cost estimate shall account for the total costs of  corrective action activities as described in the corrective action plan for the  entire corrective action period. The owner or operator shall notify the  director that the estimate has been placed in the operating record unless  corrective action is proceeding under Part IV of the Solid Waste Management  Regulations (9VAC20-80-10 et seq.) 9VAC20-81-45. In the latter case,  the new corrective action cost estimate shall be submitted to the director  within 30 days of its preparation. The corrective action cost estimate shall be  approved by the director. 
    1. The owner or operator shall adjust the estimate annually  for inflation within 60 days prior to the anniversary date of the establishment  of the financial mechanism used to comply with this part until the corrective  action program is completed. For owners or operators using the financial test  or guarantee, the corrective action cost estimate shall be updated for  inflation within 30 days after the close of the owner's or operator's fiscal  year. The adjustment process to be used is described in 9VAC20-70-111 B. 
    2. The owner or operator shall increase the corrective action  cost estimate and the amount of financial assurance provided under this  subsection no later than 30 days after revisions to the corrective action  program or where a change in the solid waste management unit conditions  increase the maximum costs of corrective action. 
    3. The owner or operator may request a reduction in the amount  of the corrective action cost estimate and the amount of financial assurance  provided under this subsection if the cost estimate exceeds the maximum  remaining costs of corrective action. The owner or operator shall submit a  revised cost estimate with the justification for the reduction to the director  when requesting a reduction in the amount of the corrective action cost  estimate and the amount of financial assurance provided. The justification  shall include an itemization of all corrective action costs. No reduction  request shall be reviewed until a complete cost estimate acceptable to the  department has been submitted. A request for a reduction in the corrective  action cost estimate shall be reviewed in a timely manner. 
    C. The owner or operator of each solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  establish financial assurance in the amount specified by the most recently  approved cost estimate for the selected remedy in accordance with  9VAC20-70-140. The owner or operator shall provide continuous coverage for  corrective action until released from financial assurance requirements for  corrective action by the director. 
    9VAC20-70-210. Local government financial test. 
    An owner or operator that satisfies the requirements of  subdivisions 1 through 3 of this section may demonstrate financial assurance  using the local government financial test up to the amount specified in  subdivision 4 of this section. 
    1. Financial component. 
    a. The owner or operator shall satisfy the provisions of  subdivision 1 a of this section, as applicable: 
    (1) If the owner or operator has outstanding, rated, general  obligation bonds that are not secured by insurance, a letter of credit, or  other collateral or guarantee, he shall supply the director with documentation  demonstrating that the owner or operator has a current rating of Aaa, Aa, A, or  Baa, as issued by Moody's, or AAA, AA, A, or BBB, as issued by Standard and  Poor's on all such general obligation bonds; or 
    (2) If the owner or operator does not have outstanding, rated  general obligation bonds, he shall satisfy each of the following financial  ratios based on the owner's or operator's most recent audited annual financial  statement: 
    (a) A ratio of cash plus marketable securities to total  expenditures greater than or equal to 0.05; and 
    (b) A ratio of annual debt service to total expenditures less  than or equal to 0.20. 
    b. The owner or operator shall prepare his financial  statements in conformity with Generally Accepted Accounting Principles for  governments and have its financial statements audited by an independent  certified public accountant or by the Auditor of Public Accounts. 
    c. An owner or operator is not eligible to assure its  obligations under this section if he: 
    (1) Is currently in default on any outstanding general  obligation bonds; 
    (2) Has any outstanding general obligation bonds rated lower  than Baa as issued by Moody's or BBB as issued by Standard and Poor's; 
    (3) Operated at a deficit equal to 5.0% or more of total  annual revenue in each of the past two fiscal years; or 
    (4) Receives an adverse opinion, disclaimer of opinion, or  other qualified opinion from the independent certified public accountant or  Auditor of Public Accounts auditing its financial statement as required under  subdivision 1 b of this section. However, the director may evaluate qualified  opinions on a case-by-case basis and allow use of the financial test in cases  where the director deems the qualification insufficient to warrant disallowance  of the test. 
    2. Public notice component. The local government owner or  operator shall place a reference to the closure, post-closure care, or  corrective action costs assured through the financial test into the next  comprehensive annual financial report (CAFR) after January 7, 1998, or prior to  the initial receipt of waste at the facility, whichever is later. Disclosure  shall include the nature and source of closure and post-closure requirements,  the reported liability at the balance sheet date, the estimated total closure  and post-closure care cost remaining to be recognized, the percentage of  landfill capacity used to date, and the estimated landfill life in years. A  reference to corrective action cost shall be placed in CAFR no later than 120  days after the corrective action remedy has been selected in accordance with 9VAC20-80-310  9VAC20-81-260. For the first year the financial test is used to assure  costs at a particular facility, the reference may instead be placed in the  operating record until issuance of the next available CAFR if timing does not  permit the reference to be incorporated into the most recently issued CAFR or  budget. For closure and post-closure care costs, conformance with Government  Accounting Standards Board Statement 18 assures compliance with this public  notice component. 
    3. Recordkeeping and reporting requirements. 
    a. The local government owner or operator must submit to the  department the following items and place copies of the items in the facility's  operating record: 
    (1) An original letter signed by the local government's chief  financial officer worded as specified in 9VAC20-70-290 G; 
    (2) The local government's independently audited year-end  financial statements for the latest fiscal year, including the unqualified  opinion of the auditor who must be an independent, certified public accountant  or an appropriate state agency that conducts equivalent comprehensive audits; 
    (3) A report to the local government from the local  government's independent certified public accountant (CPA) or the Auditor of  Public Accounts based on performing an agreed upon procedures engagement  relative to the financial ratios required by subdivision 1 a (3) of this  section, if applicable, and the requirements of subdivisions 1 b, 1 c (3) and 1  c (4) of this section. The CPA or state agency's report shall state the  procedures performed and the CPA or state agency's findings; 
    (4) A copy of the comprehensive annual financial report (CAFR)  used to comply with subdivision 2 of this section or certification that the  requirements of General Accounting Standards Board Statement 18 have been met; 
    (5) A certification from the local government's chief  executive officer stating in detail the method selected by the local government  for funding closure and post-closure costs. If the method selected by the local  government is a trust fund, escrow account or similar mechanism, there shall be  included a certification from the local government's chief financial officer  indicating the current reserve obligated to closure and post-closure care cost.  If the method selected by local governments is the use of annual operating  budget and Capital Investment Funds, there shall be a certification from the  local government's chief financial officer so indicating. Nothing herein shall  be construed to prohibit the local government from revising its plan for  funding closure and post-closure care costs if such revision provides economic  benefit to the local government and if such revision provides adequate means  for funding closure and post-closure care cost. This certification shall be  worded as specified in 9VAC20-70-290 H; and 
    (6) If the local government is required under this section to  fund a restricted sinking fund, escrow account, or to obtain an irrevocable  letter of credit, an original letter signed by the local government's chief  financial officer and worded as specified in 9VAC20-70-290 I must be submitted.  
    b. The items required in subdivision 3 a of this section shall  be submitted to the department and placed in the facility operating record as  follows: 
    (1) In the case of closure and post-closure care, either  before January 7, 1998, or prior to the initial receipt of waste at the  facility, whichever is later; or 
    (2) In the case of corrective action, not later than 120 days  after the corrective action remedy is selected in accordance with the  requirements of 9VAC20-80-310 9VAC20-81-260. 
    c. After the initial submission of the items, the local  government owner or operator must update the information, place a copy of the  updated information in the operating record, and submit the updated  documentation described in subdivisions 3 a (1) through (6) of this section to  the department within 180 days following the close of the owner or operator's  fiscal year. 
    d. The local government owner or operator is no longer  required to meet the requirements of subdivision 3 of this section when: 
    (1) The owner or operator substitutes alternate financial  assurance as specified in this section; or 
    (2) The owner or operator is released from the requirements of  this section in accordance with 9VAC20-70-111 E, 9VAC20-70-112 B, or  9VAC20-70-113 C. 
    e. A local government shall satisfy the requirements of the  financial test at the close of each fiscal year. If the local government owner  or operator no longer meets the requirements of the local government financial  test it must, within 210 days following the close of the owner or operator's  fiscal year, obtain alternative financial assurance that meets the requirements  of this section, place a copy of the financial assurance mechanism in the  operating record, and submit the original financial assurance mechanism to the  director. 
    f. The director, based on a reasonable belief that the local  government owner or operator may no longer meet the requirements of the local  government financial test, may require additional reports of financial  condition from the local government at any time. If the director finds, on the  basis of such reports or other information, that the owner or operator no  longer meets the requirements of the local government financial test, the local  government shall provide alternate financial assurance in accordance with this  article. 
    4. Calculation of costs to be assured. The portion of the  closure, post-closure, and corrective action costs for which an owner or  operator can assure under subdivision 1 of this section is determined as  follows: 
    a. If the local government owner or operator does not assure  other environmental obligations through a financial test, it may assure  closure, post-closure, and corrective action costs that equal up to 43% of the  local government's total annual revenue or the sum of total revenues of  constituent governments in the case of regional authorities. If the local  government assures closure, post-closure, and corrective action costs that  exceed 20% (but do not exceed 43%) of the local government's total annual  revenue or the sum of the revenue of constituent governments in the case of  regional authorities, the locality must also establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    b. If the local government assures other environmental obligations  through a financial test, including those associated with UIC facilities under  40 CFR 144.62, petroleum underground storage tank facilities under  9VAC25-590-10 et seq., PCB storage facilities under 40 CFR Part 761, and  hazardous waste treatment, storage, and disposal facilities under Part IX or X  of the Virginia Hazardous Waste Management Regulations (9VAC20-60-12 et  seq.) (9VAC20-60), it shall add those costs to the closure,  post-closure, and corrective action costs it seeks to assure under subdivision  1 of this section. The total shall not exceed 43% of the local government's  total annual revenue. If the local government's total environmental liabilities  assured through financial tests exceed 20% (but do not exceed 43%) of the local  government's total annual revenue or the sum of the revenue of constituent  governments in the case of regional authorities, the locality must also  establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    c. The owner or operator shall obtain an alternate financial  assurance mechanism for those costs that exceed the limits set in subdivisions  4 a and 4 b of this section. 
    9VAC20-70-290. Wording of financial mechanisms. 
    A. Wording of trust agreements. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    TRUST AGREEMENT 
    Trust agreement, the "Agreement," entered into as  of (date) by and between (name of the owner or operator), a (State)  (corporation, partnership, association, proprietorship), the  "Grantor," and (name of corporate trustee), a (State corporation)  (national bank), the "Trustee." 
    Whereas, the Virginia Waste Management Board has established  certain regulations applicable to the Grantor, requiring that the owner or operator  of a (solid) (regulated medical) (yard) waste (transfer station) (receiving)  (management) facility must provide assurance that funds will be available when  needed for (closure, post-closure care, or corrective action) of the facility, 
    Whereas, the Grantor has elected to establish a trust to  provide (all or part of) such financial assurance for the facility identified  herein, 
    Whereas, the Grantor, acting through its duly authorized  officers, has selected the Trustee to be the trustee under this agreement, and  the Trustee is willing to act as trustee, 
    Now, therefore, the Grantor and the Trustee agree as follows:  
    Section 1. Definitions. As used in this Agreement: 
    A. The term "fiduciary" means any person who  exercises any power of control, management, or disposition or renders  investment advice for a fee or other compensation, direct or indirect, with  respect to any moneys or other property of this trust fund, or has any  authority or responsibility to do so, or who has any authority or  responsibility in the administration of this trust fund. 
    B. The term "Grantor" means the owner or operator  who enters into this Agreement and any successors or assigns of the Grantor. 
    C. The term "Trustee" means the Trustee who enters  into this Agreement and any successor Trustee. 
    Section 2. Identification of Facility and Cost Estimates.  This Agreement pertains to facility(ies) and cost estimates identified on  attached Schedule A. 
    (NOTE: On Schedule A, for each facility list, as applicable,  the permit number, name, address, and the current closure, post-closure,  corrective action cost estimates, or portions thereof, for which financial  assurance is demonstrated by this Agreement.) 
    Section 3. Establishment of Fund. The Grantor and the Trustee  hereby establish a trust fund, the "Fund," for the benefit of the  Department of Environmental Quality, Commonwealth of Virginia. The Grantor and  the Trustee intend that no third party have access to the Fund except as herein  provided. The Fund is established initially as property consisting of cash or  securities, which are acceptable to the Trustee, described in Schedule B  attached hereto. Such property and any other property subsequently transferred  to the Trustee is referred to as the fund, together with all earnings and  profits thereon, less any payments or distributions made by the Trustee  pursuant to this Agreement. The Fund will be held by the Trustee, IN TRUST, as  hereinafter provided. The Trustee undertakes no responsibility for the amount  or adequacy of, nor any duty to collect from the Grantor, any payments to  discharge any liabilities of the Grantor established by the Commonwealth of  Virginia's Department of Environmental Quality. 
    Section 4. Payment for (Closure, Post-Closure Care, or  Corrective Action). The Trustee will make such payments from the Fund as the  Department of Environmental Quality, Commonwealth of Virginia will direct, in  writing, to provide for the payment of the costs of (closure, post-closure  care, corrective action) of the facility covered by this Agreement. The Trustee  will reimburse the Grantor or other persons as specified by the Department of  Environmental Quality, Commonwealth of Virginia, from the Fund for (closure,  post-closure care, corrective action) expenditures in such amounts as the  Department of Environmental Quality will direct, in writing. In addition, the  Trustee will refund to the Grantor such amounts as the Department of  Environmental Quality specifies in writing. Upon refund, such funds will no  longer constitute part of the Fund as defined herein. 
    Section 5. Payments Comprising the Fund. Payments made to the  Trustee for the fund will consist of cash or securities acceptable to the  Trustee. 
    Section 6. Trustee Management. The Trustee will invest and  reinvest the principal and income of the Fund and keep the Fund invested as a  single fund, without distinction between principal and income, in accordance  with investment guidelines and objectives communicated in writing to the  Trustee from time to time by the Grantor, subject, however, to the provisions  of this Section. In investing, reinvesting, exchanging, selling and managing  the Fund, the Trustee or any other fiduciary will discharge his duties with  respect to the trust fund solely in the interest of the beneficiary and with  the care, skill, prudence, and diligence under the circumstances then  prevailing which persons of prudence, acting in a like capacity and familiar  with such matters, would use in the conduct of any enterprise of a like  character and with like aims; except that: 
    A. Securities or other obligations of the Grantor, or any  other owner or operator of the facility, or any of their affiliates as defined  in the Investment Company Act of 1940, as amended, 15 USC § 80a-2(a), will not  be acquired or held, unless they are securities or other obligations of the  federal or a state government; 
    B. The Trustee is authorized to invest the Fund in time or  demand deposits of the Trustee, to the extent insured by an agency of the  federal or state government; and 
    C. The Trustee is authorized to hold cash awaiting investment  or distribution uninvested for a reasonable time and without liability for the  payment of interest thereon. 
    Section 7. Commingling and Investment. The Trustee is  expressly authorized in its discretion: 
    A. To transfer from time to time any or all of the assets of  the Fund to any common, commingled or collective trust fund created by the  Trustee in which the Fund is eligible to participate subject to all of the  provisions thereof, to be commingled with the assets of other trusts  participating herein. To the extent of the equitable share of the Fund in any  such commingled trust, such commingled trust will be part of the Fund; and 
    B. To purchase shares in any investment company registered  under the Investment Company Act of 1940, 15 USC § 80a-1 et seq., of one which  may be created, managed, underwritten, or to which investment advice is  rendered or the shares of which are sold by the Trustee. The Trustees may vote  such shares in its discretion. 
    Section 8. Express Powers of Trustee. Without in any way  limiting the powers and discretions conferred upon the Trustee by the other  provisions of this Agreement or by law, the Trustee is expressly authorized and  empowered: 
    A. To sell, exchange, convey, transfer or otherwise dispose of  any property held by it, by private contract or at public auction. No person  dealing with the Trustee will be bound to see to the application of the  purchase money or to inquire into the validity or expediency of any such sale  or other dispositions; 
    B. To make, execute, acknowledge and deliver any and all  documents of transfer and conveyance and any and all other instruments that may  be necessary or appropriate to carry out the powers herein granted; 
    C. To register any securities held in the fund in its own name  or in the name of a nominee and to hold any security in bearer form or in book  entry, or to combine certificates representing such securities with  certificates of the same issue held by the Trustee in other fiduciary  capacities, or to deposit or arrange for the deposit of such securities in a  qualified central depository even though, when so deposited, such securities  may be merged and held in bulk in the name of the nominee of such depository  with other securities deposited therein by another person, or to deposit or  arrange for the deposit of any securities issued by the United State  government, or any agency or instrumentality thereof with a Federal Reserve  Bank, but the books and records of the Trustee will at all times show that all  such securities are part of the Fund; 
    D. To deposit any cash in the fund in interest-bearing  accounts maintained or savings certificates issued by the Trustee, in its  separate corporate capacity, or in any other banking institution affiliated  with the Trustee, to the extent insured by an agency of the Federal or State  government; and 
    E. To compromise or otherwise adjust all claims in favor of or  against the Fund. 
    Section 9. Taxes and Expenses. All taxes of any kind that may  be assessed or levied against or in respect of the Fund and all brokerage  commissions incurred by the Fund will be paid from the Fund. All other expenses  incurred by the Trustee in connection with the administration of this Trust,  including fees for legal services rendered to the Trustee, the compensation of  the Trustee to the extent not paid directly by the Grantor, and all other  proper charges and disbursements of the Trustee will be paid from the Fund. 
    Section 10. Annual Valuation. The Trustee will annually, at  the end of the month coincident with or preceding the anniversary date of  establishment of the Fund, furnish the Grantor and to the director of the  Department of Environmental Quality, Commonwealth of Virginia, a statement  confirming the value of the Trust. Any securities in the Fund will be valued at  market value as of no more than 30 days prior to the date of the statement. The  failure of the Grantor to object in writing to the Trustee within 90 days after  the statement has been furnished to the Grantor and the director of the  Department of Environmental Quality, Commonwealth of Virginia will constitute a  conclusively binding assent by the Grantor, barring the Grantor from asserting  any claim or liability against the Trustee with respect to matters disclosed in  the statement. 
    Section 11. Advice of Counsel. The Trustee may from time to  time consult with counsel, who may be counsel to the Grantor, with respect to  any question arising as to the construction of this Agreement or any action to  be taken hereunder. The Trustee will be fully protected, to the extent  permitted by law, in acting upon the advice of counsel. 
    Section 12. Trustee Compensation. The Trustee will be  entitled to reasonable compensation for its services as agreed upon in writing  from time to time with the Grantor. 
    Section 13. Successor Trustee. The Trustee may resign or the  Grantor may replace the Trustee, but such resignation or replacement shall not  be effective until the Grantor has appointed a successor trustee and this  successor accepts the appointment. The successor trustee shall have the same  powers and duties as those conferred upon the Trustee hereunder. Upon  acceptance of the appointment by the successor trustee, the Trustee will  assign, transfer and pay over to the successor trustee the funds and properties  then constituting the Fund. If for any reason the grantor cannot or does not  act in the event of the resignation of the Trustee, the Trustee may apply to a  court of competent jurisdiction for the appointment of a successor trustee or  for instructions. The successor trustee and the date on which he assumes  administration of the trust will be specified in writing and sent to the  Grantor, the director of the Department of Environmental Quality, Commonwealth  of Virginia, and the present trustees by certified mail 10 days before such  change becomes effective. Any expenses incurred by the Trustee as a result of  any of the acts contemplated by this section will be paid as provided in Part  IX. 
    Section 14. Instructions to the Trustee. All orders, requests  and instructions by the Grantor to the Trustee will be in writing, signed by  such persons as are designated in the attached Exhibit A or such other  designees as the grantor may designate by amendment to Exhibit A. The Trustee  will be fully protected in acting without inquiry in accordance with the  Grantor's orders, requests and instructions. All orders, requests, and  instructions by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, to the Trustee will be in writing, signed by the  Director and the Trustee will act and will be fully protected in acting in  accordance with such orders, requests and instructions. The Trustee will have  the right to assume, in the absence of written notice to the contrary, that no  event constituting a change or a termination of the authority of any person to  act on behalf of the Grantor or the Commonwealth of Virginia's Department of  Environmental Quality hereunder has occurred. The Trustee will have no duty to  act in the absence of such orders, requests and instructions from the Grantor  and/or the Commonwealth of Virginia's Department of Environmental Quality,  except as provided for herein. 
    Section 15. Notice of Nonpayment. The Trustee will notify the  Grantor and the Director of the Department of Environmental Quality,  Commonwealth of Virginia, by certified mail within 10 days following the  expiration of the 30-day period after the anniversary of the establishment of  the Trust, if no payment is received from the Grantor during that period. After  the pay-in period is completed, the Trustee is not required to send a notice of  nonpayment. 
    Section 16. Amendment of Agreement. This Agreement may be  amended by an instrument in writing executed by the Grantor, the Trustee, and  the Director of the Department of Environmental Quality, Commonwealth of  Virginia, or by the Trustee and the Director of the Department of Environmental  Quality, Commonwealth of Virginia, if the Grantor ceases to exist. 
    Section 17. Irrevocability and Termination. Subject to the  right of the parties to amend this Agreement as provided in Section 16, this  Trust will be irrevocable and will continue until terminated at the written  agreement of the Grantor, the Trustee, and the Director of the Department of  Environmental Quality, Commonwealth of Virginia, or by the Trustee and the  Director if the Grantor ceases to exist. Upon termination of the Trust, all  remaining trust property, less final trust administration expenses, will be  delivered to the Grantor. 
    Section 18. Immunity and Indemnification. The Trustee will  not incur personal liability of any nature in connection with any act or  omission, made in good faith, in the administration of this Trust, or in  carrying out any directions by the Grantor or the Director of the Department of  Environmental Quality, Commonwealth of Virginia, issued in accordance with this  Agreement. The Trustee will be indemnified and saved harmless by the Grantor or  from the Trust Fund, or both, from and against any personal liability to which  the Trustee may be subjected by reason of any act or conduct in its official  capacity, including all expenses reasonably incurred in its defense in the  event the Grantor fails to provide such defense. 
    Section 19. Choice of Law. This Agreement will be  administered, construed and enforced according to the laws of the Commonwealth  of Virginia. 
    Section 20. Interpretation. As used in the Agreement, words  in the singular include the plural and words in the plural include the  singular. The descriptive headings for each section of this Agreement will not  affect the interpretation of the legal efficacy of this Agreement. 
    In witness whereof the parties have caused this Agreement to  be executed by their respective officers duly authorized and their corporate  seals to be hereunto affixed and attested as of the date first above written.  The parties below certify that the wording of this Agreement is identical to  the wording specified in 9VAC20-70-290 A of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer and Treatment Facilities, as such regulations  were constituted on the date shown immediately below. 
           |      (Signature of Grantor)      |                 |    
       |      By: (Title)      |          (Date)      |    
       |      Attest:      |                 |    
       |      (Title)      |          (Date)      |    
       |      (Seal)      |                 |    
       |      (Signature of Trustee)      |                 |    
       |      By      |                 |    
       |      Attest:      |                 |    
       |      (Title)      |                 |    
       |      (Seal)      |          (Date)      |    
  
    Certification of Acknowledgment: 
    COMMONWEALTH OF VIRGINIA 
    STATE OF __________ 
    CITY/COUNTY OF __________ 
    On this date, before me personally came (owner or operator)  to me known, who being by me duly sworn, did depose and say that she/he resides  at (address), that she/he is (title) of (corporation), the corporation  described in and which executed the above instrument; that she/he knows the  seal of said corporation; that the seal affixed to such instrument is such  corporate seal; that it was so affixed by order of the Board of Directors of said  corporation, and that she/he signed her/his name thereto by like order. 
    (Signature of Notary Public) 
    B. Wording of surety bond guaranteeing performance or  payment. 
    (NOTE: instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    PERFORMANCE OR PAYMENT BOND 
    Date bond executed: __________ 
    Effective date: __________ 
    Principal: (legal name and business address) _____________ 
    Type of organization: (insert "individual,"  "joint venture," "partnership," or "corporation")  _____________ 
    State of incorporation: __________ 
    Surety: (name and business address) _____________ 
    Name, address, permit number, if any, and (closure,  post-closure care, or corrective action) cost estimate for the facility:  _____________ 
    Penal sum of bond: $________ 
    Surety's bond number: __________ 
    Know all men by these present, That we, the Principal and  Surety hereto are firmly bound to the Department of Environmental Quality,  Commonwealth of Virginia, (hereinafter called the Department) in the above  penal sum for the payment of which we bind ourselves, our heirs, executors,  administrators, successors and assigns, jointly and severally; provided that,  where the Surety(ies) are corporations acting as co-sureties, we, the Sureties,  bind ourselves in such sum "jointly and severally" only for the  purpose of allowing a joint action or actions against any or all of us, and for  all other purposes each Surety binds itself, jointly and severally with the  Principal, for the payment of each sum only as is set forth opposite the name  of such Surety, but if no limit of liability is indicated, the limit of  liability shall be the full amount of the penal sum. 
    Whereas, said Principal is required to have a permit from the  Department of Environmental Quality, Commonwealth of Virginia, in order to own  or operate the (solid, regulated medical, yard) waste management facility  identified above, and 
    Whereas, said Principal is required to provide financial  assurance for (closure, post-closure care, corrective action) of the facility  as a condition of the permit or an order issued by the department, 
    Now, therefore the conditions of this obligation are such  that if the Principal shall faithfully perform (closure, post-closure care,  corrective action), whenever required to do so, of the facility identified  above in accordance with the order or the (closure, post-closure care,  corrective action) plan submitted to receive said permit and other requirements  of said permit as such plan and permit may be amended or renewed pursuant to  all applicable laws, statutes, rules, and regulations, as such laws, statutes,  rules, and regulations may be amended, 
    Or, if the Principal shall faithfully perform (closure,  post-closure care, corrective action) following an order to begin (closure,  post-closure care, corrective action) issued by the Commonwealth of Virginia's  Department of Environmental Quality or by a court, or following a notice of  termination of the permit, 
    Or, if the Principal shall provide alternate financial assurance  as specified in the Department's regulations and obtain the director's written  approval of such assurance, within 90 days of the date notice of cancellation  is received by the Director of the Department of Environmental Quality from the  Surety, then this obligation will be null and void, otherwise it is to remain  in full force and effect for the life of the management facility identified  above. 
    The Surety shall become liable on this bond obligation only  when the Principal has failed to fulfill the conditions described above. Upon  notification by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, that the Principal has been found in violation of the  requirements of the Department's regulations, the Surety must either perform  (closure, post-closure care, corrective action) in accordance with the approved  plan and other permit requirements or forfeit the (closure, post-closure care,  corrective action) amount guaranteed for the facility to the Commonwealth of  Virginia. 
    Upon notification by the Director of the Department of  Environmental Quality, Commonwealth of Virginia, that the Principal has been  found in violation of an order to begin (closure, post-closure care, corrective  action), the Surety must either perform (closure, post-closure care, corrective  action) in accordance with the order or forfeit the amount of the (closure,  post-closure care, corrective action) guaranteed for the facility to the  Commonwealth of Virginia. 
    The Surety hereby waives notification of amendments to the  (closure, post-closure care, corrective action) plans, orders, permit,  applicable laws, statutes, rules, and regulations and agrees that such  amendments shall in no way alleviate its obligation on this bond. 
    For purposes of this bond, (closure, post-closure care,  corrective action) shall be deemed to have been completed when the Director of  the Department of Environmental Quality, Commonwealth of Virginia, determines  that the conditions of the approved plan have been met. 
    The liability of the Surety shall not be discharged by any  payment or succession of payments hereunder, unless and until such payment or  payments shall amount in the aggregate to the penal sum of the bond, but the  obligation of the Surety hereunder shall not exceed the amount of said penal  sum unless the Director of the Department of Environmental Quality,  Commonwealth of Virginia, should prevail in an action to enforce the terms of  this bond. In this event, the Surety shall pay, in addition to the penal sum  due under the terms of the bond, all interest accrued from the date the  Director of the Department of Environmental Quality, Commonwealth of Virginia,  first ordered the Surety to perform. The accrued interest shall be calculated  at the judgment rate of interest pursuant to § 6.1-330.54 6.2-302  of the Code of Virginia. 
    The Surety may cancel the bond by sending written notice of  cancellation to the owner or operator and to the Director of the Department of  Environmental Quality, Commonwealth of Virginia, provided, however, that cancellation  cannot occur (1) during the 120 days beginning on the date of receipt of the  notice of cancellation by the director as shown on the signed return receipt;  or (2) while an enforcement action is pending. 
    The Principal may terminate this bond by sending written  notice to the Surety, provided, however, that no such notice shall become  effective until the Surety receives written authorization for termination of  the bond by the Director of the Department of Environmental Quality,  Commonwealth of Virginia. 
    In witness whereof, the Principal and Surety have executed  this Performance Bond and have affixed their seals on the date set forth above.  
    The persons whose signatures appear below hereby certify that  they are authorized to execute this surety bond on behalf of the Principal and  Surety and I hereby certify that the wording of this surety bond is identical  to the wording specified in 9VAC20-70-290 B of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    Principal 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Surety 
    Name and Address: __________ 
    State of Incorporation: __________ 
    Liability Limit: $___ 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Seal: 
    C. Wording of irrevocable standby letter of credit. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    IRREVOCABLE STANDBY LETTER OF CREDIT 
    Director 
    Department of Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia 23240-0009 
    Dear (Sir or Madam): 
    We hereby establish our Irrevocable Letter of Credit No......  in your favor at the request and for the account of (owner's or operator's name  and address) up to the aggregate amount of (in words) U.S. dollars $____,  available upon presentation of 
    1. Your sight draft, bearing reference to this letter of  credit No ____ together with 
    2. Your signed statement declaring that the amount of the  draft is payable pursuant to regulations issued under the authority of the  Department of Environmental Quality, Commonwealth of Virginia. 
    The following amounts are included in the amount of this  letter of credit: (Insert the facility permit number, if any, name and address,  and the closure, post-closure care, corrective action cost estimate, or  portions thereof, for which financial assurance is demonstrated by this letter  of credit.) 
    This letter of credit is effective as of (date) and will  expire on (date at least one year later), but such expiration date will be  automatically extended for a period of (at least one year) on (date) and on  each successive expiration date, unless, at least 120 days before the current  expiration date, we notify you and (owner or operator's name) by certified mail  that we decide not to extend the Letter of Credit beyond the current expiration  date. In the event you are so notified, unused portion of the credit will be  available upon presentation of your sight draft for 120 days after the date of  receipt by you as shown on the signed return receipt or while a compliance  procedure is pending, whichever is later. 
    Whenever this letter of credit is drawn on under and in  compliance with the terms of this credit, we will duly honor such draft upon  presentation to us, and we will pay to you the amount of the draft promptly and  directly. 
    I hereby certify that I am authorized to execute this letter  of credit on behalf of (issuing institution) and I hereby certify that the  wording of this letter of credit is identical to the wording specified in  9VAC20-70-290 C of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities as such regulations were  constituted on the date shown immediately below. 
    Attest: 
    (Print name and title of official of issuing institution)  (Date) 
        This credit is subject to (insert "the most recent  edition of the Uniform Customs and Practice for Documentary Credits, published by  the International Chamber of Commerce," of "the Uniform Commercial  Code.") 
    D. Assignment of certificate of deposit account. 
    City _______________________ ____________, 20___ 
    FOR VALUE RECEIVED, the undersigned assigns all right, title  and interest to the Virginia Department of Environmental Quality, Commonwealth  of Virginia, and its successors and assigns the Virginia Department of  Environmental Quality the principal amount of the instrument, including all  monies deposited now or in the future to that instrument, indicated below: 
    ( ) If checked here, this assignment includes all interest  now and hereafter accrued. 
    Certificate of Deposit Account No. _____________________ 
    This assignment is given as security to the Virginia  Department of Environmental Quality in the amount of _______________________  Dollars ($_____________). 
    Continuing Assignment. This assignment shall continue to  remain in effect for all subsequent terms of the automatically renewable  certificate of deposit. 
    Assignment of Document. The undersigned also assigns any  certificate or other document evidencing ownership to the Virginia Department  of Environmental Quality. 
    Additional Security. This assignment shall secure the payment  of any financial obligation of the (name of owner/operator) to the Virginia  Department of Environmental Quality for ("closure" "post closure  care" "corrective action") at the (facility name and permit  number) located (physical address) 
    Application of Funds. The undersigned agrees that all or any  part of the funds of the indicated account or instrument may be applied to the  payment of any and all financial assurance obligations of (name of  owner/operator) to the Virginia Department of Environmental Quality for  ("closure" "post closure care" "corrective  action") at the (facility name and address). The undersigned authorizes  the Virginia Department of Environmental Quality to withdraw any principal  amount on deposit in the indicated account or instrument including any  interest, if indicated, and to apply it in the Virginia Department of  Environmental Quality's discretion to fund ("closure" "post  closure care" "corrective action") at the (facility name) or in  the event of (owner or operator's) failure to comply with the Virginia Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities, 9VAC20-70-10 et seq 9VAC20-70. The undersigned agrees  that the Virginia Department of Environmental Quality may withdraw any  principal and/or interest from the indicated account or instrument without demand  or notice. (The undersigned) agrees to assume any and all loss of penalty due  to federal regulations concerning the early withdrawal of funds. Any partial  withdrawal of principal or interest shall not release this assignment. 
    The party or parties to this Assignment set their hand or  seals, or if corporate, has caused this assignment to be signed in its  corporate name by its duly authorized officers and its seal to be affixed by  authority of its Board of Directors the day and year above written. 
           |             |                 |          SEAL       |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
       |             |                 |          SEAL      |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
  
    THE FOLLOWING SECTION IS TO BE COMPLETED BY THE BRANCH OR  LENDING OFFICE: 
    The signature(s) as shown above compare correctly with the  name(s) as shown on record as owner(s) of the Certificate of Deposit indicated  above. The above assignment has been properly recorded by placing a hold in the  amount of $ _______________________ for the benefit of the Department of  Environmental Quality. 
    ( ) If checked here, the accrued interest on the Certificate  of Deposit indicated above has been maintained to capitalize versus being  mailed by check or transferred to a deposit account. 
           |             |                 |                 |    
       |      (Signature)      |                 |          (Date)      |    
       |             |                 |                 |    
       |      (print name)      |                 |                 |    
       |             |                 |                 |    
       |      (Title)      |                 |                 |    
  
    E. Wording of certificate of insurance. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    CERTIFICATE OF INSURANCE 
    Name and Address of Insurer (herein called the  "Insurer"): 
    _____________ 
    _____________
    Name and Address of Insured (herein called the  "Insured"): 
    _____________ 
    _____________ 
    _____________
    Facilities Covered: (List for each facility: Permit number  (if applicable), name, address and the amount of insurance for closure,  post-closure care, or corrective action. (These amounts for all facilities  covered shall total the face amount shown below.)) 
    Face Amount: $___ 
    Policy Number: __________ 
    Effective Date: __________ 
    The Insurer hereby certifies that it has issued to the  Insured the policy of insurance identified above to provide financial assurance  for (insert "closure," "post-closure care,"  "corrective action") for the facilities identified above. The Insurer  further warrants that such policy conforms in all respects with the requirements  of 9VAC20-70-190 of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities ("Regulations") (9VAC20-70-10  et seq.) (9VAC20-70), as such regulations were constituted on the  date shown immediately below. It is agreed that any provision of the policy  inconsistent with such regulations is hereby amended to eliminate such  inconsistency. 
    Whenever requested by the Director, the Insurer agrees to  furnish to the Director a duplicate original of the policy listed above,  including all endorsements thereon. 
    I hereby certify that the wording of this certificate is  identical to the wording specified in 9VAC20-70-290 E of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Authorized signature for Insurer) 
    (Name of person signing) 
    (Title of person signing) 
    Signature of witness or notary: 
    (Date) 
    F. Wording of letter from chief financial officer. 
    (NOTE: Instructions in  parentheses are to be replaced with the relevant information and the  parentheses removed.) 
    Director 
    Department of  Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia  23240-0009 
    Dear (Sir, Madam): 
    I am the chief financial officer of (name and address of  firm). This letter is in support of this firm's use of the financial test to  demonstrate financial assurance, as specified in 9VAC20-70-200 of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities (9VAC20-70-10 et seq.) (9VAC20-70)  ("Regulations"). 
    (Fill out the following four paragraphs regarding solid  waste, regulated medical waste, yard waste composting, hazardous waste,  underground injection (regulated under the federal program in 40 CFR Part 144,  or its equivalent in other states), petroleum underground storage (9VAC25-590-10  et seq.) (9VAC25-590), above ground storage facilities (9VAC25-640-10  et seq.) (9VAC25-640) and PCB storage (regulated under 40 CFR Part  761) facilities and associated cost estimates. If your firm has no facilities  that belong in a particular paragraph, write "None" in the space  indicated. For each facility, include its name, address, permit number, if any,  and current closure, post-closure care, corrective action or any other  environmental obligation cost estimates. Identify each cost estimate as to  whether it is for closure, post-closure care, corrective action or other  environmental obligation.) 
    1. This firm is the owner or operator of the following  facilities for which financial assurance is demonstrated through the corporate  test specified in 9VAC20-70-200 or its equivalent in other applicable  regulations. The current cost estimates covered by the test are shown for each  facility: 
    2. This firm guarantees, through the corporate guarantee  specified in 9VAC20-70-220, the financial assurance for the following  facilities owned or operated by subsidiaries of this firm. The current cost  estimates so guaranteed are shown for each facility: 
    3. This firm, as owner or operator or guarantor, is  demonstrating financial assurance for the following facilities through the use  of a financial test. The current cost estimates covered by such a test are  shown for each facility: 
    4. This firm is the owner or operator of the following waste  management facilities for which financial assurance is not demonstrated through  the financial test or any other financial assurance mechanism. The current cost  estimates for the facilities which are not covered by such financial assurance  are shown for each facility: 
    This firm (insert "is required" or "is not  required") to file a Form 10K with the Securities and Exchange Commission  (SEC) for the latest fiscal year. 
    The fiscal year of this firm ends on (month, day). The  figures for the following items marked with an asterisk are derived from this  firm's independently audited, year-end financial statements for the latest  completed fiscal year, ended (date). 
           |      1) Sum of current closure, post-closure care, corrective    action or other environmental obligations cost estimates (total of all cost    estimates shown in the four paragraphs above.)       |          $__________      |    
       |      2) Tangible net worth*       |          $__________      |    
       |      3) Total assets located in the United States*       |          $__________      |    
       |             |           YES      |          NO      |    
       |      Line 2 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
       |      Line 3 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
        |      |      |      |    
  
    (Fill in Alternative I if the criteria of 9VAC20-70-200 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-200 1 a (2)  are used. Fill in Alternative III if the criteria of 9VAC20-70-200 1 a (3) are  used.) 
    ALTERNATIVE I 
    Current bond rating of this firm's senior unsubordinated debt  and name of rating service 
    Date of issuance of bond 
    Date of maturity of bond 
           |      ALTERNATIVE II       |    
       |      4) Total liabilities* (if any portion of the closure,    post-closure care, corrective action or other environmental obligations cost    estimates is included in total liabilities, you may deduct the amount of that    portion from this line and add that amount to line 5.)       |          $___________      |    
       |      5) Net worth*       |          $___________      |    
       |      Is line 4 divided by line 5 less than 1.5?      |          YES      |          NO      |    
        |      |      |      |    
  
     
     
                    ALTERNATIVE III       |    
       |      6) Total liabilities*        |          $___________      |    
       |      7) The sum of net income plus depreciation, depletion, and    amortization minus $10 million*      |                 |          $___________      |    
       |      Is line 7 divided by line 6 less than 0.1?      |           YES      |          NO      |                 |    
        |      |      |      |    
  
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 F of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name) 
    (Title) 
    (Date) 
    G. Wording of the local government letter from chief  financial officer. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    LETTER FROM CHIEF FINANCIAL OFFICER 
    I am the chief financial officer of (insert: name and address  of local government owner or operator, or guarantor). This letter is in support  of the use of the financial test to demonstrate financial responsibility for  ("closure care" "post-closure care" "corrective action  costs") arising from operating a solid waste management facility. 
    The following facilities are assured by this financial test:  (List for each facility: the name and address of the facility, the permit  number, the closure, post-closure and/or corrective action costs, whichever  applicable, for each facility covered by this instrument). 
    This owner's or operator's financial statements were prepared  in conformity with Generally Accepted Accounting Principles for governments and  have been audited by ("an independent certified public accountant"  "Auditor of Public Accounts"). The owner or operator has not received  an adverse opinion or a disclaimer of opinion from ("an independent  certified public accountant" "Auditor of Public Accounts") on  its financial statements for the latest completed fiscal year. 
    This owner or operator is not currently in default on any  outstanding general obligation bond. Any outstanding issues of general  obligation, if rated, have a Moody's rating of Aaa, Aa, A, or Baa or a Standard  and Poor's rating of AAA, AA, A or BBB; if rated by both firms, the bonds have  a Moody's rating of Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA,  AA, A, or BBB. 
    The fiscal year of this owner or operator ends on (month,  day). The figures for the following items marked with the asterisk are derived  from this owner's or operator's independently audited, year-end financial  statements for the latest completed fiscal year ended (date). 
    (Please complete Alternative I or Alternative II.) 
    (Fill in Alternative I if the criteria in 9VAC20-70-210 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-210 1 a (2)  are used.) 
    ALTERNATIVE I—BOND RATING TEST 
    The details of the issue date, maturity, outstanding amount,  bond rating, and bond rating agency of all outstanding general obligation bond  issues that are being used by (name of local government owner or operator, or  guarantor) to demonstrate financial responsibility are as follows: (complete  table): 
           |      Issue Date      |          Maturity Date      |          Outstanding Amount      |          Bond Rating      |          Rating Agency      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
  
    Any outstanding issues of general obligation bonds, if rated,  have a Moody's rating of Aaa, Aa, A, or Baa or a Standard and Poor's rating of  AAA, AA, A or BBB; if rated by both firms, the bonds have a Moody's rating of  Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA, AA, A or BBB. 
           |      1) Sum of current closure,    post-closure and corrective action cost estimates (total of all cost    estimates listed above)      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |             |           YES      |          NO      |                 |    
       |      5) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |                 |    
       |      6) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |                 |    
       |      7) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |                 |    
       |      8) Is (line 1 + line 4e) <= (line 3a x 0.20)?      |          ____      |          ____      |                 |    
        |      |      |      |      |      |    
  
    If the answer to line 7 is yes and the answer to line 8 is  no, please attach documentation from the agent/trustee /issuing institution  stating the current balance of the account/fund /irrevocable letter of credit  as of the latest fiscal reporting year to this form as required by  9VAC20-70-210. 
    ALTERNATIVE II—FINANCIAL RATIO  TEST 
           |      1) Sum of current closure, post-closure and corrective    action cost estimates      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |      *5) Cash plus marketable securities      |          $_______________      |    
       |      *6) Total Expenditures      |          $_______________      |    
       |      *7) Annual Debt Service      |          $_______________      |    
       |             |          YES      |          NO      |    
       |      8) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |    
       |      9) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |    
       |      10) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |    
       |      11) Is (line 5 / line 6) >= 0.05?      |          ____      |          ____      |    
       |      12) Is (line 7 / line 6) <= 0.20?      |          ____      |          ____      |    
       |      13) Is (line 1 + line 4e) <= (line 3a x.20)      |          ____      |          ____      |    
  
    If the answer to line 13 is no, please attach documentation  from the agent/trustee/issuing institution stating the current balance of the  account/fund/irrevocable letter of credit as of the latest fiscal reporting  year to this form as required by 9VAC20-70-210. 
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 G of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    H. Certification of funding. 
    CERTIFICATION OF FUNDING 
    I certify the following information details the current plan  for funding closure and post closure at the solid waste management facilities  listed below. 
           |       Facility Permit #       |                 |          Source for funding closure and post closure       |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |      Name of Locality or Corporation:    _______________________________________      |    
       |             |                 |                 |                 |                 |    
       |      Signature      |                 |          Printed Name      |                 |          Date      |    
       |             |                 |                 |                 |                 |    
       |      Title      |                 |                 |                 |                 |    
        |      |      |      |      |      |      |      |    
  
    I. Certification of escrow/sinking fund /irrevocable letter  of credit balance. 
    CERTIFICATION OF ESCROW/SINKING FUND BALANCE OR AMOUNT OF  IRREVOCABLE LETTER OF CREDIT 
    I am the Chief Financial Officer of (name of locality) and  hereby certify that as of (date) the current balance in the restricted sinking  (type of fund) fund or the escrow account or the amount of the irrevocable  letter of credit restricted to landfill closure costs is $_____________ 
    The calculation used to determine the amount required to be  funded is as follows: 
    (Show the values that were used in the following formula: 
    (CE * CD) - E 
    Where CE is the current closure cost estimate, CD is the  percentage of landfill capacity used to date, and E is current year expenses  for closure.) 
    Therefore, this account has been funded or an irrevocable  letter of credit has been obtained in accordance with the Financial Assurance  Regulations for Solid Waste Disposal, Transfer and Treatment Facilities, 9VAC20-70-10  et seq 9VAC20-70. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    J. Wording of corporate guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    CORPORATE GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a business corporation organized under the laws of the state of (insert name of  state), herein referred to as guarantor. This guarantee is made on behalf of  the (owner or operator) of (business address), which is (one of the following:  "our subsidiary"; "a subsidiary of (name and address of common  parent corporation) of which guarantor is a subsidiary"; or "an  entity with which the guarantor has a substantial business relationship, as  defined in Part I of the Virginia Financial Assurance Regulations for Solid  Waste Disposal, Transfer, and Treatment Facilities (9VAC20-70-10 et seq.)  (9VAC20-70)") to the Virginia Department of Environmental Quality  ("Department"), obligee, on behalf of our subsidiary (owner or  operator) of (business address). 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-200 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-220 of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer, and Treatment Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care, corrective  action or other environmental obligations.) 
    3. "Closure plans", "post-closure care  plans" and "corrective action plans" as used below refer to the  plans maintained as required by the Solid Waste Management Regulations (9VAC20-80-10  et seq.), (9VAC20-81), or the Regulated Medical Waste Management  Regulations (9VAC20-120-10 et seq.), (9VAC20-120) or  Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.). 
    4. For value received from (owner or operator), guarantor guarantees  to the Department that in the event that (owner or operator) fails to perform  (insert "closure," "post-closure care," or "corrective  action") of the above facility(ies) in accordance with the closure or  post-closure care plans and other (requirements of the) permit or (the order)  whenever required to do so, the guarantor shall do so or establish a trust fund  as specified in 9VAC20-70-140 in the name of (owner or operator) in the amount  of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (Bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure, post-closure or corrective action plan, amendment or modification of  the permit, amendment or modification of the order, the extension or reduction  of the time of performance of closure, post-closure, or corrective action or  any other modification or alteration of an obligation of the owner or operator  pursuant to the (Virginia Solid or Regulated Medical Waste Management or  Vegetative Waste Management and Yard Waste Composting Regulations or § 10.1-1454.1 of the Code of Virginia) (Solid Waste Management Regulations  or Regulated Medical Waste Management Regulations or § 10.1-1454.1 of the  Code of Virginia). 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. (Insert the following language if the guarantor is (a) a  direct or higher-tier corporate parent, or (b) a firm whose parent corporation  is also the parent corporation of the owner or operator:) Guarantor may  terminate this guarantee by sending notice by certified mail to the Director of  the Department of Environmental Quality and to the (owner or operator),  provided that this guarantee may not be terminated unless and until (the owner  or operator) obtains and the director approves, alternate (closure,  post-closure, corrective action) coverage complying with the requirements of 9VAC20-70-10  et seq 9VAC20-70. (Insert the following language if the guarantor is  a firm qualifying as a guarantor due to its "substantial business  relationship" with the owner or operator:) Guarantor may terminate this  guarantee 120 days following the receipt of notification, through certified  mail, by the director and by (the owner or operator). 
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of the  Regulations, and obtain written approval of such assurance from the director  within 90 days after a notice of cancellation by the guarantor is received by  the director from guarantor, guarantor shall provide such alternate financial  assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording in 9VAC20-70-290 J of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    (Name of guarantor) 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    K. Wording of local government guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    LOCAL GOVERNMENT GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a local government created under the laws of the state of Virginia, herein  referred to as guarantor. This guarantee is made on behalf of the (owner or  operator) of (address), to the Virginia Department of Environmental Quality  ("Department"), obligee. 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-210 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-230 of the Financial Assurance Regulations  for Solid Waste Disposal, Treatment and Transfer Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care,  corrective action or other environmental obligations.) 
    3. "Closure plans" and "post-closure care  plans" as used below refer to the plans maintained as required by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.), or Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101-10 et seq.)  (9VAC20-81).
    4. For value received from (owner or operator), guarantor  guarantees to the Department that in the event that (owner or operator) fails  to perform (insert "closure," "post-closure care," or  "corrective action") of the above facility(ies) in accordance with  the closure or post-closure care plans and other (requirements of the) permit  or (the order) whenever required to do so, the guarantor shall do so or  establish a trust fund as specified in 9VAC20-70-150 in the name of (owner or  operator) in the amount of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations in  the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure or post-closure plan, amendment or modification of the closure or  post-closure plan, amendment or modification of the permit, amendment or  modification of the order, the extension or reduction of the time of performance  of the closure or post-closure, or any other modification or alteration of an  obligation of the owner or operator pursuant to the Virginia (Solid Waste  Management or Regulated Medical Waste Management) or Vegetative  Waste Management and Yard Waste Composting) Regulations. 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. Guarantor may terminate this guarantee by sending notice  by certified mail to the Director of the Department of Environmental Quality  and to the (owner or operator), provided that this guarantee may not be  terminated unless and until (the owner or operator) obtains and the director  approves, alternate (closure, post-closure, corrective action,) coverage  complying with the requirements of 9VAC20-70-10 et seq 9VAC20-70.  
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of  the Regulations, and obtain written approval of such assurance from the  director with 90 days after a notice of cancellation by the guarantor is  received by the director from guarantor, guarantor shall provide such alternate  financial assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording specified in 9VAC20-70-290 K of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Name of guarantor) __________ 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    Part I 
  Definitions 
    9VAC20-81-10. Definitions.
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at completion of  closure activities required by this chapter. 
    "Active portion" means that part of a facility or  unit that has received or is receiving wastes and that has not been closed in  accordance with this chapter. 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Airport" means, for the purpose of this chapter, a  military airfield or a public-use airport open to the public without prior  permission and without restrictions within the physical capacities of available  facilities.
    "Aquifer" means a geologic formation, group of  formations, or a portion of a formation capable of yielding significant  quantities of groundwater to wells or springs.
    "Ash" means the fly ash or bottom ash residual  waste material produced from incineration or burning of solid waste or from any  fuel combustion. 
    "Base flood" see "Hundred-year flood."
    "Bedrock" means the rock that underlies soil or  other unconsolidated, superficial material at a site. 
    "Benchmark" means a permanent monument constructed  of concrete and set in the ground surface below the frostline with identifying  information clearly affixed to it. Identifying information will include the  designation of the benchmark as well as the elevation and coordinates on the  local or Virginia state grid system. 
    "Beneficial use" means a use that is of benefit as  a substitute for natural or commercial products and does not contribute to  adverse effects on health or environment. 
    "Bioremediation" means remediation of contaminated  media by the manipulation of biological organisms to enhance the degradation of  contaminants. 
    "Bird hazard" means an increase in the likelihood  of bird/aircraft collisions that may cause damage to the aircraft or injury to  its occupants. 
    "Board" means the Virginia Waste Management Board. 
    "Bottom ash" means ash or slag that has been  discharged from the bottom of the combustion unit after combustion. 
    "Capacity" means the maximum permitted volume of  solid waste, inclusive of daily and intermediate cover, that can be disposed in  a landfill. This volume is measured in cubic yards.
    "Captive industrial landfill" means an industrial  landfill that is located on property owned or controlled by the generator of  the waste disposed of in that landfill.
    "Clean wood" means solid waste consisting of  untreated wood pieces and particles that do not contain paint, laminate,  bonding agents, or chemical preservatives or are otherwise unadulterated.
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of  this chapter. 
    "Closure" means that point in time when a permitted  landfill has been capped, certified as properly closed by a professional  engineer, inspected by the department, and closure notification is performed by  the department in accordance with 9VAC20-81-160 D. 
    "Coal combustion byproducts" or "CCB"  means residuals, including fly ash, bottom ash, boiler slag, and flue gas  emission control waste produced by burning coal. 
    "Combustion unit" means an incinerator, waste heat  recovery unit, or boiler. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants,  and shopping centers. 
    "Compliance schedule" means a time schedule for  measures to be employed on a solid waste management facility that will  ultimately upgrade it to conform to this chapter. 
    "Compost" means a stabilized organic product  produced by a controlled aerobic decomposition process in such a manner that  the product can be handled, stored, and/or applied to the land without  adversely affecting public health or the environment. 
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Conditionally exempt small quantity generator"  means a generator of hazardous waste who has been so defined in 40 CFR 261.5,  as amended. That section applies to the persons who generate in that calendar  month no more than 100 kilograms of hazardous waste or one kilogram of acutely  hazardous waste. 
    "Construction" means the initiation of permanent  physical change at a property with the intent of establishing a solid waste  management unit. This does not include land-clearing activities, excavation for  borrow purposes, activities intended for infrastructure purposes, or activities  necessary to obtain Part A siting approval (i.e., advancing of exploratory  borings, digging of test pits, groundwater monitoring well installation, etc.).
    "Construction/demolition/debris landfill" or  "CDD landfill" means a land burial facility engineered, constructed  and operated to contain and isolate construction waste, demolition waste,  debris waste, split tires, and white goods or combinations of the above solid  wastes. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes include,  but are not limited to lumber, wire, sheetrock, broken brick, shingles, glass,  pipes, concrete, paving materials, and metal and plastics if the metal or  plastics are a part of the materials of construction or empty containers for  such materials. Paints, coatings, solvents, asbestos, any liquid, compressed  gases or semi-liquids and garbage are not construction wastes. 
    "Contaminated soil" means, for the purposes of this  chapter, a soil that, as a result of a release or human usage, has absorbed or  adsorbed physical, chemical, or radiological substances at concentrations above  those consistent with nearby undisturbed soil or natural earth materials. 
    "Container" means any portable device in which a  material is stored, transported, treated, or otherwise handled and includes  transport vehicles that are containers themselves (e.g., tank trucks) and  containers placed on or in a transport vehicle. 
    "Containment structure" means a closed vessel such  as a tank or cylinder. 
    "Convenience center" means a collection point for  the temporary storage of solid waste provided for individual solid waste  generators who choose to transport solid waste generated on their own premises  to an established centralized point, rather than directly to a disposal  facility. To be classified as a convenience center, the collection point may  not receive waste from collection vehicles that have collected waste from more  than one real property owner. A convenience center shall be on a system of  regularly scheduled collections.
    "Cover material" means compactable soil or other  approved material that is used to blanket solid waste in a landfill.
    "Daily disposal limit" means the amount of solid  waste that is permitted to be disposed at the facility and shall be computed on  the amount of waste disposed during any operating day.
    "Debris waste" means wastes resulting from  land-clearing operations. Debris wastes include, but are not limited to stumps,  wood, brush, leaves, soil, and road spoils. 
    "Decomposed vegetative waste" means a stabilized organic  product produced from vegetative waste by a controlled natural decay process in  such a manner that the product can be handled, stored, or applied to the land  without adversely affecting public health or the environment.
    "Demolition waste" means that solid waste that is  produced by the destruction of structures and their foundations and includes  the same materials as construction wastes. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. For purposes of submissions to the director as specified  in the Waste Management Act, submissions may be made to the department. 
    "Discard" means to abandon, dispose of, burn,  incinerate, accumulate, store, or treat before or instead of being abandoned,  disposed of, burned, or incinerated. 
    "Discarded material" means a material that is: 
    1. Abandoned by being: 
    a. Disposed of; 
    b. Burned or incinerated; or 
    c. Accumulated, stored, or treated (but not used, reused, or  reclaimed) before or in lieu of being abandoned by being disposed of, burned,  or incinerated; or
    2. Recycled used, reused, or reclaimed material as defined in  this part.
    "Disclosure statement" means a sworn statement or  affirmation as required by § 10.1-1400 of the Code of Virginia. (see DEQ  Form DISC-01 and 02 (Disclosure Statement)).
    "Displacement" means the relative movement of any  two sides of a fault measured in any direction. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Disposal unit boundary" or "DUB" means  the vertical plane located at the edge of the waste disposal unit. This  vertical plane extends down into the uppermost aquifer. The DUB must be  positioned within or coincident to the waste management boundary.
    "EPA" means the United States Environmental  Protection Agency. 
    "Exempt management facility" means a site used for  activities that are conditionally exempt from management as a solid waste under  this chapter. The facility remains exempt from solid waste management  requirements provided it complies with the applicable conditions set forth in  Parts II (9VAC20-81-20 et seq.) and IV (9VAC20-81-300 et seq.) of this chapter.
    "Expansion" means a horizontal expansion of the  waste management boundary as identified in the Part A application. If a  facility's permit was issued prior to the establishment of the Part A process,  an expansion is a horizontal expansion of the disposal unit boundary. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Facility boundary" means the boundary of the solid  waste management facility. For landfills, this boundary encompasses the waste  management boundary and all ancillary activities including, but not limited to  scales, groundwater monitoring wells, gas monitoring probes, and maintenance  facilities as identified in the facility's permit application. For facilities  with a permit-by-rule (PBR) the facility boundary is the boundary of the  property where the permit-by-rule activity occurs. For unpermitted solid waste  management facilities, the facility boundary is the boundary of the property  line where the solid waste is located.
    "Facility structure" means any building, shed, or  utility or drainage line on the facility. 
    "Fault" means a fracture or a zone of fractures in  any material along which strata on one side have been displaced with respect to  that on the other side. 
    "Floodplain" means the lowland and relatively flat  areas adjoining inland and coastal waters, including low-lying areas of  offshore islands where flooding occurs. 
    "Fly ash" means ash particulate collected from air  pollution attenuation devices on combustion units. 
    "Food-chain crops" means crops grown for human  consumption, tobacco, and crops grown for pasture and forage or feed for  animals whose products are consumed by humans. 
    "Fossil fuel combustion products" means coal  combustion byproducts as defined in this regulation, coal combustion byproducts  generated at facilities with fluidized bed combustion technology, petroleum  coke combustion byproducts, byproducts from the combustion of oil, byproducts  from the combustion of natural gas, and byproducts from the combustion of  mixtures of coal and "other fuels" (i.e., co-burning of coal with  "other fuels" where coal is at least 50% of the total fuel). For  purposes of this definition, "other fuels" means waste-derived fuel  product, auto shredder fluff, wood wastes, coal mill rejects, peat, tall oil,  tire-derived fuel, deionizer resins, and used oil. 
    "Free liquids" means liquids that readily separate  from the solid portion of a waste under ambient temperature and pressure as  determined by the Paint Filter Liquids Test, Method 9095, U.S. Environmental  Protection Agency, Publication SW-846. 
    "Garbage" means readily putrescible discarded  materials composed of animal, vegetable or other organic matter. 
    "Gas condensate" means the liquid generated as a  result of gas control or recovery processes at the solid waste management  facility. 
    "Governmental unit" means any department,  institution, or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.
    "Ground rubber" means material processed from waste  tires that is no larger than 1/4 inch in any dimension. This includes crumb  rubber that is measured in mesh sizes. 
    "Groundwater" means water below the land surface in  a zone of saturation. 
    "Hazardous constituent" means a constituent of  solid waste found listed in Appendix VIII of 9VAC20-60-261.
    "Hazardous waste" means a "hazardous  waste" as described by the Virginia Hazardous Waste Management Regulations  (9VAC20-60).
    "Holocene" means the most recent epoch of the  Quaternary period, extending from the end of the Pleistocene Epoch to the  present. 
    "Home use" means the use of compost for growing  plants that is produced and used on a privately owned residential site. 
    "Host agreement" means any lease, contract,  agreement, or land use permit entered into or issued by the locality in which  the landfill is situated that includes terms or conditions governing the  operation of the landfill. 
    "Household hazardous waste" means any waste  material derived from households (including single and multiple residences,  hotels, motels, bunkhouses, ranger stations, crew quarters, campgrounds, picnic  grounds, and day-use recreation areas) which, except for the fact that it is  derived from a household, would otherwise be classified as a hazardous waste in  accordance with 9VAC20-60.
    "Household waste" means any waste material,  including garbage, trash, and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds, and day-use recreation  areas. Household wastes do not include sanitary waste in septic tanks (septage)  that is regulated by other state agencies. 
    "Hundred-year flood" means a flood that has a 1.0%  or greater chance of recurring in any given year or a flood of magnitude  equaled or exceeded on the average only once in a hundred years on the average  over a significantly long period. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Incinerator" means a facility or device designed  for the treatment of solid waste by combustion. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts; inorganic  chemicals; iron and steel manufacturing; leather and leather products;  nonferrous metals manufacturing/foundries; organic chemicals; plastics and  resins manufacturing; pulp and paper industry; rubber and miscellaneous plastic  products; stone, glass, clay, and concrete products; textile manufacturing;  transportation equipment; and water treatment. This term does not include  mining waste or oil and gas waste. 
    "Industrial waste landfill" means a solid waste  landfill used primarily for the disposal of a specific industrial waste or a  waste that is a byproduct of a production process. 
    "Injection well" means, for the purposes of this  chapter, a well or bore hole into which fluids are injected into selected  geological horizons. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Interim cover systems" means temporary cover  systems applied to a landfill area when landfilling operations will be  temporarily suspended for an extended period (typically, longer than one year).  At the conclusion of the interim period, the interim cover system may be  removed and landfilling operations resume or final cover is installed.
    "Karst topography" means areas where karst terrane,  with its characteristic surface and subterranean features, is developed as the  result of dissolution of limestone, dolomite, or other soluble rock.  Characteristic physiographic features present in karst terranes include, but  are not limited to, sinkholes, sinking streams, caves, large springs, and blind  valleys. 
    "Key personnel" means the applicant itself and any  person employed by the applicant in a managerial capacity, or empowered to make  discretionary decisions, with respect to the solid waste or hazardous waste  operations of the applicant in Virginia, but shall not include employees  exclusively engaged in the physical or mechanical collection, transportation,  treatment, storage, or disposal of solid or hazardous waste and such other  employees as the director may designate by regulation. If the applicant has not  previously conducted solid waste or hazardous waste operations in Virginia, the  term also includes any officer, director, partner of the applicant, or any  holder of 5.0% or more of the equity or debt of the applicant. If any holder of  5.0% or more of the equity or debt of the applicant or of any key personnel is  not a natural person, the term includes all key personnel of that entity,  provided that where such entity is a chartered lending institution or a  reporting company under the Federal Security and Exchange Act of 1934, the term  does not include key personnel of such entity. Provided further that the term  means the chief executive officer of any agency of the United States or of any  agency or political subdivision of the Commonwealth, and all key personnel of  any person, other than a natural person, that operates a landfill or other  facility for the disposal, treatment, or storage of nonhazardous solid waste  under contract with or for one of those governmental entities. 
    "Lagoon" means a body of water or surface  impoundment designed to manage or treat waste water. 
    "Land-clearing activities" means the removal of  flora from a parcel of land.
    "Land-clearing debris" means vegetative waste  resulting from land-clearing activities. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill. 
    "Landfill gas" means gas generated as a byproduct  of the decomposition of organic materials in a landfill. Landfill gas consists  primarily of methane and carbon dioxide. 
    "Landfill mining" means the process of excavating  solid waste from an existing landfill. 
    "Leachate" means a liquid that has passed through  or emerged from solid waste and contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation to disposal in an off-site facility is regulated as septage,  leachate discharged into a waste water collection system is regulated as  industrial waste water and leachate that has contaminated groundwater is  regulated as contaminated groundwater. 
    "Lead acid battery" means, for the purposes of this  chapter, any wet cell battery. 
    "Lift" means the daily landfill layer of compacted  solid waste plus the cover material. 
    "Liquid waste" means any waste material that is  determined to contain "free liquids" as defined by this chapter. 
    "Lithified earth material" means all rock,  including all naturally occurring and naturally formed aggregates or masses of  minerals or small particles of older rock, that formed by crystallization of  magma or by induration of loose sediments. This term does not include manmade  materials, such as fill, concrete, and asphalt, or unconsolidated earth  materials, soil, or regolith lying at or near the earth's surface. 
    "Litter" means, for purposes of this chapter, any  solid waste that is discarded or scattered about a solid waste management  facility outside the immediate working area. 
    "Lower explosive limit" means the lowest  concentration by volume of a mixture of explosive gases in air that will  propagate a flame at 25°C and at atmospheric pressure. 
    "Materials recovery facility" means a solid waste  management facility for the collection, processing, and recovery of material  such as metals from solid waste or for the production of a fuel from solid  waste. This does not include the production of a waste-derived fuel product. 
    "Maximum horizontal acceleration in lithified earth  material" means the maximum expected horizontal acceleration depicted on a  seismic hazard map, with a 90% or greater probability that the acceleration  will not be exceeded in 250 years, or the maximum expected horizontal  acceleration based on a site-specific seismic risk assessment. 
    "Monitoring" means all methods, procedures, and  techniques used to systematically analyze, inspect, and collect data on  operational parameters of the facility or on the quality of air, groundwater,  surface water, and soils. 
    "Monitoring well" means a well point below the  ground surface for the purpose of obtaining periodic water samples from  groundwater for quantitative and qualitative analysis. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses except composting as defined and regulated under this  chapter. 
    "Municipal solid waste" means that waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from combustion of these wastes. 
    "New solid waste management facility" means a  facility or a portion of a facility that was not included in a previous  determination of site suitability (Part A approval). 
    "Nuisance" means an activity that unreasonably  interferes with an individual's or the public's comfort, convenience or  enjoyment such that it interferes with the rights of others by causing damage,  annoyance, or inconvenience. 
    "Offsite" means any site that does not meet the  definition of onsite as defined in this part. 
    "Onsite" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same  person, but connected by a right-of-way that he controls and to which the  public does not have access, are also considered onsite property. 
    "Open burning" means the combustion of solid waste  without:
    1. Control of combustion air to maintain adequate temperature  for efficient combustion;
    2. Containment of the combustion reaction in an enclosed  device to provide sufficient residence time and mixing for complete combustion;  and
    3. Control of the combustion products' emission. 
    "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.
    "Operating record" means records required to be  maintained in accordance with the facility permit or this part (see  9VAC20-81-530). 
    "Operation" means all waste management activities  at a solid waste management facility beginning with the initial receipt of  solid waste for treatment, storage, disposal, or transfer and ceasing with the  initiation of final closure activities at the solid waste management facility  subsequent to the final receipt of waste.
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means the person who owns a solid waste  management facility or part of a solid waste management facility.
    "PCB" means any chemical substance that is limited  to the biphenyl molecule that has been chlorinated to varying degrees or any  combination of substances that contain such substance (see 40 CFR 761.3, as  amended).
    "Perennial stream" means a well-defined channel  that contains water year round during a year of normal rainfall. Generally, the  water table is located above the streambed for most of the year and groundwater  is the primary source for stream flow. A perennial stream exhibits the typical  biological, hydrological, and physical characteristics commonly associated with  the continuous conveyance of water.
    "Permit" means the written permission of the  director to own, operate, or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation, or any  other legal entity. 
    "Point source" means any discernible, confined, and  discrete conveyance, including but not limited to any pipe, ditch, channel,  tunnel, conduit, well, discrete fissure, container, rolling stock, vessel, or  other floating craft, from which pollutants are or may be discharged. Return  flows from irrigated agriculture are not included. 
    "Pollutant" means any substance that causes or  contributes to, or may cause or contribute to, environmental degradation when  discharged into the environment. 
    "Poor foundation conditions" means those areas  where features exist that indicate that a natural or man-induced event may  result in inadequate foundation support for the structural components of a  solid waste management facility. 
    "Postclosure" means the requirements placed upon  solid waste disposal facilities after closure to ensure environmental and  public health safety for a specified number of years after closure. 
    "Process rate" means the maximum rate of waste  acceptance that a solid waste management facility can process for a  treatment and/or storage. This rate is limited by the capabilities of  equipment, personnel, and infrastructure. 
    "Processing" means preparation, treatment, or  conversion of waste by a series of actions, changes, or functions that bring  about a desired end result. 
    "Professional engineer" means an engineer licensed  to practice engineering in the Commonwealth as defined by the rules and  regulations set forth by the Board of Architects, Professional Engineers, Land  Surveyors, and Landscape Architects (18VAC10-20).
    "Professional geologist" means a geologist licensed  to practice geology in the Commonwealth as defined by the rules and regulations  set forth by the Board for Geology (18VAC70-20).
    "Progressive cover" means cover material placed  over the working face of a solid waste disposal facility advancing over the  deposited waste as new wastes are added keeping the exposed area to a minimum. 
    "Putrescible waste" means solid waste that contains  organic material capable of being decomposed by micro-organisms and cause  odors. 
    "Qualified groundwater scientist" means a scientist  or engineer who has received a baccalaureate or postgraduate degree in the  natural sciences or engineering and has sufficient training and experience in  groundwater hydrology and related fields as may be demonstrated by professional  certifications, or completion of accredited university programs that enable  that individual to make sound professional judgments regarding groundwater  monitoring, contaminant fate and transport, and corrective action. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act of 1976 (42 USC  § 6901 et seq.), the Hazardous and Solid Waste Amendments of 1984, and any  other applicable amendments to these laws. 
    "Reclaimed material" means a material that is  processed or reprocessed to recover a usable product or is regenerated to a  usable form. 
    "Refuse" means all solid waste products having the  character of solids rather than liquids and that are composed wholly or  partially of materials such as garbage, trash, rubbish, litter, residues from  clean up of spills or contamination, or other discarded materials. 
    "Refuse-derived fuel (RDF)" means a type of  municipal solid waste produced by processing municipal solid waste through  shredding and size classification. This includes all classes of refuse-derived  fuel including low-density fluff refuse-derived fuel through densified  refuse-derived fuel and pelletized refuse-derived fuel.
    "Regulated hazardous waste" means a solid waste  that is a hazardous waste, as defined in the Virginia Hazardous Waste  Management Regulations (9VAC20-60), that is not excluded from those regulations  as a hazardous waste. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Release" means, for the purpose of this chapter,  any spilling, leaking, pumping, pouring, emitting, emptying, discharging,  injection, escaping, leaching, dumping, or disposing into the environment solid  wastes or hazardous constituents of solid wastes (including the abandonment or  discarding of barrels, containers, and other closed receptacles containing  solid waste). This definition does not include any release that results in  exposure to persons solely within a workplace; release of source, byproduct, or  special nuclear material from a nuclear incident, as those terms are defined in  the Atomic Energy Act of 1954 (68 Stat. 923); and the normal application of  fertilizer. For the purpose of this chapter, release also means substantial  threat of release. 
    "Remediation waste" means all solid waste,  including all media (groundwater, surface water, soils, and sediments) and  debris, that are managed for the purpose of remediating a site in accordance  with 9VAC20-81-45 or Part III (9VAC20-81-100 et seq.) of this chapter or under  the Voluntary Remediation Regulations (9VAC20-160) or other regulated  remediation program under DEQ oversight. For a given facility, remediation  wastes may originate only from within the boundary of that facility, and may  include wastes managed as a result of remediation beyond the boundary of the  facility. Hazardous wastes as defined in 9VAC20-60, as well as "new"  or "as generated" wastes, are excluded from this definition. 
    "Remediation waste management unit" or  "RWMU" means an area within a facility that is designated by the  director for the purpose of implementing remedial activities required under  this chapter or otherwise approved by the director. An RWMU shall only be used  for the management of remediation wastes pursuant to implementing such remedial  activities at the facility. 
    "Responsible official" means one of the following:
    1. For a business entity, such as a corporation, association,  limited liability company, or cooperative: a duly authorized representative of  such business entity if the representative is responsible for the overall  operation of one or more operating facilities applying for or subject to a  permit. The authority to sign documents must be assigned or delegated to such  representative in accordance with procedures of the business entity;
    2. For a partnership or sole proprietorship: a general partner  or the proprietor, respectively; or
    3. For a municipality, state, federal, or other public agency:  a duly authorized representative of the locality if the representative is responsible  for the overall operation of one or more operating facilities applying for or  subject to a permit. The authority to sign documents must be assigned or  delegated to such representative in accordance with procedures of the locality.
    "Rubbish" means combustible or slowly putrescible  discarded materials that include but are not limited to trees, wood, leaves,  trimmings from shrubs or trees, printed matter, plastic and paper products,  grass, rags and other combustible or slowly putrescible materials not included  under the term "garbage." 
    "Runoff" means any rainwater, leachate, or other  liquid that drains over land from any part of a solid waste management  facility. 
    "Run-on" means any rainwater, wastewater, leachate,  or other liquid that drains over land onto any part of the solid waste  management facility. 
    "Salvage" means the authorized, controlled removal  of waste materials from a solid waste management facility. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste that is so located, designed,  constructed, and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Saturated zone" means that part of the earth's crust  in which all voids are filled with water. 
    "Scavenging" means the unauthorized or uncontrolled  removal of waste materials from a solid waste management facility. 
    "Scrap metal" means metal parts such as bars, rods,  wire, empty containers, or metal pieces that are discarded material and can be  used, reused, or reclaimed. 
    "Secondary containment" means an enclosure into  which a container or tank is placed for the purpose of preventing discharge of  wastes to the environment. 
    "Seismic impact zone" means an area with a 10% or  greater probability that the maximum horizontal acceleration in lithified earth  material, expressed as a percentage of the earth's gravitational pull (g), will  exceed 0.10g in 250 years. 
    "Semiannual" means an interval corresponding to  approximately 180 days. For the purposes of scheduling monitoring activities,  sampling within 30 days of the 180-day interval will be considered semiannual. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Sludge" means any solid, semi-solid or liquid  waste generated from a municipal, commercial or industrial wastewater treatment  plant, water supply treatment plant, or air pollution control facility  exclusive of treated effluent from a wastewater treatment plant. 
    "Small landfill" means a landfill that disposed of  100 tons/day or less of solid waste during a representative period prior to  October 9, 1993, and did not dispose of more than an average of 100 tons/day of  solid waste each month between October 9, 1993, and April 9, 1994. 
    "Solid waste" means any of those materials defined  as "solid waste" in 9VAC20-81-95. 
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility" or  "SWMF" means a site used for planned treating, storing, or disposing  of solid waste. A facility may consist of several treatment, storage, or  disposal units. 
    "Special wastes" means solid wastes that are  difficult to handle, require special precautions because of hazardous  properties, or the nature of the waste creates waste management problems in  normal operations. (See Part VI (9VAC20-81-610 et seq.) of this chapter.) 
    "Speculatively accumulated material" means any  material that is accumulated before being used, reused, or reclaimed or in  anticipation of potential use, reuse, or reclamation. Materials are not being  accumulated speculatively when they can be used, reused, or reclaimed, have a  feasible means of use, reuse, or reclamation available and 75% of the materials  accumulated are being removed from the facility annually. 
    "State waters" means all water, on the surface and  under the ground, wholly or partially within, or bordering the Commonwealth, or  within its jurisdiction. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Structural fill" means an engineered fill with a  projected beneficial end use, constructed using soil or fossil fuel combustion  products spread and compacted with proper equipment and covered with a  vegetated soil cap. 
    "Sudden event" means a one-time, single event such  as a sudden collapse or a sudden, quick release of contaminants to the  environment. An example would be the sudden loss of leachate from an impoundment  into a surface stream caused by failure of a containment structure. 
    "Surface impoundment or impoundment" means a  facility or part of a facility that is a natural topographic depression,  manmade excavation, or diked area formed primarily of earthen materials  (although it may be lined with manmade materials), that is designed to hold an  accumulation of liquid wastes or wastes containing free liquids and that is not  an injection well. 
    "Surface waters" means all state waters that are  not groundwater as defined in § 62.1-255 of the Code of Virginia.
    "SW-846" means Test Methods for Evaluating Solid  Waste, Physical/Chemical Methods, EPA Publication SW-846, Second Edition, 1982  as amended by Update I (April, 1984), and Update II (April, 1985) and the third  edition, November, 1986, as amended. 
    "Tank" means a stationary device, designed to  contain an accumulation of liquid or semi-liquid components of solid waste that  is constructed primarily of nonearthen materials that provide structural  support. 
    "TEF" or "Toxicity Equivalency Factor"  means a factor developed to account for different toxicities of structural  isomers of polychlorinated dibenzodioxins and dibenzofurans and to relate them  to the toxicity of 2,3,7,8-tetrachloro dibenzo-p-dioxin. 
    "Terminal" means the location of transportation  facilities such as classification yards, docks, airports, management offices,  storage sheds, and freight or passenger stations, where solid waste that is  being transported may be loaded, unloaded, transferred, or temporarily stored. 
    "Thermal treatment" means the treatment of solid  waste in a device that uses elevated temperature as the primary means to change  the chemical, physical, or biological character, or composition of the solid  waste. 
    "Tire chip" means a material processed from waste  tires that is a nominal two square inches in size, and ranges from 1/4 inch to  four inches in any dimension. Tire chips contain no wire protruding more than  1/4 inch. 
    "Tire shred" means a material processed from waste  tires that is a nominal 40 square inches in size, and ranges from 4 inches to  10 inches in any dimension. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration, or resource recovery. 
    "Trash" means combustible and noncombustible  discarded materials and is used interchangeably with the term rubbish. 
    "Treatment" means, for the purpose of this chapter,  any method, technique, or process, including but not limited to incineration,  designed to change the physical, chemical, or biological character or  composition of any waste to render it more stable, safer for transport, or more  amenable to use, reuse, reclamation, recovery, or disposal. 
    "Underground source of drinking water" means an  aquifer or its portion:
    1. Which contains water suitable for human consumption; or
    2. In which the groundwater contains less than 10,000 mg/liter  total dissolved solids. 
    "Unit" means a discrete area of land used for the  disposal of solid waste. 
    "Unstable area" means a location that is  susceptible to natural or human-induced events or forces capable of impairing  the integrity of some or all of the landfill structural components responsible  for preventing releases from a landfill. Unstable areas can include poor  foundation conditions, areas susceptible to mass movements, and karst terranes.  
    "Uppermost aquifer" means the geologic formation  nearest the natural ground surface that is an aquifer, as well as, lower  aquifers that are hydraulically interconnected with this aquifer within the  facility boundary. 
    "Used or reused material" means a material that is  either: 
    1. Employed as an ingredient (including use as an  intermediate) in a process to make a product, excepting those materials  possessing distinct components that are recovered as separate end products; or 
    2. Employed in a particular function or application as an  effective substitute for a commercial product or natural resources. 
    "Vector" means a living animal, insect, or other  arthropod that transmits an infectious disease from one organism to another. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, woody wastes such as shrub and tree  prunings, bark, limbs, roots, and stumps. 
    "Vermicomposting" means the controlled and managed  process by which live worms convert organic residues into fertile excrement.
    "Vertical design capacity" means the maximum design  elevation specified in the facility's permit or if none is specified in the  permit, the maximum elevation based on a 3:1 slope from the waste disposal unit  boundary. 
    "VPDES" (Virginia Pollutant Discharge Elimination  System) means the Virginia system for the issuance of permits pursuant to the  Permit Regulation (9VAC25-31), the State Water Control Law (§ 62.1-44.2 et  seq. of the Code of Virginia), and § 402 of the Clean Water Act (33 USC  § 1251 et seq.). 
    "Washout" means carrying away of solid waste by  waters of the base flood. 
    "Waste-derived fuel product" means a solid waste or  combination of solid wastes that have been treated (altered physically,  chemically, or biologically) to produce a fuel product with a minimum heating  value of 5,000 BTU/lb. Solid wastes used to produce a waste-derived fuel  product must have a heating value, or act as binders, and may not be added to  the fuel for the purpose of disposal. Waste ingredients may not be listed or  characteristic hazardous wastes. The fuel product must be stable at ambient  temperature, and not degraded by exposure to the elements. This material may  not be "refuse derived fuel (RDF)" as defined in 9VAC5-40-890. 
    "Waste management boundary" means the vertical  plane located at the boundary line of the area approved in the Part A  application for the disposal of solid waste and storage of leachate. This  vertical plane extends down into the uppermost aquifer and is within the  facility boundary.
    "Waste pile" means any noncontainerized  accumulation of nonflowing, solid waste that is used for treatment or storage. 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. (See 9VAC20-150 for other definitions dealing with the  waste tire program.) 
    "Wastewaters" means, for the purpose of this  chapter, wastes that contain less than 1.0% by weight total organic carbon  (TOC) and less than 1.0% by weight total suspended solids (TSS). 
    "Water pollution" means such alteration of the  physical, chemical, or biological properties of any state water as will or is  likely to create a nuisance or render such waters: 
    1. Harmful or detrimental or injurious to the public health,  safety, or welfare, or to the health of animals, fish, or aquatic life or  plants; 
    2. Unsuitable, with reasonable treatment, for use as present  or possible future sources of public water supply; or
    3. Unsuitable for recreational, commercial, industrial, agricultural,  or other reasonable uses, provided that:
    a. An alteration of the physical, chemical, or biological  properties of state waters or a discharge or deposit of sewage, industrial  wastes, or other wastes to state waters by any owner that by itself is not  sufficient to cause pollution but which in combination with such alteration or  discharge or deposit to state waters by other persons is sufficient to cause  pollution;
    b. The discharge of untreated sewage by any person into state  waters; and 
    c. The contribution to the degradation of water quality  standards duly established by the State Water Control Board, are  "pollution" for the terms and purposes of this chapter. 
    "Water table" means the upper surface of the zone  of saturation in groundwaters in which the hydrostatic pressure is equal to the  atmospheric pressure. 
    "Waters of the United States" or "waters of  the U.S." means:
    1. All waters that are currently used, were used in the past,  or may be susceptible to use in interstate or foreign commerce, including all  waters that are subject to the ebb and flow of the tide;
    2. All interstate waters, including interstate  "wetlands";
    3. All other waters such as intrastate lakes, rivers, streams  (including intermittent streams), mud flats, sand flats, "wetlands,"  sloughs, prairie potholes, wet meadows, playa lakes, or natural ponds the use,  degradation, or destruction of which would affect or could affect interstate or  foreign commerce including:
    a. Any such waters that are or could be used by interstate or  foreign travelers for recreational or other purposes;
    b. Any such waters from which fish or shellfish are or could  be taken and sold in interstate or foreign commerce;
    c. Any such waters that are used or could be used for  industrial purposes by industries in interstate commerce;
    d. All impoundments of waters otherwise defined as waters of  the United States under this definition; 
    e. Tributaries of waters identified in subdivisions 3 a  through d of this definition;
    f. The territorial sea; and 
    g. Wetlands adjacent to waters (other than waters that are  themselves wetlands) identified in subdivisions 3 a through f of this  definition. 
    "Wetlands" means those areas that are defined by  the federal regulations under 33 CFR Part 328, as amended. 
    "White goods" means any stoves, washers, hot water  heaters, and other large appliances. 
    "Working face" means that area within a landfill  that is actively receiving solid waste for compaction and cover. 
    "Yard waste" means a subset of vegetative waste and  means decomposable waste materials generated by yard and lawn care and includes  leaves, grass trimmings, brush, wood chips, and shrub and tree trimmings. Yard  waste shall not include roots or stumps that exceed 12 inches in diameter. 
    9VAC20-81-35. Applicability of chapter.
    A. This chapter applies to all persons who treat, store,  dispose, or otherwise manage solid wastes as defined in Part III  (9VAC20-81-100 et seq.) of this chapter 9VAC20-81-95. 
    B. All facilities that were permitted prior to March 15,  1993, and upon which solid waste has been disposed of prior to October 9, 1993,  may continue to receive solid waste until they have reached their vertical  design capacity or until the closure date established pursuant to § 10.1-1413.2  of the Code of Virginia, in Table 2.1 provided: 
    1. The facility is in compliance with the requirements for  liners and leachate control in effect at the time of permit issuance. 
    2. On or before October 9, 1993, the owner or operator of the  solid waste management facility submitted to the director: 
    a. An acknowledgment that the owner or operator is familiar  with state and federal law and regulations pertaining to solid waste management  facilities operating after October 9, 1993, including postclosure care,  corrective action, and financial responsibility requirements; 
    b. A statement signed by a professional engineer that he has  reviewed the regulations established by the department for solid waste  management facilities, including the open dump criteria contained therein, that  he has inspected the facility and examined the monitoring data compiled for the  facility in accordance with applicable regulations and that, on the basis of  his inspection and review, he has concluded: 
    (1) That the facility is not an open dump; 
    (2) That the facility does not pose a substantial present or  potential hazard to human health and the environment; and 
    (3) That the leachate or residues from the facility do not  pose a threat of contamination or pollution of the air, surface water, or  groundwater in a manner constituting an open dump or resulting in a substantial  present or potential hazard to human health or the environment; and 
    c. A statement signed by the owner or operator: 
    (1) That the facility complies with applicable financial  assurance regulations; and 
    (2) Estimating when the facility will reach its vertical  design capacity. 
    3. Enlargement or closure of these facilities shall conform  with the following subconditions:
    a. The facility may not be enlarged prematurely to avoid  compliance with this chapter when such enlargement is not consistent with past  operating practices, the permit, or modified operating practices to ensure good  management.
    b. The facility shall not dispose of solid waste in any  portion of a landfill disposal area that has received final cover or has not  received waste for a period of one year, in accordance with 9VAC20-81-160 C.  The facility shall notify the department, in writing, within 30 days, when an  area has received final cover or has not received waste for a one-year period,  in accordance with 9VAC20-81-160 C. However, a facility may apply for a permit,  and if approved, can construct and operate a new cell that overlays  ("piggybacks") over a closed area in accordance with the permit  requirements of this chapter.
    c. The facilities subject to the restrictions in this  subsection are listed in Table 2.1. The closure dates were established in:  Final Prioritization and Closure Schedule for HB 1205 Disposal Areas (DEQ,  September 2001). The publication of these tables is for the convenience of the  regulated community and does not change established dates. Any facility,  including, but not limited to those listed in Table 2.1, must cease operation  if that facility meets any of the open dump criteria listed in 9VAC20-81-45 A  1.
    d. Those facilities assigned a closure date in accordance with  § 10.1-1413.2 of the Code of Virginia shall designate on a map, plat, diagram,  or other engineered drawing, areas in which waste will be disposed of in  accordance with Table 2.1 until the latest cessation of waste acceptance date  as listed in Table 2.1 is achieved. This map or plat shall be placed in the  operating record and a copy shall be submitted upon request to the department  in order to track the progress of closure of these facilities. If the facility  already has provided this information under 9VAC20-81-160, then the facility  may refer to that information.
           |      TABLE 2.1      Final Prioritization and Closure Schedule For House Bill (HB) 1205 Disposal    Areas       |    
       |      Solid Waste Permit Number and    Site Name      |          Location      |          Department Regional Office1      |          Latest Cessation of Waste    Acceptance Date2      |    
       |      429 - Fluvanna County Sanitary    Landfill      |          Fluvanna County      |          VRO      |          12/31/2007      |    
       |      92 - Halifax County Sanitary    Landfill3      |          Halifax County      |          BRRO      |          12/31/2007      |    
       |      49 - Martinsville Landfill      |          City of Martinsville      |          BRRO      |          12/31/2007      |    
       |      14 - Mecklenburg County    Landfill      |          Mecklenburg County      |          BRRO      |          12/31/2007      |    
       |      228 - Petersburg City Landfill3      |          City of Petersburg      |          PRO      |          12/31/2007      |    
       |      31 - South Boston Sanitary    Landfill      |          Town of South Boston      |          BRRO      |          12/31/2007      |    
       |      204 - Waynesboro City Landfill      |          City of Waynesboro      |          VRO      |          12/31/2007      |    
       |      91 - Accomack County Landfill    – Bobtown South      |          Accomack County      |          TRO      |          12/31/2012      |    
       |      580 – Bethel Landfill3       |          City of Hampton      |          TRO      |          12/31/2012      |    
       |      182 - Caroline County Landfill      |          Caroline County      |          NVRO      |          12/31/2012      |    
       |      149 - Fauquier County Landfill      |          Fauquier County      |          NVRO      |          12/31/2012      |    
       |      405 - Greensville County    Landfill      |          Greensville County      |          PRO      |          12/31/2012      |    
       |      29 - Independent Hill Landfill3      |          Prince William County      |          NVRO      |          12/31/2012      |    
       |      1 - Loudoun County Sanitary    Landfill      |          Loudoun County      |          NVRO      |          12/31/2012      |    
       |      194 - Louisa County Sanitary    Landfill      |          Louisa County      |          NVRO      |          12/31/2012      |    
       |      227 - Lunenburg County    Sanitary Landfill      |          Lunenburg County      |          BRRO      |          12/31/2012      |    
       |      507 - Northampton County    Landfill      |          Northampton County      |          TRO      |          12/31/2012      |    
       |      90 - Orange County Landfill      |          Orange County      |          NVRO      |          12/31/2012      |    
       |      75 - Rockbridge County    Sanitary Landfill      |          Rockbridge County      |          VRO      |          12/31/2012      |    
       |      23 - Scott County Landfill      |          Scott County      |          SWRO      |          12/31/2012      |    
       |      587 - Shoosmith Sanitary    Landfill3      |          Chesterfield County      |          PRO      |          12/31/2012      |    
       |      417 - Southeastern Public    Service Authority Landfill3       |          City of Suffolk      |          TRO      |          12/31/2012      |    
       |      461 - Accomack County Landfill    #2      |          Accomack County      |          TRO      |          12/31/2020      |    
       |      86    - Appomattox County Sanitary Landfill      |          Appomattox    County      |          BRRO      |          12/31/2020      |    
       |      582 - Botetourt County    Landfill3      |          Botetourt County      |          BRRO      |          12/31/2020      |    
       |      498 - Bristol City Landfill      |          City of Bristol      |          SWRO      |          12/31/2020      |    
       |      72 - Franklin County Landfill      |          Franklin County      |          BRRO      |          12/31/2020      |    
       |      398 - Virginia Beach Landfill    #2 – Mount Trashmore II3      |          City of Virginia Beach      |          TRO      |          12/31/2020      |    
       |      Notes:       |                 |                 |                 |    
       |      1Department of Environmental Quality Regional Offices:      |    
       |      BRRO      |          Blue Ridge Regional Office      |    
       |      NVRO      |          Northern Virginia Regional    Office      |    
       |      PRO      |          Piedmont Regional Office       |    
       |      SWRO      |          Southwest Regional    Office       |    
       |      TRO      |          Tidewater Regional    Office       |    
       |      VRO      |          Valley Regional Office       |    
       |      2This date means the latest date that the disposal    area must cease accepting waste.       |    
       |      3A portion of these facilities operated under HB 1205    and another portion currently is compliant with Subtitle D    requirements.       |    
        |      |      |      |      |    
  
    C. Facilities are authorized to expand beyond the waste  boundaries existing on October 9, 1993, as follows: 
    1. Existing captive industrial landfills. 
    a. Existing nonhazardous industrial waste facilities that are  located on property owned or controlled by the generator of the waste disposed  of in the facility shall comply with all the provisions of this chapter except  as shown in subdivision 1 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a captive industrial landfill  beyond the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements in effect at  the time of permit issuance. 
    c. Owners or operators of facilities that are authorized under  subdivision 1 of this subsection to accept waste for disposal beyond the waste  boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120. 
    d. Facilities authorized for expansion in accordance with  subdivision 1 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    2. Other existing industrial waste landfills. 
    a. Existing nonhazardous industrial waste facilities that are  not located on property owned or controlled by the generator of the waste  disposed of in the facility shall comply with all the provisions of this  chapter except as shown in subdivision 2 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand an industrial landfill beyond  the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements of  9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 2 of this subsection to accept waste for disposal beyond the  waste boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120 and 9VAC20-81-130.
    e. Facilities authorized for expansion in accordance with  subdivision 2 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    3. Existing construction/demolition/debris landfills. 
    a. Existing facilities that accept only  construction/demolition/debris waste shall comply with all the provisions of  this chapter except as shown in subdivision 3 of this subsection.
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a  construction/demolition/debris landfill beyond the waste boundaries existing on  October 9, 1993. Liners and leachate collection systems constructed beyond the  waste boundaries existing on October 9, 1993, shall be constructed in  accordance with the requirements of 9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 3 of this subsection to accept waste for disposal beyond the  active portion of the landfill existing on October 9, 1993, shall ensure that  such expanded disposal areas maintain setback distances applicable to such  facilities in 9VAC20-81-120 and 9VAC20-81-130. 
    e. Facilities, or portions thereof, which have reached their  vertical design capacity shall be closed in compliance with 9VAC20-81-160. 
    f. Facilities authorized for expansion in accordance with  subdivision 3 of this subsection are limited to expansion to the permitted  disposal area existing on October 9, 1993, or the facility boundary existing on  October 9, 1993, if no discrete disposal area is defined in the facility  permit. 
    4. Facilities or units undergoing expansion in accordance with  the partial exemptions created by subdivision 1 b, 2 b, or 3 b of this  subsection may not receive hazardous wastes generated by the exempt small  quantity generators, as defined by the Virginia Hazardous Waste Management  Regulations ( 9VAC20-60), for disposal on the expanded portions of the  facility. Other wastes that require special handling in accordance with the  requirements of Part VI (9VAC20-81-610 et seq.) of this chapter or that contain  hazardous constituents that would pose a risk to health or environment, may  only be accepted with specific approval by the director. 
    5. Nothing in subdivisions 1 b, 2 b, and 3 b of this  subsection shall alter any requirement for ground water monitoring, financial  responsibility, operator certification, closure, postclosure care, operation,  maintenance, or corrective action imposed under this chapter, or impair the  powers of the director to revoke or modify a permit pursuant to § 10.1-1409  of the Virginia Waste Management Act or Part V (9VAC20-81-400 et seq.) of this  chapter. 
    D. An owner or operator of a previously unpermitted facility  or unpermitted activity that managed materials previously exempt or excluded  from this chapter shall submit a complete application for a solid waste  management facility permit, permit by rule or a permit modification, as  applicable, in accordance with Part V (9VAC20-81-430 et seq.) of this chapter  within six months after these materials have been defined or identified as  solid wastes. If the director finds that the application is complete, the owner  or operator may continue to manage the newly defined or identified waste until  a permit or permit modification decision has been rendered or until a date two  years after the change in definition whichever occurs sooner, provided however,  that in so doing he shall not operate or maintain an open dump, a hazard, or a  nuisance. 
    Owners or operators of solid waste management facilities in  existence prior to September 24, 2003, shall now be in compliance with this  chapter. Where conflicts exist between the existing facility permit and the new  requirements of the regulations, the regulations shall supersede the permit  except where the standards in the permit are more stringent than the  regulation. Language in an existing permit shall not act as a shield to  compliance with the regulation, unless a variance to the regulations has been  approved by the director in accordance with the provisions of Part VII  (9VAC20-81-700 et seq.) of this chapter. Existing facility permits will not be  required to be updated to eliminate requirements conflicting with the  regulation, except at the request of the director or if a permit is modified  for another reason. However, all sanitary landfills and incinerators that  accept waste from jurisdictions outside of Virginia must have submitted the  materials required under 9VAC20-81-100 E 4 by March 22, 2004. 
    E. This chapter is not applicable to landfill units closed in  accordance with regulations or permits in effect prior to December 21, 1988,  unless releases from these closed landfills meet the open dump criteria found  in 9VAC20-81-45, or the closed landfills are found to be a hazard or a nuisance  under subdivision 21 of § 10.1-1402 of the Code of Virginia, or a site  where improper waste management has occurred under subdivision 19 of  § 10.1-1402 of the Code of Virginia.
    9VAC20-81-95. Identification of solid waste.
    A. Wastes identified in this part section  are solid wastes that are subject to this chapter unless regulated  pursuant to other applicable regulations issued by the department. 
    B. Except as otherwise provided, the definition of solid  waste per 40 CFR 261.2 as incorporated by 9VAC20-60-261, as amended, is also  hereby incorporated as part of this chapter. Except as otherwise provided, all  material definitions, reference materials and other ancillaries that are a part  of 9VAC20-60-261, as amended, are also hereby incorporated as part of this  chapter as well.
    C. Except as otherwise modified or excepted by 9VAC20-60, the  materials listed in the regulations of the United States Environmental  Protection Agency set forth in 40 CFR 261.4 (a) are considered a solid waste  for the purposes of this chapter. However, these materials are not regulated  under the provisions of this chapter if all conditions specified therein are  met. This list and all material definitions, reference materials and other  ancillaries that are part of 40 CFR Part 261.4 (a), as incorporated, modified  and/or accepted by 9VAC20-60 are incorporated as part of this chapter. In  addition, the following materials are not solid wastes for the purpose of this  chapter:
    1. Materials generated by any of the following, which are  returned to the soil as fertilizers: 
    a. The growing and harvesting of agricultural crops. 
    b. The raising and husbanding of animals, including animal  manures and used animal bedding. 
    2. Mining overburden returned to the mine site. 
    3. Recyclable materials used in manner constituting disposal  per 9VAC20-60-266. 
    4. Wood wastes burned for energy recovery. 
    5. Materials that are:
    a. Used or reused, or prepared for use or reuse, as an  ingredient in an industrial process to make a product, or as effective  substitutes for commercial products or natural resources provided the materials  are not being reclaimed or accumulated speculatively; or 
    b. Returned to the original process from which they are  generated. 
    6. Materials that are beneficially used as determined by the  department under this subsection. The department may consider other waste  materials and uses to be beneficial in accordance with the provisions of  9VAC20-81-97. 
    7. The following materials and uses listed in this part are  exempt from this chapter as long as they are managed so they do not create an  open dump, hazard, or public nuisance. These materials and the designated use  are considered a beneficial use of waste materials: 
    a. Clean wood, wood chips, or bark from land clearing, logging  operations, utility line clearing and maintenance operations, pulp and paper  production, and wood products manufacturing, when these materials are placed in  commerce for service as mulch, landscaping, animal bedding, erosion control,  habitat mitigation, wetlands restoration, or bulking agent at a compost  facility operated in compliance with Part IV (9VAC20-81-300 et seq.) of this  chapter;
    b. Clean wood combustion residues when used for pH adjustment  in compost, liquid absorbent in compost, or as a soil amendment or fertilizer,  provided the application rate of the wood ash is limited to the nutrient need  of the crop grown on the land on which the wood combustion residues will be  applied and provided that such application meets the requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    c. Compost that satisfies the applicable requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    d. Nonhazardous, contaminated soil that has been excavated as  part of a construction project and that is used as backfill for the same  excavation or excavations containing similar contaminants at the same site, at  concentrations at the same level or higher. Excess contaminated soil from these  projects is subject to the requirements of this chapter; 
    e. Nonhazardous petroleum contaminated soil that has been  treated to the satisfaction of the department in accordance with 9VAC20-81-660;  
    f. Nonhazardous petroleum contaminated soil when incorporated  into asphalt pavement products; 
    g. Solid wastes that are approved in advance of the placement,  in writing, by the department or that are specifically mentioned in the  facility permit for use as alternate daily cover material or other protective  materials for landfill liner or final cover system components; 
    h. Fossil fuel combustion products when used as a material in  the manufacturing of another product (e.g., concrete, concrete products,  lightweight aggregate, roofing materials, plastics, paint, flowable fill) or as  a substitute for a product or material resource (e.g., blasting grit, roofing  granules, filter cloth pre-coat for sludge dewatering, pipe bedding); 
    i. Tire chips and tire shred when used as a sub base fill for  road base materials or asphalt pavements when approved by the Virginia  Department of Transportation or by a local governing body; 
    j. Tire chips, tire shred, and ground rubber used in the  production of commercial products such as mats, pavement sealers, playground  surfaces, brake pads, blasting mats, and other rubberized commercial products; 
    k. Tire chips and tire shred when used as backfill in landfill  gas or leachate collection pipes, recirculation lines, and drainage material in  landfill liner and cover systems, and gas interception or remediation  applications; 
    l. Waste tires, tire chips or tire shred when burned for  energy recovery or when used in pyrolysis, gasification, or similar treatment  process to produce fuel; 
    m. "Waste -derived fuel product,"  as defined in 9VAC20-81-10, derived from nonhazardous solid waste; 
    n. Uncontaminated concrete and concrete products, asphalt  pavement, brick, glass, soil, and rock placed in commerce for service as a  substitute for conventional aggregate; and
    o. Clean, ground gypsum wallboard when used as a soil  amendment or fertilizer, provided the following conditions are met:
    (1) No components of the gypsum wallboard have been glued,  painted, or otherwise contaminated from manufacture or use (e.g., waterproof or  fireproof drywall) unless otherwise processed to remove contaminants. 
    (2) The gypsum wallboard shall be processed so that 95% of the  gypsum wallboard is less than 1/4 inch by 1/4 inch in size, unless an alternate  size is approved by the department.
    (3) The gypsum wallboard shall be applied only to  agricultural, silvicultural, landscaped, or mined lands or roadway construction  sites that need fertilization.
    (4) The application rate for the ground gypsum wallboard shall  not exceed the following rates.
           |      Region      |          Rate      |    
       |      Piedmont, Mountains, and Ridge and Valley      |          250 lbs/1,000 ft2      |    
       |      Coastal Plain      |          50 lbs/1,000 ft2      |    
       |      Note: These weights are for dry ground gypsum wallboard.      |    
  
    D. The following activities are conditionally exempt from  this chapter provided no open dump, hazard, or public nuisance is created: 
    1. Composting of sewage sludge at the sewage treatment plant  of generation without addition of other types of solid wastes.
    2. Composting of household waste generated at a residence and  composted at the site of generation. 
    3. Composting activities performed for educational purposes as  long as no more than 100 cubic yards of materials are on site at any time.  Greater quantities will be allowed with suitable justification presented to the  department. For quantities greater than 100 cubic yards, approval from the  department will be required prior to composting.
    4. Composting of animal carcasses onsite at the farm of  generation.
    5. Composting of vegetative waste and/or yard waste generated  onsite by owners or operators of agricultural operations or owners of the real  property or those authorized by the owners of the real property provided:
    a. All decomposed vegetative waste and compost produced is  utilized on said property;
    b. No vegetative waste or other waste material generated from  other sources other than said property is received;
    c. All applicable standards of local ordinances that govern or  concern vegetative waste handling, composting, storage or disposal are  satisfied; and 
    d. They pose no nuisance or present no potential threat to  human health or the environment. 
    6. Composting of yard waste by owners or operators who accept  yard waste generated offsite shall be exempt from all other provisions of this  chapter as applied to the composting activities provided the requirements of  9VAC20-81-397 B are met.
    7. Composting of preconsumer food waste and kitchen culls  generated onsite and composted in containers designed to prohibit vector  attraction and prevent nuisance odor generation. 
    8. Vermicomposting, when used to process Category I, Category  II, or Category III feedstocks in containers designed to prohibit vector  attraction and prevent nuisance odor generation. If offsite feedstocks are  received no more than 100 cubic yards of materials may be onsite at any one  time. For quantities greater than 100 cubic yards, approval from the department  will be required prior to composting.
    9. Composting of sewage sludge or combinations of sewage  sludge with nonhazardous solid waste provided the composting facility is  permitted under the requirements of a Virginia Pollution Abatement (VPA) or  VPDES permit.
    10. Management of solid waste in appropriate containers at the  site of its generation, provided that: 
    a. Putrescible waste is not stored more than seven days  between time of collection and time of removal for disposal; 
    b. Nonputrescible wastes are not stored more than 90 days  between time of collection and time of removal for proper management; and
    c. Treatment of waste is conducted in accordance with the  following:
    (1) In accordance with a waste analysis plan that:
    (a) Contains a detailed chemical and physical analysis of a  representative sample of the waste being treated, and contains all records  necessary to treat the waste in accordance with the requirements of this part,  including the selected testing frequency; and
    (b) Is kept in the facility's onsite file and made available  to the department upon request.
    (2) Notification is made to the receiving waste management  facility that the waste has been treated.
    11. Using rocks, brick, block, dirt, broken concrete, crushed  glass, porcelain, and road pavement as clean fill. 
    12. Storage of less than 100 waste tires at the site of  generation provided that no waste tires are accepted from offsite and that the  storage will not present a hazard or a nuisance.
    13. Storage in piles of land-clearing debris including stumps  and brush, clean wood wastes, log yard scrapings consisting of a mixture of  soil and wood, cotton gin trash, peanut hulls, and similar organic wastes that  do not readily decompose, are exempt from this chapter if they meet the  following conditions at a minimum: 
    a. The wastes are managed in the following manner: 
    (1) They do not cause discharges of leachate, or attract  vectors. 
    (2) They cannot be dispersed by wind and rain. 
    (3) Fire is prevented. 
    (4) They do not become putrescent. 
    b. Any facility storing waste materials under the provisions  of this subsection shall obtain a storm water discharge permit if they are  considered a significant source under the provisions of 9VAC25-31-120 A 1 c. 
    c. No more than a total of 1/3 acre of waste material is  stored onsite and the waste pile does not exceed 15 feet in height above base  grade. 
    d. Siting provisions. 
    (1) All log yard scrapings consisting of a mixture of soil and  wood, cotton gin trash, peanut hulls, and similar organic wastes that do not  readily decompose are stored at the site of the industrial activity that  produces them; 
    (2) A 50-foot fire break is maintained between the waste pile  and any structure or tree line; 
    (3) The slope of the ground within the area of the pile and  within 50 feet of the pile does not exceed 4:1; 
    (4) No waste material may be stored closer than 50 feet to any  regularly flowing surface water body or river, floodplain, or wetland; and
    (5) No stored waste materials shall extend closer than 50 feet  to any property line. 
    e. If activities at the site cease, any waste stored at the  site must be properly managed in accordance with these regulations within 90  days. The director can approve longer time frames with appropriate  justification. Justification must be provided in writing no more than 30 days  after ceasing activity at the site. 
    f. Waste piles that do not meet these provisions are required  to obtain a permit in accordance with the permitting provisions in Part V  (9VAC20-81-400 et seq.) of this chapter and meet all of the applicable waste  pile requirements in Part IV (9VAC20-81-300 et seq.) of this chapter.  Facilities that do not comply with the provisions of this subsection and fail  to obtain a permit are subject to the provisions of 9VAC20-81-40.
    14. Storage of nonhazardous solid wastes and hazardous wastes,  or hazardous wastes from conditionally exempt small quantity generators as  defined in Virginia Hazardous Waste Management Regulations (9VAC20-60) at a  transportation terminal or transfer station in closed containers meeting the  U.S. Department of Transportation specifications is exempt from this section  and the permitting provisions of Part V (9VAC20-81-400 et seq.) of this chapter  provided such wastes are removed to a permitted storage or disposal facility  within 10 days from the initial receipt from the waste generator. To be  eligible for this exemption, each shipment must be properly documented to show  the name of the generator, the date of receipt by the transporter, and the date  and location of the final destination of the shipment. The documentation shall  be kept at the terminal or transfer station for at least three years after the  shipment has been completed and shall be made available to the department upon  request. All such activities shall comply with any local ordinances.
    15. Open burning in accordance with the requirements of  9VAC5-130-40. 
    16. Open burning of vegetative waste is allowed at a closed  landfill that has not been released from postclosure care. The activity shall  be included in the text of the postclosure plan and conducted in accordance  with § 10.1-1410.3 of the Code of Virginia.
    17. Placement of trees, brush, or other vegetation from land  used for agricultural or silvicultural purposes on the same property or other  property of the same landowner. 
    18. Using fossil fuel combustion products in one or more of  the following applications or when handled, processed, transported, or  stockpiled for the following uses: 
    a. As a base, sub-base or fill material under a paved road,  the footprint of a structure, a paved parking lot, sidewalk, walkway or similar  structure, or in the embankment of a road. In the case of roadway embankments,  materials will be placed in accordance with VDOT specifications, and exposed  slopes not directly under the surface of the pavement must have a minimum of 18  inches of soil cover over the fossil fuel combustion products, the top six  inches of which must be capable of sustaining the growth of indigenous plant  species or plant species adapted to the area. The use, reuse, or reclamation of  unamended coal combustion byproduct shall not be placed in an area designated  as a 100-year flood plain;
    b. Processed with a cementitious binder to produce a  stabilized structural fill product that is spread and compacted with proper  equipment for the construction of a project with a specified end use; or
    c. For the extraction or recovery of materials and compounds  contained within the fossil fuel combustion products.
    E. The following solid wastes are exempt from this chapter  provided that they are managed in accordance with the requirements promulgated  by other applicable state or federal agencies: 
    1. Management of wastes regulated by the State Board of  Health, the State Water Control Board, the Air Pollution Control Board, the  Department of Mines, Minerals and Energy, Department of Agriculture and  Consumer Services, or any other state or federal agency with such authority.
    2. Drilling fluids, produced waters, and other wastes  associated with the exploration, development, or production of crude oil,  natural gas, or geothermal energy. 
    3. Solid waste from the extraction, beneficiation, and  processing of ores and minerals, including coal. 
    4. Fossil fuel combustion products used for mine reclamation,  mine subsidence, or mine refuse disposal on a mine site permitted by the  Virginia Department of Mines, Minerals and Energy (DMME) when used in  accordance with the standards.
    5. Solid waste management practices that involve only the  onsite placing of solid waste from mineral mining activities at the site of  those activities and in compliance with a permit issued by the DMME, that do  not include any municipal solid waste, are accomplished in an environmentally  sound manner, and do not create an open dump, hazard or public nuisance are  exempt from all requirements of this chapter.
    6. Waste or byproduct derived from an industrial process that  meets the definition of fertilizer, soil amendment, soil conditioner, or  horticultural growing medium as defined in § 3.2-3600 of the Code of Virginia,  or whose intended purpose is to neutralize soil acidity (see § 3.2-3700 of the  Code of Virginia), and that is regulated under the authority of the Virginia  Department of Agriculture and Consumer Services. 
    7. Fossil fuel combustion products bottom ash or boiler slag  used as a traction control material or road surface material if the use is  consistent with Virginia Department of Transportation practices.
    8. Waste tires generated by and stored at salvage yards  licensed by the Department of Motor Vehicles provided that such storage  complies with requirements set forth in § 10.1-1418.2 and such storage  does not pose a hazard or nuisance. 
    9. Tire chips used as the drainage material in construction of  septage drain fields regulated under the authority of the Virginia Department  of Health.
    F. The following solid wastes are exempt from this chapter  provided that they are reclaimed or temporarily stored incidentally to  reclamation, are not accumulated speculatively, and are managed without  creating an open dump, hazard, or a public nuisance: 
    1. Paper and paper products; 
    2. Clean wood waste that is to undergo size reduction in order  to produce a saleable product, such as mulch;
    3. Cloth;
    4. Glass;
    5. Plastics;
    6. Tire chips, tire shred, ground rubber; and
    7. Mixtures of above materials only. Such mixtures may include  scrap metals excluded from regulation in accordance with the provisions of  subsection C of this section.
    9VAC20-81-140. Operation requirements.
    The operation of all sanitary, CDD, and industrial landfills  shall be governed by the standards set forth in this section. Landfill  operations will be detailed in an operations manual that shall be maintained in  the operating record in accordance with 9VAC20-81-485. This operations manual  will include an operations plan, an inspection plan, a health and safety plan,  an unauthorized waste control plan, an emergency contingency plan, and a  landscaping plan meeting the requirements of this section and 9VAC20-81-485.  This manual shall be made available to the department when requested. If the  applicable standards of this chapter and the landfill's Operations Manual  conflict, this chapter shall take precedence.
    A. Landfill operational performance standards.
    1. Safety hazards to operating personnel shall be controlled  through an active safety program consistent with the requirements of 29 CFR  Part 1910, as amended. 
    2. A groundwater monitoring program meeting the requirements  of 9VAC20-81-250 shall be implemented, as applicable. 
    3. A corrective action program meeting the requirements of  9VAC20-81-260 is required whenever the groundwater protection standard is  exceeded at statistically significant levels.
    4. Open burning at active landfills. 
    a. Owners or operators shall ensure that the units do not  violate any applicable requirements developed by the State Air Pollution  Control Board or promulgated by the EPA administrator pursuant to § 110 of the  Clean Air Act, as amended (42 USC §§ 7401 to 7671q). 
    b. Open burning of solid waste, except for infrequent burning  of agricultural wastes, silvicultural wastes, land-clearing debris, diseased  trees, or debris from emergency cleanup operations is prohibited. There shall  be no open burning permitted on areas where solid waste has been disposed of or  is being used for active disposal.
    c. The owner or operator shall be responsible for extinguishing  any fires that may occur at the facility. A fire control plan will be developed  that outlines the response of facility personnel to fires. The fire control  plan will be provided as an attachment to the emergency contingency plan  required under the provisions of 9VAC20-81-485. The fire control plan will be  available for review upon request by the public. There shall be no open burning  permitted on areas where solid waste has been disposed or is being used for  active disposal.
    5. Except as provided in 9VAC20-81-130 K, owners or operators  shall implement a gas management plan in accordance with 9VAC20-81-200  to  control landfill gas such that: 
    a. The concentration of methane gas generated by the landfill  does not exceed 25% of the lower explosive limit for methane in landfill  structures (excluding gas control or recovery system components); and 
    b. The concentration of methane gas does not exceed the lower  explosive limit for methane at the facility boundary. 
    6. Landfills shall not: 
    a. Allow leachate from the landfill to drain or discharge into  surface waters except when treated onsite and discharged into surface water as  authorized under a VPDES Permit (9VAC25-31). 
    b. Cause a discharge of pollutants into waters of the United  States, including wetlands, that violates any requirements of the Clean Water  Act (33 USC § 1251 et seq.), including, but not limited to, the VPDES  requirements and Virginia Water Quality Standards (9VAC25-260). 
    c. Cause the discharge of a nonpoint source of pollution to  waters of the United States, including wetlands, that violates any requirement  of an areawide or statewide water quality management plan that has been  approved under § 208 or 319 of the Clean Water Act (33 USC § 1251 et  seq.), as amended or violates any requirement of the Virginia Water Quality  Standards (9VAC25-260). 
    d. Allow solid waste to be deposited in or to enter any  surface waters or groundwaters.
    7. Owners or operators shall maintain the run-on/runoff  control systems designed and constructed in accordance with 9VAC20-81-130 H. 
    8. Access to sanitary, CDD, or noncaptive industrial landfills  shall be permitted only when an attendant is on duty and only during daylight  hours, unless otherwise specified in the landfill permit. 
    9. Fencing or other suitable control means shall be used to  control litter migration. All litter blown from the landfill operations shall  be collected on a weekly basis.
    10. Odors and vectors shall be effectively controlled so they  do not constitute nuisances or hazards. Odor hazard or nuisances shall be  controlled in accordance with 9VAC20-81-200 D. Disease vectors shall be  controlled using techniques for the protection of human health and the  environment. 
    11. If salvaging is allowed by a landfill, it shall not  interfere with operation of the landfill and shall not create hazards or  nuisances. 
    12. Fugitive dust and mud deposits on main offsite roads and  access roads shall be minimized at all times to limit nuisances. Dust shall be  controlled to meet the requirements of Article 1 (9VAC5-40-60 et seq.) of Part  II of 9VAC5-40.
    13. Internal roads in the landfill shall be maintained to be  passable in all weather by ordinary vehicles. All operation areas and units  shall be accessible.
    14. All landfill appurtenances listed in 9VAC20-81-130 shall be  properly maintained and operated as designed and approved in the facility's  permit. 
    15. Adequate numbers and types of properly maintained  equipment shall be available to a landfill for operation. Provision shall be  made for substitute equipment to be available or alternate means implemented to  achieve compliance with subdivision B 1, C 1, or D 1 of this section, as  applicable, within 24 hours should the former become inoperable or unavailable.  Operators with training appropriate to the tasks they are expected to perform  and in sufficient numbers for the complexity of the site shall be on the site  whenever it is in operation.
    16. Self-Inspection. Each landfill shall implement an  inspection routine including a schedule for inspecting all applicable major aspects  of facility operations necessary to ensure compliance with the requirements of  this chapter. Records of these inspections must be maintained in the operating  record and available for review. At a minimum, the following aspects of the  facility shall be inspected on a monthly basis: erosion and sediment controls,  storm water conveyance system, leachate collection system, safety and emergency  equipment, internal roads, and operating equipment. The groundwater monitoring  system and gas management system shall be inspected at a rate consistent with  the system's monitoring frequency.
    17. Records to include, at a minimum, date of receipt,  quantity by weight or volume, and origin shall be maintained on solid waste  received and processed to fulfill the applicable requirements of the Solid  Waste Information and Assessment Program under 9VAC20-81-80 and the Control  Program for Unauthorized Waste under 9VAC20-81-100 E. Such records shall be  made available to the department for examination or use when requested.
    B. In addition to the standards in subsection A of this  section, sanitary landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread into two-foot layers or less and compacted at the working face, which  shall be confined to the smallest area practicable. 
    b. Lift heights shall be sized in accordance with daily waste  volumes. Lift height is not recommended to exceed 10 feet. 
    c. Daily cover consisting of at least six inches of  compacted soil or other approved material shall be placed upon and maintained  on all exposed solid waste prior to the end of each operating day, or at more  frequent intervals if necessary, to control disease vectors, fires, odors,  blowing litter, and scavenging. Alternate materials of an alternate thickness  may be approved by the department if it has been demonstrated that the  alternate material and thickness control disease vectors, fires, odors, blowing  litter, and scavenging without presenting a threat to human health and the  environment. At least three days of acceptable cover soil or approved material  at the average usage rate shall be maintained at the landfill or readily  available at all times. 
    d. Intermediate cover of at least six inches of additional  compacted soil shall be applied and maintained whenever an additional lift of  refuse is not to be applied within 30 days. Further, all areas with  intermediate cover exposed shall be inspected as needed, but not less than  weekly. Additional cover material shall be placed on all cracked, eroded, and  uneven areas as required to maintain the integrity of the intermediate cover  system. 
    e. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    g. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33% unless steeper slopes are approved in the  permit. 
    2. The active working face of a sanitary landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    3. A sanitary landfill that is located within 10,000 feet of  any airport runway used for turbojet aircraft or 5,000 feet of any airport  runway used by only piston type aircraft, shall operate in such a manner that  the landfill does not increase or pose additional bird hazards to aircraft. 
    4. Sanitary landfills shall not dispose of the following  wastes, except as specifically authorized by the landfill permit or by the  department: 
    a. Free liquids. 
    (1) Bulk or noncontainerized liquid waste, unless: 
    (a) The waste is household waste; or 
    (b) The waste is gas condensate derived from that landfill;
    (c) The waste is leachate derived from that landfill and the landfill  is designed with a composite liner and leachate collection system as described  in 9VAC20-81-130 J 1 a and 9VAC20-81-130 L; or 
    (2) Containers holding liquid waste, unless: 
    (a) The container is a small container similar in size to that  normally found in household waste; 
    (b) The container is designed to hold liquids for use other  than storage; or 
    (c) The waste is household waste. 
    b. Regulated hazardous wastes as defined by the Virginia  Hazardous Waste Management Regulations (9VAC20-60).
    c. Solid wastes, residues, or soils containing more than 1.0  ppb (parts per billion) TEF (dioxins). 
    d. Solid wastes, residues, or soils containing 50.0 ppm (parts  per million) or more of PCB's except as allowed under the provisions of  9VAC20-81-630. 
    e. Sludges that have not been dewatered. 
    f. Contaminated soil unless approved by the department in  accordance with the requirements of 9VAC20-81-610 or 9VAC20-81-660. 
    g. Regulated medical waste as specified in the Regulated  Medical Waste Management Regulations (9VAC20-120).
    5. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    C. In addition to the standards in subsection A of this  section, Construction/demolition/debris landfills shall also comply with the  following:
    1. Compaction and cover requirements. 
    a. Waste materials shall be compacted in shallow layers during  the placement of disposal lifts to minimize differential settlement. 
    b. Compacted soil cover shall be applied as needed for safety  and aesthetic purposes. A minimum one-foot thick progressive cover shall be  maintained weekly such that the top of the lift is fully covered at the end of  the work week. If the landfill accepts Category I or II nonfriable  asbestos-containing material for disposal, daily soil cover shall be placed  upon all exposed Category I or II nonfriable asbestos-containing material prior  to the end of each operating day. The open working face of a landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    c. When waste deposits have reached final elevations, or  disposal activities are interrupted for 15 days or more, waste deposits shall  receive a one-foot thick intermediate cover unless soil has already been  applied in accordance with subdivision 1 b of this subsection and be graded to  prevent ponding and to accelerate surface run-off. 
    d. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    e. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    f. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33%. 
    2. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    D. In addition to the standards in subsection A of this  section, Industrial Landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread and compacted at the working face, which shall be confined to the  smallest area practicable. 
    b. Lift heights shall be sized according to the volume of  waste received daily and the nature of the industrial waste. A lift height is  not required for materials such as fly ash that are not compactable. 
    c. Where it is necessary for the specific waste, such as  Category I or II nonfriable asbestos-containing material, daily soil cover, or  other suitable material shall be placed upon all exposed solid waste prior to  the end of each operating day. For wastes such as fly ash and bottom ash from  burning of fossil fuels, periodic cover to minimize exposure to precipitation  and control dust or dust control measures such as surface wetting or crusting  agents shall be applied. At least three days of acceptable cover soil or  approved material at the average usage rate shall be maintained at the fill at  all times at facilities where daily cover is required unless an offsite supply  is readily available on a daily basis.
    d. Intermediate cover of at least one foot of compacted soil  shall be applied whenever an additional lift of refuse is not to be applied  within 30 days unless the owner or operator demonstrates to the satisfaction of  the director that an alternate cover material or an alternate schedule will be  protective of public health and the environment. In the case of facilities  where fossil fuel combustion products are removed for beneficial use,  intermediate cover must be applied in any area where ash has not been placed or  removed for 30 days or more. Further, all areas with intermediate cover exposed  shall be inspected as needed but not less than weekly and additional cover  material shall be placed on all cracked, eroded, and uneven areas as required  to maintain the integrity of the intermediate cover system. 
    e. Final cover construction will be initiated in accordance  with the requirements of 9VAC20-81-160 D 2 when the following pertain: 
    (1) When an additional lift of solid waste is not to be  applied within two years or a longer period as required by the facility's  phased development. 
    (2) When any area of a landfill attains final elevation and  within 90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) When a landfill's permit is terminated within 90 days of  such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  otherwise specified by the department when seasonal conditions do not otherwise  permit. Mowing will be conducted a minimum of once a year or at a frequency  suitable for the vegetation and climate.
    2. Incinerator and air pollution control residues containing  no free liquids shall be incorporated into the working face and covered at such  intervals as necessary to minimize them from becoming airborne. 
    9VAC20-81-160. Closure requirements.
    The closure of all sanitary, CDD and industrial landfills  shall be governed by the standards set forth in this section.
    A. Closure purpose. The owner or operator shall close the  landfill in a manner that minimizes the need for further maintenance and  provides for the protection of human health and the environment. Closure shall  eliminate the postclosure escape of uncontrolled leachate or of waste  decomposition products to the groundwater or surface water to the extent  necessary to protect human health and the environment. Closure shall also  control and/or minimize surface runoff and the escape of waste decomposition  products to the atmosphere. 
    B. Closure plan and modification of plan.
    1. The owner or operator of a solid waste disposal facility  shall have a written closure plan. This plan shall identify the steps necessary  to completely close the landfill at the time when the operation will be the  most extensive and at the end of its intended life. The closure plan shall  include, at least: 
    a. A schedule for final closure that shall include, as a  minimum, the anticipated date when wastes will no longer be received, the date  when completion of final closure is anticipated, and intervening milestone  dates that will allow tracking of the progress of closure. 
    b. An estimate of waste disposed onsite over the active life  of the landfill; 
    c. An estimate of the largest area ever requiring a final  cover as required at any time during the active life; 
    d. Description of Final Cover System design in accordance with  subsection D of this section;
    e. Description of storm water management to include design,  construction, and maintenance controls;
    f. Closure cost estimate for purpose of financial assurance. 
    2. The owner or operator may amend the closure plan at any  time during the active life of the landfill. The owner or operator shall so  amend his plan any time changes in operating plans or landfill design affect  the closure plan. The amended closure plan shall be placed in the operating  record and a copy provided to the department. 
    3. Closure plans and amended closure plans not previously  approved by the director shall be submitted to the department at least 180 days  before the date the owner or operator expects to begin construction activities  related to closure. The director will approve or disapprove the plan within 90  days of receipt. 
    4. If the owner or operator intends to use an alternate final  cover design, he shall submit a proposed design meeting the requirements of  subdivision D 2 e f of this section to the department at least  180 days before the date he expects to begin closure. The department will  approve or disapprove the plan within 90 days of receipt. 
    5. At least 180 days prior to beginning closure of each solid  waste disposal unit, the owner or operator shall notify the department and the  solid waste planning unit of the intent to close. 
    C. Time allowed for closure. 
    1. The owner or operator shall begin closure activities of  each unit no later than 30 days after the date on which the unit receives the  known final receipt of wastes or, if the unit has remaining capacity and there  is a reasonable likelihood that the unit will receive additional wastes, no  later than one year after the most recent receipt of wastes. Extensions beyond  the one-year deadline for beginning closure may be granted by the director if  the owner or operator demonstrates that the unit has the capacity to receive  additional wastes and the owner or operator has taken and will continue to take  all steps necessary to prevent threats to human health and the environment from  the unclosed unit. 
    2. The owner or operator shall complete closure activities of  each unit in accordance with the closure plan and within six months after  receiving the final volume of wastes. The director may approve a longer closure  period if the owner or operator can demonstrate that the required or planned  closure activities will, of necessity, take longer than six months to complete;  and that he has taken all steps to eliminate any significant threat to human  health and the environment from the unclosed but inactive landfill.
    D. Closure implementation. 
    1. The owner or operator shall close each unit with a final  cover as specified in subdivision 2 of this subsection, grade the fill area to  prevent ponding, and provide a suitable vegetative cover. Vegetation shall be  deemed properly established when there are no large areas void of vegetation  and it is sufficient to control erosion. 
    2. Final cover system.
    a. The owner or operator shall install a final cover system  that is designed to achieve the performance requirements of this section. 
    b. Owners or operators of CDD landfill units used for the  disposal of wastes consisting only of stumps, wood, brush, and leaves from  landclearing operations may apply two feet of compacted soil as final cover  material in lieu of the final cover system specified in this section. The  provisions of this section shall not be applicable to any landfill with respect  to which the director has made a finding that continued operation of the  landfill constitutes a threat to the public health or the environment. 
    c. The final cover system shall be designed and constructed  to: 
    (1) Minimize infiltration through the closed disposal unit by  the use of an infiltration layer that is constructed of at least 18 inches of  earthen material; and which has a hydraulic conductivity less than or equal to  the hydraulic conductivity of any bottom liner system or natural subsoils  present, or a hydraulic conductivity no greater than 1x10-5 cm/sec,  whichever is less; and 
    (2) Minimize erosion of the final cover by the use of an  erosion layer that contains a minimum of six inches of earthen material that is  capable of sustaining native plant growth, and provide for protection of the  infiltration layer from the effects of erosion, frost, and wind. 
    d. The owner or operator of a sanitary landfill may choose to  use this alternate final cover system, which shall consist of at least the  following components:
    (1) An 18-inch soil infiltration layer with a hydraulic  conductivity no greater than 1x10-5 cm/sec or a geosynthetic clay  liner installed over the intermediate cover;
    (2) A barrier layer consisting of a geosynthetic membrane  having a minimum thickness of 40-mils;
    (3) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (4) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    e. The owner or operator of a CDD or industrial landfill may  choose to use this alternate final cover system, which shall consist of at  least the following components: 
    (1) A barrier layer consisting of a geosynthetic clay liner or  a geosynthetic membrane having a minimum thickness of 40 mils;
    (2) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (3) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    f. The director may approve an alternate final cover design  that includes: 
    (1) An infiltration layer that achieves an equivalent  reduction in infiltration as the infiltration layer specified in subdivision 2  c (1) of this subsection; and 
    (2) A minimum 24-inch erosion layer that is capable of  sustaining native plant growth and provide for protection of the infiltration  layer from the effects of erosion, frost, and wind.
    3. Finished side slopes shall be stable and be configured to  adequately control erosion and runoff. Slopes of 33% will be allowed provided  that adequate runoff controls are established. Steeper slopes may be considered  if supported by necessary stability calculations and appropriate erosion and  runoff control features. All finished slopes and runoff management facilities  shall be supported by necessary calculations and included in the design manual.  To prevent ponding of water, the top slope shall be at least 2.0% after  allowance for settlement. 
    4. Following construction of the final cover system for each  unit, the owner or operator shall submit to the department a certification,  signed by a professional engineer verifying that closure has been completed in  accordance with the closure plan requirements of this part. This certification  shall include the results of the CQA/QC requirements under 9VAC20-81-130 Q 1 b  (6). 
    5. Following the closure of all units the owner or operator  shall: 
    a. Post one sign at the entrance of the landfill notifying all  persons of the closing, and the prohibition against further receipt of waste  materials. Further, suitable barriers shall be installed at former accesses to  prevent new waste from being deposited.
    b. Within 90 days after closure is completed, submit to the  local land recording authority a survey plat prepared by a professional land  surveyor registered by the Commonwealth or a person qualified in accordance  with Title 54.1 of the Code of Virginia indicating the location and dimensions  of landfills. Groundwater monitoring well and landfill gas monitoring  probe locations shall be included and identified by the number on the survey  plat. The plat filed with the local land recording authority shall contain a  note, prominently displayed, which states the owner's or operator's future  obligation to restrict disturbance of the site as specified.
    c. Record a notation on the deed to the landfill property, or  on some other instrument which is normally examined during title searches,  notifying any potential purchaser of the property that the land has been used  to manage solid waste and its use is restricted under 9VAC20-81-170 A 2 c. A  copy of the deed notation as recorded shall be submitted to the department. 
    d. Submit to the department a certification, signed by a  professional engineer, verifying that closure has been completed in accordance  with the requirements of subdivisions 5 a, b, and c of this subsection and the  landfill closure plan. 
    6. The department shall inspect all solid waste management  facilities at the time of closure to confirm that the closing is complete and  adequate. It shall notify the owner or operator of a closed landfill, in  writing, if the closure is satisfactory, and shall require any construction or  such other steps necessary to bring unsatisfactory sites into compliance with  these regulations. Notification by the department that the closure is  satisfactory does not relieve the owner or operator of responsibility for  corrective action to prevent or abate problems caused by the landfill. 
    9VAC20-81-250. Groundwater monitoring program.
    A. General requirements. 
    1. Applicability. 
    a. Existing landfills. Owners or operators of all existing  landfills shall be in compliance with the groundwater monitoring requirements  specified in this section, except as provided for in subdivision 1 c of this  subsection. Owners or operators of landfills that were permitted prior to  December 21, 1988, but were closed in accordance with the requirements of their  permit or existing regulation prior to December 21, 1988, are not required to  be in compliance with the groundwater monitoring requirements specified in this  section, unless conditions are recognized that classify the landfill as an Open  Dump as defined under 9VAC20-81-45. 
    b. New landfills. Owners or operators of new facilities shall  be in compliance with the groundwater monitoring requirements specified in this  section before waste can be placed in the landfill except as provided for in  subdivision 1 c of this subsection.
    c. No migration potential exemption. Groundwater monitoring  requirements under this section may be suspended by the director if the owner  or operator can demonstrate that there is no potential for migration of any  Table 3.1 constituents to the uppermost aquifer during the active life and the  postclosure care period of the landfill. This demonstration shall be certified  by a qualified groundwater scientist and shall be based upon: 
    (1) Site-specific field collected measurements including  sampling and analysis of physical, chemical, and biological processes affecting  contaminant fate and transport; and 
    (2) Contaminant fate and transport predictions that maximize  contaminant migration and consider impacts on human health and the environment.  
    2. General requirements. 
    a. Purpose. Owners or operators shall install, operate, and  maintain a groundwater monitoring system that is capable of determining the  landfill's impact on the quality of groundwater in the uppermost aquifer at the  disposal unit boundary during the active life and postclosure care period of  the landfill. 
    b. Program requirements. The groundwater monitoring program  shall meet the requirements of subdivision 3 of this subsection and comply with  all other applicable requirements of this section. 
    c. Director authority. The groundwater monitoring and  reporting requirements set forth here are minimum requirements. The director  may require, by amending modifying the permit as allowed under  9VAC20-81-600 E, any owner or operator to install, operate, and maintain a  groundwater monitoring system and conduct a monitoring program that contains  requirements more stringent than this chapter imposes whenever it is determined  that such requirements are necessary to protect human health and the  environment. 
    3. Groundwater monitoring system. 
    a. System requirements. A groundwater monitoring system shall  be installed consisting of a sufficient number of monitoring wells, at  appropriate locations and depths, capable of yielding sufficient quantities of  groundwater for sampling and analysis purposes from the uppermost aquifer that:  
    (1) Represent the quality of background groundwater that has  not been affected by a release from the landfill; and 
    (2) Represent the quality of groundwater at the disposal unit  boundary. The downgradient monitoring system shall be installed at the disposal  unit boundary in a manner that ensures detection of groundwater contamination  in the uppermost aquifer unless a variance has been granted by the director  under 9VAC20-81-740. 
    (3) When physical obstacles preclude installation of  groundwater monitoring wells at the disposal unit boundary, the downgradient  monitoring wells may be installed at the closest practicable distance  hydraulically downgradient from the boundary in locations that ensure detection  of groundwater contamination in the uppermost aquifer. 
    b. Multiunit systems. The director may approve a groundwater  monitoring system that covers multiple waste disposal units instead of  requiring separate groundwater monitoring systems for each unit when the  landfill has several units, provided the multiunit groundwater monitoring  system meets the requirement of subdivision 3 of this subsection and can be  demonstrated to be equally protective of human health and the environment as  individual monitoring systems. The system for each waste disposal unit would be  based on the following factors: 
    (1) Number, spacing, and orientation of the waste disposal  units; 
    (2) Hydrogeologic setting; 
    (3) Site history; 
    (4) Engineering design of the waste disposal units; and 
    (5) Type of waste accepted at the waste disposal units. 
    c. Well construction. All monitoring wells shall be of a size  adequate for sampling and shall be cased and grouted in a manner that maintains  the integrity of the monitoring well bore hole. This casing shall be screened  or perforated, and packed with gravel or sand where necessary, to enable sample  collection at depths where appropriate aquifer flow zones exist. The annular  space above the sampling depth shall be sealed with a suitable material to  prevent contamination of samples and the groundwater. 
    d. Boring logs. A log shall be made of each newly installed  monitoring well describing the soils or rock encountered, and the hydraulic  conductivity of the geologic units (formations) encountered. A copy of the  final log(s) with appropriate maps, including at a minimum a site plan showing  the location of all monitoring wells, the total depth of monitoring well, the  location of the screened interval, the top and bottom of sand or gravel pack,  and the top and bottom of the seal shall be sent to the department with the  certification required under subdivision 3 g of this subsection. 
    e. Well maintenance. The monitoring wells, piezometers, and  other groundwater measurement, sampling, and analytical devices shall be  operated and maintained in a manner that allows them to perform to design  specifications throughout the duration of the groundwater monitoring program.  Nonfunctioning monitoring wells must be replaced or repaired upon recognition  of damage or nonperformance. Well repair or replacement shall be coordinated  with the department for approval prior to initiating the action. 
    f. Network specifics. The network shall include at least  one upgradient monitoring well and at least three downgradient monitoring  wells. The number, spacing, and depths of monitoring wells included in a  landfill's network shall be determined based on: 
    (1) Site-specific technical information that shall include  thorough characterization by the owner or operator of: 
    (a) The thickness of any unsaturated geologic units or fill  materials that may overlay the uppermost aquifer; 
    (b) The thickness and description of materials comprising the  uppermost aquifer;
    (c) Materials comprising the confining unit defining the lower  boundary of the uppermost aquifer, including, but not limited to, thicknesses,  stratigraphy, lithology, hydraulic conductivities, porosities, and effective  porosities; and
    (d) the calculated groundwater flow rate and direction within  the uppermost aquifer including any seasonal and temporal fluctuations in  groundwater flow. 
    (2) At least one upgradient and at least three downgradient  monitoring wells. 
    (3) A The lateral spacing between downgradient  monitoring wells based on site-specific information supplied under subdivision  3 f (1) of this subsection. 
    g. Monitoring well certification. The groundwater monitoring  well(s) shall, within 30 days of well(s) installation, be certified by a  qualified groundwater scientist noting that all wells have been installed in  accordance with the documentation submitted under subdivision 3 d of this  subsection. Within 14 days of completing this certification, the owner or  operator shall transmit the certification to the department. 
    4. The groundwater sampling and analysis requirements for the  groundwater monitoring system are as follows: 
    a. Quality assurance and control. The groundwater monitoring  program shall include consistent field sampling and laboratory analysis  procedures that are designed to ensure monitoring results that provide an  accurate representation of the groundwater quality at the background and  downgradient wells. At a minimum the program shall include procedures and  techniques for: 
    (1) Sample collection; 
    (2) Sample preservation and shipment; 
    (3) Analytical procedures; 
    (4) Chain of custody control; and 
    (5) Quality assurance and quality control. 
    b. Analytical methods. The groundwater monitoring program  shall include sampling and analytical methods that are appropriate for  groundwater sampling and that accurately measure solid waste constituents in  groundwater samples. Groundwater samples obtained pursuant to 9VAC20-81-250 B  or C shall not be filtered prior to laboratory analysis. The sampling, analysis  and quality control/quality assurance methods set forth in EPA document SW-846,  as amended, shall be used. The department may require re-sampling if it  believes the samples were not properly sampled or analyzed. 
    c. Groundwater rate and flow. Groundwater elevations at each  monitoring well shall be determined immediately prior to purging each time a  sample is obtained. The owner or operator shall determine the rate and  direction of groundwater flow each time groundwater is sampled pursuant to  subsection B or C of this section or 9VAC20-81-260. Groundwater  elevations in wells that monitor the same waste management area disposal  unit or units shall be measured within a period of time short enough to  avoid temporal variations in groundwater flow, which could preclude  accurate determination of groundwater flow rate and direction. 
    d. Background data. The owner or operator shall establish  background groundwater quality in a hydraulically upgradient or background  well, or wells, for each of the monitoring parameters or constituents required  in the particular groundwater monitoring program that applies to the landfill.  Background groundwater quality may be established at wells that are not located  hydraulically upgradient from the landfill if they meet the requirements of  subdivision 4 e of this subsection. 
    e. Alternate well provision. A determination of background  quality may be based on sampling of wells that are not upgradient from the  waste management area disposal unit or units where: 
    (1) Hydrogeologic conditions do not allow the owner or  operator to determine what wells are upgradient; and 
    (2) Sampling at these wells will provide an indication of  background groundwater quality that is as representative or more representative  than that provided by the upgradient wells. 
    f. Sampling and statistics. The number of samples collected to  establish groundwater quality data shall be consistent with the appropriate  statistical procedures determined pursuant to subdivision 4 g of this  subsection. 
    g. Statistical methods. The owner or operator shall specify in  the Groundwater Monitoring Plan the statistical method(s) listed in subsection  D of this section that will be used in evaluating groundwater monitoring data  for each monitoring constituent. The statistical test(s) chosen shall be  applied separately for each groundwater constituent in each well after each  individual sampling event required under subdivision B 2 or 3, C 2 or 3, or as  required under 9VAC20-81-260 E 1.
    h. Evaluation and response. After each sampling event required  under subsection B or C of this section, the owner or operator shall determine  whether or not there is a statistically significant increase over background  values for each groundwater constituent required in the particular groundwater  monitoring program by comparing the groundwater quality of each constituent at  each monitoring well installed pursuant to subdivision 3 a of this subsection  to the background value of that constituent. In determining whether a  statistically significant increase has occurred, the owner or operator shall:
    (1) Ensure the sampling result comparisons are made according  to the statistical procedures and performance standards specified in subsection  D of this section; 
    (2) Ensure that within 30 days of completion of sampling and  laboratory analysis actions, the determination of whether there has been a  statistically significant increase over background at each monitoring well has  been completed; and
    (3) If identified, the statistically significant increase  shall be reported to the department within the notification timeframes  identified in subsection B or C of this section and discussed in the quarterly  or semi-annual report submission described under subdivision E 2 c of this  section. Notifications qualified as being "preliminary,"  "suspect," "unverified," or otherwise not a final  determination of a statistical exceedance will not be accepted. 
    i. Verification sampling. The owner or operator may at any  time within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this section, obtain verification  samples if the initial review of analytical data suggests results that might  not be an accurate reflection of groundwater quality at the disposal unit  boundary. Undertaking verification sampling is a voluntary action on the part  of the owner or operator and shall not alter the timeframes associated with  determining or reporting a statistically significant increase as otherwise  defined under subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    j. Data validation. The owner or operator may at any time  within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this subsection, undertake third-party  data validation of the analytical data received from the laboratory.  Undertaking such validation efforts is a voluntary action on the part of the  owner or operator and shall not alter the timeframes associated with determining  or reporting a statistically significant increase as otherwise defined under  subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    5. Alternate source demonstration allowance. 
    a. Allowance. As a result of any statistically significant  increase identified while monitoring groundwater under subdivision B 2 or 3, or  C 2 or 3 of this section, or at anytime within the Corrective Action process  under 9VAC20-81-260, the owner or operator has the option of submitting an  Alternate Source Demonstration report, certified by a qualified groundwater  scientist, demonstrating:
    (1) A source other than the landfill caused the statistical  exceedance; 
    (2) The exceedance resulted from error in sampling, analysis,  or evaluation; or
    (3) The exceedance resulted from a natural variation in  groundwater quality. 
    b. Timeframes. A successful demonstration must be made within  90 days of noting a statistically significant increase. The director may  approve a longer timeframe for submittal and approval of the Alternate Source  Demonstration with appropriate justification. 
    c. Evaluation and response. Based on the information submitted  in accordance with subdivision 5 a of this subsection, the director will: 
    (1) In the case of the successful demonstration of an error in  sampling, analysis, or evaluation, allow the owner or operator to continue  monitoring groundwater in accordance with the monitoring program in place at  the time of the statistical exceedance. 
    (2) In the case of a successful demonstration of an alternate  source for the release or natural variability in the aquifer matrix:
    (a) Require changes in the groundwater monitoring system as  needed to accurately reflect the groundwater conditions and allow the owner or  operator to continue monitoring groundwater in accordance with the monitoring  program in place at the time of the statistical exceedance; 
    (b) Require any changes to the monitoring system be completed  prior to the next regularly scheduled groundwater monitoring event or within 90  days (whichever is greater); and
    (c) Require any changes to the monitoring system be approved  via the amendment modification process under 9VAC20-81-600 within  90 days of the approval of the alternate source demonstration. 
    (3) In the case of an unsuccessful Alternate Source Demonstration,  require the owner or operator to initiate the actions that would otherwise be  required as a result of the statistically significant increase noted under  subdivision B 2 or 3, or C 2 or 3 of this section as appropriate. 
    6. Establishment of groundwater protection standards. 
    a. Requirement. Upon recognition of a statistically  significant increase over background and while monitoring in the Assessment or  Phase II monitoring programs defined under subdivision B 3 or C 3 of this  section, the owner or operator shall propose a groundwater protection standard  for all detected Table 3.1 Column B constituents. The proposed standards shall  be submitted to the department by a qualified groundwater scientist and be  accompanied by relevant historical groundwater sampling data to justify the  proposed concentration levels. 
    b. Establishment process. The groundwater protection standards  shall be established in the following manner: 
    (1) For constituents for which a maximum contaminant level  (MCL) has been promulgated under § 1412 of the Safe Drinking Water Act (40 CFR  Part 141), the MCL for that constituent shall be automatically established as  the groundwater protection standard upon submission of the proposed standards. 
    (2) If the owner or operator determines that a site-specific  background concentration is greater than the MCL associated with that  constituent under subdivision 6 b (1) of this subsection, the background value  may be substituted for use as the groundwater protection standard in lieu of  the MCL for that constituent upon receiving written department approval. 
    (3) For constituents for which no MCL has been promulgated,  site-specific background concentration value(s) may be used upon receiving  written department approval. 
    (4) For constituents for which no MCL has been promulgated, a  risk-based alternate concentration levels may be used if approved by the  director as long as: 
    (a) The owner or operator submits a request to the department  asking for approval to use risk-based alternate concentration levels for a  specific list of constituents and identifies that these constituents lack an  MCL. In the request the owner or operator shall specify whether site-specific,  independently calculated, risk-based alternate concentration levels will be  applied, or if the facility will accept the default department-provided limits.  
    (b) Both the The alternate concentration levels  that may be provided as default values by the department and those  independently calculated by the owner or operator are demonstrated to meet the  following criteria or factors before they can be used as groundwater protection  standards: 
    (i) Groundwater quality - The potential for adverse quality  effects considering the physical and chemical characteristics of the waste in  the landfill, its potential for migration in the aquifer; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the proximity and withdrawal rates of groundwater users; the  current and future uses of groundwater in the area; the existing quality of  groundwater, including other sources of contamination and their cumulative  impact on the groundwater quality. 
    (ii) Human exposure - Potential for health risks caused by  exposure to waste constituents released from the landfill using federal  guidelines for assessing the health risks of environmental pollutants;  scientifically valid studies conducted in accordance with the Toxic Substances  Control Act Good Laboratory Practice Standards (40 CFR Part 792); or equivalent  standards. For carcinogens, the alternate concentration levels must be set  based on a lifetime cancer risk level due to continuous lifetime exposure  within the 1x10-4 to 1x10-6 range. For systemic  toxicants, alternate concentration levels must be demonstrated to be levels to  which the human population (including sensitive subgroups) could be exposed to  on a daily basis without the likelihood of appreciable risk of deleterious  effects during a lifetime.
    (iii) Surface water - The potential adverse effect on  hydraulically connected surface water quality based on the volume, physical and  chemical characteristics of the waste in the landfill; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the patterns of rainfall in the region; the proximity of the  landfill to surface waters; the current and future uses of surface waters in  the area and any water quality standards established for those surface waters;  the existing quality of surface water, including other sources of contamination  and the cumulative impact on surface water quality. 
    (iv) Other adverse effects - Potential damage to wildlife,  crops, vegetation, and physical structures caused by exposure to waste  constituents; the persistence and permanence of the potential adverse effects;  and the potential for health risks caused by human exposure to waste  constituents using factors shown in subdivision b (4) (b) (ii) of this  subsection. 
    (5) In making any determination regarding the use of alternate  concentration levels under this section, the director will:
    (a) Consider any identification of underground sources of  drinking water as identified by EPA under 40 CFR 144.7,
    (b) Consider additional or modified monitoring requirements or  control measures, 
    (c) Include a schedule for the periodic review of the  alternate concentration levels, or
    (d) Approve the alternate concentration levels as proposed or  issue modified alternate concentration levels.
    c. Implementation. Groundwater protection standards shall be  considered established for the facility upon completion of the actions  described under either subdivision A 6 b (1), (2), (3) or if necessary (4) and  shall be placed in the facility Operating Record and shall be used during  subsequent comparisons of groundwater sampling data consistent with the  requirements of subdivision B 3 f or C 3 e of this section. 
    d. MCL and background revisions. After establishment of  groundwater protection standards under subdivision B 6 b, if the standards are  modified as a result of revisions to any MCL or department-approved background,  the facility shall update its listing of groundwater protection standards and  shall place the new list in the Operating Record and shall use the new values  during subsequent comparisons of sampling data consistent with the requirements  of subdivision B 3 f or C 3 e of this section. 
    e. Alternate concentration levels revisions. After  establishment of groundwater protection standards under subdivision B 6 b of  this section, if the department-approved alternate concentration levels change  based on information released by EPA, to the extent practical, the department  will issue revisions to the alternate concentration levels for facility use no  more often than an annual basis. The facility shall use the alternate  concentration levels listing in effect at the time the sampling event takes  place when comparing the results against the groundwater protection standards  under subdivision B 3 f or C 3 e of this section. 
    B. Monitoring for sanitary landfills. 
    1. Applicability. 
    a. Existing facilities. Except for those sanitary landfills  identified in subdivision C 1 of this section, existing sanitary landfill  facilities and closed facilities that have accepted waste on or after October  9, 1993, and in the case of 'small' landfills on or after April 9, 1994, shall  be in compliance with the detection monitoring requirements specified in  subdivision 2 of this subsection unless existing sampling data requires a move  to assessment monitoring described under subdivision 3 of this subsection. 
    b. New facilities. Facilities placed in operation to receive  waste after October 9, 1993, shall be in compliance with the detection  monitoring requirements specified in subdivision 2 of this section before waste  can be placed in the landfill unless existing sampling data requires a move to  assessment monitoring described under subdivision 3 of this subsection. 
    c. Closed facilities. Unless an extension to the deadline  above has been granted by the director, closed facilities that have ceased to  accept any waste on or before October 9, 1993, and in the case of a  "small" landfill, before April 9, 1994, may comply with the  "State Monitoring Program" monitoring requirements specified in  subdivision C 2 or 3 of this section. 
    d. Other facilities. Owners or operators of disposal  facilities not subject to the federal groundwater monitoring requirements  prescribed under 40 CFR Parts 257 and 258 must perform the groundwater  monitoring described in subdivision C 2 or 3 of this section. 
    e. Proximity to wetlands. Owners or operators of sanitary  landfills that accepted waste after June 30, 1999, must:
    (1) Perform quarterly groundwater monitoring unless the  director determines that less frequent monitoring is necessary consistent with  the requirements of the special provisions regarding wetlands in  § 10.1-1408.5 of the Code of Virginia.
    (2) The quarterly monitoring frequency shall remain in effect  until the department is notified waste is no longer being accepted at the  sanitary landfill. 
    (3) This requirement will not limit the authority of the Waste  Management Board or the director to require more frequent groundwater  monitoring if required to protect human health and the environment. 
    (4) For purposes of this subdivision "proximity to  wetlands" shall be defined as landfills that were constructed on a  wetland, have a potential hydrologic connection to such a wetland in the event  of an escape of liquids from the facility, or are within a mile of such a  wetland.
    2. Detection monitoring program.
    a. Sampling requirements. All sanitary landfills shall  implement detection monitoring except as otherwise provided in subdivision 1 of  this subsection. The monitoring frequency for all constituents listed in Table  3.1 Column A shall be as follows: 
    (1) Initial sampling period. 
    (a) For facilities that monitor groundwater on a semi-annual  basis, a minimum of four independent samples from each well (background and  downgradient) shall be collected and analyzed for the Table 3.1 Column A  constituents during the first semi-annual sampling period. A semi-annual period  is defined under 9VAC20-81-10. 
    (b) For facilities that monitor groundwater on a quarterly  basis as a result of subdivision 1 e of this subsection, a minimum of four  samples from each well (background and downgradient) shall be collected and  analyzed for the Table 3.1 Column A constituents. The samples shall be  collected within the first quarterly period, using a schedule that ensures, to  the greatest extent possible, an accurate calculation of background concentrations.  
    (2) Subsequent sampling events. At least one sample from each  well (background and downgradient) shall be collected and analyzed during  subsequent semi-annual or quarterly events during the active life and  postclosure period. Data from subsequent background sampling events may be  added to the previously calculated background data so that the facility  maintains the most accurate representation of background groundwater quality  with which to carry out statistical analysis required under subdivision A 4 h  of this section. 
    (3) Alternate sampling events. The director may specify an  appropriate alternate frequency for repeated sampling and analysis during the  active life (including closure) and the postclosure care period. The alternate  frequency during the active life (including closure) and the postclosure period  shall be no less than annual. The alternate frequency shall be based on  consideration of the following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); and 
    (e) Resource value of the aquifer. 
    b. Evaluation and response. If the owner or operator  determines under subdivision A 4 h of this section, that there is:
    (1) A statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this section,  for one or more of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event, the owner or operator shall: 
    (a) Within 14 days of this finding, notify the department of  this fact, indicating which constituents have shown statistically significant  increases over background levels; and 
    (b) Within 90 days, (i) establish an assessment monitoring  program meeting the requirements of subdivision 3 of this subsection, or (ii)  submit an Alternate Source Demonstration as specified in subdivision A 5 of  this section. If, after 90 days, a successful demonstration has not been made,  the owner or operator shall initiate an assessment monitoring program as  otherwise required in subdivision 3 of this subsection. The 90-day Alternate  Source Demonstration period may be extended by the director for good cause. 
    (2) No statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this  section, for any of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event; the owner or operator may remain in detection monitoring and  include a discussion of the sampling results and statistical analysis in the  semi-annual or quarterly report required under subdivision E 2 c of this  section. 
    3. Assessment monitoring program. The owner or operator shall  implement the assessment monitoring program whenever a statistically  significant increase over background has been detected during monitoring  conducted under the detection monitoring program.
    a. Sampling requirements. Within 90 days of recognizing a  statistically significant increase over background for one or more of the  constituents listed in Table 3.1 Column A, the owner or operator shall, unless  in receipt of an approval to an Alternate Source Demonstration under  subdivision A 5 of this section or a director-approved extension, conduct the initial  assessment monitoring sampling event for the constituents found in Table 3.1  Column B. A minimum of one sample from each well installed under subdivision A  3 a of this section shall be collected and analyzed during the initial and all  subsequent annual Table 3.1 Column B sampling events.
    b. Director provisions: 
    (1) The owner or operator may request that the director  approve an appropriate subset of monitoring wells that may remain in detection  monitoring defined under subdivision 2 of this subsection, based on the results  of the initial, or subsequent annual Table 3.1 Column B sampling events.  Monitoring wells may be considered for the subset if:
    (a) They show no detections of Table 3.1 Column B constituents  other than those already previously detected in detection monitoring defined  under subdivision 2 of this subsection; and 
    (b) They display no statistically significant increases over  background for any constituents on the Table 3.1 Column A list. If an increase  is subsequently recognized in a well approved for the subset, the well shall no  longer be considered part of the detection monitoring subset. 
    (2) The owner or operator may request the director delete any  of the Table 3.1 Column B monitoring constituents from the assessment  monitoring program if the owner or operator demonstrates that the deleted  constituents are not reasonably expected to be in or derived from the waste. 
    (3) The director may specify an appropriate alternate  frequency for repeated sampling and analysis for the full set of Table 3.1  Column B constituents required by subdivision 3 a of this subsection during the  active life and postclosure care period based on the consideration of the  following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); 
    (e) Resource value of the aquifer; and 
    (f) Nature (fate and transport) of any constituents detected  in response to subdivision 3 f of this subsection. 
    c. Development of background. After obtaining the results from  the initial or subsequent annual sampling events required in subdivision 3 a of  this subsection, the owner or operator shall: 
    (1) Within 14 days, notify the department identifying the  Table 3.1 Column B constituents that have been detected; 
    (2) Within 90 days, and on at least a semi-annual basis  thereafter, resample all wells installed under subdivision A 3 a of this  section, conduct analyses for all constituents in Table 3.1 Column A as well as  those constituents in Column B that are detected in response to subdivision 3 a  of this subsection and subsequent Table 3.1 Column B sampling events as may be  required of this section, and report this data in the semi-annual or quarterly  report defined under subdivision E 2 c of this section;
    (3) Within 180 days of the initial sampling event, establish  background concentrations for any Table 3.1 Column B constituents detected  pursuant to subdivision B 3 a of this subsection. A minimum of four independent  samples from each well (background and downgradient) shall be collected and  analyzed to establish background for the detected constituents. 
    d. Establishment of groundwater protection standards. Within  30 days of establishing background under subdivision 3 c (3) of this  subsection, submit proposed groundwater protection standards for all  constituents detected under Assessment monitoring. The groundwater protection  standards shall be approved by the director in accordance with the provisions  of subdivision A 6 of this section. 
    e. Groundwater monitoring plan. No later than 60 days after  approval of the groundwater protection standard standards in  accordance with subdivision A 6 of this section, the owner or operator shall  submit an updated Groundwater Monitoring Plan that details the site monitoring  well network and sampling and analysis procedures undertaken during groundwater  monitoring events. The owner or operator shall additionally: 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, request a permit amendment modification  to incorporate the plan and related groundwater monitoring modules into the  landfill's permit in accordance with 9VAC20-81-600. The department may waive  the requirement for a permit amendment modification if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (2) If the 30-day timeframe specified in subdivision 3 e (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    f. Evaluation and response. 
    (1) If the concentrations of all Table 3.1 Column B constituents  are shown to be at or below background values, using the statistical procedures  in subsection D of this section, for two consecutive Table 3.1 Column B  sampling events, the owner or operator shall notify the director of this  finding in the semi-annual or quarterly monitoring report and may return to  detection monitoring defined under subdivision 2 of this subsection. 
    (2) If the concentrations of any Table 3.1 Column B  constituents are found to be above background values, but below the groundwater  protection standards established under subdivision A 6 of this section using  the statistical procedures in subsection D of this section, the owner or  operator shall continue in assessment monitoring in accordance with this  section and present the findings to the department in the semi-annual or  quarterly report. 
    (3) If one or more Table 3.1 Column B constituents are  detected at statistically significant levels above the groundwater protection  standard established under subdivision A 6 of this section using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Within 14 days of this finding, notify the department  identifying the Table 3.1 Column B constituents that have exceeded the  groundwater protection standard. The notification will include a statement that  within 90 days the owner or operator will either: 
    (i) Undertake characterization and assessment actions required  under 9VAC20-81-260 C 1; or 
    (ii) Submit an Alternate Source Demonstration as specified in  subdivision A 5 of this section. If a successful demonstration is made within  90 days, the owner or operator may continue monitoring in accordance with the  assessment monitoring program pursuant to subdivision 3 of this subsection. If  the 90-day period passes without demonstration approval, the owner or operator  shall comply with the actions under 9VAC20-81-260 C within the timeframes  specified unless the director has granted an extension to those timeframes. 
    (b) Describe the results in the semi-annual or quarterly report.  
    C. Monitoring for CDD, industrial, and State Monitoring  Program sanitary landfills. 
    1. Applicability. 
    a. Sanitary landfills. Owners or operators of sanitary  disposal facilities that have ceased to accept solid waste prior to the  federally imposed deadline of October 9, 1993, and or in the case  of a "small landfill" before April 9, 1994, are eligible, with the  director's approval, to conduct the state groundwater monitoring program  described in this section in lieu of the groundwater monitoring program  required under subdivision B 2 or 3 of this section. 
    b. CDD and industrial landfills. Owners or operators of CDD  and industrial landfills not subject to the federal groundwater monitoring  requirements prescribed under 40 CFR Parts 257 and 258 will shall  perform the groundwater monitoring described in this section. 
    c. Other landfills. All other landfills excluding sanitary  landfills, including those that accepted hazardous waste from conditionally  exempt small quantity generators after July 1, 1998, will shall  perform the groundwater monitoring described in this section. 
    2. First determination monitoring program. 
    a. Sampling requirements. A first determination monitoring  program shall consist of a background-establishing period followed by  semi-annual sampling and analysis for the constituents shown in Table 3.1  Column A at all wells installed under subdivision A 3 a of this section. Within  14 days of each event during first determination monitoring, notify the  department identifying the Table 3.1 Column A constituents that have been  detected. 
    b. Development of background. Within 360 days of the initial  first determination sampling event: 
    (1) Establish background concentrations for any constituents  detected pursuant to subdivision 2 a of this subsection. 
    (a) A minimum of four independent samples from each well  (background and downgradient) shall be collected and analyzed to establish  background concentrations for the detected constituents using the procedures in  subsection D of this section. 
    (b) In those cases where new wells are installed downgradient  of waste disposal units that already have received waste, but these wells have  not yet undergone their initial sampling event, collection of four independent  samples for background development will not be required. 
    (2) Within 30 days of completing the background calculations  required under subdivision 2 b (1) (a) of this subsection, submit a first  determination report, signed by a qualified groundwater scientist, to the  department which must include a summary of the background concentration data  developed during the background sampling efforts as well as the statistical  calculations for each constituent detected in the groundwater during the  background sampling events. 
    c. Semi-annual sampling and analysis. Within 90 days of the  last sampling event during the background-establishing period and at least  semi-annually thereafter, sample each monitoring well in the compliance network  for analysis of the constituents in Table 3.1 Column A. 
    d. Evaluation and response. Upon determination of site  background under subdivision 2 b (1) (a) of this subsection, the results of all  subsequent first determination monitoring events shall be assessed as follows: 
    (1) If no Table 3.1 Column A constituents are found to have entered  the groundwater at statistically significant levels over background, the owner  or operator shall:
    (a) Remain in first determination monitoring; and 
    (b) May request the director delete any Table 3.1 Column A  constituents from the semi-annual sampling list if the owner or operator  demonstrates that the proposed deleted constituents are not reasonably expected  to be in or derived from the waste. 
    (2) If the owner or operator recognizes a statistically  significant increase over background for any Table 3.1 Column A constituent,  within 14 days of this finding, the owner or operator shall notify the  department identifying the Table 3.1 Column A constituents that have exceeded  background levels. The notification will include a statement that within 90 days  the owner or operator will shall:
    (a) Initiate a Phase II sampling program; or 
    (b) Submit an Alternate Source Demonstration under subdivision  A 5 of this section. 
    (3) If a successful demonstration is made and approved within  the timeframes established under subdivision A 5 of this section, the owner or  operator may remain in First Determination monitoring. 
    (4) If a successful demonstration is not made and approved  within the timeframes established under subdivision A 5 of this section, the  owner or operator shall initiate Phase II monitoring in accordance with the  timeframes in subdivision C 3 of this section. The director may approve a  longer timeframe with appropriate justification. 
    3. Phase II monitoring. 
    a. Sampling requirements. The owner or operator shall:
    (1) Within 90 days of noting the exceedance over background  determined under subdivision C 2 d of this section, sample the groundwater in  all monitoring wells installed under subdivision A 3 a of this section for all  Table 3.1 Column B constituents; 
    (2) After completing the initial Phase II sampling event,  continue to sample and analyze groundwater on a semi-annual basis within the  Phase II monitoring program; 
    b. Background development. If no additional Table 3.1 Column B  constituents are detected other than those previously detected under Column A,  which already have established their background levels, the owner or operator  shall follow the requirements under subdivision 3 c of this subsection  regarding groundwater protection standard establishment while continuing to  sample for the Table 3.1 Column A list on a semi-annual basis. If one or more  additional Table 3.1 Column B constituents are detected during the initial  Phase II sampling event:
    (1) Within 360 days, establish a background value for each  additional detected Table 3.1 Column B constituent. 
    (2) Submit a Phase II Background report within 30 days of  completing the background calculations including a summary of the background  concentration data for each constituent detected in the groundwater during the  Table 3.1 Column B background sampling events.
    (3) If any detected Table 3.1 Column B constituent is  subsequently not detected for a period of two years, the owner or operator may  petition the director to delete the constituent from the list of detected Table  3.1 Column B constituents that must be sampled semi-annually. 
    c. Establishment of groundwater protection standards. No later  than:
    (1) Thirty days after submitting the Phase II Background  report required under the provisions of subdivision 3 b (2) of this subsection,  or within 30 days of obtaining the results from the initial Table 3.1 Column B  sampling event indicating no further sampling for background determination is  necessary, the owner or operator shall propose a groundwater protection  standard for all detected Table 3.1 constituents. 
    (2) The groundwater protection standard proposed shall be  established in a manner consistent with the provisions in subdivision A 6 of  this section. 
    d. Groundwater monitoring plan. No later than 60 days after  establishment of groundwater protection standards in accordance with  subdivision A 6 of this section, the owner or operator shall submit an updated  Groundwater Monitoring Plan that details the site monitoring well network and  sampling and analysis procedures undertaken during groundwater monitoring  events. The department may waive the requirement for an updated plan if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, the owner or operator shall request a permit amendment  modification to incorporate the updated plan and related groundwater  monitoring modules into the landfill's permit in accordance with 9VAC20-81-600.  
    (2) If the 30-day timeframe specified in subdivision 3 d (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    e. Evaluation and response. After each subsequent Phase II  monitoring event following establishment of groundwater protection standards,  the concentration of Table 3.1 Column B constituents found in the groundwater  at each monitoring well installed pursuant to subdivision A 3 a of this section  will be evaluated against the groundwater protection standards. The evaluation  will be presented to the department in a semi-annual Phase II report. The  evaluation will be as follows: 
    (1) If all Table 3.1 constituents are shown to be at or below  background values, using the statistical procedures in subsection D of this  section, for two consecutive Table 3.1 Column B sampling events, the owner or  operator shall notify the director of this finding in the semi-annual report  and may return to first determination monitoring; 
    (2) If any Table 3.1 Column B constituents are found to be  above background values, but are below the established groundwater protection  standard using the statistical procedures in subsection D of this section, the  owner or operator shall continue semi-annual Phase II monitoring and present  the findings in a semi-annual report; 
    (3) If one or more Table 3.1 Column B constituents are above  the established groundwater protection standard using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Notify the department within 14 days of this finding. The  notification will include a statement that within 90 days the owner or operator  will either: (i) undertake the characterization and assessment actions required  under 9VAC20-81-260 C 1; or (ii) submit an alternate source demonstration as  specified in subdivision A 5 of this section. If a successful demonstration is  made within 90 days, the owner or operator may continue monitoring in  accordance with Phase II monitoring program. If the 90-day period is exceeded,  the owner or operator shall comply with the timeframes of 9VAC20-81-260 C  unless the director has granted an extension to those timeframes; and
    (b) Present the findings in the semi-annual report. 
    D. Statistical methods and constituent lists. 
    1. Acceptable test methods. The following statistical test  methods may be used to evaluate groundwater monitoring data: 
    a. A parametric analysis of variance (ANOVA) followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's mean and the background mean levels  for each constituent. 
    b. An analysis of variance (ANOVA) based on ranks followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's median and the background median  levels for each constituent. 
    c. A tolerance or prediction interval procedure in which an  interval for each constituent is established from the distribution of the  background data, and the level of each constituent in each compliance well is  compared to the upper tolerance or prediction limit. 
    d. A control chart approach that gives control limits for each  constituent. 
    e. Another statistical test method that meets the performance  standards specified below. Based on the justification submitted to the  department, the director may approve the use of an alternative test. The  justification must demonstrate that the alternative method meets the  performance standards in subdivision 2 of this subsection. 
    2. Performance standards. Any statistical method chosen by the  owner or operator shall comply with the following performance standards, as  appropriate: 
    a. The statistical method used to evaluate groundwater  monitoring data shall be appropriate for the distribution of monitoring  parameters or constituents. If the distribution is shown by the owner or  operator to be inappropriate for a normal theory test, then the data shall be  transformed or a distribution-free theory test shall be used. If the  distributions for the constituents differ, more than one statistical method may  be needed. 
    b. If an individual well comparison procedure is used to  compare an individual compliance well constituent concentration with background  constituent concentrations or a groundwater protection standard, the test shall  be done at a Type I error level no less than 0.01 for each testing period. If a  multiple comparisons procedure is used, the Type I experiment-wise error rate  for each testing period shall be no less than 0.05; however, the Type I error  of no less than 0.01 for individual well comparisons must be maintained. 
    c. If a control chart approach is used to evaluate groundwater  monitoring data, the specific type of control chart and its associated  parameter values shall be protective of human health and the environment. The  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    d. If a tolerance interval or a predictional interval is used  to evaluate groundwater monitoring data, the levels of confidence and, for  tolerance intervals, the percentage of the population that the interval must  contain, shall be protective of human health and the environment. These  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    e. The statistical method shall account for data below the  limit of detection with one or more statistical procedures that are protective  of human health and the environment. Any estimated quantitation limit (EQL)  that is used in the statistical method shall be the lowest concentration level  that can be reliably achieved within specified limits of precision and accuracy  during routine laboratory operating conditions that are available to the  landfill. 
    f. If necessary, the statistical method shall include  procedures to control or correct for seasonal and spatial variability as well  as temporal correlation in the data.
    E. Recordkeeping and reporting. 
    1. Records pertaining to groundwater monitoring activities on  site shall be retained at a specified location by the owner or operator  throughout the active life and postclosure care period of the landfill, and  shall include at a minimum: 
    a. All historical groundwater surface elevation data obtained  from wells installed pursuant to subdivision A 3 a of this section; 
    b. All historical laboratory analytical results for  groundwater sampling events required under the groundwater monitoring programs  as described in this section; 
    c. All records of well installation, repair, or abandonment  actions; 
    d. All department correspondence to the landfill; and 
    e. All approved variances, well subsets, wetlands, or other  such director/department approvals. 
    2. Reporting requirements. 
    a. Annual report. 
    (1) An Annual Groundwater Monitoring Report shall be submitted  by the owner or operator to the department no later than 120 days from the  completion of sampling and analysis conducted under subdivision A 4 h of this  section for the second semi-annual event or fourth quarterly event during each  calendar year and shall by accompanied by:
    (a) A signature page; and 
    (b) A completed QA/QC DEQ Form ARSC-01.
    (2) The technical content of the annual report shall at a  minimum, contain the following topical content: 
    (a) The landfill's name, type, permit number, current owner or  operator, and location keyed to a USGS topographic map; 
    (b) Summary of the design type (i.e., lined versus unlined),  operational history (i.e., trench fill versus area fill), and size (acres) of  the landfill including key dates such as beginning and termination of waste  disposal actions and dates different groundwater monitoring phases were  entered;
    (c) Description of the surrounding land use noting whether any  adjoining land owners utilize private wells as a potable water source;
    (d) A discussion of the topographic, geologic, and hydrologic  setting of the landfill including a discussion on the nature of the uppermost  aquifer (i.e., confined versus unconfined) and proximity to surface waters;
    (e) A discussion of the monitoring wells network noting any  modifications that were made to the network during the year or any  nonperformance issues and a statement noting that the monitoring well network  meets (or did not meet) the requirements of subdivision A 3 of this section; 
    (f) A listing of the groundwater sampling events undertaken  during the previous calendar year; 
    (g) A historical table listing the detected constituents, and  their concentrations identified in each well during the sampling period; and
    (h) Evaluations of and appropriate responses to the  groundwater elevation data; groundwater flow rate as calculated using the prior  years elevation data; groundwater flow direction (as illustrated on a  potentiometric surface map); and sampling and analytical data obtained during  the past calendar year. 
    b. Semi-annual or quarterly report. 
    (1) After each sampling event has been completed for the 1st  semi-annual or first, second and third quarterly groundwater sampling events, a  semi-annual or quarterly monitoring report shall be submitted under separate  cover by the owner or operator to the department no later than 120 days from  the completion of sampling and analysis conducted under subdivision A 4 h of  this section, unless as allowed under a director-approved extension. The report  shall at a minimum contain the following items: 
    (a) Signature page signed by a professional geologist or  qualified groundwater scientist; 
    (b) Landfill name and permit number;
    (c) Statement noting whether or not all monitoring points  within the permitted network installed to meet the requirements of subdivision  A 3 a of this section were sampled as required under subdivision B 2 or 3 or C  2 or 3 during the event;
    (d) Calculated rate of groundwater flow during the sampling  period as required under subdivision A 4 c of this section;
    (e) The groundwater flow direction as determined during the  sampling period as required under subdivision A 4 c of this section presented  as either plain text or graphically as a potentiometric surface map;
    (f) Statement noting whether or not there were statistically  significant increases over background or groundwater protection standards  during the sampling period, the supporting statistical calculations, and  reference to the date the director was notified of the increase pursuant to  timeframes in subdivision B 2 or 3 or C 2 or 3, if applicable; 
    (g) Copy of the full Laboratory Analytical Report including  dated signature page (laboratory manager or representative) to demonstrate  compliance with the timeframes of subdivision A 4 h of this section. The  department will accept the lab report in CD-ROM format. 
    (2) In order to reduce the reporting burden on the owner or  operator and potential redundancy within the operating record, a discussion of  the second semi-annual or fourth quarterly sampling event results may be  presented in the Annual Report submission.
    c. Other submissions. Statistically significant increase  notifications, well certifications, the first determination report, alternate  source demonstration, nature and extent study, assessment of corrective  measures, presumptive remedy proposal, corrective action plan or monitoring  plan, or other such report or notification types as may be required under  9VAC20-81-250 or 9VAC20-81-260, shall be submitted in a manner which achieves  the timeframe requirements as listed in 9VAC20-81-250 or 9VAC20-81-260. 
         
                 |      TABLE 3.1      GroundWater Solid Waste Constituent Monitoring List       |    
       |      Column A – Common Name1, 2      |          Column B – Common Name1, 2      |          CAS RN3      |    
       |             |          Acenaphthene      |          83-32-9      |    
       |             |          Acenaphthylene      |          208-96-8      |    
       |      Acetone      |          Acetone      |          67-64-1      |    
       |             |          Acetonitrile; Methyl cyanide      |          75-05-8      |    
       |             |          Acetophenone      |          98-86-2      |    
       |             |          2-Acetylaminofluorene; 2-AAF      |          53-96-3      |    
       |             |          Acrolein      |          107-02-8      |    
       |      Acrylonitrile      |          Acrylonitrile      |          107-13-1      |    
       |             |          Aldrin      |          309-00-2      |    
       |             |          Allyl chloride      |          107-05-1      |    
       |             |          4-Aminobiphenyl      |          92-67-1      |    
       |             |          Anthracene      |          120-12-7      |    
       |      Antimony      |          Antimony      |          (Total)      |    
       |      Arsenic      |          Arsenic      |          (Total)      |    
       |      Barium      |          Barium      |          (Total)      |    
       |      Benzene      |          Benzene      |          71-43-2      |    
       |             |          Benzo[a]anthracene; Benzanthracene      |          56-55-3      |    
       |             |          Benzo[b]fluoranthene      |          205-99-2      |    
       |             |          Benzo[k]fluoranthene      |          207-08-9      |    
       |             |          Benzo[ghi]perylene      |          191-24-2      |    
       |             |          Benzo[a]pyrene      |          50-32-8      |    
       |             |          Benzyl alcohol      |          100-51-6      |    
       |      Beryllium      |          Beryllium      |          (Total)      |    
       |             |          alpha-BHC      |          319-84-6      |    
       |             |          beta-BHC      |          319-85-7      |    
       |             |          delta-BHC      |          319-86-8      |    
       |             |          gamma-BHC; Lindane      |          58-89-9      |    
       |             |          Bis(2-chloroethoxy)methane      |          111-91-1      |    
       |             |          Bis(2-chloroethyl) ether; Dichloroethyl ether      |          111-44-4      |    
       |             |          Bis(2-chloro-1-methylethyl) ether; 2, 2'-Dichlorodiisopropyl    ether; DCIP      |          108-60-1, See note 4      |    
       |             |          Bis(2-ethylhexyl)phthalate      |          117-81-7      |    
       |      Bromochloromethane;.Chlorobromomethane      |          Bromochloromethane;.Chlorobromomethane      |          74-97-5      |    
       |      Bromodichloromethane;.Dibromochloromethane      |          Bromodichloromethane;.Dibromochloromethane      |          75-27-4      |    
       |      Bromoform; Tribromomethane      |          Bromoform; Tribromomethane      |          75-25-2      |    
       |             |          4-Bromophenyl phenyl ether      |          101-55-3      |    
       |             |          Butyl benzyl phthalate; Benzyl butyl phthalate      |          85-68-7      |    
       |      Cadmium      |          Cadium Cadmium      |          (Total)      |    
       |      Carbon disulfide      |          Carbon disulfide      |          75-15-0      |    
       |      Carbon tetrachloride      |          Carbon tetrachloride      |          56-23-5      |    
       |             |          Chlordane      |          Note 5      |    
       |             |          p-Chloroaniline      |          106-47-8      |    
       |      Chlorobenzene      |          Chlorobenzene      |          108-90-7      |    
       |             |          Chlorobenzilate      |          510-15-6      |    
       |             |          p-Chloro-m-cresol; 4-Chloro-3-methylphenol      |          59-50-7      |    
       |      Chloroethane; Ethyl chloride      |          Chloroethane; Ethyl chloride      |          75-00-3      |    
       |      Chloroform; Trichloromethane      |          Chloroform; Trichloromethane      |          67-66-3      |    
       |             |          2-Chloronaphthalene      |          91-58-7      |    
       |             |          2-Chlorophenol      |          95-57-8      |    
       |             |          4-Chlorophenyl phenyl ether      |          7005-72-3      |    
       |             |          Chloroprene      |          126-99-8      |    
       |      Chromium      |          Chromium      |          (Total)      |    
       |             |          Chrysene      |          218-01-9      |    
       |      Cobalt      |          Cobalt      |          (Total)      |    
       |      Copper      |          Copper      |          (Total)      |    
       |             |          m-Cresol; 3-methyphenol      |          108-39-4      |    
       |             |          o-Cresol; 2-methyphenol      |          95-48-7      |    
       |             |          p-Cresol; 4-methyphenol      |          106-44-5      |    
       |             |          Cyanide      |          57-12-5      |    
       |             |          2,4-D; 2,4-Dichlorophenoxyacetic acid      |          94-75-7      |    
       |             |          4,4'-DDD      |          72-54-8      |    
       |             |          4,4'-DDE      |          72-55-9      |    
       |             |          4,4'-DDT      |          50-29-3      |    
       |             |          Diallate      |          2303-16-4      |    
       |             |          Dibenz[a,h]anthracene      |          53-70-3      |    
       |             |          Dibenzofuran      |          132-64-9      |    
       |      Dibromochloromethane; Chlorodibromomethane      |          Dibromochloromethane; Chlorodibromomethane      |          124-48-1      |    
       |      1,2-Dibromo-3-chloropropane; DBCP      |          1,2-Dibromo-3-chloropropane; DBCP      |          96-12-8      |    
       |      1,2-Dibrimoethane; Ethylene dibromide; EDB      |          1,2-Dibrimoethane; Ethylene dibromide; EDB      |          106-93-4      |    
       |             |          Di-n-butyl phthalate      |          84-74-2      |    
       |      o-Dichlorobenzene; 1,2-Dichlorobenzene      |          o-Dichlorobenzene; 1,2-Dichlorobenzene      |          95-50-1      |    
       |             |          m-Dichlorobenzene; 1,3-Dichlorobenzene      |          541-73-1      |    
       |      p-Dichlorobenzene; 1,4-Dichlorobenzene      |          p-Dichlorobenzene; 1,4-Dichlorobenzene      |          106-46-7      |    
       |             |          3,3'-Dichlorobenzidine      |          91-94-2      |    
       |      trans-1,4-Dichloro-2-butene      |          trans-1,4-Dichloro-2-butene      |          110-57-6      |    
       |             |          Dichlorodifluoromethane; CFC 12;      |          75-71-8      |    
       |      1.1-Dichloroethane; Ethylidene chloride      |          1,1-Dichloroethane; Ethylidene chloride      |          75-34-3      |    
       |      1,2-Dichloroethane; Ethylene dichloride      |          1,2-Dichloroethane; Ethylene dichloride      |          107-06-2      |    
       |      1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          75-35-4      |    
       |      cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          156-59-2      |    
       |      trans-1,2-Dichloroethylene      |          trans-1,2-Dichloroethylene; trans-1,2-Dichroroethene      |          156-60-5      |    
       |             |          2,4-Dichlorophenol      |          120-83-2      |    
       |             |          2,6-Dichlorophenol      |          87-65-0      |    
       |      1,2-Dichloropropane; Propylene dichloride      |          1,2-Dichloropropane; Propylene dichloride      |          78-87-5      |    
       |             |          1,3-Dichloropropane; Trimethylene dichloride      |          142-28-9      |    
       |             |          2, 2-Dichloropropane; isopropylidene chloride      |          594-20-7      |    
       |             |          1,1-Dichloropropene      |          563-58-6      |    
       |      cis-1,3-Dichloropropene      |          cis-1,3-Dichloropropene      |          10061-01-5      |    
       |      trans-1,3-Dichloropropene      |          trans-1,3-Dichloropropene      |          10061-02-6      |    
       |             |          Dieldrin      |          60-57-1      |    
       |             |          Diethyl phthalate      |          84-66-2      |    
       |             |          O,O-Diethyl O-2-pyrazinyl phosphorothioate; Thionazin      |          297-97-2      |    
       |             |          Dimethoate      |          60-51-5      |    
       |             |          p-(Dimethylamino)azobenzene      |          60-11-7      |    
       |             |          7,12-Dimethylbenz[a]anthracene      |          57-97-6      |    
       |             |          3,3'-Dimethylbenzidine      |          119-93-7      |    
       |             |          2,4-Dimethylphenol; m-Xylenol      |          105-67-9      |    
       |             |          Dimethyl phthalate      |          131-11-3      |    
       |             |          m-Dinitrobenzene      |          99-65-0      |    
       |             |          4,6-Dinitro-o-cresol; 4,6-Dinitro-2-methylphenol      |          534-52-1      |    
       |             |          2,4-Dinitrophenol      |          51-28-5      |    
       |             |          2,4-Dinitrotoluene      |          121-14-2      |    
       |             |          2,6-Dinitrotoluene      |          606-20-2      |    
       |             |          Dinoseb; DNBP; 2-sec-Butyl-4,6-dinitrophenol      |          88-85-7      |    
       |             |          Di-n-octyl phthalate      |          117-84-0      |    
       |             |          Diphenylamine      |          122-39-4      |    
       |             |          Disulfoton      |          298-04-4      |    
       |             |          Endosulfan I      |          959-96-8      |    
       |             |          Endosulfan II      |          33213-65-9      |    
       |             |          Endosulfan sulfate      |          1031-07-8      |    
       |             |          Endrin      |          72-20-8      |    
       |             |          Endrin aldehyde      |          7421-93-4      |    
       |      Ethylbenzene      |          Ethylbenzene      |          100-41-4      |    
       |             |          Ethyl methacrylate      |          97-63-2      |    
       |             |          Ethylmethanesulfonate      |          62-50-0      |    
       |             |          Famphur      |          52-85-7      |    
       |             |          Fluoranthene      |          206-44-0      |    
       |             |          Fluorene      |          86-73-7      |    
       |             |          Heptachlor      |          76-44-8      |    
       |             |          Heptachlor epoxide      |          1024-57-3      |    
       |             |          Hexachlorobenzene      |          118-74-1      |    
       |             |          Hexachlorobutadiene      |          87-68-3      |    
       |             |          Hexachlorocyclopentadiene      |          77-47-4      |    
       |             |          Hexachloroethane      |          67-72-1      |    
       |             |          Hexachloropropene      |          1888-71-7      |    
       |      2-Hexanone; Methyl butyl ketone      |          2-Hexanone; Methyl butyl ketone      |          591-78-6      |    
       |             |          Indeno[1,2,3-cd]pyrene      |          193-39-5      |    
       |             |          Isobutyl alcohol      |          78-83-1      |    
       |             |          Isodrin      |          465-73-6      |    
       |             |          Isophorone      |          78-59-1      |    
       |             |          Isosafrole      |          120-58-1      |    
       |             |          Kepone      |          143-50-0      |    
       |      Lead      |          Lead      |          (Total)      |    
       |             |          Mercury      |          (Total)      |    
       |             |          Methacrylonitrile      |          126-98-7      |    
       |             |          Methapyrilene      |          91-80-5      |    
       |             |          Methoxychlor      |          72-43-5      |    
       |      Methyl bromide; Bromomethane      |          Methyl bromide; Bromomethane      |          74-83-9      |    
       |      Methyl chloride; Chloromethane      |          Methyl chloride; Chloromethane      |          74-87-3      |    
       |             |          3-Methylcholanthrene      |          56-49-5      |    
       |      Methyl ethyl ketone; MEK; 2-Butanone      |          Methyl ethyl ketone; MEK; 2-Butanone      |          78-93-3      |    
       |      Methyl iodide; Iodomethane      |          Methyl iodide; Iodomethane      |          74-88-4      |    
       |             |          Methyl methacrylate      |          80-62-6      |    
       |             |          Methyl methanesulfonate      |          66-27-3      |    
       |             |          2-Methylnaphthalene      |          91-57-6      |    
       |             |          Methyl parathion; Parathion methyl methyl      |          298-00-0      |    
       |      4-Methyl-2-pentanone; Methyl isobutyl ketone      |          4-Methyl-2-pentanone; Methyl isobutyl ketone      |          108-10-1      |    
       |      Methylene bromide; Dibromomethane      |          Methylene bromide; Dibromomethane      |          74-95-3      |    
       |      Methylene chloride; Dichloromethane      |          Methylene chloride; Dichloromethane      |          75-09-2      |    
       |             |          Naphthalene      |          91-20-3      |    
       |             |          1,4-Naphthoquinone      |          130-15-4      |    
       |             |          1- Naphthylamine      |          134-32-7      |    
       |             |          2-Napthylamine      |          91-59-8      |    
       |      Nickel      |          Nickel      |          (Total)      |    
       |             |          o-Nitroaniline; 2-Nitroaniline      |          88-74-4      |    
       |             |          m-Nitroaniline; 3-Nitroaniline      |          99-09-2      |    
       |             |          p-Nitroaniline; 4-Nitroaniline      |          100-01-6      |    
       |             |          Nitrobenzene      |          98-95-3      |    
       |             |          o-Nitrophenol; 2-Nitrophenol      |          88-75-5      |    
       |             |          p-Nitrophenol; 4-Nitrophenol      |          100-02-7      |    
       |             |          N-Nitrosodi-n-butylamine      |          924-16-3      |    
       |             |          N-Nitrosodiethylamine      |          55-18-5      |    
       |             |          N-Nitrosodimethylamine      |          62-75-9      |    
       |             |          N-Nitrosodiphenylamine      |          86-30-6      |    
       |             |          N-Nitrosodipropylamine; N-Nitroso-N-dipropylamine;    Di-n-propylnitrosamine      |          621-64-7      |    
       |             |          N-Nitrosomethylethalamine      |          10595-95-6      |    
       |             |          N-Nitrosopiperidine      |          100-75-4      |    
       |             |          N-Nitrosopyrrolidine      |          930-55-2      |    
       |             |          5-Nitro-o-toluidine      |          99-55-8      |    
       |             |          Parathion      |          56-38-2      |    
       |             |          Pentachlorobenzene      |          608-93-5      |    
       |             |          Pentachloronitrobenzene      |          82-68-8      |    
       |             |          Pentachlorophenol      |          87-86-5      |    
       |             |          Phenacetin      |          62-44-2      |    
       |             |          Phenanthrene      |          85-01-8      |    
       |             |          Phenol      |          108-95-2      |    
       |             |          p-Phenylenediamine      |          106-50-3      |    
       |             |          Phorate      |          298-02-2      |    
       |             |          Polychlorinated biphenyls; PCBS; Aroclors      |          Note 6      |    
       |             |          Pronamide      |          23950-58-5      |    
       |             |          Propionitrile; Ethyl cyanide      |          107-12-0      |    
       |             |          Pyrene      |          129-00-0      |    
       |             |          Safrole      |          94-59-7      |    
       |      Selenium      |          Selenium      |          (Total)      |    
       |      Silver      |          Silver      |          (Total)      |    
       |             |          Silvex; 2,4,5-TP      |          93-72-1      |    
       |      Styrene      |          Styrene      |          100-42-5      |    
       |             |          Sulfide      |          18496-25-8      |    
       |             |          2,4,5-T; 2,4,5-Trichlorophenoxyacetic acid      |          93-76-5      |    
       |             |          1,2,4,5-Tetrachlorobenzene      |          95-94-3      |    
       |      1,1,1,2-Tetrachloroethane      |          1,1,1,2-Tetrachloroethane      |          630-20-6      |    
       |      1,1,2,2-Tetrachloroethane      |          1,1,2,2-Tetrachloroethane      |          79-34-5      |    
       |      Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          127-18-4      |    
       |             |          2,3,4,6-Tetrachlorophenol      |          58-90-2      |    
       |      Thallium      |          Thallium      |          (Total)      |    
       |             |          Tin      |          (Total)      |    
       |      Toluene      |          Toluene      |          108-88-3      |    
       |             |          o-Toluidine      |          95-53-4      |    
       |             |          Toxaphene      |          Note 7      |    
       |             |          1,2,4-Trichlorobenzene      |          120-82-1      |    
       |      1,1,1-Trichloroethane; Methychloroform      |          1,1,1-Trichloroethane; Methychloroform      |          71-55-6      |    
       |      1,1,2-Trichloroethane      |          1,1,2-Trichloroethane      |          79-00-5      |    
       |      Trichloroethylene; Trichloroethene ethene      |          Trichloroethylene; Trichloroethene ethane      |          79-01-6      |    
       |      Trichlorofluoromethane; CFC-11      |          Trichlorofluoromethane; CFC-11      |          75-69-4      |    
       |             |          2,4,5-Trichlorophenol      |          95-95-4      |    
       |             |          2,4,6-Trichlorophenol      |          88-06-2      |    
       |      1,2,3-Trichloropropane      |          1,2,3-Trichloropropane      |          96-18-4      |    
       |             |          O,O,O-Triethyl phosphorothioate      |          126-68-1      |    
       |             |          sym-Trinitrobenzene      |          99-35-4      |    
       |      Vanadium      |          Vanadium      |          (Total)      |    
       |      Vinyl acetate      |          Vinyl acetate      |          108-05-4      |    
       |      Vinyl chloride; Chloroethene      |          Vinyl chloride; Chloroethene      |          75-01-4      |    
       |      Xylene(total)      |          Xylene(total)      |          Note 8      |    
       |      Zinc      |          Zinc      |          (Total)      |    
  
    NOTES:
    1Common names are those widely used in government  regulations, scientific publications, and commerce; synonyms exist for many  chemicals.
    2The corresponding Chemical Abstracts Service Index  name as used in the 9th Collective Index, may be found in Appendix II of 40 CFR  258.
    3Chemical Abstracts Service Registry Number. Where  "Total" is entered, all species in the groundwater that contains this  element are included.
    4This substance is often called  Bis(2-chloroisopropyl) ether, the name Chemical Abstracts Service applies to  its noncommercial isomer, Propane, 2.2'-oxybis2-chloro (CAS RN 39638-32-9).
    5Chlordane: This entry includes alpha-chlordane (CAS  RN 5103-71-9), beta-chlordane (CAS RN 5103-74-2), gamma-chlordane (CAS RN  5566-34-7), and constituents of chlordane (CAS RN 57-74-9 and CAS RN  12739-03-6).
    6Polychlorinated biphenyls (CAS RN 1336-36-3); this  category contains congener chemicals, including constituents of Aroclor 1016  (CAS RN 12674-11-2), Aroclor 1221 (CAS RN 11104-28-2), Aroclor 1232 (CAS RN  11141-16-5), Aroclor 1242 (CAS RN 53469-21-9), Aroclor 1248 (CAS RN  12672-29-6), Aroclor 1254 (CAS RN 11097-69-1), and Arclor 1260 (CAS RN  11096-82-5).
    7Toxaphene: This entry includes congener chemicals  contained in technical toxaphene (CAS RN 8001-35-2), i.e., chlorinated  camphene.
    8Xylene (total): This entry includes o-xylene (CAS  RN 96-47-6), m-xylene (CAS RN 108-38-3), p-xylene (CAS RN 106-42-3), and  unspecified xylenes (dimethylbenzenes) (CAS RN 1330-20-7).
         
          9VAC20-81-260. Corrective action program.
    A. Corrective action is required whenever one or more  groundwater protection standard is exceeded at statistically significant  levels. An owner or operator of a landfill may elect to initiate corrective  action at any time; however, prior to such initiation, the appropriate  groundwater protection standards for all Table 3.1 constituents shall be  established consistent with 9VAC20-81-250 A 6. At any time during the  corrective action process, the owner or operator may elect to pursue, or the  director can determine that, interim measures as defined under subsection F of  this section are required in accordance with subdivision E 3 of this section.
    B. The director may require periodic progress reports when a  corrective action program is required but not yet implemented. At any time  during the corrective action process, the owner or operate may elect to pursue,  or the director can determine that, interim measures as defined under  subsection F of this section are required in accordance with subdivision E 3 of  this section. 
    C. Characterization and assessment requirements. 
    1. Upon notifying the department that one or more of the  constituents listed in Table 3.1 Column B has been detected at a statistically  significant level exceeding the groundwater protection standards, the owner or  operator shall, unless department approval of an Alternate Source Demonstration  has been received as noted under 9VAC20-81-250 B 3 f (3) (a) (ii) or  9VAC20-81-250 C 3 c (3) (a) (ii):
    a. Characterization. Within 90 days, install additional  monitoring wells as necessary including the installation of at least one  additional monitoring well at the facility boundary in the direction of  contaminant migration sufficient to define the vertical and horizontal  extent of the release of constituents at statistically significant levels  exceeding the groundwater protection standards including the installation of  at least one additional monitoring well at the facility boundary in the  direction of contaminant migration. 
    b. Notification. Notify all persons who own the land or reside  on the land that directly overlies any part of the release if contaminants have  migrated offsite as indicated by the results of sampling of the  characterization wells installed under subdivision 1 a of this subsection  within 15 days of completion of the characterization sampling and analysis  efforts. 
    c. Assessment. Within 90 days, initiate an assessment of  corrective measures or a proposal for presumptive remedy. 
    d. Financial assurance. Within 120 days, provide additional  financial assurance in the amount of $1 million to the department using the  mechanisms required in 9VAC20-70-140 of the Financial Assurance Requirements  for Solid Waste Disposal, Transfer, and Treatment Facilities. 
    e. Public meeting. Prior to submitting the document required  under subdivision 1 f of this subsection, schedule and hold a public meeting to  discuss the draft results of the corrective measures assessment or the proposal  for presumptive remedy, prior to the final selection of remedy. The meeting  shall be held to the extent practicable in the vicinity of the landfill. The  process to be followed for scheduling and holding the public hearing is  described under subdivision 4 of this subsection. 
    f. Submission requirements. Within 180 days, submit the  completed assessment of corrective measures defined under subdivision 3 of this  subsection, or the proposal for presumptive remedies defined under subdivision  2 of this subsection, including any responses to public comments received. 
    g. Director allowance. The submission timeframe noted in  subdivision 1 f of this subsection may be extended by the director for good cause  upon request of the owner or operator. 
    2. Presumptive remedy  allowance. 
    a. Applicability. To expedite corrective action, in lieu of an  analysis meeting the requirements of subdivision 3 of this subsection, the  owner or operator of any facility monitoring groundwater in accordance with  9VAC20-81-250 C may propose a presumptive remedy for the landfill. 
    b. Options. The presumptive remedy for solid waste landfills  shall be limited to one or more of the following: 
    (1) Containment of the landfill mass, including an impermeable  cap; 
    (2) Control of the landfill leachate; 
    (3) Control of the migration of contaminated groundwater; 
    (4) Collection and treatment of landfill gas; and 
    (5) Reduction of saturation of the landfill mass. 
    Containment may be selected as a sole or partial remedy until  a determination is made under subdivision F 1 of this section that another  remedy shall be employed to meet the requirements of subdivision G 1 of this  section concerning remediation completion. Upon recognition that presumptive  remedies may not be able to achieve the groundwater protection standards, an  assessment of corrective measures shall be initiated within 90 days.
    c. Restrictions. Presumptive remedies are not applicable to:
    (1) Landfills monitoring groundwater under the Federal  Subtitle D equivalent program defined under 9VAC20-81-250 B when the use of the  presumptive remedy will be the sole remedy applied to the groundwater release;  or
    (2) Landfills that may monitor groundwater under 9VAC20-81-250  C but that exhibit contamination beyond facility boundaries unless the proposed  presumptive remedy option under subdivision 2 b of this subsection can be  demonstrated to show it will address the reduction of contamination already  present beyond the facility boundary, and the demonstration is approved by the  department. 
    d. Submission requirements. Owner or operators who wish to  propose use of the presumptive remedy allowance shall submit with the proposal,  signed by a qualified groundwater professional, an: 
    (1) Assessment of risks resulting from the contamination at  the disposal unit boundary and at the facility boundary; 
    (2) Evaluation of the current trends in groundwater quality  data with respect to the established groundwater protection standards; and
    (3) Anticipated schedule for initiating and completing  presumptive remedy-based remedial activities. 
    e. Implementation. Upon conducting a public meeting as  required under subdivision 4 of this subsection, submitting a corrective action  monitoring plan meeting subdivision D 1 of this section, and amending modifying  the landfill permit in accordance with 9VAC20-81-600 F 2, the owner or operator  may proceed with the implementation of the remedy in accordance with  subdivision E 1 of this section. 
    f. Evaluation and response. The owner or operator shall  provide an evaluation of the performance of the implemented presumptive remedy  every three years, unless an alternate schedule is approved by the director, in  a Corrective Action Site Evaluation report containing, at a minimum, the  following information: 
    (a) A description of how the presumptive remedy is performing  with respect to the conditions in subdivision H 1 of this section;
    (b) Current and historical groundwater data and analysis; 
    (c) An evaluation of the changes seen in groundwater  contamination after the implementation of the remedy and a projection of when  the conditions in subdivision H 1 of this section will be achieved; and 
    (d) The progress toward achieving the schedule required in  subdivision C 2 d (3) of this section. 
    3. Assessment of corrective measures. 
    a. Purpose. The assessment shall include an analysis of the  effectiveness of several potential corrective measures in meeting all of the  requirements and objectives of the remedy as described under this subsection,  addressing at least the following: 
    (1) The performance, reliability, implementation ease, and  potential impacts of appropriate potential remedies, including safety impacts,  cross-media impacts, and control of exposure to any residual contamination; 
    (2) The time required to begin and complete the remedy; 
    (3) The costs of remedy implementation; and 
    (4) The institutional requirements such as state or local  permit requirements or other environmental or public health requirements that  may substantially affect implementation of the remedies. 
    b. Requirements. As part of the assessment of corrective  measures submitted to the department for review, the owner or operator must  demonstrate that one or more possible groundwater remedy has been evaluated for  potential application on site. These remedies may include a specific technology  or combination of technologies that achieve or may achieve the standards for  remedies specified in subdivision 3 c (1) of this subsection given appropriate  consideration of the factors specified in subdivision D 1 a of this section. 
    c. Selection of remedy. As part of submission of the  assessment of corrective measures document, the owner or operator shall select  a remedy that, at a minimum, meets the standards listed in subdivision H 1 of  this section. 
    (1) The selected remedies to be included in the corrective  action plan shall: 
    (a) Be protective of human health and the environment; 
    (b) Attain the groundwater protection standard as specified  pursuant to 9VAC20-81-250 A 6; 
    (c) Control the sources of releases so as to reduce or  eliminate, to the maximum extent practicable, further releases of solid waste  constituents into the environment that may pose a threat to human health or the  environment; and 
    (d) Comply with standards for management of wastes. 
    d. Evaluation and response. The department shall review the  assessment of corrective measures to evaluate the proposed remedy and may  require revisions to the assessment. If the assessment is approved without  revision, the department will notify the owner or operator to prepare a written  corrective action plan based on the proposed remedy and such plan will be  submitted within 180 days of the department's notification of approval of the  assessment of corrective measures. 
    4. Public meeting process. As part of the public meeting  process completed prior to the submission of a proposal for presumptive remedy  or assessment of corrective measures: 
    a. Newspaper notice. The owner or operator must publish a  notice once a week for two consecutive weeks in a major local newspaper of  general circulation inviting public comment on the results of the corrective  measures assessment or proposal for presumptive remedy as applicable. The  notice shall include: 
    (1) The name of the landfill, its location, and the date,  time, and place for the public meeting, and the beginning and ending dates for  the 30-day comment period. The public meeting shall be held at a time  convenient to the public. The comment period will begin on the date the owner  or operator publishes the notice in the local newspaper;
    (2) The name, telephone, and address of the owner's or  operator's representative who can be contacted by the interested persons to  answer questions or where comments shall be sent; 
    (3) Location where copies of the documentation to be submitted  to the department in support of the corrective measures assessment or proposal  of presumptive remedy can be viewed and copied prior to the meeting; 
    (4) A statement indicating that the need to perform the  corrective measures assessment or presumptive remedy is a result of a  statistically significant increase in one or more groundwater protection  standards; and 
    (5) A statement that the purpose of the public meeting is to  acquaint the public with the technical aspects of the proposal, describe how  the requirements of these regulations will be met, identify issues of concern,  facilitate communication, and establish a dialogue between the permittee and  persons who may be affected by the landfill.
    b. Document review. The owner or operator shall place a copy  of the report and supporting documentation in a location accessible to the  public during the public comment period in the vicinity of the proposed  landfill. 
    c. Meeting timeframe. The owner or operator shall hold a  public meeting within a timeframe that allows for the submission of a completed  assessment of corrective measures or presumptive remedy within 180 days of  notifying the department of a groundwater protection standard exceedance or as  granted under subdivision 1 g of this subsection. The meeting must be scheduled  and held:
    (1) No earlier than 15 days after the publication of the  notice; and
    (2) No later than seven days before the close of the 30-day  comment period.
    D. Corrective action plan and monitoring plan. 
    1. The owner or operator shall submit to the department a  Corrective Action Plan (CAP) and related Corrective Action Monitoring Plan  (CAMP) consistent with the findings as presented in the assessment of  corrective measures required under subdivision C 3 of this section, or proposal  for presumptive remedy described under subdivision C 2 of this section.
    a. Requirements. In preparing a proposed corrective action  plan, the owner or operator will consider the following evaluation factors: 
    (1) The long-term and short-term effectiveness and  protectiveness of the potential remedies, along with the degree of certainty  that the remedy will prove successful based on consideration of the following: 
    (a) Magnitude of reduction of existing risks; 
    (b) Magnitude of residual risks in terms of likelihood of  further releases due to waste remaining following implementation of a remedy; 
    (c) The type and degree of long-term management required,  including monitoring, operation, and maintenance; 
    (d) Short-term risks that might be posed to the community,  workers, or the environment during implementation of such a remedy, including  potential threats to human health and the environment associated with  excavation, transportation, and redisposal or containment; 
    (e) Time until full protection is achieved; 
    (f) Potential for exposure of humans and environmental  receptors to remaining wastes, considering the potential threat to human health  and the environment associated with excavation, transportation, re-disposal, or  containment; 
    (g) Long-term reliability of the engineering and institutional  controls; and 
    (h) Potential need for replacement of the remedy. 
    (2) The effectiveness of the remedy in controlling the source  to reduce further releases based on consideration of the following factors: 
    (a) The extent to which containment practices will reduce  further releases; 
    (b) The extent to which treatment technologies may be used; 
    (c) Magnitude of reduction of existing risks; and 
    (d) Time until full protection is achieved. 
    (3) The ease or difficulty of implementing a potential remedy  based on consideration of the following types of factors: 
    (a) Degree of difficulty associated with constructing the  technology; 
    (b) Expected operational reliability of the technologies; 
    (c) Need to coordinate with and obtain necessary approvals and  permits from other agencies; 
    (d) Availability of necessary equipment and specialists; and 
    (e) Available capacity and location of needed treatment,  storage, and disposal services. 
    (4) Practicable capability of the owner or operator, including  a consideration of the technical and economic capability. At a minimum the  owner or operator must consider capital costs, operation and maintenance costs,  net present value of capital and operation and maintenance costs, and potential  future remediation costs. 
    (5) Ensure that all solid wastes that are managed while  undergoing corrective action or an interim measure shall be managed in a  manner: 
    (a) That is protective of human health and the environment;  and 
    (b) That complies with all applicable federal and Virginia  requirements. 
    (6) The degree to which community concerns raised as the  result of the public meeting required by subdivision C 4 of this section are  addressed by the potential remedy. 
    b. Implementation and completion timeframes. The owner or  operator shall specify as part of the selected remedy a schedule for initiating  and completing remedial activities. Such a schedule shall require the  initiation of remedial activities within a reasonable period of time taking into  consideration the factors set forth in this section. The owner or operator  shall consider the following factors in determining the schedule of remedial  activities: 
    (1) Extent and nature Nature and extent of  contamination; 
    (2) Practical capabilities of remedial technologies in  achieving compliance with groundwater protection standards established under  9VAC20-81-250 A 6 and other objectives of the remedy; 
    (3) Availability of treatment or disposal capacity for wastes  managed during implementation of the remedy; 
    (4) Desirability of utilizing technologies that are not  currently available, but which may offer significant advantages over already  available technologies in terms of effectiveness, reliability, safety, or  ability to achieve remedial objectives; 
    (5) Potential risks to human health and the environment from  exposure to contamination prior to completion of the remedy; 
    (6) Resource value of the aquifer including: 
    (a) Current and future uses; 
    (b) Proximity and withdrawal rates of users; 
    (c) Groundwater quantity and quality; 
    (d) The potential damage to wildlife, crops, vegetation, and  physical structures caused by exposure to the waste constituents; 
    (e) The hydrological characteristics of the landfill and  surrounding land; 
    (f) Groundwater removal and treatment costs; and 
    (g) The cost and availability of alternate water supplies; 
    (7) Practical capability of the owner or operator; 
    (8) Timeframes for periodic progress reports during design,  construction, operation, and maintenance. Items to consider when preparing the  reports include but are not limited to: 
    (a) Progress of remedy implementation; 
    (b) Results of monitoring and sampling activities; 
    (c) Progress in meeting cleanup standards; 
    (d) Descriptions of remediation activities; 
    (e) Problems encountered during the reporting period and  actions taken to resolve problems; 
    (f) Work for next reporting period;
    (g) Copies of laboratory reports including drilling logs,  QA/QC documentation, and field data; and
    (9) Other relevant factors. 
    c. Corrective action monitoring program. Any groundwater  monitoring program to be employed during the corrective action process: 
    (1) Shall at a minimum, meet the requirements of the  applicable groundwater monitoring program described under 9VAC20-81-250 B 3 or  C 3; 
    (2) Shall determine the horizontal and vertical extent of the  plume of contamination for constituents at statistically significant levels  exceeding background concentrations; 
    (3) Can be used to demonstrate the effectiveness of the  implemented corrective action remedy; and 
    (4) Shall demonstrate compliance with the groundwater  protection standard established under 9VAC20-81-250 A 6. 
    2. The proposed corrective action plan shall be submitted to  the director for approval. Prior to rendering his approval, the director may: 
    a. Request an evaluation of one or more alternative remedies; 
    b Request technical modification of the monitoring program; 
    c. Request a change in the time schedule; or 
    d. Determine that the remediation of the release of Table 3.1  constituents is not necessary if the owner or operator demonstrates to the  satisfaction of the director that: 
    (1) The groundwater is additionally contaminated by substances  that have originated from a source other than the landfill in a demonstration  meeting the requirements of 9VAC20-81-250 A 5 and those substances are present  in concentrations such that cleanup of the release from the landfill would  provide no significant reduction in risk to actual or potential receptors;
    (2) The constituent is present in groundwater that is not  currently or reasonably expected to be a source of drinking water and not  hydraulically connected with waters to which the constituents are migrating or  are likely to migrate in a concentration that would exceed the groundwater  protection standards established;
    (3) Remediation of the release is technically impracticable;  or 
    (4) Remediation results in unacceptable cross-media impacts. 
    3. A determination by the director pursuant to subdivision 2 d  of this subsection shall not affect the authority of the state to require the  owner or operator to undertake source control measures or other measures that  may be necessary to eliminate or minimize further releases to the groundwater,  to prevent exposure to the groundwater, or to remediate the groundwater to  concentrations that are technically practicable and significantly reduce  threats to human health or the environment. 
    4. After an evaluation of the proposed or revised plan, the  director will: 
    a. Approve the proposed corrective action plan as written;
    b. Approve the proposed corrective action plan as modified by  the owner or operator;
    c. Proceed with the permit amendment modification  process in accordance with 9VAC20-81-600 F 2; or 
    d. Disapprove the proposed corrective action plan and undertake  appropriate containment or clean up actions in accordance with § 10.1-1402  (18) of the Virginia Waste Management Act. 
    E. Remedy implementation. Upon completion of the permit amendment  modification action described under subdivision D 4 c of this section,  the owner or operator shall: 
    1. Monitoring program. Implement a corrective action  groundwater monitoring program meeting the requirements of subdivision D 1 c of  this section;
    2. Remedy. Implement the remedy described in the Corrective  Action Plan and the Permit as amended under subdivision D 4 c of this section;  and 
    3. Interim measures. Take any interim measures necessary to  ensure the protection of human health and the environment as described in  subsection F of this section.
    F. Interim measures. 
    1. To the greatest extent practicable, interim measures shall  be consistent with the objectives of and contribute to the performance of any  remedy that may be required pursuant to meeting the groundwater protection  standard. 
    2. Should the director require interim measures pursuant to  this section, the director will notify the owner or operator of the necessary  actions required. Such actions will be implemented as soon as practicable in  accordance with a schedule as specified by the director. 
    3. The following factors shall be considered in determining  whether interim measures are necessary: 
    a. Timeframes. Time required to develop or implement a final  remedy; 
    b. Exposure. Actual or potential exposure of nearby  populations or environmental receptors to hazardous constituents; 
    c. Drinking water. Actual or potential contamination of  drinking water supplies; 
    d. Resource degradation. Further degradation of the  groundwater that may occur if remedial action is not initiated expeditiously; 
    e. Migration potential. Weather conditions that may cause the  constituents to migrate or be released; 
    f. Accident. Risks of fire or explosion, or potential for  exposure to constituents as a result of an accident or failure of a container  or handling system; and 
    g. Other. Situations including the presence of wastes or other  contaminants that may pose threats to human health, sensitive ecosystems, and  the environment. 
    G. Remedy performance. 
    1. The owner or operator shall provide an evaluation of the  performance of the remedy consistent with the timeframes established in the  permit and present the findings in a Corrective Action Site Evaluation report.  The evaluation shall describe the progress toward achieving the groundwater  protection standards since implementation of the remedy. 
    2. An owner or operator or the director may determine, based  on information developed after implementation of the remedy or other  information contained in the evaluation, that compliance with requirements of  subdivision H 1 of this section are not being achieved through the remedy  selected. In such cases, the owner or operator shall implement other methods or  techniques that could practicably achieve compliance with the requirements,  unless the owner or operator makes the determination under subdivision G 3 of  this section. 
    3. If the owner or operator determines that groundwater  protection standards cannot be practically achieved with any currently  available methods, the owner or operator shall, within 90 days of recognizing  that condition: 
    a. Submit a report, certified by a qualified groundwater  scientist, for director approval, that demonstrates that compliance with  groundwater protection standards established under 9VAC20-81-250 A 6 cannot be  practically achieved with any currently available groundwater remedial methods;  
    b. Upon receiving director approval under subdivision 2 a  3 a of this subsection, implement alternate measures to control exposure  of humans or the environment to residual contamination that will remain as a  result of termination of remedial actions, as necessary to protect human health  and the environment;
    c. Implement alternate measures for removal or decontamination  of any remediation-related equipment, units, devices, or structures that are: 
    (1) Technically practicable; and 
    (2) Consistent with the overall objective of the remedy; and
    d. At least 14 days prior to implementing the alternate  measures, Submit submit a request for approval to the director  describing and justifying the alternate measures to be applied. 
    H. Remedy completion.
    1. The groundwater remedy implemented under corrective action  shall be considered complete when: 
    a. The owner or operator complies with the groundwater  protection standards at all points within the plume of contamination that lie  at or beyond the disposal unit boundary by demonstrating that no Table 3.1  Column B constituents have exceeded groundwater protection standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards as described under 9VAC20-81-250 D; and
    b. All other actions required as part of the remedy have been  satisfied or completed, and the owner or operator obtains the certification  required under subdivision H 2 of this section. 
    2. Upon completion of the remedy, the owner or operator shall  notify the director within 14 days by submitting a certification that the  remedy has been completed in compliance with the requirements of the Corrective  Action Plan and the permit as amended modified under subdivision  D 4 c of this section. 
    3. The certification shall be signed by the owner or operator  and by a qualified groundwater scientist, and shall include all data relevant  to the demonstration of a successful remedy completion. 
    4. If the director, based on the review of information presented  under subdivision H 3 of this section, determines that:
    a. The corrective action remedy has been completed in  accordance with the requirements of the Corrective Action Plan, the permit as  amended, and subdivision H 1 of this section, the director will release the  owner or operator from the requirements for financial assurance for corrective  action under 9VAC20-70; or
    b. The remedy has not yet achieved completion, the owner or  operator shall remain in corrective action and meet the financial assurance requirements  until such time as a successful demonstration and certification can be made. 
    Part IV 
  Other Solid Waste Management Facility Standards: 
  Compost Facilities; Solid Waste Transfer Stations; Centralized Waste Treatment  Facilities; Materials Recovery Facilities; Waste to Energy; Incineration  Facilities; Surface Impoundments and Lagoons; Waste Piles; Remediation Waste  Management Units; Landfill Mining; Miscellaneous Units; and Exempt Management  Facilities
    9VAC20-81-300. General.
    A. Any person who designs, constructs, or operates any solid  waste treatment or storage facility not otherwise exempt under 9VAC20-81-35  D 9VAC20-81-95 shall comply with the requirements of this part. In  addition, this part sets forth conditions that yard waste composting facilities  must meet to maintain their exempt status, where applicable, under 9VAC20-81-95  D 6. Further, all applications pursuant to these standards shall demonstrate  specific means proposed for compliance with requirements set forth in this  part.
    B. All facilities, except exempted facilities, shall be  maintained and operated in accordance with the permit issued or permit-by-rule  status pursuant to this regulation. All facilities shall be maintained and  operated in accordance with the approved design and intended use of the  facility. 
    C. Hazardous wastes shall not be disposed or managed in  facilities subject to this regulation unless specified in the permit or by  specific approval of the executive director. 
    D. Solid waste management facilities regulated under this  part that place solid wastes or residues on site for disposal, or leave such  wastes or residues in place after closure, are subject to the provisions of  Part III (9VAC20-81-100 et seq.) of this chapter, including:
    1. Groundwater monitoring requirements in 9VAC20-81-250;
    2. Closure and postclosure care requirements in 9VAC20-81-160  and 9VAC20-81-170; and
    3. Permitting requirements of Part V (9VAC20-81-400 et seq.)  of this chapter.
    E. All other facilities shall close in accordance with the  closure plan prepared per the requirements described in this part and  9VAC20-81-480, as applicable.
    F. Control program for unauthorized waste. Facilities  managing solid waste per activities exempted under the provisions of  9VAC20-81-95 are not required to implement the control program for unauthorized  waste as provided in this section.
    1. Solid waste treatment or storage facilities regulated under  this part shall implement a control program for unauthorized waste in  accordance with the following provisions. The owner or operator of the facility  shall:
    a. Place a written description of the control program for  unauthorized waste in the facility's operating manual; 
    b. Institute a control program (including measures such as  signs at all maintained access points indicating hours of operation and the  types of solid waste accepted and not accepted, monitoring, alternate  collection programs, passage of local laws, etc.) to assure that only solid  waste authorized by the department to be managed at the solid waste management  facility is being managed there; and
    c. Develop and implement a program to teach the solid waste  management facility's staff to recognize, remove, and report receipt of solid  waste not authorized by the department to be managed at the solid waste  management facilities.
    2. If unauthorized waste is observed in the waste delivered to  the facility prior to unloading, the owner or operator may refuse to accept the  waste. If the unauthorized waste is observed in the waste delivered to the  facility, the owner or operator shall segregate it, notify the generator,  document the incident in the operating record, make necessary arrangements to  have the material managed in accordance with applicable federal and state laws,  and notify the department of the incident to include the means of proper  handling. If the unauthorized waste is accepted, the owner or operator shall  remove it, segregate it, and provide to the department a record identifying  that waste and its final disposition. Any unauthorized waste accepted by the  owner or operator shall be managed in accordance with applicable federal or  state laws and regulations. Unauthorized waste that has been segregated shall  be adequately secured and contained to prevent leakage or contamination to the  environment. The solid waste management facility owner or operator shall have  the unauthorized waste removed or properly managed as soon as practicable, but  not to exceed 90 days after discovery. Removal shall be by a person authorized  to transport such waste to a waste management facility approved to receive it  for treatment, disposal, or transfer.
    3. Owners or operators of waste to energy or incinerator  facilities receiving waste generated outside of Virginia shall also comply with  the increased random inspection provisions in 9VAC20-81-340 E 3.
    G. Solid waste management facilities regulated under this  part that store waste tires shall also adhere to the requirements of  9VAC20-81-640 for the waste tire storage. 
    9VAC20-81-397. Exempt yard waste composting facilities.
    A. Applicability.
    1. The standards in subsection B of this section apply to  persons who compost vegetative waste in a manner described in the conditional  exemption set forth at 9VAC20-81-95 D.
    2. The standards in subsection C of this section apply to  persons who operate small vegetative waste disposal units on their property.
    B. Composting of yard waste. Additional requirements for  managing conditionally exempt yard waste compost facilities, described under  9VAC20-81-95 D 6, are as follows: 
    1. Owners or operators of agricultural operational activities  that accept only yard waste generated offsite are exempt from all other  provisions of this chapter as applied to the composting activities provided  that:
    a. The total time for composting process and storage of  material that is being composted shall not exceed 18 months prior to its field  application or sale as a horticultural or agricultural product;
    b. No waste material other than yard waste is received;
    c. The total amount of yard waste received from offsite never  exceeds 6,000 cubic yards in any consecutive 12-month period;
    d. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;
    e. They pose no nuisance or present or potential threat to  human health or the environment; and
    f. Before receiving any waste, the owner submits a complete  DEQ Form YW-3:
    2. Owners or operators of agricultural operations that accept  only Category I yard waste feedstocks and manures from herbivorous  animals generated offsite are exempt from all other provisions of this chapter  as applied to the composting activities provided that:
    a. The composting area is located not less 300 feet from a  property boundary of a parcel owned or controlled by another person, is located  not less than 1,000 feet from an occupied dwelling not located on the same  property as the composting area, and is not located within an area designated  as a flood plain;
    b. The agricultural operation has at least one acre of ground  suitable to receive yard waste for each 150 cubic yards of finished compost;
    c. The total time for the composting process and storage of  material that is being composted or has been composted shall not exceed 18  months prior to the field application or sale as horticultural or agricultural  product;
    d. The owner or operator of any agricultural operation that  receives in any 12-month period (consecutive) more than 6,000 cubic yards of  waste generated from property not within the control of the owner or the  operator shall submit by April 1 each year to the director an annual report in  accordance with subdivision 4 of this subsection describing the volume and  types of yard waste received for composting by the operation between January 1  and December 31 of the preceding consecutive 12 months and shall certify that  the yard waste composting facility complies with local ordinances; 
    e. No waste material other than yard waste and manures from  herbivorous animals are received;
    f. The quantities of offsite manures from herbivorous animals  brought onsite are limited to achieve a carbon to nitrogen ratio of 25:1 to  40:1. All manures must be incorporated into the compost within 24 hours of  delivery. No offsite manures may be stored onsite; and
    g. Prior to the receipt of solid waste generated offsite, the  owner or operator of the agricultural operation intending to operate under this  exemption shall submit a complete DEQ Form YW-4.
    3. Owners or other persons authorized by the owner of real  property who receive only yard waste generated offsite for the purpose of  producing compost on said property shall be exempt from all requirements of  this chapter as applied to the composting activity provided that: 
    a. Not more than 500 cubic yards of yard waste generated  offsite is received at the owner's said property in any consecutive 12-month  period; 
    b. No compensation will be received, either directly or  indirectly, by the owner or other persons authorized by the owner of said  property from parties providing yard waste generated off said property; 
    c. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;  and 
    d. They pose no nuisance or present or potential threat to  human health or the environment.
    4. Owners or operators of an agricultural composting operation  in accordance with subdivision 2 of this subsection, who are exempt from the  permitting requirements in accordance with 9VAC20-81-95 D and who may receive  more than 6,000 cubic yards of yard waste generated from property not within  the control of the owner or operator in any 12-month period shall submit an  annual report on DEQ Form YW-2. The report shall describe the volume and  types of yard waste received for composting. Completion and filing of the form  by July 15 April 1 for activities in the preceding 12 months  (January 1 through December 31) constitutes compliance with the requirements.  The annual report shall be submitted on DEQ Form YW-2.
    C. Small disposal units for vegetative wastes from land  clearing. Additional requirements for managing small disposal units for  vegetative waste from land clearing as exempted under 9VAC20-81-95 D 17 are as  follows:
    Owners of real property who operate small waste disposal  units that qualify under all the conditions of this subsection shall be exempt  from other provisions, including permitting, of this chapter as applied to  those units provided:
    1. No person other than the owner of the real property shall  be exempt under this section.
    2. All owners of the real property who hold title to property  at the time the disposal unit is initially opened or during the time the unit  remains open (limited to two calendar years below) shall, in the exercise of  this exemption, accept responsibility for maintaining compliance of the unit  with all requirements of this chapter as set out in this exemption.
    3. The owner agrees that he shall not sell, give, or otherwise  transfer the responsibility for the unit's compliance to any other party  throughout its active life, the postclosure care period, and the corrective  action period, and that he shall remain the principal party responsible for the  compliance of the unit with this chapter. 
    4. Only units that are in compliance with all requirements of  this section shall qualify, and units that are not in compliance with all  requirements of this section shall not qualify or shall cease to qualify. Units  that qualify for this exemption shall comply with the following requirements:
    a. Only vegetative waste or yard waste shall be placed in the  disposal unit; however, grass trimmings or bulk leaves shall not be placed in  the disposal unit.
    b. The waste disposal unit shall not be larger than 0.50 acres  in size.
    c. The waste disposal unit shall not be located within 1,000  feet of any other waste disposal unit of any type, including other disposal  units exempted by this chapter.
    d. The waste disposal unit shall not be located within 150  feet of any existing building or planned building. The waste disposal unit  shall not be located within 50 feet of any existing or planned subdivision lot  that may be used for the erection of a building.
    e. The waste disposal unit shall not be located within 100  feet of a flowing stream; body of water; any well, spring, sinkhole, or  unstable geologic feature. Also, it shall not be located within 200 feet of any  groundwater source of drinking water.
    f. The waste disposal unit shall be constructed to separate  all waste by at least two feet vertically from the seasonal high water table.
    g. The waste disposal unit should not obstruct the scenic view  from any public road and should be graded to present a good appearance.
    h. Mounding of the waste disposal unit shall not reach an  elevation more than 20 feet above the original elevation of the terrain before  the disposal began. The elevation of the original terrain should be based on  the general area and not the bottom of ravines and small depressions in the  disposal area.
    i. The waste received by the waste disposal unit shall be  limited to the following:
    (1) Waste generated onsite;
    (2) Waste generated by clearing the path of a roadway or  appurtenances to the roadway when buried within the right-of-way of the roadway  (waste shall not be buried in the structural roadway prism) or adjacent land  under a permanent easement and the terms of the easement incorporate the  construction of the disposal unit; and
    (3) Waste from property that is owned by the owner of the  disposal unit, within the same construction project, and generated not more  than two miles from the unit.
    j. The waste disposal unit shall be closed two calendar years  from the date it first receives waste. The closure shall include cover with two  feet of compacted soil, grading for good appearance with slopes that prevent  erosion, and seeding or revegetation. During the life of the unit, earthen material  should be applied periodically to prevent excessive subsidence of the waste  disposal unit when closed. Sides of the finished unit shall be sloped to  prevent erosion, and slopes shall not be steeper than one vertical foot to  three horizontal feet.
    k. The location plat and legal description, as set out in  subdivision 4 p of this subsection, of all units that are not located wholly  within the bed or right-of-way of a public road shall be recorded in the deed  book for the property in the court of record prior to the first receipt of  waste. Waste disposal shall not be allowed within the structural roadway prism.
    l. The owner shall maintain continuous control of access to  all disposal units from the time they are opened until they are closed in  accordance with this section. The owner shall prevent fires and provide standby  equipment and supplies sufficient to easily suppress a fire. Brush and small  limbs that might provide tinder for a fire shall be covered at the end of the  work day with one foot of soil.
    m. The owner shall not be exempt from the CDD landfill  groundwater monitoring and corrective action requirements of 9VAC20-81-250 and  9VAC20-81-260, respectively, to include required monitoring during the  postclosure period.
    n. The owner shall not be exempt from the decomposition gas  monitoring and venting requirements of 9VAC20-81-210. The owner of a small  waste disposal unit shall comply in all respects with the decomposition gas  monitoring and venting requirements as established in this chapter.
    o. The owner shall not be exempt from any requirement of the  Financial Assurance Regulations For Solid Waste Disposal Facilities,  (9VAC20-70), and shall comply with all financial assurance requirements.
    p. At least six weeks before beginning construction of a  vegetative waste disposal unit, the owner of the real property shall notify in  writing the director, the governing board of the city, county, or town wherein  the property lies, and all property owners whose parcel will abut the area of  the proposed disposal unit. The notice shall give the names and legal addresses  of the owners, the type of unit to be developed, and the projected date of  initial construction of the unit. The owner shall include a plat and legal  description of the disposal unit's metes and bounds prepared and stamped by a  Virginia licensed land surveyor. The plat and description shall follow all  standard practice such as inclusion of the nearest existing intersection of  state roads and existing fixed survey markers in the vicinity.
    q. Unless otherwise designated, all monitoring and reporting  requirements shall begin at the initiation of the disposal operations and all  reports shall be sent to the department and the chief executive of the local  government. 
    9VAC20-81-470. Part B permit application for solid waste l  disposal facilities.
    Part B permit application requirements for all solid waste  disposal facilities regulated under Part III (9VAC20-81-100 et seq.) are  contained in this section. The Part B applications shall include the following  requirements and documentation: 
    A. Plans submitted as part of the Part B application shall  include the following: 
    1. Design plans. Design plans shall be certified by a  professional engineer and shall consist of, at least, the following: 
    a. A title sheet indicating the project title, who prepared  the plans, the person for whom the plans were prepared, a table of contents,  and a location map showing the location of the site and the area to be served. 
    b. An existing site conditions plans sheet indicating site  conditions prior to development. 
    c. A base grade plan sheet indicating site base grades or the  appearance of the site if it were excavated in its entirety to the base  elevation, before installation of any engineering modifications or the  beginning of any filing. 
    d. An engineering modification plan sheet indicating the  appearance of the site after installation of engineering modifications. More  than one plan sheet may be required for complicated sites. This plan is  required only for those sites with engineering modifications. 
    e. A final site topography plan sheet indicating the  appearance of the site, and final contours of the site at closing including the  details necessary to prepare the site for long-term care. 
    f. A series of phasing plan sheets showing the progression of  site development through time. At a minimum, a separate plan shall be provided  for initial site preparations and for each subsequent major phase or new area  where substantial site preparation must be performed. Each such plan shall  include a list of construction items and quantities necessary to prepare the  phase indicated. 
    g. A site monitoring plan showing the location of all devices  for the monitoring of leachate production, groundwater quality, and gas  production and venting. This plan shall include a table indicating the  parameters to be monitored for the frequency of monitoring before and during  site development. The groundwater monitoring plan shall include information as  applicable under 9VAC20-81-250 or 9VAC20-81-260. 
    h. A series of site cross-sections shall be drawn  perpendicular and parallel to the site base line at a maximum distance of 500  feet between cross-sections and at points of grade break and important  construction features. The location of the cross-sections shall be shown on the  plan sheets and the section labeled using the site grid system. Where  applicable, each cross-section shall show existing, proposed base and final  grades; soil borings and monitoring wells that the section passes through or is  adjacent to; soil types, bedrock and water table; leachate control, collection,  and monitoring systems; limits of filling for each major waste type; drainage  control structures; access roads and ramps on the site parameter perimeter  and within the active fill area; the filling sequence or phases; and other site  features. 
    i. Detailed drawings and typical sections for drainage control  structures, access roads, fencing, leachate and gas control systems, and  monitoring devices, buildings, signs, and other construction details. 
    j. Plan sheets shall include: 
    (1) A survey grid with base lines and bench marks to be used  for field control. 
    (2) Limits of filling for each major waste type or fill area. 
    (3) All drainage patterns and surface water drainage control  structures both within the actual fill area and at the site perimeter. Such  structures may include berms, ditches, sedimentation basins, pumps, sumps,  culverts, pipes, inlets, velocity breaks, sodding, erosion matting, or other  methods of erosion control. 
    (4) Ground surface contours at the time represented by the  drawing. Spot elevations shall be indicated for key features. 
    (5) Areas to be cleared and grubbed and stripped of topsoil. 
    (6) Borrow areas for liner materials, gas venting materials,  berms, roadway construction, daily cover, and final cover. 
    (7) All soil stockpiles including daily and final cover,  topsoil, liner materials, gas venting materials, and other excavation. 
    (8) Access roads and traffic flow patterns to and within the  active fill area. 
    (9) All temporary and permanent fencing. 
    (10) The methods of screening such as berms, vegetation, or  special fencing. 
    (11) Leachate collection, control, storage, and treatment  systems that may include pipes, manholes, trenches, berms, collection sumps,  storage units, pumps, risers, liners, and liner splices. 
    (12) Gas, leachate, and groundwater monitoring devices and  systems. 
    (13) Severe weather solid waste disposal areas. 
    (14) Support buildings, scale, utilities, gates, and signs. 
    (15) Special waste handling areas. 
    (16) Construction notes and references to details. 
    (17) Other site features. 
    2. Closure plan. A detailed closure plan be prepared and  submitted. Such a plan shall be prepared in two parts, one reflecting those  measures to be accomplished at the midpoint of the permit period, and the other  when the useful life of the landfill is reached. The plan shall show how the  facility will be closed to meet the requirements of 9VAC20-81-160 and  9VAC20-81-170. The plan shall include the procedures to be followed in closing  the site, sequence of closure, time schedules, final plans of completion of  closure to include final contours, and long-term care plan sheets showing the  site at the completion of closing and indicating those items anticipated to be  performed during the period of long-term care for the site. The plans shall  include a table listing the items and the anticipated schedule for monitoring  and maintenance. In many instances this information can be presented on the  final site topography sheet. 
    3. Postclosure plan. A postclosure care plan containing  long-term care information including a discussion of the procedures to be  utilized for the inspection and maintenance of: run-off control structures;  settlement; erosion damage; gas and leachate control facilities; monitoring for  gas, leachate, and groundwater; and other long-term care needs. 
    B. A design report shall be submitted, which shall include  supplemental discussions and design calculations, to facilitate department  review and provide supplemental information including the following  information: 
    1. The design report shall identify the project title;  engineering consultants; site owner, permittee and operator; proposed permitted  acreage; hours of operation; wastes to be accepted; site life; design capacity;  and the daily disposal limit. It shall also identify any variances desired by  the applicant.
    2. A discussion of the basis for the design of the major  features of the site, such as traffic routing, base grade and relationships to  subsurface conditions, anticipated waste types and characteristics, phases  development, liner design, leachate management system design, facility  monitoring, and similar design features shall be provided. A list of the  conditions of site development as stated in the department determination of  site feasibility and the measures taken to meet the conditions shall be  included. A discussion of all calculations, such as refuse-cover balance  computations, stockpile sizing estimates, estimate of site life, and run-off  and leachate volume estimates shall be included. The calculations shall be  summarized with the detailed equations presented in an appendix.
    3. Specifications, including detailed instructions to the site  operator for all aspects of site construction.
    a. Initial site preparations including specifications for  clearing and grubbing, topsoil stripping, other excavations, berm construction,  drainage control structures, leachate collection system, access roads and  entrance, screening, fencing, groundwater monitoring, and other special design  features.
    b. A plan for initial site preparation including a discussion  of the field measurements, photographs to be taken, sampling and testing  procedures to be utilized to verify that the in-field conditions encountered  were the same as those defined in the feasibility report, and to document that  the site was constructed according to the engineering plans and specifications  submitted for department approval.
    C. Financial assurance documentation. When required by the  Financial Assurance Regulations of Solid Waste Disposal, Transfer, and  Treatment Facilities (9VAC20-70), the applicant shall provide the completed  documentation to demonstrate compliance with those regulations; proof of  financial responsibility must be for the entity identified in accordance with  9VAC20-81-450 B 10.
    D. DEQ Form SW PTB (Part B Permit Application Form). The  applicant shall submit a completed DEQ Form SW PTB.
    9VAC20-81-485. Operations manual requirements for solid waste  management facilities.
    A. Solid waste disposal facilities. An operations manual  shall be prepared and maintained in the operating record. The operations manual  shall include a certification page signed by a responsible official. This  signature shall certify the manual meets the requirements of this chapter. This  manual shall be reviewed and recertified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements, and shall be made available for review by the department upon  request. The operations manual for disposal facility operation shall contain at  least the following plans: 
    1. An operations plan that at a minimum includes:
    a. Explanation of how the design and construction plans will  be implemented from the initial phase of operation until closure;
    b. Municipalities, industries, and collection and  transportation agencies served; 
    c. Waste types and quantities to be disposed; 
    d. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the operational requirements  of Part III (9VAC20-81-100 et seq.) of this chapter are achieved. References to  specifications on the plan sheet shall be pointed out as well as additional  instructions included, where appropriate. At a minimum, the plan specifications  shall include: 
    (1) Daily operations including a discussion of the timetable  for development, waste types accepted or excluded, inspection of incoming  waste, typical waste handling techniques, hours of operation, traffic routing,  drainage and erosion control, windy, wet and cold weather operations, fire  protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, direction of  filling, salvaging, recordkeeping, parking for visitors and employees,  monitoring, maintenance, closure of filled areas, gas and leachate control  methods, backup equipment with names and telephone numbers where equipment may  be obtained, and other special design features; 
    (2) Development of subsequent phases; and 
    (3) Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan. 
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part III (9VAC20-81-100 et seq.) of this chapter. 
    b. The frequency of inspection based on the rate of potential  equipment deterioration or malfunction and the probability of an adverse  incident occurring if the deterioration or malfunction goes undetected between  inspections. The plan shall establish the minimum frequencies for inspections  required in 9VAC20-81-140. This plan shall identify areas of the facility  subject to spills such as loading and unloading areas and areas in which  significant adverse environmental or health consequences may result if  breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the requirements of  9VAC20-81-140.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses, and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates. 
    6. A landscaping plan that shall:
    a. Delineate existing site vegetation to be retained;
    b. Discuss methods to be employed in order to ensure protection  of vegetation to be retained during the clearing, grading and construction  phases of the project and the supplemental vegetation to be planted; and 
    c. Information relating to vegetation type, location and  purpose, such as for buffer, screening or aesthetics, and schedules for  planting, shall accompany the plan. 
    B. Other solid waste management facilities. An operations  manual shall be prepared and maintained in the operating record. The Operations  Manual shall include a certification page signed by a responsible official.  This signature shall certify the manual meets the requirements of this chapter.  This manual shall be reviewed and re-certified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements and shall be made available to the department upon request. The  manual for facility operation shall contain at least the following plans:
    1. An operations plan that at a minimum includes:
    a. An explanation of how the design and construction plans  will be implemented from the initial phase of operation until closure.
    b. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the applicable operational  requirements of Part IV (9VAC20-81-300 et seq.) are achieved. Daily operations  including a discussion of the timetable for development, waste types accepted  or excluded, typical waste handling techniques, hours of operation, traffic  routing, drainage and erosion control, windy, wet and cold weather operations,  fire protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, salvaging,  record keeping, parking for visitors and employees, monitoring, backup equipment  with names and telephone numbers where equipment may be obtained, and other  special design features. The daily operations section of the operations manual  may be developed as a removable section to improve accessibility for the site  operator. 
    c. Development of subsequent phases of the facility, if  applicable.
    d. Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan.
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part IV (9VAC20-81-300 et seq.) of this chapter. 
    b. The frequency of inspection shall be based on the rate of  potential equipment deterioration or malfunction and the probability of an  adverse incident occurring if the deterioration or malfunction goes undetected  between inspections. The plan shall establish the minimum frequencies for  inspections required in 9VAC20-81-140 9VAC20-81-340. This plan  shall identify areas of the facility subject to spills such as loading and  unloading areas and areas in which significant adverse environmental or health  consequences may result if breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the applicable  requirements of 9VAC20-81-340.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates.
    9VAC20-81-490. Effect of the permit.
    A. A completed permit for a solid waste management facility  shall be prepared at the conclusion of the procedures outlined in  9VAC20-81-450. The permit shall be prepared in detail to establish the  construction requirements, monitoring requirements, operating limitations or  guides, waste limitations if any, and any other details essential to the  operation and maintenance of the facility and its closure. Before receipt of  waste by the facility, the applicant must: 
    1. Notify the department, in writing, that construction has been  completed; and submit to the department a letter from a professional engineer  certifying that the facilities have been completed in accordance with the  approved plans and specifications and is ready to begin operation. This  certification letter is in addition to the CQA certification required in  9VAC20-81-130 Q 3 and must be provided by a different individual than the CQA  certification. This certification letter is typically provided by the design  engineer. 
    2. Arrange for a department representative to inspect the site  and confirm that the site is ready for operation. 
    B. Certificate-to-Operate (CTO). Following review of a  complete CQA certification and site inspection the department shall issue a CTO  authorizing the facility to begin receiving waste. The facility shall not  receive waste until a CTO has been issued by the department. 
    C. Inspections. Each facility permitted to accept solid waste  requires periodic inspection and review of records and reports. Such  requirements shall be set forth in the final permit issued by the department.  The permit applicant by accepting the permit, agrees to the specified periodic  inspections. 
    D. Compliance with a valid permit during its term constitutes  compliance, for purposes of enforcement, with the Virginia Waste Management  Act. However, a permit may be modified, revoked and reissued, or revoked for  cause as set forth in 9VAC20-81-570 and 9VAC20-81-600. 
    E. The issuance of a permit does not convey any property  rights of any sort, or any exclusive privilege. 
    F. The issuance of a permit does not authorize any injury to  persons or property or invasion of other private rights, or any infringement of  federal, Commonwealth, or local law or regulations. 
    G. A permit may be transferred by the permittee to a new  owner or operator only if the permit has been revoked and reissued, or a minor  modification made to identify the new permittee and incorporate such other  requirements as may be necessary. Upon presentation of the financial assurance  proof required by 9VAC20-70 by the new owner, the department will release the  old owner from his closure and financial responsibilities and acknowledge  existence of the new or modified permit in the name of the new owner. 
    H. This section provides for the approval of permits or  permit modifications that include a time allowance for the permittee to achieve  the new standards contained in the approved permit or permit modification.
    1. The permit may specify a schedule of compliance leading to  compliance with this chapter. 
    a. Any schedules of compliance under this subsection shall  require compliance as soon as possible. 
    b. Except as otherwise provided, if a permit establishes a  schedule of compliance that exceeds one year from the date of permit issuance,  the schedule shall set forth interim requirements and the dates for their  achievement. 
    (1) The time between interim dates shall not exceed one year;  and 
    (2) If the time necessary for completion of any interim  requirement is more than one year and is not readily divisible into stages of  completion, the permit shall specify interim dates for the submission of  reports of progress toward completion of the interim requirements and indicate  a projected completion date. 
    c. The permit shall be written to require that no later than  14 days following each interim date and the final date of compliance, a  permittee shall notify the department, in writing, of his compliance or  noncompliance with the interim or final requirements. 
    2. A permit applicant or permittee may cease conducting  regulated activities (by receiving a terminal volume of solid waste, and, in  case of treatment or storage facilities, closing pursuant to applicable  requirements, or, in case of disposal facilities, closing and conducting  postclosure care pursuant to applicable requirements) rather than continue to  operate and meet permit requirements as follows: 
    a. If the permittee decides to cease conducting regulated  activities at a specified time for a permit that has already been issued: 
    (1) The permit may be modified to contain a new or additional  schedule leading to timely cessation of activities; or 
    (2) The permittee shall cease conducting permitted activities  before noncompliance with any interim or final compliance schedule requirement  already specified in the permit. 
    b. If the decision to cease conducting regulated activities is  made before the issuance of a permit whose terms will include the termination  date, the permit shall contain a schedule leading to termination that will  ensure timely compliance with applicable requirements. 
    c. If the permittee is undecided whether to cease conducting  regulated activities, the director may issue or modify a permit to continue two  schedules as follows: 
    (1) Both schedules shall contain an identical interim deadline  requiring a final decision on whether to cease conducting regulated activities  no later than a date that ensures sufficient time to comply with applicable  requirements in a timely manner if the decision is to continue conducting  regulated activities; 
    (2) One schedule shall lead to timely compliance with  applicable requirements; 
    (3) The second schedule shall lead to cessation of regulated  activities by a date that will ensure timely compliance with applicable  requirements; and
    (4) Each permit containing two schedules shall include a  requirement that, after the permittee has made a final decision, he shall  follow the schedule leading to compliance if the decision is to continue  conducting regulated activities, and follow the schedule leading to termination  if the decision is to cease conducting regulated activities. 
    d. The applicant's decisions to cease conducting regulated  activities shall be evidenced by a firm public commitment satisfactory to the  department, such as a resolution of the board of directors of a corporation.
    9VAC20-81-530. Recording and reporting required of a permitee  permittee.
    A. A permit shall specify: 
    1. Required monitoring, including type, intervals and  frequency, sufficient to yield data that are representative of the monitored  activity; 
    2. Requirements concerning the proper use, maintenance, and  installation of monitoring equipment or methods, including biological  monitoring methods when appropriate; and
    3. Applicable reporting requirements based upon the impact of  the regulated activity and as specified in this chapter. 
    B. A permittee shall be subject to the following whenever  monitoring is required by the permit: 
    1. The permittee shall retain records at the permitted  facility or another location approved by the department. Records shall include  all records required by the facility permit, these regulations, or other  applicable regulations. Records of all required monitoring information,  including all calibration and maintenance records will be maintained for at  least three years from the sample or measurement date. The director may request  that this period be extended. For operating landfills, records of the most  recent gas and groundwater monitoring event will be maintained at the facility.  
    2. Records of monitoring information shall include: 
    a. The date, exact place, and time of sampling or  measurements; 
    b. The individuals who performed the sampling or measurements;  
    c. The dates analyses were performed; 
    d. The individuals who performed the analyses; 
    e. The analytical techniques or methods used; and 
    f. The results of such analyses. 
    3. Required monitoring results shall be maintained on file for  inspection by the department. 
    C. A permittee shall be subject to the following reporting  requirements: 
    1. Written notice of any planned physical alterations to the  permitted facility shall be submitted to the department and approved before  such alterations are to occur, unless such items were included in the plans and  specifications approved by the department.
    2. Reports of compliance or noncompliance with, or any  progress reports on, interim and final requirements contained in any compliance  schedule of the permit, shall be submitted no later than 14 days following each  schedule date. 
    3. The permittee shall report to the department any  noncompliance or unusual condition that may endanger health or environment. Any  information shall be provided orally within 24 hours from the time the  permittee becomes aware of the circumstances. A written submission shall also  be provided within five days of the time the permittee becomes aware of the  circumstances. The written submission shall contain a description of the  circumstances and its cause; the period of occurrence, including exact dates  and times, and, if the circumstance has not been corrected, the anticipated time  it is expected to continue. It shall also contain steps taken or planned to  reduce, eliminate, and prevent reoccurrence of the circumstances resulting in  an unusual condition or noncompliance. 
    D. Copies of all reports required by the permit, and records  of all data used to complete the permit application must be retained by the  permittee for at least three years from the date of the report or application.  The director may request that this period be extended. 
    E. When the permittee becomes aware that he failed to submit  any relevant facts or submitted incorrect information in a permit application  or in any report to the director, he shall promptly submit such omitted facts  or the correct information with an explanation.
    9VAC20-81-600. Modification of permits.
    A. Permits may be modified at the request of any interested  person or upon the director's initiative. However, permits may only be modified  for the reasons specified in subsections E and F of this section. All requests  shall be in writing and shall contain facts or reasons supporting the request.  Any permit modification authorizing expansion of an existing sanitary landfill  shall incorporate the conditions required for a disposal capacity guarantee in  § 10.1-1408.1 P of the Code of Virginia. This provision does not apply to  permit applications from one or more political subdivisions that will only  accept waste from within those political subdivisions' jurisdiction or  municipal solid waste generated within other political subdivisions pursuant to  an interjurisdictional agreement. 
    B. If the director decides the request is not justified, he  shall send the requester a response providing justification for the decision. 
    C. If the director tentatively decides to modify, he shall  prepare a draft permit incorporating the proposed changes. The director may  request additional information and may require the submission of an updated  permit application. In a permit modification under subsection E of this  section, only those conditions to be modified shall be reopened when a new  draft permit is prepared. All other aspects of the existing permit shall remain  in effect. During any modification proceeding the permittee shall comply with  all conditions of the existing permit until the modified permit is issued. 
    D. When the director receives any information, he may  determine whether or not one or more of the causes listed for modification  exist. If cause exists, the director may modify the permit on his own  initiative subject to the limitations of subsection E of this section and may  request an updated application if necessary. If a permit modification satisfies  the criteria in subsection F of this section for minor modifications, the  permit may be modified without a draft permit or public review. Otherwise, a  draft permit shall be prepared and other appropriate procedures followed. 
    E. Causes for modification. The director may modify a permit  upon his own initiative or at the request of a third party: 
    1. When there are material and substantial alterations or  additions to the permitted facility or activity that occurred after permit  issuance that justify the application of permit conditions that are different  or absent in the existing permit; 
    2. When there is found to be a possibility of pollution  causing significant adverse effects on the air, land, surface water, or  groundwater; 
    3. When an investigation has shown the need for additional  equipment, construction, procedures and testing to ensure the protection of the  public health and the environment from adverse effects; 
    4. If the director has received information pertaining to  circumstances or conditions existing at the time the permit was issued that was  not included in the administrative record and would have justified the  application of different permit conditions, the permit may be modified  accordingly if in the judgment of the director such modification is necessary  to prevent significant adverse effects on public health or the environment; 
    5. When the standards or regulations on which the permit was  based have been changed by promulgation of amended standards or regulations or  by judicial decision after the permit was issued; 
    6. When the director determines good cause exists for  modification of a compliance schedule, such as an act of God, strike, flood, or  material shortage or other events over which the permittee has little or no  control and for which there is no reasonably available remedy; 
    7. When a modification of a closure plan is required under  9VAC20-81-160 or 9VAC20-81-360 and the permittee has failed to submit a permit  modification request within the specified period; 
    8. When the corrective action program specified in the permit  under 9VAC20-81-260 has not brought the facility into compliance with the  groundwater protection standard within a reasonable period of time; or 
    9. When cause exists for revocation under 9VAC20-81-570 and  the director determines that a modification is more appropriate. 
    F. Permit modification at the request of the permittee. 
           |      TABLE 5.2     PERMIT MODIFICATIONS      |    
       |      MAJOR      |          1. Implementation of a groundwater corrective action program    as required by 9VAC20-81-260      |    
       |      2. Change in the remedy applied as part of the groundwater    corrective action program      |    
       |      3. Groundwater monitoring plan for an existing facility    where no written plan has previously been provided      |    
       |      4. Changes to the design of final closure cover      |    
       |      5. Landfill mining      |    
       |      6. Reduction in the postclosure care period      |    
       |      7. Changes in postclosure use of the property with    disturbance of cover      |    
       |      8. All new or modifications of a leachate collection tank or    a leachate collection surface impoundment      |    
       |      9. Addition of new landfill units      |    
       |      10. Expansion or increase in capacity      |    
       |      11. Increase in daily disposal limit      |    
       |      12. Addition or modification of a liner, leachate collection    system, leachate detection system      |    
       |      13. Incorporation or modification of a Research,    Development, and Demonstration Plan       |    
       |      MINOR      |          Any change not specified as    major modification (above) or a permittee change (below)      |    
       |      PERMITTEE CHANGE      |          1. Correction of typographical errors      |    
       |      2. Equipment replacement or upgrade with functionally    equivalent components      |    
       |      3. Replacement of an existing leachate tank with a tank that    meets the same design standards and has a capacity within +/-10% of the    replaced tank      |    
       |      4. Replacement with functionally equivalent, upgrade, or    relocation of emergency equipment      |    
       |      5. Changes in name, address, or phone number of contact    personnel      |    
       |      6. Replacement of an existing well that has been damaged or    rendered nonoperable, without change to location, design, or depth of the    well      |    
       |      7. Changes to the expected year of final closure, where    other permit conditions are not changed      |    
       |      8. Changes in postclosure use of the property, without    disturbance of the cover      |    
       |      9. Modification of a leachate tank management practice      |    
  
    1. Permittee change. Items listed under Permittee Change in  Table 5.2 may be implemented without approval of the department. If a permittee  changes such an item, the permittee shall: 
    a. Notify the department of the change at least 14 calendar  days before the change is put into effect, indicating the affected permit  conditions; and
    b. Notify the governing body of the county, city, or town in  which the facility is located, within 90 calendar days after the change is put  into effect.
    2. Minor modifications. 
    a. Minor modifications apply to minor changes that keep the  permit current with routine changes to the facility or its operation. These  changes do not substantially alter the permit conditions or reduce the capacity  of the facility to protect human health or the environment.
    b. Minor modifications may be requested for changes that will  result in a facility being more protective of human health and the environment  or equivalent to the standards contained in this chapter, unless otherwise  noted in Table 5.2. The request for such a minor permit modification will be  accompanied by a description of the desired change and an explanation of the  manner in which the health and environment will be protected in a greater  degree than required by the chapter.
    c. Minor permit modifications may be made only with the prior  written approval of the department. The permittee shall notify the department  that a minor modification is being requested. Notification of the department  shall be provided by certified mail or other means that establish proof of  delivery. This notice shall specify the changes being made to permit conditions  or supporting documents referenced by the permit and shall  include an  explanation of why they are necessary. Along with the notice, the permittee  shall provide the applicable information required by 9VAC20-81-460 and  9VAC20-81-470 or as required by 9VAC20-81-480.
    d. The permittee shall send a notice of the modification to  the governing body of the county, city or town in which the facility is  located. This notification shall be made within 90 days after the department  approves the request. 
    3. Major modifications. 
    a. Major modifications substantially alter the facility or its  operation. Major modifications are listed in Table 5.2. 
    b. The permittee shall submit a modification request to the  department that: 
    (1) Describes the exact change to be made to the permit  conditions and supporting documents referenced by the permit; 
    (2) Identifies that the alteration is a major modification; 
    (3) Contains an explanation of why the modification is needed;  and
    (4) Provides the applicable information required by  9VAC20-81-460 and 9VAC20-81-470 or as required by 9VAC20-81-480. 
    c. No later than 90 days after receipt of the notification  request, the director will determine whether the information submitted under  subdivision  3 b (4) of this subsection is adequate to formulate a  decision. If found to be inadequate, the permittee will be requested to furnish  additional information within 30 days of the request by the director to complete  the modification request record. The 30-day period may be extended at the  request of the applicant. After the completion of the record, the director will  either: 
    (1) Approve the modification request, with or without changes,  and draft a permit modification accordingly;
    (2) Deny the request; or 
    (3) Approve the request, with or without changes, as a  temporary authorization having a term of up to 180 days in accordance with  subdivision 3 of this subsection. 
    d. If the director proposes to approve the permit  modification, he will proceed with the permit issuance in accordance with  9VAC20-81-450 E. 
    e. The director may deny or change the terms of a major permit  modification request under subdivision  F 3 b of this section for the  following reasons: 
    (1) The modification request is incomplete; 
    (2) The requested modification does not comply with the  appropriate requirements of Part III (9VAC20-81-100 et seq.) or Part IV  (9VAC20-81-300 et seq.) of this chapter or other applicable requirements; or 
    (3) The conditions of the modification fail to protect human  health and the environment. 
    4. Temporary authorizations. 
    a. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of subdivision  4 of this subsection.  Temporary authorizations shall have a term of not more than 180 days. 
    b. (1) The permittee may request a temporary authorization for  any major modification that meets the criteria in subdivision 4 c (2) (a) or  (b) of this subsection; or that meets the criteria in subdivision 4 c (2) (c)  and (d) of this subsection and provides improved management or treatment of a  solid waste already listed in the facility permit. 
    (2) The temporary authorization request shall include: 
    (a) A description of the activities to be conducted under the  temporary authorization; 
    (b) An explanation of why the temporary authorization is  necessary; and 
    (c) Sufficient information to ensure compliance with Part III  (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et seq.) standards. 
    (3) The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven days of submission of the authorization  request. 
    c. The director shall approve or deny the temporary  authorization as quickly as practical. To issue a temporary authorization, the  director shall find: 
    (1) The authorized activities are in compliance with the  standards of Part III (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et  seq.) of this chapter. 
    (2) The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an modification  request: 
    (a) To facilitate timely implementation of closure or  corrective action activities; 
    (b) To prevent disruption of ongoing waste management  activities; 
    (c) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (d) To facilitate other changes to protect human health and  the environment. 
    d. A temporary authorization may be reissued for one  additional term of up to 180 days provided that the permittee has requested a  major permit modification for the activity covered in the temporary  authorization, and the director determines that the reissued temporary  authorization involving a major permit modification request is warranted to  allow the authorized activities to continue while the modification procedures  of subdivision 2 3 of this subsection are conducted. 
    5. The director's decision to grant or deny a permit  modification request under subdivision of this subsection may be appealed under  the case decision provisions of the Virginia Administrative Process Act  (§ 2.2-4000 et seq. of the Code of Virginia). 
    6. Newly defined or identified wastes. The permitted facility  is authorized to continue to manage wastes defined or identified as solid waste  under 9VAC20-81-95 if: 
    a. It was in existence as a solid waste management facility  with respect to the newly defined or identified solid waste on the effective  date of the final rule defining or identifying the waste; and 
    b. It is in compliance with the standards of Part III  (9VAC20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, submits a minor modification request  on or before the date on which the waste becomes subject to the new  requirements; or 
    c. It is not in compliance with the standards of Part III  (9VAC 20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, also submits a complete permit  modification request within 180 days after the effective date of the definition  or identifying the waste. 
    7. Research, development and demonstration plans. Research,  development and demonstration (RDD) plans may be submitted for sanitary  landfills that meet the applicability requirements. These plans shall be  submitted as a major permit modification application for existing sanitary  landfills or as a part of the Part B application for new sanitary landfills.
    a. Applicability.
    (1) RDD shall be restricted to permitted sanitary landfills  designed with a composite liner system, as required by 9VAC20-81-130 J 1. The  effectiveness of the liner system and leachate collection system shall be  demonstrated in the plan and shall be assessed at the end of the testing period  in order to compare the effectiveness of the systems to the start of the RDD  testing period.
    (2) Operating permitted sanitary landfills that have exceeded  groundwater protection standards at statistically significant levels in  accordance with 9VAC20-81-250 B, from any waste unit on site shall have  implemented a remedy in accordance with 9VAC20-81-260 C prior to the RDD plan  submittal. Operating permitted sanitary landfills that have an exceedance in  the concentration of methane gas migrating from the landfill in accordance with  9VAC20-81-200 shall have a gas control system in place per 9VAC20-81-200 B  prior to the RDD plan submittal. 
    (3) An owner or operator of a sanitary landfill that disposes  of 20 tons of municipal solid waste per day or less, based on annual average,  may not apply for a modification to include a RDD plan.
    (4) The sanitary landfill shall have a leachate collection  system designed and constructed to maintain less than a 30 cm depth of leachate  on the liner.
    b. Requirements.
    (1) RDD Plans may be submitted for activities such as:
    (a) The addition of liquids in addition to leachate and gas  condensate from the same landfill for accelerated decomposition of the waste  mass; prior to the RDD Plan submittal.
    (b) Allowing run-on water to flow into the landfill waste  mass; and
    (c) Allowing testing of the construction and infiltration  performance of alternative final cover systems. An RDD plan may be proposed  for; and
    (d) For other measures to be taken to enhance  stabilization of the waste mass.
    (2) No landfill owner or operator may continue to implement an  RDD plan beyond any time limit placed in the initial plan approval or any  renewal without issuance of written prior approval by the department.  Justification for renewals shall be based upon information in annual and final  reports as well as research and findings in technical literature.
    (3) RDD plans may not include changes to the approved design  and construction of subgrade preparation, liner system, leachate collection and  removal systems, final cover system, gas and leachate systems outside the  limits of waste, run-off controls, run-on controls, or environmental monitoring  systems exterior to the waste mass.
    (4) Implementation of an approved RDD plan shall comply with  the specific conditions of the RDD Plan as approved in the permit for the  initial testing period and any renewal.
    (5) Structures and features exterior to the waste mass or  waste final grades shall be removed at the end of the testing period, unless  otherwise approved by the department in writing.
    (6) The RDD plan may propose an alternate final cover  installation schedule.
    c. An RDD plan shall include the following details and  specifications. Processes other than adding liquids to the waste mass and  leachate recirculation may be practiced in conjunction with the RDD plan.
    (1) Initial applications for RDD plans shall be submitted for  review and approval prior to the initiation of the process to be tested. These  plans shall specify the process that will be tested, describe preparation and  operation of the process, describe waste types and characteristics that the  process will affect, describe desired changes and end points that the process  is intended to achieve, define testing methods and observations of the process  or waste mass that are necessary to assess effectiveness of the process, and  include technical literature references and research that support use of the  process. The plans shall specify the time period for which the process will be  tested. The plans shall specify the additional information, operating  experience, data generation, or technical developments that the process to be  tested is expected to generate. 
    (2) The test period for the initial application shall be  limited to a maximum of three years.
    (3) Renewals of testing periods shall be limited to a maximum  of three years each. The maximum number of renewals shall be limited to three.
    (4) Renewals shall require department review and approval of  reports of performance and progress on achievement of goals specified in the  RDD plan.
    (5) RDD Plans for addition of liquids, in addition to leachate  and gas condensate from the same landfill, for accelerated decomposition of the  waste mass and/or for allowing run-on water to flow into the landfill waste  mass shall demonstrate that there is no increased risk to human health and the  environment. The following minimum performance criteria shall be demonstrated.
    (a) Risk of contamination to groundwater or surface water will  not be greater than the risk without an approved RDD plan.
    (b) Stability analysis demonstrating the physical stability of  the landfill.
    (c) Landfill gas collection and control in accordance with  applicable Clean Air Act requirements (i.e., Title V, NSPS or EG rule, etc.).
    (d) For RDD plans that include the addition of offsite  nonhazardous waste liquids to the landfill, the following information shall be  submitted with the RDD plan: 
    (i) Demonstration of adequate facility liquid storage volume  to receive the offsite liquid;
    (ii) A list of proposed characteristics for screening the  accepted liquids is developed; and
    (iii) The quantity and quality of the liquids are compatible  with the RDD plan. 
    If offsite nonhazardous liquids are certified by the offsite  generator as stormwater uncontaminated by solid waste, screening is not  required for this liquid.
    (6) RDD plans for testing of the construction and infiltration  performance of alternative final cover systems shall demonstrate that there is  no increased risk to human health and the environment. The proposed final cover  system shall be as protective as the final cover system required by  9VAC20-81-160 D. The following minimum performance criteria shall be  demonstrated:
    (a) No build up of excess liquid in the waste and on the  landfill liner;
    (b) Stability analysis demonstrating the physical stability of  the landfill; 
    (c) No moisture will escape from the landfill to the surface  water or groundwater; and
    (d) Sufficient reduction in infiltration so that there will be  no leakage of leachate from the landfill.
    (7) RDD plans that evaluate introduction of liquids in  addition to leachate or gas condensate from the same landfill shall propose  measures to be integrated with any approved leachate recirculation plan and  compliance with requirements for leachate recirculation.
    (8) RDD plans shall include a description of warning symptoms  and failure thresholds that will be used to initiate investigation, stand-by,  termination, and changes to the process and any other landfill systems that  might be affected by the process, such as gas extraction and leachate  recirculation. Warning symptoms shall result in a reduction or suspension of liquids  addition, leachate recirculation, investigation, and changes to be implemented  before resuming the process being tested. Failure thresholds shall result in  termination of the process being tested, investigation, and changes that will  be submitted to the department for review and approval in writing prior to  resumption of the process being tested.
    (9) RDD plans shall include an assessment of the manner in  which the process to be tested might alter the impact that the landfill may  have on human health or environmental quality. The assessment shall include  both beneficial and deleterious effects that could result from the process.
    (10) RDD plans shall include a geotechnical stability analysis  of the waste mass and an assessment of the changes that the implementation of  the plan are expected to achieve. The geotechnical stability analysis and  assessment shall be repeated at the end of testing period, with alteration as  needed to include parameters and parameter values derived from field  measurements. The plan shall define relevant parameters and techniques for  field measurement.
    (11) RDD plans shall propose monitoring parameters,  frequencies, test methods, instrumentation, recordkeeping and reporting to the  department for purposes of tracking and verifying goals of the process selected  for testing.
    (12) RDD plans shall propose monitoring techniques and  instrumentation for potential movements of waste mass and settlement of waste  mass, including proposed time intervals and instrumentation, pertinent to the  process selected for testing. 
    (13) RDD plans shall propose construction documentation,  construction quality control and construction quality assurance measures, and  recordkeeping for construction and equipment installation that is part of the  process selected for testing. 
    (14) RDD plans shall propose operating practices and controls,  staffing, monitoring parameters, and equipment needed to support operations of  the process selected for testing. 
    (15) RDD plans that include aeration of the waste mass shall  include a temperature monitoring plan, a fire drill and safety program,  instructions for use of liquids for control of temperature and fires in the  waste mass, and instructions for investigation and repair of damage to the  liner and leachate collection system. 
    (16) RDD plans may include an alternate interim cover system  and final cover installation schedule. The interim cover system shall be  designed to account for weather conditions, slope stability, and leachate and  gas generation. The interim cover shall also control, at a minimum, disease  vectors, fires, odors, blowing litter, and scavenging.
    d. Reporting. An annual report shall be prepared for each year  of the RDD testing period, including any renewal periods, and a final report  shall be prepared for the end of the testing period. These reports shall assess  the attainment of goals proposed for the process selected for testing,  recommend changes, recommend further work, and summarize problems and their  resolution. Reports shall include a summary of all monitoring data, testing  data and observations of process or effects and shall include recommendations  for continuance or termination of the process selected for testing. Annual  reports shall be submitted to the department within three months after the  anniversary date of the approved permit or permit modification. Final reports  shall be submitted at least 90 days prior to the end of the testing period for  evaluation by the department. The department shall review this report within 90  days. If the department's evaluation indicates that the goals of the project  have been met, are reliable and predictable, the department will provide a  minor permit modification to incorporate the continued operation of the project  with the appropriate monitoring.
    e. Termination. The department may require modifications to or  immediate termination of the RDD process being tested if any of the following  conditions occur:
    (1) Significant and persistent odors;
    (2) Significant leachate seeps or surface exposure of  leachate;
    (3) Significant leachate head on the liner;
    (4) Excessively acidic leachate chemistry or gas production  rates or other monitoring data indicate poor waste decomposition conditions;
    (5) Instability in the waste mass; or 
    (6) Other persistent and deleterious effects.
    The RDD program is an optional participation program, by  accepting the modification or new permit, the applicant acknowledges that the  program is optional; and that they are aware the department may provide  suspension or termination of the RDD program for any reasonable cause, without  a public hearing. Notice of suspension or termination will be by letter for a  cause related to a technical problem, nuisance problem, or for protection of  human health or the environment as determined by the department.
    G. Facility siting. The suitability of the facility location  will not be considered at the time of permit modification unless new  information or standards indicate that an endangerment to human health or the  environment exists which was unknown at the time of permit issuance or the  modification is for an expansion or increase in capacity. 
    Part I 
  Definitions 
    9VAC20-85-10. Definitions as established in Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.). 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations 9VAC20-80-10 et seq., 9VAC20-81,  are incorporated by reference. 
    9VAC20-85-40. Applicability. 
    A. This chapter applies to all persons who use, reuse, or  reclaim fossil fuel combustion products by applying them to or placing them on  land in a manner other than addressed in 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations, 9VAC20-80-150 and 9VAC20-80-160. 9VAC20-80-150  9VAC20-81-95 provides for the beneficial use of waste materials such as  fossil fuel combustion products, and 9VAC20-80-160 provides for  conditional exemptions from regulation for fossil fuel combustion products. 
    B. This chapter establishes minimum standards for the owners  or operators of coal mining facilities that accept CCB for mine reclamation or  mine refuse disposal on a mine site permitted by the Virginia Department of  Mines, Minerals and Energy (DMME) unless otherwise exempt under 9VAC20-80-160  B 9VAC20-81-95 D 18 of the Solid Waste Management Regulations. If  the permit issued by the DMME in accordance with the Virginia Surface Mining  Regulations, 4VAC25-130-700.1 et seq., specifies the applicable conditions set  forth in Parts III and IV of this chapter, the permittee is exempt from this  chapter. 
    C. Conditions of applicability are as follows: 
    1. Persons using fossil fuel combustion products other than in  a manner prescribed under this chapter, or managing fossil fuel combustion  products containing any constituent at a level exceeding levels set forth in  Table 1 in Part IV of this chapter, shall manage their waste in accordance with  all applicable provisions of the Virginia Solid Waste Management  Regulations, 9VAC20-80 9VAC20-81; 
    2. Materials which are accumulated speculatively, materials  which are not utilized in a manner described in the operation plan required by  9VAC20-85-90 of this chapter, and off-specification materials which cannot be  utilized or reprocessed to make them usable shall be managed in accordance with  all appropriate provisions of the Virginia Solid Waste Management Regulations,  9VAC20-80 9VAC20-81; and 
    3. Storage, stockpiling, and other processing or handling of  fossil fuel combustion products, which may need to occur prior to their final  placement or use, reuse, or reclamation, shall be in a manner necessary to protect  human health and safety and the environment. For projects permitted by the  DMME, the storage, stockpiling, or handling of CCB shall be managed in  accordance with the Virginia Surface Mining Regulations, 4VAC25-130-700.1 et  seq. 
    9VAC20-85-50. Relationship to other regulations. 
    This chapter does not affect the Virginia Solid Waste  Management Regulations, 9VAC20-80-10 et seq. 9VAC20-81, or other  pertinent regulations of the department or other agencies of the Commonwealth,  except that persons subject to and in compliance with this chapter are exempt  from the Virginia Solid Waste Management Regulations and the Financial  Assurance Regulations for Solid Waste Facilities, 9VAC20-70-10 et seq. 9VAC20-70,  for those activities covered by this chapter. 
    9VAC20-85-60. Enforcement and appeals. 
    A. All administrative enforcement and appeals taken from  actions of the department relative to the provisions of this chapter shall be  governed by the Virginia Administrative Process Act (§ 2.2-4000 et seq. of the  Code of Virginia). 
    B. The owner or operator of the fossil fuel combustion  products site who violates any provision of this chapter will be considered to  be operating an unpermitted facility as provided for in 9VAC20-80-90 9VAC20-81-40  of the Solid Waste Management Regulations and shall be required to either  obtain a permit as required by Part VII V or close under Part V  III of this chapter 9VAC20-81. 
    C. The requirement to obtain a permit or to close the project  shall not preclude additional action for remediation or enforcement, including  (without limitations) the assessment of civil charges or civil penalties, as is  otherwise authorized by law. 
    Article 3 
  Operations 
    9VAC20-85-90. Operations. 
    The owner or operator of a fossil fuel combustion products  site shall prepare an operation plan. At a minimum, the plan shall address the  requirements contained in this section. 
    1. Tracking of mud or fossil fuel combustion products onto  public roads from the site shall be controlled at all times to minimize  nuisances. 
    2. The addition of any solid waste including but not limited  to hazardous, infectious, construction, debris, demolition, industrial,  petroleum-contaminated soil, or municipal solid waste to fossil fuel combustion  products is prohibited. This prohibition does not apply to solid wastes from  the extraction, beneficiation and processing of ores and minerals conditionally  exempted under 9VAC20-80-160 A 2 9VAC20-81-95 E 3 of the Solid  Waste Management Regulations. 
    3. Fugitive dust shall be controlled at the site so it does  not constitute nuisances or hazards. 
    4. After preparing the subbase, fossil fuel combustion  products shall be placed uniformly and compacted to standards, including insitu  density, compaction effort and relative density as specified by a registered  professional engineer based on the intended use of the fossil fuel combustion  products. The placement and compaction of CCB on coal mine sites shall be  subject to the applicable requirements of the Coal Surface Mining Reclamation  Regulations, 4VAC25-130-700.1 et seq. 
    5. A surface run on and runoff control program shall be  implemented to control and reduce the infiltration of surface water through the  fossil fuel combustion products and to control the runoff from the placement  area to other areas and to surface waters. 
    6. Runoff shall not be permitted to drain or discharge into  surface waters except when in accordance with 9VAC25-10-10 et seq., of the  State Water Control Board, or otherwise approved by the department. 
    7. Fossil fuel combustion products site development shall be  in accordance with the Virginia Erosion and Sediment Control Regulations,  4VAC50-30, or the Coal Surface Mining Reclamation Regulations, 4VAC25-130-700.1  et seq., as applicable. 
    Part IV 
  Administrative Requirements 
    9VAC20-85-150. General. 
    A. Notwithstanding any provisions of Part VII V  of the Virginia Solid Waste Management Regulations, 9VAC20-80 9VAC20-81,  the owner or operator of a site which manages only fossil fuel combustion  products allowed under 9VAC20-85-40 shall not be required to have a solid waste  management facility permit, neither must a fossil fuel combustion products  facility operator certified by the Board for Waste Management Facility  Operators directly supervise operations at the site, if the owner or operator at  least 30 days prior to initial placement of fossil fuel combustion products  provides to the appropriate department regional office and verifies receipt of:  
    1. A certification that it has legal control over the fossil  fuel combustion products site for the project life and the closure period. For  the purposes of this section, on a coal mine site permitted by the DMME,  demonstration of legal right to enter and begin surface coal mining and  reclamation operations shall constitute compliance with the provisions of this  section. 
    2. A certification from the governing body of the county,  city, or town in which the fossil fuel combustion products site is to be  located that the location and operation of the fossil fuel combustion products  site are consistent with all applicable ordinances, with the exception of  projects permitted by the DMME. 
    3. A general description of the intended use, reuse, or  reclamation of fossil fuel combustion products. Such description will include: 
    a. A description of the nature, purpose and location of the  fossil fuel combustion products site, including a topographic map showing the  site area and available soils, and geological maps. The description shall  include an explanation of how fossil fuel combustion products will be stored  prior to use, reuse or reclamation, if applicable; 
    b. The estimated beginning and ending dates for the operation;  
    c. An estimate of the volume of the fossil fuel combustion  products to be utilized; and 
    d. A description of the proposed type of fossil fuel combustion  products to be used, reused or reclaimed, including physical and chemical  characteristics of the fossil fuel combustion products. The chemical  description shall contain the results of TCLP analyses for the constituents  shown in Table 1. The description shall also contain a statement that the  project will not manage fossil fuel combustion products that contain any  constituent at a level exceeding those shown in the table. 
           |      TABLE 1.      LIST OF CONSTITUENTS AND MAXIMUM LEVELS.      |    
       |      Constituent      |          Level, mg/lit      |    
       |      Arsenic      |          5.0      |    
       |      Barium      |          100      |    
       |      Cadmium      |          1.0      |    
       |      Chromium      |          5.0      |    
       |      Lead      |          5.0      |    
       |      Mercury      |          0.2      |    
       |      Selenium      |          1.0      |    
       |      Silver      |          5.0      |    
  
    4. A certification by a professional engineer licensed to  practice by the Commonwealth that the project meets the locational restrictions  of 9VAC20-85-70. Such certificate shall contain no qualifications or exemptions  from the requirements. 
    5. A certificate signed by a professional engineer licensed to  practice by the Commonwealth that the project has been designed in accordance  with the standards of 9VAC20-85-80 if applicable. Such certificate shall  contain no qualifications or exceptions from the requirements and plans. 
    6. An operational plan describing how the standards of  9VAC20-85-90 will be met. 
    7. A closure plan describing how the standards of Article 4 of  Part III of this chapter will be met, if applicable. 
    8. A signed statement that the owner or operator shall allow  authorized representatives of the Commonwealth, upon presentation of  appropriate credentials, to have access to areas in which the activities  covered by this chapter will be, are being, or have been conducted to ensure  compliance. 
    B. The materials submitted under the provisions of subsection  A of this section will be evaluated for completeness within 30 days of receipt  by the appropriate department regional office. If the department notifies the  applicant of deficiencies within 30 days, the applicant shall postpone any  construction or activities proposed in the application for the department's  approval until the department's approval has been received. If the applicant  has not received a notice of deficiency within 30 days, the applicant can  proceed. 
    9VAC20-85-180. Administrative procedures. 
    The administrative procedures associated with the submission  of the variance petition, its processing and resolution will be accomplished in  accordance with the requirements of 9VAC20-80-790 Part VII  (9VAC20-81-700 et seq.) of the Solid Waste Management Regulations. 
    Part I 
  Definitions 
    9VAC20-120-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise.  Chapter 14 (§ 10.1-1400 et seq.) of Title 10.1 of the Code of Virginia defines  words and terms that supplement those in this chapter. The Virginia  Solid Waste Management Regulations, 9VAC20-80 9VAC20-81, define  additional words and terms that supplement those in the statutes and this  chapter. When the statutes, as cited, and the solid waste management  regulations, as cited, conflict, the definitions of the statutes are  controlling. 
    "Act" or "regulations" means the federal  or state law or regulation last cited in the context, unless otherwise  indicated. 
    "Alternative treatment method" means a method for  the treatment of regulated medical waste that is not incineration or steam  sterilization (autoclaving). 
    "Approved sanitary sewer system" means a network of  sewers serving a facility that has been approved in writing by the Virginia  Department of Health, including affiliated local health departments. Such sewer  systems may be approved septic tank/drainfield systems and on-site treatment  systems, or they may be a part of a collection system served by an NPDES  permitted treatment works. 
    "Associated" means two or more firms that share  staff members, management, directors, and assets or engage in joint ventures.  Holding companies and part owners are associated parties. 
    "Ash" means the residual waste material produced  from an incineration process or any combustion. 
    "ASTM" means the American Society For Testing and  Materials. 
    "Autoclave tape" means tape that changes color or  becomes striped when subjected to temperatures that will provide sterilization  of materials during treatment in an autoclave or similar device. 
    "Blood" means human blood, human blood components,  and products made from human blood. 
    "Board" means the Virginia Waste Management Board. 
    "Body fluids" means liquid emanating or derived  from humans including blood; cerebrospinal, synovial, pleural, peritoneal and  pericardial fluids; semen and vaginal secretions; amniotic fluid; urine; saliva  in dental procedures; and any other body fluids that are contaminated with  blood, and any other liquids emanating from humans that may be mixed or  combined with body fluids. 
    "Closure" means the act of securing a regulated  medical waste management facility pursuant to the requirements of these  regulations. 
    "Closure plan" means the plan for closure prepared  in accordance with the requirements of this chapter. 
    "Commonwealth" means the Commonwealth of Virginia. 
    "Container" means any portable enclosure in which a  material is stored, transported, treated, or otherwise handled. 
    "Contaminated" means the presence or the reasonably  anticipated presence of blood or other body fluids on an item or surface. 
    "Contingency plan" means a document setting out an  organized, planned and coordinated course of action to be followed in the event  of a fire, explosion, or release of regulated medical waste or regulated  medical waste constituents that could threaten human health or the environment.  
    "CWA" means the Clean Water Act (formerly referred  to as the Federal Water Pollution Control Act), 33 USC § 1251 et seq.; PL  92-500, PL 93-207, PL 93-243, PL 93-592, PL 94-238, PL 94-273, PL 94-558, PL  95-217, PL 95-576, PL 96-148, PL 96-478, PL 96-483, PL 96-510, PL 96-561, PL  97-35, PL 97-117, PL 97-164, PL 97-216, PL 97-272, PL 97-440, PL 98-45, PL  100-4, PL 100-202, PL 100-404, and PL 100-668. 
    "Decontamination" means the use of physical or  chemical means to remove, inactivate, or destroy human pathogens on a surface  or item to the point where they are no longer capable of transmitting disease  and the surface or item is rendered safe for handling, use, or disposal. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. 
    "Discard" means to throw away or reject. When a  material is soiled, contaminated or no longer usable and it is placed in a  waste receptacle for disposal or treatment prior to disposal, it is considered  discarded. 
    "Discharge" or "waste discharge" means  the accidental or intentional spilling, leaking, pumping, pouring, emitting,  emptying, or dumping of regulated medical waste into or on any land or state  waters. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters, including  ground waters. 
    "Disposal facility" means a facility or part of a  facility at which solid waste is intentionally placed into or on any land or  water, and at which the solid waste will remain after closure. 
    "Domestic sewage" means untreated sanitary wastes  that pass through a sewer system. 
    "Empty" means wastes have been removed from a  container using the practices commonly employed to remove materials of that  type. 
    "EPA" means the U.S. Environmental Protection  Agency. 
    "Etiologic agents" means the specific organisms  defined to be etiologic agents in 42 CFR 72.3. In general, etiologic agents as  defined in 42 CFR 72.1 means a viable microorganism or its toxin which causes  or may cause human disease. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Generate" means to cause waste to become subject  to regulation. When regulated medical waste is first discarded, it must be  appropriately packaged in accordance with this regulation. At the point a  regulated medical waste is discarded it has been generated. 
    Note: Timeframes associated with storage and refrigeration  are no longer linked to the "date of generation." 
    "Generator" means any person, by site location,  whose act or process produces regulated medical waste identified or listed in  Part III (9VAC20-120-80 et seq.) of this chapter or whose act first causes a  regulated medical waste to become subject to this chapter. 
    "Hazardous material" means a substance or material  that has been so designated under 49 Parts CFR 171 and 173. 
    "Hazardous waste" means any solid waste defined as  a "hazardous waste" by the Virginia Hazardous Waste Management  Regulations. 
    "Health Care Professional" means a medical doctor  or nurse practicing under a license issued by the Department of Health  Professions. 
    "Highly leak resistant" means that leaks will not  occur in the container even if the container receives severe abuse and stress,  but remains substantially intact. 
    "Highly puncture resistant" means that punctures  will not penetrate the container even if the container receives severe abuse  and stress, but remains substantially intact. 
    "Motor vehicle" means a vehicle, machine, roll off  container, tractor, trailer, or semi-trailer, or any combination of them,  propelled or drawn by mechanical power and used in transportation or designed  for such use. 
    "Nonstationary health care providers" means those  persons who routinely provide health care at locations that change each day or  frequently. This term includes traveling doctors, nurses, midwives, and others  providing care in patients' homes, first aid providers operating from emergency  vehicles, and mobile blood service collection stations. 
    "NPDES" or "National Pollutant Discharge  Elimination System" means the national program for issuing, modifying,  revoking, reissuing, terminating, monitoring, and enforcing permits pursuant to  §§ 307, 402, 318, and 405 of the Clean Water Act. The term includes any state  or interstate program that has been approved by the Administrator of the United  States Environmental Protection Agency. 
    "Off-site" means any site that does not meet the  definition of on-site as defined in this part, including areas of a facility  that are not on geographically contiguous property or outside of the boundary  of the site. 
    "On-site" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same person  but connected by a right-of-way that he controls and to which the public does  not have access are also considered on-site property. 
    "Owner" means the person or persons who own a  regulated medical waste management facility or part of a regulated medical  waste management facility. 
    "Package" or "outside package" means a  package plus its contents. 
    "Packaging" means the assembly of one or more  containers and any other components necessary to assure compliance with minimum  packaging requirements under VRGTHM or this chapter. 
    "Permit by rule" means provisions of this chapter  stating that a facility or activity is deemed to have a permit if it meets the  requirements of the provision. 
    "Permitted waste management facility" or  "permitted facility" means a regulated medical waste treatment or  storage facility that has received a permit in accordance with the requirements  of the chapter. 
    "Physical construction" means excavation, movement  of earth, erection of forms or structures, the purchase of equipment, or any  other activity involving the actual preparation of the regulated medical waste management  facility. 
    "Processing" means preparation, treatment, or  conversion of regulated medical waste by a series of actions, changes, or  functions that bring about a decided result. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act (42 USC § 6901 et  seq.), the Hazardous and Solid Waste Amendments of 1984, and any other  applicable amendments to these laws. 
    "Regulated medical waste" means solid wastes  defined to be regulated medical wastes in Part III (9VAC20-120-80 et seq.) of  this chapter. 
    "Regulated medical waste management" means the  systematic administration of activities that provide for the collection, source  separation, storage, transportation, transfer, processing, treatment, and  disposal of regulated medical wastes whether or not such facility is associated  with facilities generating such wastes or otherwise. 
    "Regulated medical waste management facility" means  a solid waste management facility that manages regulated medical waste. 
    "Safe sharps program" means a program supported by  a city, county, town or public authority that is intended to enhance the safe  disposal of sharps discarded by private individuals. 
    "Sanitary sewer system" means a system for the  collection and transport of sewage, the construction of which was approved by  the Department of Health or other appropriate authority. 
    "Secondary container" means a storage device into  which a container can be placed for the purpose of containing any leakage from  the original container. 
    "Section" means a subpart of this chapter and when  referred to all portions of that part apply. 
    "Sharps" means needles, scalpels, knives, syringes  with attached needles, pasteur pipettes and similar items having a point or  sharp edge or that are likely to break during transportation and result in a  point or sharp edge. 
    "Shipment" means the movement or quantity conveyed  by a transporter of a regulated medical waste between a generator and a  designated facility or a subsequent transporter. 
    "Site" means the land or water area upon which a  facility or activity is physically located or conducted, including but not  limited to adjacent land used for utility systems such as repair, storage,  shipping, or processing areas, or other areas incident to the controlled facility  or activity. 
    "Solid waste" means any garbage, refuse, sludge and  other discarded material, including solid, liquid, semisolid or contained  gaseous material, resulting from industrial, commercial, mining and agriculture  operations, or community activities, but does not include (i) solid or  dissolved material in domestic sewage, (ii) solid or dissolved material in  irrigation return flows or in industrial discharges which are sources subject  to a permit from the State Water Control Board, or (iii) source, special  nuclear, or by-product material as defined by the Federal Atomic Energy Act of  1954, as amended 42 USC §§ 2011-2284. The definition of solid waste is further  clarified in the Virginia Solid Waste Management Regulations (9VAC20-80-140)  (9VAC20-81-95). 
    "Solid waste management" means the collection,  source separation, storage, transportation, transfer, processing, treatment,  and disposal of solid wastes or resource recovery. 
    "Spill" means any accidental or unpermitted  discharge, leaking, pumping, pouring, emitting, or dumping of wastes or  materials that, when spilled, become wastes. 
    "Start-up" or "cold start-up" means the  beginning of a combustion operation from a condition where the combustor unit  is not operating and less than 140°F in all areas. 
    "Storage" means the holding, including during  transportation, of more than 200 gallons of waste, at the end of which the  regulated medical waste is treated or stored elsewhere. 
    "Training" means formal instruction, supplementing  an employee's existing job knowledge, designed to protect human health and the  environment via attendance and successful completion of a course of instruction  in regulated medical waste management procedures, including contingency plan  implementation, relevant to those operations connected with the employee's  position at the facility. 
    "Transfer facility" means any transportation  related facility including loading docks, parking areas, storage areas, and  other similar areas where shipments of regulated medical waste are held during  the normal course of transportation. 
    "Transportation" or "transport" means the  movement of regulated medical waste by air, rail, highway, or water. 
    "Transport vehicle" means any vehicle used for the  transportation of cargo. 
    "Vector" means a living animal, insect or other  arthropod that may transmits an infectious disease from one organism to  another. 
    "VRGTHM" means Virginia Regulations Governing the  Transportation of Hazardous Materials promulgated by the Virginia Waste  Management Board as authorized by §§ 10.1-1450 through 10.1-1454 of the Code of  Virginia. 
    "Waste management facility" means all contiguous  land and structures, other appurtenances, and improvements on them used for  treating, storing, or disposing of waste. 
    "Waste management unit" means any unit at a  treatment or storage facility that possesses a permit, or that has received  regulated medical waste (as defined in this chapter) at any time, including  units that are not currently active. 
    9VAC20-120-70. Relationship to other bodies of regulation. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  address other requirements for regulated medical waste management. Any  regulated medical waste management facility must also conform to any applicable  sections of the solid waste management regulations issued by the board and any  special solid waste management regulations such as those defining financial  assurance requirements. If there is a conflict between the details of  regulations here and the others, this chapter is controlling. 
    B. Regulated medical waste management facility must also  comply with any applicable sections of the Hazardous Waste Management  Regulations (9VAC20-60) issued by the department. If there is a conflict  between the details of regulations here and the hazardous waste management  regulations, the latter regulations are controlling. 
    C. Intrastate shipment of hazardous materials is subject to  the Regulations Governing the Transportation of Hazardous Materials  (9VAC20-110) of the department. If there is a conflict between the details of  regulations here and the hazardous materials transportation regulations, the  latter are controlling. 
    D. Generators of regulated medical waste and regulated  medical waste management facilities may be subject to the general industry  standard for occupational exposure to bloodborne pathogens in  16VAC25-90-1910.1030 (29 CFR 1910.1030). 
    E. Persons transporting regulated medical waste are subject  to the federal hazardous material transportation requirements in 49 CFR 171  through 178. 
    F. If there is a conflict between the regulations here and  adopted regulations of another agency of the Commonwealth, the provisions of  these regulations are set aside to the extent necessary to allow compliance  with the regulations of the other agency. If neither regulation controls, the  more stringent standard applies. 
    G. Nothing here either precludes or enables a local governing  body to adopt ordinances. Compliance with one body of regulation does not  insure compliance with the other, and, normally, both bodies of regulation must  be complied with fully. 
    9VAC20-120-100. Recycled materials. 
    A. Untreated regulated medical wastes shall not be used,  reused, or reclaimed. 
    B. Wastes that have been treated in accord with these  regulations are no longer regulated medical waste and may be used, reused, or  reclaimed in accordance with the provisions of the Virginia Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81). 
    C. Bed linen, instruments, medical care equipment and other  materials that are routinely reused for their original purpose are not subject  to these regulations until they are discarded and are a solid waste. These  items do not include reusable carts or other devices used in the management of  regulated medical waste (see 9VAC20-120-260). 
    Article 6 
  Treatment and Disposal 
    9VAC20-120-300. Methods of treatment and disposal. 
    A. All regulated medical waste must be incinerated,  sterilized by steam, or treated by a method as described in Part VII  (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.), or IX (9VAC20-120-630  et seq.) of this chapter. 
    B. No regulated medical waste shall be disposed of in a solid  waste landfill or other solid waste management facility. Upon authorized  treatment and management in accord with this chapter, the solid waste or its  ash is not regulated medical waste and may be disposed of at any landfill or  other solid waste management facility permitted to receive municipal solid  waste or garbage, provided the disposal is in accordance with the Solid Waste  Management Regulations, 9VAC20-80 9VAC20-81, and other applicable  regulations and standards. 
    C. Regulated medical waste in closed bags or containers shall  not be compacted or subjected to violent mechanical stress; however, after it  is fully treated and it is no longer regulated medical waste, it may be  compacted in a closed container. Nothing in this section shall prevent the  puncturing of containers or packaging immediately prior to permitted treatment  in which grinding, shredding, or puncturing is integral to the process units;  however, all grinding, shredding and puncturing shall be done with safe and  sanitary methods. Nothing in this section shall prevent the use of devices that  grind, shred or compact to reduce volume at the point of generation. Devices  will be constructed in a manner that prevents employee exposure to the waste,  contains any aerosol or mist that may be caused by the process, and treats or  filters any air evacuated from the chamber during processing. These devices may  be employed at the point of generation and prior to enclosing the regulated  medical waste in plastic bags and other required packaging; however, the waste  remains regulated medical waste. Appropriate means must be employed to  appropriately protect workers and contain the waste when unloading regulated  medical wastes from such a device. 
    9VAC20-120-540. Analysis and management of the ash product;  procedure; results and records; disposition of ash; ash storage. 
    A. Once every eight hours of operation of a continuously fed  incinerator and once every batch or 24 hours of operation of a batch fed  incinerator, a representative sample of 250 milliliters of the bottom ash shall  be collected from the ash discharge or the ash discharge conveyer. Samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous Waste  Management Regulations for determining if a solid waste is a hazardous waste.  Also, the sample shall be tested for total organic carbon content. 
    At incinerators equipped with air pollution control devices  that remove and collect incinerator emissions control ash or dust, this ash  shall be held separately and not mixed with bottom ash. Once every eight hours  of operation of a continuously fed incinerator and once every batch or 24 hours  of operation of a batch fed incinerator, a representative sample of 250  milliliters of the air pollution control ash or dust shall be collected from  the pollution control ash discharge. Air pollution control ash or dust samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous  Waste Management Regulations for determining if a waste is a hazardous waste. 
    B. A log shall document the ash sampling, to include the date  and time of each sample collected; the date, time and identification number of  each composite sample; and the results of the analyses, including laboratory  identification. Results of analyses must be returned from the laboratory and  recorded within four weeks following collection of the composite sample. The  results and records described in this part shall be maintained for a period of  three years, and shall be available for review. 
    C. If a waste ash is found to be hazardous waste (based on a  sample and a confirmation sample) the waste ash shall be disposed of as a  hazardous waste in accord with the Virginia Hazardous Waste Management  Regulations. If ash is found not to be hazardous waste by analysis, it may be  disposed of in a solid waste landfill that is permitted to receive garbage,  municipal solid waste or incinerator ash, provided the disposal is in  accordance with the Solid Waste Management Regulations, 9VAC20-80 9VAC20-81.  If the ash is found to be hazardous waste, the operator shall notify the  Director of the Department of Environmental Quality within 24 hours. No later  than 15 calendar days following, the permittee shall submit a plan for treating  and disposing of the waste on hand at the facility and all unsatisfactorily  treated waste that has left the facility. The permittee may include with the  plan a description of the corrective actions to be taken to prevent further  unsatisfactory performance. No ash subsequently generated from the incinerator  waste stream that was found to be hazardous waste shall be sent to a  nonhazardous solid waste management facility in the Commonwealth without the  express written approval of the director. 
    D. Air pollution control ash and bottom ash shall be held  separately and not mixed; however, once both are determined not to be hazardous  waste, they may be combined and disposed of as other solid waste. Throughout  the storage of the untested material it shall be kept in covered highly leak  resistant containers. It should be held until the generator determines whether  the ash waste is hazardous waste. Areas where untested material containers are  placed must be constructed with a berm to prevent runoff from that area. 
    E. Regulated medical waste treated in compliance with Part  VII (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.) or IX  (9VAC20-120-630 et seq.) of this chapter shall be deemed to be treated in  accordance with this chapter. Regulated medical waste not treated in accordance  with this chapter shall not be transported, received for transport or disposal,  or disposed of in any solid waste management facility. 
    9VAC20-120-810. Amendment of permits. 
    A. Temporary authorizations. 
    1. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of this section. Temporary authorizations  shall have a term of not more than 180 calendar days. 
    2. a. The permittee may request a temporary authorization for:  
    (1) Any substantive amendment meeting the criteria in  subdivision 3 b (1) of this subsection; and 
    (2) Any major amendment that meets the criteria in subdivision  3 b (1) or (2) of this subsection; or that meets the criteria in subdivisions 3  b (3) and (4) of this subsection and provides improved management or treatment  of a regulated medical waste already listed in the facility permit. 
    b. The temporary authorization request shall include: 
    (1) A description of the activities to be conducted under the  temporary authorization; 
    (2) An explanation of why the temporary authorization is  necessary; and 
    (3) Sufficient information to ensure compliance with standards  in Part V (9VAC20-120-330 et seq.) or VI (9VAC20-120-400 et seq.) of this  chapter. 
    c. The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven calendar days of submission of the  authorization request. 
    3. The director shall approve or deny the temporary  authorization as quickly as is practical. To issue a temporary authorization,  the director shall find: 
    a. The authorized activities are in compliance with the  standards of Part V (9VAC20-120-330 et seq.), VII (9VAC20-120-520 et seq.),  VIII (9VAC20-120-580 et seq.) or IX (9VAC20-120-630 et seq.) of this chapter. 
    b. The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an amendment  request: 
    (1) To facilitate timely implementation of closure or  corrective action activities; 
    (2) To prevent disruption of ongoing waste management  activities; 
    (3) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (4) To facilitate other changes to protect human health and  the environment. 
    4. A temporary authorization may be reissued for one  additional term of up to 180 calendar days provided that the permittee has  requested a substantive or a major permit amendment for the activity covered in  the temporary authorization, and (i) the reissued temporary authorization  constitutes the director's decision on a substantive permit amendment in  accordance with the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  or (ii) the director determines that the reissued temporary authorization  involving a major permit amendment request is warranted to allow the authorized  activities to continue while the amendment procedures of the Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81) are conducted. 
    B. Newly defined or identified wastes. The permittee is  authorized to continue to manage wastes defined or identified as regulated  medical waste under Part III (9VAC20-120-80 et seq.) of this chapter if he: 
    1. Was in existence as a regulated medical waste management  facility with respect to the newly defined or identified regulated medical  waste on the effective date of the final rule defining or identifying the  waste; and 
    2. (i) Is in compliance with the standards of Part V, VII,  VIII or IX, as applicable, with respect to the new waste, submits a minor  modification request on or before the date on which the waste becomes subject  to the new requirements or (ii) is not in compliance with the standards of Part  V or VI, as applicable, with respect to the new waste, but submits a complete  permit amendment request within 180 calendar days after the effective date of  the definition or identifying the waste. 
    C. The suitability of the facility location will not be  considered at the time of permit amendment unless new information or standards  indicate that an endangerment to human health or the environment exists that  was unknown at the time of permit issuance. 
    9VAC20-130-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Board" means the Virginia Waste Management Board. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants  and shopping centers.
    "Compost" means a stabilized organic product  produced by composting in such a manner that the product can be handled,  stored, and/or applied to the land.
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes  include, but are not limited to, lumber, wire, sheetrock, broken brick,  shingles, glass, pipes, concrete, paving materials, and metal and plastics if  the metal or plastics are a part of the materials of construction or empty containers  for such materials. Paints, coatings, solvents, asbestos-containing material,  any liquid, compressed gases, or semi-liquids and garbage are not construction  wastes. 
    "Debris waste" means solid waste resulting from  land clearing operations. Debris wastes include, but are not limited to,  stumps, wood, brush, leaves, soil, and road spoils. 
    "Demolition waste" means solid waste produced by  the destruction of structures and their foundations and includes the same  materials as construction wastes. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. For purposes of submissions to the  director as specified in the Waste Management Act, submissions may be made to  the department.
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulation,  9VAC20-60. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts;  inorganic chemicals; iron and steel manufacturing; leather and leather  products; nonferrous metals manufacturing/foundries; organic chemicals;  plastics and resins manufacturing; pulp and paper industry; rubber and  miscellaneous plastic products; stone, glass, clay, and concrete products;  textile manufacturing; transportation equipment; and water treatment. This term  does not include mining waste or oil and gas waste. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Integrated waste management plan" means a  governmental plan that considers all elements of waste management during  generation, collection, transportation, treatment, storage, disposal, and  litter control and selects the appropriate methods of providing necessary  control and services for effective and efficient management of all wastes. An  "integrated waste management plan" must provide for source reduction,  reuse and recycling within the jurisdiction and the proper funding and  management of waste management programs. 
    "Jurisdiction" means a local governing body; city,  county or town; or any independent entity, such as a federal or state agency,  which join with local governing bodies to develop a waste management plan. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill (as these terms  are defined in the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    "Litter" means all waste material disposable  packages or containers, but not including the wastes of the primary processes  of mining, logging, farming, or manufacturing.
    "Market" or "markets" means interim or  end destinations for the recyclable materials, including a materials recovery  facility (MRF).
    "Market conditions" means business and system  related issues used to determine if materials can be targeted, collected, and  delivered to an interim or end market in an efficient manner. Issues may  include, but are not limited to: the cost of collection, storage and  preparation or both; the cost of transportation; accessible volumes of  materials targeted for recycling; market value of materials targeted for  collection/recycling; and distance to viable markets.
    "Materials recovery facility (MRF)" means, for the  purpose of this regulation, a facility for the collection, processing and  marketing of recyclable materials including, but not limited to: metal, paper,  plastics, and glass. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses, except composting as defined and regulated under the Solid  Waste Management Regulations (9VAC20-80) or the Vegetative Waste Management  and Yard Waste Composting Regulations (9VAC20-101) (9VAC20-81). 
    "Municipal solid waste" means waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from the combustion of these wastes. 
    "Permit" means the written permission of the  director to own, operate or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Principal recyclable materials (PRMs)" means  paper, metal, plastic, glass, commingled yard waste, wood, textiles, tires,  used oil, used oil filters, used antifreeze, batteries, electronics, or  material as may be approved by the director. Commingled materials refers to  single stream collections of recyclables where sorting is done at a materials  recovery facility.
    "Recycling" means the process of separating a given  waste material from the waste stream and processing it so that it may be used  again as a raw material for a product, which may or may not be similar to the  original product. For the purpose of this chapter, recycling shall not include  processes that only involve size reduction. 
    "Recycling residue" means the (i) nonmetallic  substances, including but not limited to plastic, rubber, and insulation, which  remain after a shredder has separated for purposes of recycling the ferrous and  nonferrous metal from a motor vehicle, appliance or other discarded metallic  item and (ii) organic waste remaining after removal of metals, glass, plastics  and paper that are to be recycled as part of a resource recovery process for  municipal solid waste resulting in the production of a refuse derived fuel.
    "Regional boundary" means the boundary defining an  area of land that will be a unit for the purpose of developing a waste  management plan, and is established in accordance with 9VAC20-130-180 through  9VAC20-130-220. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Residential waste" means any waste material,  including garbage, trash and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds and day-use recreation  areas. Residential wastes do not include sanitary waste in septic tanks  (septage), that is regulated by other state agencies. 
    "Resource recovery system" means a solid waste  management system that provides for collection, separation, recycling and  recovery of energy or solid wastes, including disposal of nonrecoverable waste  residues. 
    "Reuse" means the process of separating a given  solid waste material from the waste stream and using it, without processing or  changing its form, other than size reduction, for the same or another end use. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste, which is so located, designed,  constructed and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste.  (Note: This term includes all sites whether they are planned and managed  facilities or open dumps.) 
    "Sludge" means any solid, semisolid or liquid waste  generated from a public, municipal, commercial or industrial  wastewater treatment plant, water supply treatment plant, or air pollution  control facility. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Solid Waste Management Regulations (9VAC20-80)  (9VAC20-81).
    "Solid waste planning unit" means each region or  locality that submits a solid waste management plan. 
    "Solid waste management facility  ("SWMF")" means a site used for planned treating, storing, or  disposing of solid waste. A facility may consist of several treatment, storage,  or disposal units. 
    "Source reduction" means any action that reduces or  eliminates the generation of waste at the source, usually within a process.  Source reduction measures include process modifications, feedstock  substitutions, improvements in feedstock purity, improvements in housekeeping  and management practices, increases in the efficiency of machinery, and  recycling within a process. Source reduction minimizes the material that must  be managed by waste disposal or nondisposal options by creating less waste.  "Source reduction" is also called "waste prevention,"  "waste minimization," or "waste reduction."
    "Source separation" means separation of recyclable  materials by the waste generator of materials that are collected for use,  reuse, reclamation, or recycling. 
    "Tons" means 2,000 pounds.
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, and woody wastes such as shrub and  tree prunings, bark, limbs, roots, and stumps. For more detail see Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101) the  Solid Waste Management Regulations (9VAC20-81).
    "Waste exchange" means any system to identify  sources of wastes with potential for use reuse, recycling or reclamation and to  facilitate its acquisition by persons who reuse, recycle or reclaim it, with a  provision for maintaining confidentiality of trade secrets. 
    "White goods" means any stoves, washers, hot water  heaters or other large appliances. For the purposes of this chapter, this  definition also includes, but is not limited to, such Freon-containing appliances  as refrigerators, freezers, air conditioners, and dehumidifiers. 
    "Yard waste" means decomposable waste materials  generated by yard and lawn care and includes leaves, grass trimmings, brush,  wood chips, and shrub and tree trimmings. Yard waste shall not include roots or  stumps that exceed six inches in diameter. 
    9VAC20-130-60. Applicability of regulations. 
    A. This chapter applies to all cities, counties, towns,  designated solid waste planning units (under 9VAC20-130-180) and permitted  solid waste facilities within the solid waste planning unit, including those  facilities covered under permit by rule procedures found in 9VAC20-80 9VAC20-81.  Any city, county, and town may mutually agree to unite for the purpose of solid  waste management planning, and upon joint written notification to the director,  shall be deemed to be a solid waste planning unit for development of a solid  waste management plan. 
    B. Any cities, counties, and towns may be represented by a  planning district, public service authority, or designated region that has been  adopted under 9VAC20-130-90 B. 
    C. The plan may (subject to statutory authority) specify that  all solid waste must be recycled at the rate established by the plan regardless  of the point of origin of the solid waste. Solid wastes from both public and  private sources shall be subject to such requirement. 
    9VAC20-130-120. Planning requirements. 
    A. Basic planning elements:
    1. Objectives for solid waste management within the planning  unit;
    2. A discussion as to how the plan will be implemented and  tracked, consisting of an integrated waste management strategy to support and  promote the hierarchy set forth at 9VAC20-130-30; giving preference to  alternatives in the following order of priority: source reduction, reuse,  recycling, resource recovery, incineration, and landfilling;
    3. Definition of incremental stages of progress toward the  objectives and schedule for their implementation, including, for compliance  with 9VAC20-80-500 9VAC20-81-450, specific solid waste management  facility names, facility capacities, and life based on 20-year need;
    4. Strategy for the provision of necessary funds and  resources;
    5. Descriptions of the funding and resources necessary,  including consideration of fees dedicated to future facility development;
    6. Strategy for public education and information on source  reduction, reuse, and recycling; and
    7. Consideration of public and private sector partnerships and  private sector participation in execution of the plan. Existing private sector  recycling operations should be incorporated in the plan and the expansion of  such operations should be encouraged. 
    B. A minimum recycling rate as specified in § 10.1-1411 of  the Code of Virginia for total municipal solid waste generated annually in each  solid waste planning unit shall be met and maintained. 
    1. The plan shall describe how the minimum recycling rate  shall be met or exceeded. The department may approve the solid waste management  plans of units that do not currently meet the minimum recycling rate only if all  other requirements of these regulations have been met and the solid waste  planning unit demonstrates its commitment to implementing a strong and detailed  action plan for recycling to meet the required rate.
    2. When a solid waste planning unit's annual recycling rate  falls below the minimum rate, it shall constitute evidence of a significant  deviation from the plan. The plan may be subject to revocation by the  department under 9VAC20-130-110 E unless the solid waste planning unit submits  a recycling action plan acceptable to the department per subsection I of this  section.
    C. The solid waste management plan shall include data and  analyses of the following type(s) for each jurisdiction. Each item below shall  be in a separate section and labeled as to content:
    1. Population information and projections for 20 years of  population growth and development patterns;
    2. Urban concentrations, geographic conditions, economic  growth and development, markets for the reuse and recycling of materials,  transportation conditions, and related factors;
    3. Estimates of solid waste generation from residential,  commercial institutional, industrial, construction, demolition, debris and  other types of sources, including the amounts reused, recycled, recovered as a  resource, incinerated and landfilled. Entities engaged in the collection,  processing, and marketing of recyclable materials should provide data for  incorporation into the recycling rate calculation, when requested by the  planning unit.
    4. A listing of existing and planned solid waste collection,  storage, treatment, transportation, disposal and other management facilities,  their projected capacities, expected life and systems for their use;
    5. All milestones in the implementation of the solid waste  management plan over the 20-year projection and the parties responsible for  each milestone;
    6. A description of programs for solid waste reduction, reuse,  recycling, resource recovery, incineration, storage, treatment, disposal and  litter control;
    7. A description of outreach programs for waste exchange,  public education and public participation;
    8. The procedures for and results of evaluating solid waste  collection, including transfer stations; and
    9. The assessment of all current and predicted needs for solid  waste management for a period of 20 years and a description of the action to be  taken to meet those needs.
    D. All known solid waste disposal sites, closed, inactive and  active, within the area of the solid waste management plan shall be documented  and recorded at a centralized archive authorized to receive and record  information and a copy shall be sent to the department. All new sites shall be  recorded at the same central data source.
    E. A methodology shall be utilized to monitor the amount of  solid waste of each type produced within the area of the solid waste management  plan and to record the annual production by solid waste types at a centralized  archive and a copy shall be sent to the department. 
    F. The solid waste management plan shall include, when  developed locally, a copy of the local governing body's resolution adopting the  solid waste management plan.
    G. The solid waste management plan shall include, when  developed regionally, a copy of the resolution approving the plan adopted in  accordance with the Virginia Area Development Act, the Virginia Water and Waste  Authorities Act, the provisions of the Code of Virginia governing joint  exercise of powers by political subdivisions (§ 15.2-1300 of the Code of  Virginia), or other authority as applicable.
    H. The solid waste management plan shall clearly and  explicitly demonstrate the manner in which the goals of the planning  requirements in these regulations shall be accomplished and actions to take if  these requirements are not met.
    I. A planning unit that does not meet the requirements of  these regulations shall submit an action plan, by mail or electronic mail, for  approval by the department. Such action plans shall include:
    1. A description of the deficiency that requires the  development of the action plan.
    2. A time schedule to resolve the deficiency(ies) associated  with the planning unit's failure to meet the requirements of the approved solid  waste management plan.
    3. A reporting requirement to the department, of a minimum of  once every six months, including activities or updates documenting how the  action plan requirements are being met.
    4. Plans and all subsequent reports and submittals shall be  reviewed by the department within 30 days of receipt by the department.
    5. All the department's requests for further information or  response(s) shall be provided within 30 days of receipt at the planning unit.  The department may grant reasonable extensions to these deadlines on a  case-by-case basis. 
    Part I 
  Definitions 
    9VAC20-140-10. Definition incorporated by reference. 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  are incorporated by reference. 
    9VAC20-150-10. Definitions. 
    A. The definitions set out in Part I of the Virginia  Solid Waste Management Regulations, 9VAC20-80-10 et seq., (9VAC20-81)  are incorporated by reference. 
    B. The following words and terms, when used in this chapter,  shall have the following meanings, unless the context clearly indicates  otherwise: 
    "Applicant" means any person or persons seeking  reimbursement under this chapter. 
    "Asphalt pavement containing recycled rubber" means  any hot mix or spray applied binder in asphalt paving mixture that contains  rubber from waste tire materials which is used for asphalt pavement base,  surface course or interlayer, or other road and highway related uses. 
    "Authorized signature" means the signature of an  individual who has authority to sign on behalf of, and bind, the applicant. 
    "Available funds" means for a given fiscal year, a  maximum of 80% of the previous fiscal year's collection of the waste tire tax  plus 85% of nonobligated carryover funds at the end of the previous fiscal  year. 
    "Burning" means the controlled burning of waste  tire materials for the purpose of energy recovery. 
    "Cost of use" means the equipment, leasehold  improvements, buildings, land, engineering, transportation, operating, taxes,  interest, and depreciation or replacement costs of using waste tire materials  incurred by the end user after deducting any tipping fee received by the end  user. 
    "Daily cover" means using waste tire material as an  alternate cover placed upon exposed solid waste to control disease vectors,  fires, odors, blowing litter and scavenging without presenting a threat to  human health and the environment. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or the director's designee. 
    "Embankment" means a raised earthen structure to  carry a roadway. 
    "End user" means: 
    1. For energy recovery: the person who utilizes the heat  content or other forms of energy from the burning or pyrolysis of waste tire  materials; 
    2. For other eligible uses: the last person who uses the  waste tire materials to make a product with economic value. If the waste tire  materials are processed by more than one person in becoming a product, the end  user is the last person to use the tire as waste tire materials. A person who  produces waste tire materials and gives or sells them to another person to use  is not an end user. 
    "Energy recovery" means utilizing the heat content  or other forms of energy from the burning or pyrolysis of waste tire materials.  
    "Fill material for construction" means the material  is used as a base or sub-base under the footprint of a structure, a paved  parking lot, sidewalk, walkway or similar application. 
    "Generator" means any person whose act or process  produces waste tires or whose act first causes a tire to become a solid waste. 
    "Hauler" means a person who picks up or transports  waste tires for the purpose of removal to a permitted storage, processing or  disposal facility. 
    "Partial reimbursement" means reimbursement that  does not exceed the purchase price of waste tire materials or the cost of use  if the waste tire materials were not purchased. 
    "Passenger tire equivalent" means a measure of  passenger, truck tires, and oversize tires where: One passenger car tire equals  20 pounds or 1/100 ton. One truck tire 20-24 inch rim equals 100 pounds or  1/200 ton and a tire with over 24-inch rim equals 200 pounds or greater as  computed by the end user. 
    "Processor" means a person engaged in the  processing of waste tires including, but not limited to, stamping, stripping,  shredding, or crumbing; that operates under a permit issued by the local, state,  or federal government; or is exempt from permit requirements. 
    "Pyrolysis" means thermal treatment of waste tire  materials to separate it into other components with economic value. 
    "Retreading" means processing a waste tire by  attaching a new tread to make a usable tire. 
    "Road bed base" means the foundation of a road  prepared for surfacing. 
    "Tipping fee" means a fee charged to a person for  disposal of a waste tire. 
    "Tire" means a continuous solid or pneumatic rubber  covering encircling the wheel of a vehicle in which a person or property is  transported, or by which they may be drawn on a highway. 
    "Tire pile" means an accumulation of waste tire  materials that violates the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81). 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. 
    "Waste tire materials" means whole waste tires or  waste tires that have been size reduced by physical or chemical process. This  term includes waste tires or chips or similar materials as specified in §§ 10.1-1422.3  and 10.1-1422.4 of the Code of Virginia. 
    "Waste Tire Trust Fund" means the nonreverting fund  set up by § 10.1-1422.3 of the Code of Virginia in which proceeds from the  waste tire tax are deposited. 
    Part II
  General Information 
    9VAC20-150-20. Purpose. 
    The purpose of this chapter is to define the types of uses  eligible for partial reimbursement, to establish the procedures for application  and processing of reimbursement, and to establish the amount of reimbursement. 
    9VAC20-150-40. End uses of waste tires eligible for  reimbursement. 
    A. The following uses of waste tire materials will be  eligible for the reimbursement if the use complies with applicable local  ordinances and regulations and the Virginia Solid Waste Management  Regulations, 9VAC20-80 (9VAC20-81) or the equivalent regulations  in another state. The eligible uses are: 
    1. Civil engineering applications, which utilize waste tire  materials as a substitute for soil, sand, or aggregate in a construction  project such as land or surface applications, road bed base and embankments;  fill material for construction projects; and daily cover and other  substitutions at a permitted solid waste facility if the facility's permit is  so modified; 
    2. Burning of waste tire materials for energy recovery; 
    3. Pyrolysis; and 
    4. Products made from waste tire materials such as molded  rubber products, rubberized asphalt, soil amendments, playground and horse  arena surfacing materials, mulches, mats, sealers, etc. 
    B. Uses that are not eligible for reimbursement include: 
    1. Reuse as a vehicle tire; 
    2. Retreading; 
    3. Burning without energy recovery; and 
    4. Landfilling, except use as specified in subdivision A 1 of  this section. 
    9VAC20-160-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise. 
    "Authorized agent" means any person who is  authorized in writing to fulfill the requirements of this program. 
    "Carcinogen" means a chemical classification for  the purpose of risk assessment as an agent that is known or suspected to cause  cancer in humans, including but not limited to a known or likely human  carcinogen or a probable or possible human carcinogen under an EPA  weight-of-evidence classification system. 
    "Certificate" means a written certification of  satisfactory completion of remediation issued by the director pursuant to § 10.1-1232  of the Code of Virginia. 
    "Completion" means fulfillment of the commitment  agreed to by the participant as part of this program. 
    "Contaminant" means any man-made or man-induced  alteration of the chemical, physical or biological integrity of soils,  sediments, air and surface water or groundwater including, but not limited to,  such alterations caused by any hazardous substance (as defined in the  Comprehensive Environmental Response, Compensation and Liability Act, 42 USC  § 9601(14)), hazardous waste (as defined in 9VAC20-60), solid waste (as  defined in 9VAC20-80-10) 9VAC20-81), petroleum (as defined in  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.))  of the Virginia State Water Control Law, or natural gas. 
    "Cost of remediation" means all costs incurred by  the participant pursuant to activities necessary for completion of voluntary  remediation at the site, based on an estimate of the net present value (NPV) of  the combined costs of the site investigation, report development, remedial  system installation, operation and maintenance, and all other costs associated  with participating in the program and addressing the contaminants of concern at  the site. 
    "Department" means the Department of Environmental  Quality of the Commonwealth of Virginia or its successor agency. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Engineering controls" means physical modification  to a site or facility to reduce or eliminate potential for exposure to  contaminants. These include, but are not limited to, stormwater conveyance  systems, pump and treat systems, slurry walls, liner systems, caps, monitoring  systems, and leachate collection systems. 
    "Hazard index (HI)" means the sum of more than one  hazard quotient for multiple contaminants or multiple exposure pathways or  both. The HI is calculated separately for chronic, subchronic, and shorter  duration exposures. 
    "Hazard quotient" means the ratio of a single  contaminant exposure level over a specified time period to a reference dose for  that contaminant derived from a similar period. 
    "Incremental upper-bound lifetime cancer risk  level" means a conservative estimate of the incremental probability of an  individual developing cancer over a lifetime. Upper-bound lifetime cancer risk  level is likely to overestimate "true risk." 
    "Institutional controls" means legal or contractual  restrictions on property use that remain effective after remediation is  completed, and are used to reduce or eliminate the potential for exposure to  contaminants. The term may include, but is not limited to, deed and water use  restrictions. 
    "Land use controls" means legal or physical  restrictions on the use of, or access to, a site to reduce or eliminate  potential for exposure to contaminants, or prevent activities that could  interfere with the effectiveness of remediation. Land use controls include but  are not limited to engineering and institutional controls. 
    "Noncarcinogen" means a chemical classification for  the purposes of risk assessment as an agent for which there is either  inadequate toxicological data or is not likely to be a carcinogen based on an  EPA weight-of-evidence classification system. 
    "Operator" means the person currently responsible  for the overall operations at a site, or any person responsible for operations  at a site at the time of, or following, the release. 
    "Owner" means any person currently owning or  holding legal or equitable title or possessory interest in a property,  including the Commonwealth of Virginia, or a political subdivision thereof,  including title or control of a property conveyed due to bankruptcy,  foreclosure, tax delinquency, abandonment, or similar means. 
    "Participant" means a person who has received  confirmation of eligibility and has remitted payment of the registration fee. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Program" means the Virginia Voluntary Remediation  Program. 
    "Property" means a parcel of land defined by the  boundaries in the deed. 
    "Reference dose" means an estimate of a daily  exposure level for the human population, including sensitive subpopulations,  that is likely to be without an appreciable risk of deleterious effects during  a lifetime. 
    "Registration fee" means the fee paid to enroll in  the Voluntary Remediation Program, based on 1.0% of the total cost of  remediation at a site, not to exceed the statutory maximum. 
    "Release" means any spilling, leaking, pumping,  pouring, emitting, emptying, discharging, injecting, escaping, leaching,  dumping or disposing of any contaminant into the environment. 
    "Remediation" means actions taken to cleanup,  mitigate, correct, abate, minimize, eliminate, control and contain or prevent a  release of a contaminant into the environment in order to protect human health  and the environment, including actions to investigate, study or assess any  actual or suspected release. Remediation may include, when appropriate and  approved by the department, land use controls. 
    "Remediation level" means the concentration of a  contaminant with applicable land use controls, that is protective of human  health and the environment. 
    "Report" means the Voluntary Remediation Report  required by 9VAC20-160-70. 
    "Restricted use" means any use other than  residential. 
    "Risk" means the probability that a contaminant  will cause an adverse effect in exposed humans or to the environment. 
    "Risk assessment" means the process used to  determine the risk posed by contaminants released into the environment.  Elements include identification of the contaminants present in the  environmental media, assessment of exposure and exposure pathways, assessment  of the toxicity of the contaminants present at the site, characterization of  human health risks, and characterization of the impacts or risks to the  environment. 
    "Site" means any property or portion thereof, as  agreed to and defined by the participant and the department, which contains or  may contain contaminants being addressed under this program. 
    "Termination" means the formal discontinuation of  participation in the Voluntary Remediation Program without obtaining a  certification of satisfactory completion. 
    "Unrestricted use" means the designation of  acceptable future use for a site at which the remediation levels, based on  either background or standard residential exposure factors, have been attained  throughout the site in all media. 
    9VAC20-160-30. Eligibility criteria. 
    A. Candidate sites shall meet eligibility criteria as defined  in this section. 
    B. Any persons who own, operate, have a security interest in  or enter into a contract for the purchase or use of an eligible site who wish  to voluntarily remediate that site may participate in the program. Any person  who is an authorized agent of any of the parties identified in this subsection  may participate in the program. 
    C. Sites are eligible for participation in the program if (i)  remediation has not been clearly mandated by the United States Environmental  Protection Agency, the department or a court pursuant to the Comprehensive  Environmental Response, Compensation and Liability Act (42 USC § 9601 et  seq.), the Resource Conservation and Recovery Act (42 USC § 6901 et seq.),  the Virginia Waste Management Act (§ 10.1-1400 et seq. of the Code of  Virginia), the Virginia State Water Control Law (§ 62.1-44.2 et seq. of the  Code of Virginia), or other applicable statutory or common law; or (ii)  jurisdiction of the statutes listed in clause (i) has been waived. 
    A site on which an eligible party has completed remediation  of a release is potentially eligible for the program if the actions can be  documented in a way which are equivalent to the requirements for prospective  remediation, and provided the site meets applicable remediation levels. 
    Petroleum or oil releases not mandated for remediation under  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.) of  the Virginia State Water Control Law may be eligible for participation in the  program. 
    Where an applicant raises a genuine issue based on documented  evidence as to the applicability of regulatory programs in subsection D of this  section, the site may be eligible for the program. Such evidence may include a  demonstration that: 
    1. It is not clear whether the release involved a waste  material or a virgin material; 
    2. It is not clear that the release occurred after the  relevant regulations became effective; or 
    3. It is not clear that the release occurred at a regulated  unit. 
    D. For the purposes of this chapter, remediation has been  clearly mandated if any of the following conditions exist, unless jurisdiction  for such mandate has been waived: 
    1. Remediation of the release is the subject of a permit  issued by the U.S. Environmental Protection Agency or the department, a pending  or existing closure plan, a pending or existing administrative order, a pending  or existing court order, a pending or existing consent order, or the site is on  the National Priorities List; 
    2. The site at which the release occurred is subject to the  Virginia Hazardous Waste Management Regulations (9VAC20-60) (VHWMR), is a  permitted facility, is applying for or should have applied for a permit, is  under interim status or should have applied for interim status, or was  previously under interim status, and is thereby subject to requirements of the  VHWMR; 
    3. The site at which the release occurred constitutes an open  dump or unpermitted solid waste management facility under Part IV  (9VAC20-80-170 et seq.) 9VAC20-81-45 of the Virginia Solid  Waste Management Regulations; 
    4. The director determines that the release poses an imminent  and substantial threat to human health or the environment; or 
    5. Remediation of the release is otherwise the subject of a  response action required by local, state, or federal law or regulation. 
    E. The director may determine that a site under subdivision D  3 of this section may participate in the program provided that such  participation complies with the substantive requirements of the applicable  regulations. 
    9VAC20-170-30. Applicability. 
    A. This chapter applies to each owner and/or operator of a  vessel transporting solid wastes or regulated medical wastes for the purposes  of commercial carriage as cargo, and each owner or operator of a receiving  facility. This chapter also applies to the receiving facilities and vessels  transporting solid wastes or regulated medical wastes upon the navigable waters  of the Commonwealth to the extent allowable under state law. 
    B. This chapter does not apply to a public vessel as defined  under 9VAC20-170-10, the owner and operator of a public vessel, vessels transporting  solid wastes or regulated medical wastes incidental to their predominant  business or purposes, vessels transporting solid wastes or regulated medical  wastes generated during normal operations of the vessel, solid wastes or  regulated medical wastes generated during the normal operations of the vessel,  and solid wastes excluded pursuant to 9VAC20-80-150 or conditionally  exempted pursuant to 9VAC20-80-160 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations. 
    9VAC20-170-40. Relationship to other regulations. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  prescribe requirements for the solid waste management facilities in general.  While a facility utilized to receive solid wastes or regulated medical wastes  transported, loaded, or unloaded upon the navigable waters of the Commonwealth,  to the extent allowable under state law, by a commercial transporter is a solid  waste management facility, this chapter herein prescribes specific  requirements, including siting, design/construction, operation, and permitting,  for this type of facilities. If there is any overlapping requirement between  these two regulations, whichever is more stringent shall apply. 
    B. The Regulated Medical Waste Management Regulations  (9VAC20-120) address special needs for regulated medical waste management. A  facility utilized to receive regulated medical waste transported, loaded, or  unloaded upon the navigable waters of the Commonwealth, to the extent allowable  under state law, by a commercial transporter is a regulated medical waste  facility and it must conform to any applicable sections of the Regulated  Medical Waste Management Regulations adopted by the board. If there is any  overlapping requirement between these two regulations, whichever is more stringent  shall apply. 
    C. This chapter does not exempt any receiving facility from  obtaining a Virginia Water Protection Permit as required by the Virginia Water  Protection Permit Program Regulation (9VAC25-210), whenever it is applicable. 
    VA.R. Doc. No. R11-2731; Filed June 8, 2011, 1:15 p.m. 
TITLE 9. ENVIRONMENT
VIRGINIA WASTE MANAGEMENT BOARD
Final Regulation
        REGISTRAR'S NOTICE: The  Virginia Waste Management Board is claiming an exemption from the  Administrative Process Act in accordance with § 2.2-4006 A 3,  which excludes regulations that consist only of changes in style or form or  corrections of technical errors. The Virginia Waste Management Board will  receive, consider, and respond to petitions by any interested person at any  time with respect to reconsideration or revision.
         Titles of Regulations: 9VAC20-60. Virginia Hazardous  Waste Management Regulations (amending 9VAC20-60-261).
    9VAC20-70. Financial Assurance Regulations for Solid Waste  Disposal, Transfer and Treatment Facilities (amending 9VAC20-70-10, 9VAC20-70-50,  9VAC20-70-70, 9VAC20-70-75, 9VAC20-70-90, 9VAC20-70-113, 9VAC20-70-210,  9VAC20-70-290).
    9VAC20-81. Solid Waste Management Regulations (amending 9VAC20-81-10, 9VAC20-81-35, 9VAC20-81-95,  9VAC20-81-140, 9VAC20-81-160, 9VAC20-81-250, 9VAC20-81-260, 9VAC20-81-300,  9VAC20-81-397, 9VAC20-81-470, 9VAC20-81-485, 9VAC20-81-490, 9VAC20-81-530,  9VAC20-81-600).
    9VAC20-85. Coal Combustion Byproduct Regulations (amending 9VAC20-85-10, 9VAC20-85-40,  9VAC20-85-50, 9VAC20-85-60, 9VAC20-85-90, 9VAC20-85-150, 9VAC20-85-180).
    9VAC20-120. Regulated Medical Waste Management Regulations (amending 9VAC20-120-10, 9VAC20-120-70,  9VAC20-120-100, 9VAC20-120-300, 9VAC20-120-540, 9VAC20-120-810).
    9VAC20-130. Solid Waste Planning and Recycling Regulations (amending 9VAC20-130-10, 9VAC20-130-60,  9VAC20-130-120).
    9VAC20-140. Regulations for the Certification of Recycling  Machinery and Equipment for Tax Exemption Purposes (amending 9VAC20-140-10).
    9VAC20-150. Waste Tire End User Reimbursement Regulation (amending 9VAC20-150-10, 9VAC20-150-20,  9VAC20-150-40).
    9VAC20-160. Voluntary Remediation Regulations (amending 9VAC20-160-10, 9VAC20-160-30).
    9VAC20-170. Transportation of Solid and Medical Wastes on  State Waters (amending 9VAC20-170-30, 9VAC20-170-40). 
    Statutory Authority: §§ 10.1-1232, 10.1-1402, 10.1-1410, 10.1-1411, 10.1-1422.3, 10.1-1422.4, and 58.1-3661 of the Code of  Virginia.
    Effective Date: August 3, 2011. 
    Agency Contact: Debra Miller, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4206, FAX (804) 698-4346, or email  debra.miller@deq.virginia.gov.
    Summary:
    Amendment 7 to the Solid Waste Management Regulations  amended and recodified these regulations creating 9VAC20-81, which became  effective March 16, 2011. This regulatory action makes necessary style and form  changes and technical corrections to that chapter and, as a secondary action,  makes the appropriate citations changes in other waste management regulations. 
    9VAC20-60-261. Adoption of 40 CFR Part 261 by reference. 
    A. Except as otherwise provided, the regulations of the  United States Environmental Protection Agency set forth in 40 CFR Part 261 are  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. Except as otherwise provided, all material definitions, reference  materials and other ancillaries that are a part of 40 CFR Part 261 are also  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. 
    B. In all locations in these regulations where 40 CFR Part  261 is incorporated by reference, the following additions, modifications and  exceptions shall amend the incorporated text for the purpose of its  incorporation into these regulations: 
    1. Any agreements required by 40 CFR 261.4(b)(11)(ii) shall be  sent to the United States Environmental Protection Agency at the address shown  and to the Department of Environmental Quality, P.O. Box 1105, Richmond,  Virginia 23218. 
    2. In 40 CFR 261.4(e)(3)(iii), the text "in the Region  where the sample is collected" shall be deleted. 
    3. In 40 CFR 261.4(f)(1), the term "Regional  Administrator" shall mean the regional administrator of Region III of the  United States Environmental Protection Agency or his designee. 
    4. In 40 CFR 261.6(a)(2), recyclable materials shall be  subject to the requirements of 9VAC20-60-270 and Part XII (9VAC20-60-1260 et  seq.) of this chapter. 
    5. No hazardous waste from a conditionally exempt small  quantity generator shall be managed as described in 40 CFR 261.5(g)(3)(iv) or  40 CFR 261.5(g)(3)(v) unless such waste management is in full compliance with  all requirements of the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    6. In 40 CFR 261.9 and wherever elsewhere in Title 40 of the  Code of Federal Regulations there is a listing of universal wastes or a listing  of hazardous wastes that are the subject of provisions set out in 40 CFR Part  273 as universal wastes, it shall be amended by addition of the following  sentence: "In addition to the hazardous wastes listed herein, the term  "universal waste" and all lists of universal waste or waste subject  to provisions of 40 CFR Part 273 shall include those hazardous wastes listed in  Part XVI (9VAC20-60-1495 et seq.) of the Virginia Hazardous Waste Management  Regulations as universal wastes, under such terms and requirements as shall  therein be ascribed." 
    7. In Subparts B and D of 40 CFR Part 261, the term  "Administrator" shall mean the administrator of the United States  Environmental Protection Agency, and the term "Director" shall not  supplant "Administrator" throughout Subparts B and D. 
    8. Regardless of the provisions of 9VAC20-60-18, the revisions  to 40 CFR Part 261 as promulgated by U.S. EPA on October 30, 2008, (73 FR 64757  - 64788) (definition of solid waste rule) are not adopted herein.
    Part I 
  Definitions 
    9VAC20-70-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings, unless the context clearly indicates otherwise: 
    "Abandoned facility" means any inactive solid waste  management facility that has not met closure and post-closure care  requirements. 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at the completion  of closure activities required by 9VAC20-80-10 et seq the Solid Waste  Management Regulations (9VAC20-81). Active life does not include the  post-closure care monitoring period. 
    "Anniversary date" means the date of issuance of a  financial mechanism. 
    "Assets" means all existing and all probable future  economic benefits obtained or controlled by a particular entity. 
    "Authority" means an authority created under the  provisions of the Virginia Water and Waste Authorities Act, Chapter 51 (§ 15.2-5100  et seq.) of Title 15.2 of the Code of Virginia, or, if any such authority shall  be abolished, the board, body, or commission succeeding to the principal  functions thereof or to whom the powers given by the Virginia Water and Waste  Authorities Act to such authority shall be given by law. 
    "Board" means the Virginia Waste Management Board. 
    "Cash plus marketable securities" means all the  cash plus marketable securities held on the last day of a fiscal year,  excluding cash and marketable securities designed to satisfy past obligations  such as pensions. 
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of 9VAC20-80-10  et seq., 9VAC20-101-10 et seq., 9VAC20-120-10 et seq., or 9VAC20-170-10 et seq.  the Solid Waste Management Regulations (9VAC20-81), the Regulated Medical  Waste Management Regulations (9VAC20-120), or the Transportation of Solid and  Medical Wastes on State Waters Regulations (9VAC20-170). A closed facility  may be undergoing post-closure care. 
    "Closure" means the act of securing a solid waste  management facility pursuant to the requirements of this chapter and any other  applicable solid waste management standards. 
    "Commercial transporter" means any person who  transports for the purpose of commercial carriage of solid wastes or regulated  medical wastes as cargo. 
    "Corrective action" means all actions necessary to  mitigate the public health or environmental threat from a release to the  environment of solid waste or constituents of solid waste from an operating,  abandoned, or closed solid waste management facility and to restore the  environmental conditions as required. 
    "Current annual inflation factor" means the annual  inflation factor derived from the most recent Implicit Price Deflator for Gross  National Product published by the U.S. Department of Commerce in its Survey of  Current Business. 
    "Current assets" means cash or other assets or  resources commonly identified as those which are reasonably expected to be  realized in cash or sold or consumed during the normal operating cycle of the  business. 
    "Current closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-111. 
    "Current dollars" means the figure represented by  the total of the cost estimate multiplied by the current annual inflation  factor. 
    "Current liabilities" means obligations whose  liquidation is reasonably expected to require the use of existing resources  properly classifiable as current assets or the creation of other current  liabilities. 
    "Current post-closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-112. 
    "Current year expenses for closure" means  expenditures documented by the facility during the previous fiscal year for  construction-related activities associated with closing the facility. Expenses  for closure must be detailed and identified in an approved closure plan. 
    "Debt service" means the amount of principal and  interest due on a loan in a given time period, typically the current year. 
    "Deficit" means total annual revenues less total  annual expenditures. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent thereof may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means any solid waste management facility  unless the context clearly indicates otherwise. The term "facility"  includes transfer stations. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Governmental unit" means any department,  institution or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.  
    "Groundwater" means any water, except capillary  moisture or unsaturated zone moisture, beneath the land surface in the zone of  saturation or beneath the bed of any stream, lake, reservoir or other body of  surface water within the boundaries of this Commonwealth, whatever may be the  subsurface geologic structure in which such water stands, flows, percolates or  otherwise occurs. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60). 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill as defined by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Leachate" means a liquid that has passed through  or emerged from solid waste and that contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation for disposal in an off-site facility is regulated as septage,  and leachate discharged into a wastewater collection system is regulated as  industrial wastewater. 
    "Liabilities" means probable future sacrifices of  economic benefits arising from present obligations to transfer assets or  provide services to other entities in the future as a result of past  transactions or events. 
    "Local government" means a county, city or town or  any authority, commission, or district created by one or more counties, cities  or towns. 
    "Net working capital" means current assets minus  current liabilities. 
    "Net worth" means total assets minus total  liabilities and is equivalent to owner's equity. 
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means a person who owns a solid waste  management facility or part of a solid waste management facility. For the  purposes of this chapter, all individuals, corporations, companies, partnerships,  societies or associations, and any federal agency or governmental unit of the  Commonwealth having any title or interest in any solid waste management  facility or the services or facilities to be rendered thereby shall be  considered an owner. 
    "Parent corporation" means a corporation that  directly owns at least 50% of the voting stock of the corporation that is the  facility owner or operator; the latter corporation is deemed a  "subsidiary" of the parent corporation. 
    "Permit" means the written permission of the  director to own, operate, modify, or construct a solid waste management  facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Post-closure care" means the requirements placed  upon an owner or operator of a solid waste disposal facility after closure to  ensure environmental and public health and safety are protected for a specified  number of years after closure. 
    "Receiving facility" means a facility, vessel or  operation that receives solid wastes or regulated medical wastes transported,  loaded or unloaded upon the navigable waters of the Commonwealth, to the extent  allowable under state law, by a commercial transporter. A receiving facility is  considered as a solid waste management facility. A facility that receives solid  waste from a ship, barge or other vessel and is regulated under § 10.1-1454.1  of the Code of Virginia shall be considered a transfer facility for purposes of  this chapter. 
    "Regulated medical waste" means solid waste so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120) as promulgated by the Virginia Waste  Management Board. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of solid waste which is so located, designed,  constructed and operated to contain and isolate the solid waste so that it does  not pose a substantial present or potential hazard to human health or the  environment. 
    "Signature" means the name of a person written with  his own hand. 
    "Site" means all land and structures, other  appurtenances, and improvements thereon used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the property  boundary used for utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Virginia Waste Management Act and the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility (SWMF)" means a  site used for planned treating, storing, or disposing of solid waste. A  facility may consist of several treatment, storage, or disposal units. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Substantial business relationship" means the  extent of a business relationship necessary under applicable Virginia law to  make a guarantee contract incident to that relationship valid and enforceable.  A "substantial business relationship" shall arise from a pattern of recent  and on-going business transactions, in addition to the guarantee itself, such  that a currently existing business relationship between the guarantor and the  owner or operator is demonstrated to the satisfaction of the director. 
    "Tangible net worth" means the tangible assets that  remain after deducting liabilities; such assets would not include intangibles  such as goodwill and rights to patents or royalties. 
    "Total expenditures" means all expenditures  excluding capital outlays and debt repayment. 
    "Total revenue" means revenue from all taxes and  fees but does not include the proceeds from borrowing or asset sales, excluding  revenue from funds managed on behalf of a specific third party. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Treatment" means any method, technique, or  process, including incineration or neutralization, designed to change the  physical, chemical, or biological character or composition of any waste to  neutralize it or render it less hazardous or nonhazardous, safer for transport,  or more amenable to use, reuse, reclamation or recovery. 
    "Unit" means a discrete area of land used for the  management of solid waste. 
    9VAC20-70-50. Applicability of chapter. 
    A. This chapter applies to all persons who own, operate, or  allow the following permitted or unpermitted facilities to be operated on their  property: 
    1. Solid waste treatment, transfer and disposal facilities  regulated under the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81);
    2. Facilities Vegetative waste management facilities  regulated under the Vegetative Waste Management and Yard Waste Composting  Regulations (9VAC20-101-10 et seq.) Solid Waste Management Regulations  (9VAC20-81);
    3. Medical waste treatment, transfer or disposal facilities  regulated under the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120); or 
    4. Receiving facilities as defined herein.
    B. Exemptions. 
    1. Owners or operators of facilities who are federal or state  government entities whose debts and liabilities are the debts or liabilities of  the United States or the Commonwealth, are exempt from this chapter; 
    2. Owners and operators of facilities conditionally exempt  under 9VAC20-80-60 D 9VAC20-81-95 of the Virginia Solid  Waste Management Regulations are exempt from this chapter so long as they meet  the conditions of the exemption; 
    3. Owners and operators of facilities that manage solely  wastes excluded under 9VAC20-80-150 or conditionally exempt under 9VAC20-80-160  9VAC20-81-95 of the Virginia Solid Waste Management Regulations  are exempt from this chapter; 
    4. Owners or operators of facilities exempt under  9VAC20-120-120 or excluded under 9VAC20-120-130 of the Virginia  Regulated Medical Waste Management Regulations (9VAC20-120-10 et seq.) (9VAC20-120)  are exempt from this chapter; 
    5. Owners and operators of yard waste composting facilities  exempt under 9VAC20-101-60 and 9VAC20-101-70 of the Vegetative Waste  Management and Yard Waste Composting Regulations 9VAC20-81-95 of the  Solid Waste Management Regulations are exempt from this chapter; and 
    6. Owners and operators of hazardous waste management units  regulated under the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60) are exempt from this chapter as far as such  units are concerned. 
    C. Owners and operators of facilities or units that treat or  dispose of wastes which are exempted from the Virginia Hazardous Waste  Management Regulations (9VAC20-60-12 et seq.) (9VAC20-60) are  subject to these regulations unless also exempted herein. 
    D. Facilities with separate ownership and operation. If  separate, nonexempt persons own and operate a facility subject to this chapter,  the owner and operator shall be jointly and severally liable for meeting the  requirements of this chapter. If either the owner or operator is exempt, as  provided in 9VAC20-70-50 B, then the other person shall be liable for meeting  the requirements of this chapter. If both the owner and the operator are  exempt, as provided in 9VAC20-70-50 B, then the requirements of this chapter  are not applicable to that facility. 
    E. Exemptions for facilities owned and operated by local  governments. 
    1. Closed facilities. Owners and operators of facilities who  are local governmental entities or regional authorities that have completed  closure by October 9, 1994, are exempt from all the requirements of this  chapter, provided they: 
    a. Have (i) disposed of less than 100 tons per day of solid  waste during a representative period prior to October 9, 1993; (ii) disposed of  less than 100 tons per day of solid waste each month between October 9, 1993,  and April 9, 1994; (iii) ceased to accept solid waste prior to April 9, 1994;  and (iv) whose units are not on the National Priority List as found in Appendix  B to 40 CFR Part 300; or 
    b. Have (i) disposed of more than 100 tons per day of solid  waste prior to October 9, 1993, and (ii) ceased to accept solid waste prior to  that date. 
    2. All other facilities. Owners and operators of facilities  who are local governmental entities or regional authorities that are not exempt  under subdivision 1 of this subsection are subject to the requirements of this  chapter. 
    9VAC20-70-70. Suspensions and revocations. 
    The director may revoke, suspend, or amend any permit for  cause as set in § 10.1-1409 of the Code of Virginia and as provided for in  9VAC20-80-600 9VAC20-81-570 and 9VAC20-80-620 9VAC20-81-600  of the Virginia Solid Waste Management Regulations, 9VAC20-120-790 and  9VAC20-120-810 of the Regulated Medical Waste Management Regulations, 9VAC20-101-200  of the Vegetative Waste Management and Yard Waste Composting Regulations,  and any other applicable regulations. Failure to provide or maintain adequate  financial assurance in accordance with these regulations shall be a basis for  revocation of such facility permit. Failure to provide or maintain adequate  financial assurance in accordance with this chapter, taken with other relevant  facts and circumstances, may be a basis for summary suspension of such facility  permit pending a hearing to amend or revoke the permit, or to issue any other appropriate  order. 
    9VAC20-70-75. Forfeitures. 
    Forfeiture of any financial obligation imposed pursuant to  this chapter shall not relieve any owner or operator of a solid waste  management facility from any obligations to comply with provisions of the Solid  Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  or the Regulated Medical Waste Management Regulations (9VAC20-120-10 et  seq.), the Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.) (9VAC20-120), and any other applicable  regulations or any other legal obligations for the consequences of abandonment  of any facility. 
    Article 2 
  Closure, Post-Closure Care and Corrective Action Requirements 
    9VAC20-70-90. Closure, post-closure care and corrective action  requirements. 
    A. The owner or operator shall close his facility in a manner  that minimizes the need for further maintenance; and controls, minimizes or  eliminates, to the extent necessary to protect human health and the  environment, the post-closure escape of uncontrolled leachate, surface runoff,  or waste decomposition products to the groundwater, surface water, or to the  atmosphere. The owner or operator shall close his facility in accordance with  all applicable regulations. 
    The closure standards applicable to the solid waste  management facilities are described in 9VAC20-80-210 B, 9VAC20-80-210 B 2,  9VAC20-80-250 E, 9VAC20-80-260 E, 9VAC20-80-270 E, 9VAC20-80-330 E,  9VAC20-80-340 E, 9VAC20-80-360 E, 9VAC20-80-370 E, 9VAC20-80-380 B, and  9VAC20-80-470 E 9VAC20-81-160, 9VAC20-81-360, and 9VAC20-81-370 of  the Solid Waste Management Regulations. The closure requirements applicable to  the regulated medical waste facilities are specified in 9VAC20-120-290 of the  Regulated Medical Waste Management Regulations. The closure requirements for  vegetative waste management and yard waste composting facilities are specified  in 9VAC20-101-150 of the Vegetative Waste Management and Yard Waste Composting  Regulations. 
    B. Following closure of each solid waste disposal unit, the  owner or operator shall conduct post-closure care in accordance with the  requirements of 9VAC20-80-250 F, 9VAC20-80-260 F, or 9VAC20-80-270 F 9VAC20-81-170  of the Solid Waste Management Regulations, as applicable. 
    C. The owner or operator shall institute a corrective action  program when required to do so by 9VAC20-80-190, 9VAC20-80-210 B 2, or  9VAC20-80-310 9VAC20-81-45 or 9VAC20-81-260 of the Solid Waste  Management Regulations, as applicable. 
    D. During any re-examination of a determination of the amount  of financial assurance required, the owner or operator of a landfill facility  not closed in accordance with 9VAC20-80-10 et seq. 9VAC20-81  shall demonstrate financial assurance by using one or more of the approved  mechanisms listed in Article 4 (9VAC20-70-140 et seq.) of this part for the  lesser of the following: 
    1. The amount requested by the director; or 
    2. The following default amounts: 
    a. $200,000 per acre of fill for sanitary landfills; or 
    b. $150,000 per acre of fill for construction demolition  debris landfills and industrial landfills. 
    9VAC20-70-113. Financial assurance for corrective action. 
    A. Within 120 days of a facility's finding or the director's  determining (whichever first occurs) that Groundwater Protection Standards  established as required by 9VAC20-80-250 D 6, or Appendix 5.6 D of  9VAC20-80-10 et seq. as applicable 9VAC20-81-250 have been  statistically exceeded, an owner or operator of a landfill or other unit  subject to groundwater monitoring shall provide additional financial assurance  in the amount of $1 million to the department using the mechanisms listed under  Article 4 (9VAC20-70-140 et seq.) of this part. The director shall release the  owner or operator from this requirement after the director has determined: 
    1. The owner or operator is providing financial assurance for  a corrective action program using one or more mechanisms listed under Article 4  (9VAC20-70-140 et seq.) of this part, as required under 9VAC20-70-90 C and  subsections B and C of this section; or 
    2. The owner of operator has achieved compliance with  Groundwater Protection Standards by demonstrating that concentrations of APPENDIX  5.1 constituents of 9VAC20-80-10 et seq. Table 3.1, Column B of  9VAC20-81-250 have not exceeded the Groundwater Protection Standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards. 
    B. An owner or operator of a solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  prepare and submit to the director a detailed written estimate, in current  dollars, of the cost of hiring a third party to perform the corrective action.  The corrective action cost estimate shall account for the total costs of  corrective action activities as described in the corrective action plan for the  entire corrective action period. The owner or operator shall notify the  director that the estimate has been placed in the operating record unless  corrective action is proceeding under Part IV of the Solid Waste Management  Regulations (9VAC20-80-10 et seq.) 9VAC20-81-45. In the latter case,  the new corrective action cost estimate shall be submitted to the director  within 30 days of its preparation. The corrective action cost estimate shall be  approved by the director. 
    1. The owner or operator shall adjust the estimate annually  for inflation within 60 days prior to the anniversary date of the establishment  of the financial mechanism used to comply with this part until the corrective  action program is completed. For owners or operators using the financial test  or guarantee, the corrective action cost estimate shall be updated for  inflation within 30 days after the close of the owner's or operator's fiscal  year. The adjustment process to be used is described in 9VAC20-70-111 B. 
    2. The owner or operator shall increase the corrective action  cost estimate and the amount of financial assurance provided under this  subsection no later than 30 days after revisions to the corrective action  program or where a change in the solid waste management unit conditions  increase the maximum costs of corrective action. 
    3. The owner or operator may request a reduction in the amount  of the corrective action cost estimate and the amount of financial assurance  provided under this subsection if the cost estimate exceeds the maximum  remaining costs of corrective action. The owner or operator shall submit a  revised cost estimate with the justification for the reduction to the director  when requesting a reduction in the amount of the corrective action cost  estimate and the amount of financial assurance provided. The justification  shall include an itemization of all corrective action costs. No reduction  request shall be reviewed until a complete cost estimate acceptable to the  department has been submitted. A request for a reduction in the corrective  action cost estimate shall be reviewed in a timely manner. 
    C. The owner or operator of each solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  establish financial assurance in the amount specified by the most recently  approved cost estimate for the selected remedy in accordance with  9VAC20-70-140. The owner or operator shall provide continuous coverage for  corrective action until released from financial assurance requirements for  corrective action by the director. 
    9VAC20-70-210. Local government financial test. 
    An owner or operator that satisfies the requirements of  subdivisions 1 through 3 of this section may demonstrate financial assurance  using the local government financial test up to the amount specified in  subdivision 4 of this section. 
    1. Financial component. 
    a. The owner or operator shall satisfy the provisions of  subdivision 1 a of this section, as applicable: 
    (1) If the owner or operator has outstanding, rated, general  obligation bonds that are not secured by insurance, a letter of credit, or  other collateral or guarantee, he shall supply the director with documentation  demonstrating that the owner or operator has a current rating of Aaa, Aa, A, or  Baa, as issued by Moody's, or AAA, AA, A, or BBB, as issued by Standard and  Poor's on all such general obligation bonds; or 
    (2) If the owner or operator does not have outstanding, rated  general obligation bonds, he shall satisfy each of the following financial  ratios based on the owner's or operator's most recent audited annual financial  statement: 
    (a) A ratio of cash plus marketable securities to total  expenditures greater than or equal to 0.05; and 
    (b) A ratio of annual debt service to total expenditures less  than or equal to 0.20. 
    b. The owner or operator shall prepare his financial  statements in conformity with Generally Accepted Accounting Principles for  governments and have its financial statements audited by an independent  certified public accountant or by the Auditor of Public Accounts. 
    c. An owner or operator is not eligible to assure its  obligations under this section if he: 
    (1) Is currently in default on any outstanding general  obligation bonds; 
    (2) Has any outstanding general obligation bonds rated lower  than Baa as issued by Moody's or BBB as issued by Standard and Poor's; 
    (3) Operated at a deficit equal to 5.0% or more of total  annual revenue in each of the past two fiscal years; or 
    (4) Receives an adverse opinion, disclaimer of opinion, or  other qualified opinion from the independent certified public accountant or  Auditor of Public Accounts auditing its financial statement as required under  subdivision 1 b of this section. However, the director may evaluate qualified  opinions on a case-by-case basis and allow use of the financial test in cases  where the director deems the qualification insufficient to warrant disallowance  of the test. 
    2. Public notice component. The local government owner or  operator shall place a reference to the closure, post-closure care, or  corrective action costs assured through the financial test into the next  comprehensive annual financial report (CAFR) after January 7, 1998, or prior to  the initial receipt of waste at the facility, whichever is later. Disclosure  shall include the nature and source of closure and post-closure requirements,  the reported liability at the balance sheet date, the estimated total closure  and post-closure care cost remaining to be recognized, the percentage of  landfill capacity used to date, and the estimated landfill life in years. A  reference to corrective action cost shall be placed in CAFR no later than 120  days after the corrective action remedy has been selected in accordance with 9VAC20-80-310  9VAC20-81-260. For the first year the financial test is used to assure  costs at a particular facility, the reference may instead be placed in the  operating record until issuance of the next available CAFR if timing does not  permit the reference to be incorporated into the most recently issued CAFR or  budget. For closure and post-closure care costs, conformance with Government  Accounting Standards Board Statement 18 assures compliance with this public  notice component. 
    3. Recordkeeping and reporting requirements. 
    a. The local government owner or operator must submit to the  department the following items and place copies of the items in the facility's  operating record: 
    (1) An original letter signed by the local government's chief  financial officer worded as specified in 9VAC20-70-290 G; 
    (2) The local government's independently audited year-end  financial statements for the latest fiscal year, including the unqualified  opinion of the auditor who must be an independent, certified public accountant  or an appropriate state agency that conducts equivalent comprehensive audits; 
    (3) A report to the local government from the local  government's independent certified public accountant (CPA) or the Auditor of  Public Accounts based on performing an agreed upon procedures engagement  relative to the financial ratios required by subdivision 1 a (3) of this  section, if applicable, and the requirements of subdivisions 1 b, 1 c (3) and 1  c (4) of this section. The CPA or state agency's report shall state the  procedures performed and the CPA or state agency's findings; 
    (4) A copy of the comprehensive annual financial report (CAFR)  used to comply with subdivision 2 of this section or certification that the  requirements of General Accounting Standards Board Statement 18 have been met; 
    (5) A certification from the local government's chief  executive officer stating in detail the method selected by the local government  for funding closure and post-closure costs. If the method selected by the local  government is a trust fund, escrow account or similar mechanism, there shall be  included a certification from the local government's chief financial officer  indicating the current reserve obligated to closure and post-closure care cost.  If the method selected by local governments is the use of annual operating  budget and Capital Investment Funds, there shall be a certification from the  local government's chief financial officer so indicating. Nothing herein shall  be construed to prohibit the local government from revising its plan for  funding closure and post-closure care costs if such revision provides economic  benefit to the local government and if such revision provides adequate means  for funding closure and post-closure care cost. This certification shall be  worded as specified in 9VAC20-70-290 H; and 
    (6) If the local government is required under this section to  fund a restricted sinking fund, escrow account, or to obtain an irrevocable  letter of credit, an original letter signed by the local government's chief  financial officer and worded as specified in 9VAC20-70-290 I must be submitted.  
    b. The items required in subdivision 3 a of this section shall  be submitted to the department and placed in the facility operating record as  follows: 
    (1) In the case of closure and post-closure care, either  before January 7, 1998, or prior to the initial receipt of waste at the  facility, whichever is later; or 
    (2) In the case of corrective action, not later than 120 days  after the corrective action remedy is selected in accordance with the  requirements of 9VAC20-80-310 9VAC20-81-260. 
    c. After the initial submission of the items, the local  government owner or operator must update the information, place a copy of the  updated information in the operating record, and submit the updated  documentation described in subdivisions 3 a (1) through (6) of this section to  the department within 180 days following the close of the owner or operator's  fiscal year. 
    d. The local government owner or operator is no longer  required to meet the requirements of subdivision 3 of this section when: 
    (1) The owner or operator substitutes alternate financial  assurance as specified in this section; or 
    (2) The owner or operator is released from the requirements of  this section in accordance with 9VAC20-70-111 E, 9VAC20-70-112 B, or  9VAC20-70-113 C. 
    e. A local government shall satisfy the requirements of the  financial test at the close of each fiscal year. If the local government owner  or operator no longer meets the requirements of the local government financial  test it must, within 210 days following the close of the owner or operator's  fiscal year, obtain alternative financial assurance that meets the requirements  of this section, place a copy of the financial assurance mechanism in the  operating record, and submit the original financial assurance mechanism to the  director. 
    f. The director, based on a reasonable belief that the local  government owner or operator may no longer meet the requirements of the local  government financial test, may require additional reports of financial  condition from the local government at any time. If the director finds, on the  basis of such reports or other information, that the owner or operator no  longer meets the requirements of the local government financial test, the local  government shall provide alternate financial assurance in accordance with this  article. 
    4. Calculation of costs to be assured. The portion of the  closure, post-closure, and corrective action costs for which an owner or  operator can assure under subdivision 1 of this section is determined as  follows: 
    a. If the local government owner or operator does not assure  other environmental obligations through a financial test, it may assure  closure, post-closure, and corrective action costs that equal up to 43% of the  local government's total annual revenue or the sum of total revenues of  constituent governments in the case of regional authorities. If the local  government assures closure, post-closure, and corrective action costs that  exceed 20% (but do not exceed 43%) of the local government's total annual  revenue or the sum of the revenue of constituent governments in the case of  regional authorities, the locality must also establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    b. If the local government assures other environmental obligations  through a financial test, including those associated with UIC facilities under  40 CFR 144.62, petroleum underground storage tank facilities under  9VAC25-590-10 et seq., PCB storage facilities under 40 CFR Part 761, and  hazardous waste treatment, storage, and disposal facilities under Part IX or X  of the Virginia Hazardous Waste Management Regulations (9VAC20-60-12 et  seq.) (9VAC20-60), it shall add those costs to the closure,  post-closure, and corrective action costs it seeks to assure under subdivision  1 of this section. The total shall not exceed 43% of the local government's  total annual revenue. If the local government's total environmental liabilities  assured through financial tests exceed 20% (but do not exceed 43%) of the local  government's total annual revenue or the sum of the revenue of constituent  governments in the case of regional authorities, the locality must also  establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    c. The owner or operator shall obtain an alternate financial  assurance mechanism for those costs that exceed the limits set in subdivisions  4 a and 4 b of this section. 
    9VAC20-70-290. Wording of financial mechanisms. 
    A. Wording of trust agreements. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    TRUST AGREEMENT 
    Trust agreement, the "Agreement," entered into as  of (date) by and between (name of the owner or operator), a (State)  (corporation, partnership, association, proprietorship), the  "Grantor," and (name of corporate trustee), a (State corporation)  (national bank), the "Trustee." 
    Whereas, the Virginia Waste Management Board has established  certain regulations applicable to the Grantor, requiring that the owner or operator  of a (solid) (regulated medical) (yard) waste (transfer station) (receiving)  (management) facility must provide assurance that funds will be available when  needed for (closure, post-closure care, or corrective action) of the facility, 
    Whereas, the Grantor has elected to establish a trust to  provide (all or part of) such financial assurance for the facility identified  herein, 
    Whereas, the Grantor, acting through its duly authorized  officers, has selected the Trustee to be the trustee under this agreement, and  the Trustee is willing to act as trustee, 
    Now, therefore, the Grantor and the Trustee agree as follows:  
    Section 1. Definitions. As used in this Agreement: 
    A. The term "fiduciary" means any person who  exercises any power of control, management, or disposition or renders  investment advice for a fee or other compensation, direct or indirect, with  respect to any moneys or other property of this trust fund, or has any  authority or responsibility to do so, or who has any authority or  responsibility in the administration of this trust fund. 
    B. The term "Grantor" means the owner or operator  who enters into this Agreement and any successors or assigns of the Grantor. 
    C. The term "Trustee" means the Trustee who enters  into this Agreement and any successor Trustee. 
    Section 2. Identification of Facility and Cost Estimates.  This Agreement pertains to facility(ies) and cost estimates identified on  attached Schedule A. 
    (NOTE: On Schedule A, for each facility list, as applicable,  the permit number, name, address, and the current closure, post-closure,  corrective action cost estimates, or portions thereof, for which financial  assurance is demonstrated by this Agreement.) 
    Section 3. Establishment of Fund. The Grantor and the Trustee  hereby establish a trust fund, the "Fund," for the benefit of the  Department of Environmental Quality, Commonwealth of Virginia. The Grantor and  the Trustee intend that no third party have access to the Fund except as herein  provided. The Fund is established initially as property consisting of cash or  securities, which are acceptable to the Trustee, described in Schedule B  attached hereto. Such property and any other property subsequently transferred  to the Trustee is referred to as the fund, together with all earnings and  profits thereon, less any payments or distributions made by the Trustee  pursuant to this Agreement. The Fund will be held by the Trustee, IN TRUST, as  hereinafter provided. The Trustee undertakes no responsibility for the amount  or adequacy of, nor any duty to collect from the Grantor, any payments to  discharge any liabilities of the Grantor established by the Commonwealth of  Virginia's Department of Environmental Quality. 
    Section 4. Payment for (Closure, Post-Closure Care, or  Corrective Action). The Trustee will make such payments from the Fund as the  Department of Environmental Quality, Commonwealth of Virginia will direct, in  writing, to provide for the payment of the costs of (closure, post-closure  care, corrective action) of the facility covered by this Agreement. The Trustee  will reimburse the Grantor or other persons as specified by the Department of  Environmental Quality, Commonwealth of Virginia, from the Fund for (closure,  post-closure care, corrective action) expenditures in such amounts as the  Department of Environmental Quality will direct, in writing. In addition, the  Trustee will refund to the Grantor such amounts as the Department of  Environmental Quality specifies in writing. Upon refund, such funds will no  longer constitute part of the Fund as defined herein. 
    Section 5. Payments Comprising the Fund. Payments made to the  Trustee for the fund will consist of cash or securities acceptable to the  Trustee. 
    Section 6. Trustee Management. The Trustee will invest and  reinvest the principal and income of the Fund and keep the Fund invested as a  single fund, without distinction between principal and income, in accordance  with investment guidelines and objectives communicated in writing to the  Trustee from time to time by the Grantor, subject, however, to the provisions  of this Section. In investing, reinvesting, exchanging, selling and managing  the Fund, the Trustee or any other fiduciary will discharge his duties with  respect to the trust fund solely in the interest of the beneficiary and with  the care, skill, prudence, and diligence under the circumstances then  prevailing which persons of prudence, acting in a like capacity and familiar  with such matters, would use in the conduct of any enterprise of a like  character and with like aims; except that: 
    A. Securities or other obligations of the Grantor, or any  other owner or operator of the facility, or any of their affiliates as defined  in the Investment Company Act of 1940, as amended, 15 USC § 80a-2(a), will not  be acquired or held, unless they are securities or other obligations of the  federal or a state government; 
    B. The Trustee is authorized to invest the Fund in time or  demand deposits of the Trustee, to the extent insured by an agency of the  federal or state government; and 
    C. The Trustee is authorized to hold cash awaiting investment  or distribution uninvested for a reasonable time and without liability for the  payment of interest thereon. 
    Section 7. Commingling and Investment. The Trustee is  expressly authorized in its discretion: 
    A. To transfer from time to time any or all of the assets of  the Fund to any common, commingled or collective trust fund created by the  Trustee in which the Fund is eligible to participate subject to all of the  provisions thereof, to be commingled with the assets of other trusts  participating herein. To the extent of the equitable share of the Fund in any  such commingled trust, such commingled trust will be part of the Fund; and 
    B. To purchase shares in any investment company registered  under the Investment Company Act of 1940, 15 USC § 80a-1 et seq., of one which  may be created, managed, underwritten, or to which investment advice is  rendered or the shares of which are sold by the Trustee. The Trustees may vote  such shares in its discretion. 
    Section 8. Express Powers of Trustee. Without in any way  limiting the powers and discretions conferred upon the Trustee by the other  provisions of this Agreement or by law, the Trustee is expressly authorized and  empowered: 
    A. To sell, exchange, convey, transfer or otherwise dispose of  any property held by it, by private contract or at public auction. No person  dealing with the Trustee will be bound to see to the application of the  purchase money or to inquire into the validity or expediency of any such sale  or other dispositions; 
    B. To make, execute, acknowledge and deliver any and all  documents of transfer and conveyance and any and all other instruments that may  be necessary or appropriate to carry out the powers herein granted; 
    C. To register any securities held in the fund in its own name  or in the name of a nominee and to hold any security in bearer form or in book  entry, or to combine certificates representing such securities with  certificates of the same issue held by the Trustee in other fiduciary  capacities, or to deposit or arrange for the deposit of such securities in a  qualified central depository even though, when so deposited, such securities  may be merged and held in bulk in the name of the nominee of such depository  with other securities deposited therein by another person, or to deposit or  arrange for the deposit of any securities issued by the United State  government, or any agency or instrumentality thereof with a Federal Reserve  Bank, but the books and records of the Trustee will at all times show that all  such securities are part of the Fund; 
    D. To deposit any cash in the fund in interest-bearing  accounts maintained or savings certificates issued by the Trustee, in its  separate corporate capacity, or in any other banking institution affiliated  with the Trustee, to the extent insured by an agency of the Federal or State  government; and 
    E. To compromise or otherwise adjust all claims in favor of or  against the Fund. 
    Section 9. Taxes and Expenses. All taxes of any kind that may  be assessed or levied against or in respect of the Fund and all brokerage  commissions incurred by the Fund will be paid from the Fund. All other expenses  incurred by the Trustee in connection with the administration of this Trust,  including fees for legal services rendered to the Trustee, the compensation of  the Trustee to the extent not paid directly by the Grantor, and all other  proper charges and disbursements of the Trustee will be paid from the Fund. 
    Section 10. Annual Valuation. The Trustee will annually, at  the end of the month coincident with or preceding the anniversary date of  establishment of the Fund, furnish the Grantor and to the director of the  Department of Environmental Quality, Commonwealth of Virginia, a statement  confirming the value of the Trust. Any securities in the Fund will be valued at  market value as of no more than 30 days prior to the date of the statement. The  failure of the Grantor to object in writing to the Trustee within 90 days after  the statement has been furnished to the Grantor and the director of the  Department of Environmental Quality, Commonwealth of Virginia will constitute a  conclusively binding assent by the Grantor, barring the Grantor from asserting  any claim or liability against the Trustee with respect to matters disclosed in  the statement. 
    Section 11. Advice of Counsel. The Trustee may from time to  time consult with counsel, who may be counsel to the Grantor, with respect to  any question arising as to the construction of this Agreement or any action to  be taken hereunder. The Trustee will be fully protected, to the extent  permitted by law, in acting upon the advice of counsel. 
    Section 12. Trustee Compensation. The Trustee will be  entitled to reasonable compensation for its services as agreed upon in writing  from time to time with the Grantor. 
    Section 13. Successor Trustee. The Trustee may resign or the  Grantor may replace the Trustee, but such resignation or replacement shall not  be effective until the Grantor has appointed a successor trustee and this  successor accepts the appointment. The successor trustee shall have the same  powers and duties as those conferred upon the Trustee hereunder. Upon  acceptance of the appointment by the successor trustee, the Trustee will  assign, transfer and pay over to the successor trustee the funds and properties  then constituting the Fund. If for any reason the grantor cannot or does not  act in the event of the resignation of the Trustee, the Trustee may apply to a  court of competent jurisdiction for the appointment of a successor trustee or  for instructions. The successor trustee and the date on which he assumes  administration of the trust will be specified in writing and sent to the  Grantor, the director of the Department of Environmental Quality, Commonwealth  of Virginia, and the present trustees by certified mail 10 days before such  change becomes effective. Any expenses incurred by the Trustee as a result of  any of the acts contemplated by this section will be paid as provided in Part  IX. 
    Section 14. Instructions to the Trustee. All orders, requests  and instructions by the Grantor to the Trustee will be in writing, signed by  such persons as are designated in the attached Exhibit A or such other  designees as the grantor may designate by amendment to Exhibit A. The Trustee  will be fully protected in acting without inquiry in accordance with the  Grantor's orders, requests and instructions. All orders, requests, and  instructions by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, to the Trustee will be in writing, signed by the  Director and the Trustee will act and will be fully protected in acting in  accordance with such orders, requests and instructions. The Trustee will have  the right to assume, in the absence of written notice to the contrary, that no  event constituting a change or a termination of the authority of any person to  act on behalf of the Grantor or the Commonwealth of Virginia's Department of  Environmental Quality hereunder has occurred. The Trustee will have no duty to  act in the absence of such orders, requests and instructions from the Grantor  and/or the Commonwealth of Virginia's Department of Environmental Quality,  except as provided for herein. 
    Section 15. Notice of Nonpayment. The Trustee will notify the  Grantor and the Director of the Department of Environmental Quality,  Commonwealth of Virginia, by certified mail within 10 days following the  expiration of the 30-day period after the anniversary of the establishment of  the Trust, if no payment is received from the Grantor during that period. After  the pay-in period is completed, the Trustee is not required to send a notice of  nonpayment. 
    Section 16. Amendment of Agreement. This Agreement may be  amended by an instrument in writing executed by the Grantor, the Trustee, and  the Director of the Department of Environmental Quality, Commonwealth of  Virginia, or by the Trustee and the Director of the Department of Environmental  Quality, Commonwealth of Virginia, if the Grantor ceases to exist. 
    Section 17. Irrevocability and Termination. Subject to the  right of the parties to amend this Agreement as provided in Section 16, this  Trust will be irrevocable and will continue until terminated at the written  agreement of the Grantor, the Trustee, and the Director of the Department of  Environmental Quality, Commonwealth of Virginia, or by the Trustee and the  Director if the Grantor ceases to exist. Upon termination of the Trust, all  remaining trust property, less final trust administration expenses, will be  delivered to the Grantor. 
    Section 18. Immunity and Indemnification. The Trustee will  not incur personal liability of any nature in connection with any act or  omission, made in good faith, in the administration of this Trust, or in  carrying out any directions by the Grantor or the Director of the Department of  Environmental Quality, Commonwealth of Virginia, issued in accordance with this  Agreement. The Trustee will be indemnified and saved harmless by the Grantor or  from the Trust Fund, or both, from and against any personal liability to which  the Trustee may be subjected by reason of any act or conduct in its official  capacity, including all expenses reasonably incurred in its defense in the  event the Grantor fails to provide such defense. 
    Section 19. Choice of Law. This Agreement will be  administered, construed and enforced according to the laws of the Commonwealth  of Virginia. 
    Section 20. Interpretation. As used in the Agreement, words  in the singular include the plural and words in the plural include the  singular. The descriptive headings for each section of this Agreement will not  affect the interpretation of the legal efficacy of this Agreement. 
    In witness whereof the parties have caused this Agreement to  be executed by their respective officers duly authorized and their corporate  seals to be hereunto affixed and attested as of the date first above written.  The parties below certify that the wording of this Agreement is identical to  the wording specified in 9VAC20-70-290 A of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer and Treatment Facilities, as such regulations  were constituted on the date shown immediately below. 
           |      (Signature of Grantor)      |                 |    
       |      By: (Title)      |          (Date)      |    
       |      Attest:      |                 |    
       |      (Title)      |          (Date)      |    
       |      (Seal)      |                 |    
       |      (Signature of Trustee)      |                 |    
       |      By      |                 |    
       |      Attest:      |                 |    
       |      (Title)      |                 |    
       |      (Seal)      |          (Date)      |    
  
    Certification of Acknowledgment: 
    COMMONWEALTH OF VIRGINIA 
    STATE OF __________ 
    CITY/COUNTY OF __________ 
    On this date, before me personally came (owner or operator)  to me known, who being by me duly sworn, did depose and say that she/he resides  at (address), that she/he is (title) of (corporation), the corporation  described in and which executed the above instrument; that she/he knows the  seal of said corporation; that the seal affixed to such instrument is such  corporate seal; that it was so affixed by order of the Board of Directors of said  corporation, and that she/he signed her/his name thereto by like order. 
    (Signature of Notary Public) 
    B. Wording of surety bond guaranteeing performance or  payment. 
    (NOTE: instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    PERFORMANCE OR PAYMENT BOND 
    Date bond executed: __________ 
    Effective date: __________ 
    Principal: (legal name and business address) _____________ 
    Type of organization: (insert "individual,"  "joint venture," "partnership," or "corporation")  _____________ 
    State of incorporation: __________ 
    Surety: (name and business address) _____________ 
    Name, address, permit number, if any, and (closure,  post-closure care, or corrective action) cost estimate for the facility:  _____________ 
    Penal sum of bond: $________ 
    Surety's bond number: __________ 
    Know all men by these present, That we, the Principal and  Surety hereto are firmly bound to the Department of Environmental Quality,  Commonwealth of Virginia, (hereinafter called the Department) in the above  penal sum for the payment of which we bind ourselves, our heirs, executors,  administrators, successors and assigns, jointly and severally; provided that,  where the Surety(ies) are corporations acting as co-sureties, we, the Sureties,  bind ourselves in such sum "jointly and severally" only for the  purpose of allowing a joint action or actions against any or all of us, and for  all other purposes each Surety binds itself, jointly and severally with the  Principal, for the payment of each sum only as is set forth opposite the name  of such Surety, but if no limit of liability is indicated, the limit of  liability shall be the full amount of the penal sum. 
    Whereas, said Principal is required to have a permit from the  Department of Environmental Quality, Commonwealth of Virginia, in order to own  or operate the (solid, regulated medical, yard) waste management facility  identified above, and 
    Whereas, said Principal is required to provide financial  assurance for (closure, post-closure care, corrective action) of the facility  as a condition of the permit or an order issued by the department, 
    Now, therefore the conditions of this obligation are such  that if the Principal shall faithfully perform (closure, post-closure care,  corrective action), whenever required to do so, of the facility identified  above in accordance with the order or the (closure, post-closure care,  corrective action) plan submitted to receive said permit and other requirements  of said permit as such plan and permit may be amended or renewed pursuant to  all applicable laws, statutes, rules, and regulations, as such laws, statutes,  rules, and regulations may be amended, 
    Or, if the Principal shall faithfully perform (closure,  post-closure care, corrective action) following an order to begin (closure,  post-closure care, corrective action) issued by the Commonwealth of Virginia's  Department of Environmental Quality or by a court, or following a notice of  termination of the permit, 
    Or, if the Principal shall provide alternate financial assurance  as specified in the Department's regulations and obtain the director's written  approval of such assurance, within 90 days of the date notice of cancellation  is received by the Director of the Department of Environmental Quality from the  Surety, then this obligation will be null and void, otherwise it is to remain  in full force and effect for the life of the management facility identified  above. 
    The Surety shall become liable on this bond obligation only  when the Principal has failed to fulfill the conditions described above. Upon  notification by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, that the Principal has been found in violation of the  requirements of the Department's regulations, the Surety must either perform  (closure, post-closure care, corrective action) in accordance with the approved  plan and other permit requirements or forfeit the (closure, post-closure care,  corrective action) amount guaranteed for the facility to the Commonwealth of  Virginia. 
    Upon notification by the Director of the Department of  Environmental Quality, Commonwealth of Virginia, that the Principal has been  found in violation of an order to begin (closure, post-closure care, corrective  action), the Surety must either perform (closure, post-closure care, corrective  action) in accordance with the order or forfeit the amount of the (closure,  post-closure care, corrective action) guaranteed for the facility to the  Commonwealth of Virginia. 
    The Surety hereby waives notification of amendments to the  (closure, post-closure care, corrective action) plans, orders, permit,  applicable laws, statutes, rules, and regulations and agrees that such  amendments shall in no way alleviate its obligation on this bond. 
    For purposes of this bond, (closure, post-closure care,  corrective action) shall be deemed to have been completed when the Director of  the Department of Environmental Quality, Commonwealth of Virginia, determines  that the conditions of the approved plan have been met. 
    The liability of the Surety shall not be discharged by any  payment or succession of payments hereunder, unless and until such payment or  payments shall amount in the aggregate to the penal sum of the bond, but the  obligation of the Surety hereunder shall not exceed the amount of said penal  sum unless the Director of the Department of Environmental Quality,  Commonwealth of Virginia, should prevail in an action to enforce the terms of  this bond. In this event, the Surety shall pay, in addition to the penal sum  due under the terms of the bond, all interest accrued from the date the  Director of the Department of Environmental Quality, Commonwealth of Virginia,  first ordered the Surety to perform. The accrued interest shall be calculated  at the judgment rate of interest pursuant to § 6.1-330.54 6.2-302  of the Code of Virginia. 
    The Surety may cancel the bond by sending written notice of  cancellation to the owner or operator and to the Director of the Department of  Environmental Quality, Commonwealth of Virginia, provided, however, that cancellation  cannot occur (1) during the 120 days beginning on the date of receipt of the  notice of cancellation by the director as shown on the signed return receipt;  or (2) while an enforcement action is pending. 
    The Principal may terminate this bond by sending written  notice to the Surety, provided, however, that no such notice shall become  effective until the Surety receives written authorization for termination of  the bond by the Director of the Department of Environmental Quality,  Commonwealth of Virginia. 
    In witness whereof, the Principal and Surety have executed  this Performance Bond and have affixed their seals on the date set forth above.  
    The persons whose signatures appear below hereby certify that  they are authorized to execute this surety bond on behalf of the Principal and  Surety and I hereby certify that the wording of this surety bond is identical  to the wording specified in 9VAC20-70-290 B of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    Principal 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Surety 
    Name and Address: __________ 
    State of Incorporation: __________ 
    Liability Limit: $___ 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Seal: 
    C. Wording of irrevocable standby letter of credit. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    IRREVOCABLE STANDBY LETTER OF CREDIT 
    Director 
    Department of Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia 23240-0009 
    Dear (Sir or Madam): 
    We hereby establish our Irrevocable Letter of Credit No......  in your favor at the request and for the account of (owner's or operator's name  and address) up to the aggregate amount of (in words) U.S. dollars $____,  available upon presentation of 
    1. Your sight draft, bearing reference to this letter of  credit No ____ together with 
    2. Your signed statement declaring that the amount of the  draft is payable pursuant to regulations issued under the authority of the  Department of Environmental Quality, Commonwealth of Virginia. 
    The following amounts are included in the amount of this  letter of credit: (Insert the facility permit number, if any, name and address,  and the closure, post-closure care, corrective action cost estimate, or  portions thereof, for which financial assurance is demonstrated by this letter  of credit.) 
    This letter of credit is effective as of (date) and will  expire on (date at least one year later), but such expiration date will be  automatically extended for a period of (at least one year) on (date) and on  each successive expiration date, unless, at least 120 days before the current  expiration date, we notify you and (owner or operator's name) by certified mail  that we decide not to extend the Letter of Credit beyond the current expiration  date. In the event you are so notified, unused portion of the credit will be  available upon presentation of your sight draft for 120 days after the date of  receipt by you as shown on the signed return receipt or while a compliance  procedure is pending, whichever is later. 
    Whenever this letter of credit is drawn on under and in  compliance with the terms of this credit, we will duly honor such draft upon  presentation to us, and we will pay to you the amount of the draft promptly and  directly. 
    I hereby certify that I am authorized to execute this letter  of credit on behalf of (issuing institution) and I hereby certify that the  wording of this letter of credit is identical to the wording specified in  9VAC20-70-290 C of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities as such regulations were  constituted on the date shown immediately below. 
    Attest: 
    (Print name and title of official of issuing institution)  (Date) 
        This credit is subject to (insert "the most recent  edition of the Uniform Customs and Practice for Documentary Credits, published by  the International Chamber of Commerce," of "the Uniform Commercial  Code.") 
    D. Assignment of certificate of deposit account. 
    City _______________________ ____________, 20___ 
    FOR VALUE RECEIVED, the undersigned assigns all right, title  and interest to the Virginia Department of Environmental Quality, Commonwealth  of Virginia, and its successors and assigns the Virginia Department of  Environmental Quality the principal amount of the instrument, including all  monies deposited now or in the future to that instrument, indicated below: 
    ( ) If checked here, this assignment includes all interest  now and hereafter accrued. 
    Certificate of Deposit Account No. _____________________ 
    This assignment is given as security to the Virginia  Department of Environmental Quality in the amount of _______________________  Dollars ($_____________). 
    Continuing Assignment. This assignment shall continue to  remain in effect for all subsequent terms of the automatically renewable  certificate of deposit. 
    Assignment of Document. The undersigned also assigns any  certificate or other document evidencing ownership to the Virginia Department  of Environmental Quality. 
    Additional Security. This assignment shall secure the payment  of any financial obligation of the (name of owner/operator) to the Virginia  Department of Environmental Quality for ("closure" "post closure  care" "corrective action") at the (facility name and permit  number) located (physical address) 
    Application of Funds. The undersigned agrees that all or any  part of the funds of the indicated account or instrument may be applied to the  payment of any and all financial assurance obligations of (name of  owner/operator) to the Virginia Department of Environmental Quality for  ("closure" "post closure care" "corrective  action") at the (facility name and address). The undersigned authorizes  the Virginia Department of Environmental Quality to withdraw any principal  amount on deposit in the indicated account or instrument including any  interest, if indicated, and to apply it in the Virginia Department of  Environmental Quality's discretion to fund ("closure" "post  closure care" "corrective action") at the (facility name) or in  the event of (owner or operator's) failure to comply with the Virginia Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities, 9VAC20-70-10 et seq 9VAC20-70. The undersigned agrees  that the Virginia Department of Environmental Quality may withdraw any  principal and/or interest from the indicated account or instrument without demand  or notice. (The undersigned) agrees to assume any and all loss of penalty due  to federal regulations concerning the early withdrawal of funds. Any partial  withdrawal of principal or interest shall not release this assignment. 
    The party or parties to this Assignment set their hand or  seals, or if corporate, has caused this assignment to be signed in its  corporate name by its duly authorized officers and its seal to be affixed by  authority of its Board of Directors the day and year above written. 
           |             |                 |          SEAL       |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
       |             |                 |          SEAL      |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
  
    THE FOLLOWING SECTION IS TO BE COMPLETED BY THE BRANCH OR  LENDING OFFICE: 
    The signature(s) as shown above compare correctly with the  name(s) as shown on record as owner(s) of the Certificate of Deposit indicated  above. The above assignment has been properly recorded by placing a hold in the  amount of $ _______________________ for the benefit of the Department of  Environmental Quality. 
    ( ) If checked here, the accrued interest on the Certificate  of Deposit indicated above has been maintained to capitalize versus being  mailed by check or transferred to a deposit account. 
           |             |                 |                 |    
       |      (Signature)      |                 |          (Date)      |    
       |             |                 |                 |    
       |      (print name)      |                 |                 |    
       |             |                 |                 |    
       |      (Title)      |                 |                 |    
  
    E. Wording of certificate of insurance. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    CERTIFICATE OF INSURANCE 
    Name and Address of Insurer (herein called the  "Insurer"): 
    _____________ 
    _____________
    Name and Address of Insured (herein called the  "Insured"): 
    _____________ 
    _____________ 
    _____________
    Facilities Covered: (List for each facility: Permit number  (if applicable), name, address and the amount of insurance for closure,  post-closure care, or corrective action. (These amounts for all facilities  covered shall total the face amount shown below.)) 
    Face Amount: $___ 
    Policy Number: __________ 
    Effective Date: __________ 
    The Insurer hereby certifies that it has issued to the  Insured the policy of insurance identified above to provide financial assurance  for (insert "closure," "post-closure care,"  "corrective action") for the facilities identified above. The Insurer  further warrants that such policy conforms in all respects with the requirements  of 9VAC20-70-190 of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities ("Regulations") (9VAC20-70-10  et seq.) (9VAC20-70), as such regulations were constituted on the  date shown immediately below. It is agreed that any provision of the policy  inconsistent with such regulations is hereby amended to eliminate such  inconsistency. 
    Whenever requested by the Director, the Insurer agrees to  furnish to the Director a duplicate original of the policy listed above,  including all endorsements thereon. 
    I hereby certify that the wording of this certificate is  identical to the wording specified in 9VAC20-70-290 E of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Authorized signature for Insurer) 
    (Name of person signing) 
    (Title of person signing) 
    Signature of witness or notary: 
    (Date) 
    F. Wording of letter from chief financial officer. 
    (NOTE: Instructions in  parentheses are to be replaced with the relevant information and the  parentheses removed.) 
    Director 
    Department of  Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia  23240-0009 
    Dear (Sir, Madam): 
    I am the chief financial officer of (name and address of  firm). This letter is in support of this firm's use of the financial test to  demonstrate financial assurance, as specified in 9VAC20-70-200 of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities (9VAC20-70-10 et seq.) (9VAC20-70)  ("Regulations"). 
    (Fill out the following four paragraphs regarding solid  waste, regulated medical waste, yard waste composting, hazardous waste,  underground injection (regulated under the federal program in 40 CFR Part 144,  or its equivalent in other states), petroleum underground storage (9VAC25-590-10  et seq.) (9VAC25-590), above ground storage facilities (9VAC25-640-10  et seq.) (9VAC25-640) and PCB storage (regulated under 40 CFR Part  761) facilities and associated cost estimates. If your firm has no facilities  that belong in a particular paragraph, write "None" in the space  indicated. For each facility, include its name, address, permit number, if any,  and current closure, post-closure care, corrective action or any other  environmental obligation cost estimates. Identify each cost estimate as to  whether it is for closure, post-closure care, corrective action or other  environmental obligation.) 
    1. This firm is the owner or operator of the following  facilities for which financial assurance is demonstrated through the corporate  test specified in 9VAC20-70-200 or its equivalent in other applicable  regulations. The current cost estimates covered by the test are shown for each  facility: 
    2. This firm guarantees, through the corporate guarantee  specified in 9VAC20-70-220, the financial assurance for the following  facilities owned or operated by subsidiaries of this firm. The current cost  estimates so guaranteed are shown for each facility: 
    3. This firm, as owner or operator or guarantor, is  demonstrating financial assurance for the following facilities through the use  of a financial test. The current cost estimates covered by such a test are  shown for each facility: 
    4. This firm is the owner or operator of the following waste  management facilities for which financial assurance is not demonstrated through  the financial test or any other financial assurance mechanism. The current cost  estimates for the facilities which are not covered by such financial assurance  are shown for each facility: 
    This firm (insert "is required" or "is not  required") to file a Form 10K with the Securities and Exchange Commission  (SEC) for the latest fiscal year. 
    The fiscal year of this firm ends on (month, day). The  figures for the following items marked with an asterisk are derived from this  firm's independently audited, year-end financial statements for the latest  completed fiscal year, ended (date). 
           |      1) Sum of current closure, post-closure care, corrective    action or other environmental obligations cost estimates (total of all cost    estimates shown in the four paragraphs above.)       |          $__________      |    
       |      2) Tangible net worth*       |          $__________      |    
       |      3) Total assets located in the United States*       |          $__________      |    
       |             |           YES      |          NO      |    
       |      Line 2 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
       |      Line 3 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
        |      |      |      |    
  
    (Fill in Alternative I if the criteria of 9VAC20-70-200 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-200 1 a (2)  are used. Fill in Alternative III if the criteria of 9VAC20-70-200 1 a (3) are  used.) 
    ALTERNATIVE I 
    Current bond rating of this firm's senior unsubordinated debt  and name of rating service 
    Date of issuance of bond 
    Date of maturity of bond 
           |      ALTERNATIVE II       |    
       |      4) Total liabilities* (if any portion of the closure,    post-closure care, corrective action or other environmental obligations cost    estimates is included in total liabilities, you may deduct the amount of that    portion from this line and add that amount to line 5.)       |          $___________      |    
       |      5) Net worth*       |          $___________      |    
       |      Is line 4 divided by line 5 less than 1.5?      |          YES      |          NO      |    
        |      |      |      |    
  
     
     
                    ALTERNATIVE III       |    
       |      6) Total liabilities*        |          $___________      |    
       |      7) The sum of net income plus depreciation, depletion, and    amortization minus $10 million*      |                 |          $___________      |    
       |      Is line 7 divided by line 6 less than 0.1?      |           YES      |          NO      |                 |    
        |      |      |      |    
  
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 F of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name) 
    (Title) 
    (Date) 
    G. Wording of the local government letter from chief  financial officer. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    LETTER FROM CHIEF FINANCIAL OFFICER 
    I am the chief financial officer of (insert: name and address  of local government owner or operator, or guarantor). This letter is in support  of the use of the financial test to demonstrate financial responsibility for  ("closure care" "post-closure care" "corrective action  costs") arising from operating a solid waste management facility. 
    The following facilities are assured by this financial test:  (List for each facility: the name and address of the facility, the permit  number, the closure, post-closure and/or corrective action costs, whichever  applicable, for each facility covered by this instrument). 
    This owner's or operator's financial statements were prepared  in conformity with Generally Accepted Accounting Principles for governments and  have been audited by ("an independent certified public accountant"  "Auditor of Public Accounts"). The owner or operator has not received  an adverse opinion or a disclaimer of opinion from ("an independent  certified public accountant" "Auditor of Public Accounts") on  its financial statements for the latest completed fiscal year. 
    This owner or operator is not currently in default on any  outstanding general obligation bond. Any outstanding issues of general  obligation, if rated, have a Moody's rating of Aaa, Aa, A, or Baa or a Standard  and Poor's rating of AAA, AA, A or BBB; if rated by both firms, the bonds have  a Moody's rating of Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA,  AA, A, or BBB. 
    The fiscal year of this owner or operator ends on (month,  day). The figures for the following items marked with the asterisk are derived  from this owner's or operator's independently audited, year-end financial  statements for the latest completed fiscal year ended (date). 
    (Please complete Alternative I or Alternative II.) 
    (Fill in Alternative I if the criteria in 9VAC20-70-210 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-210 1 a (2)  are used.) 
    ALTERNATIVE I—BOND RATING TEST 
    The details of the issue date, maturity, outstanding amount,  bond rating, and bond rating agency of all outstanding general obligation bond  issues that are being used by (name of local government owner or operator, or  guarantor) to demonstrate financial responsibility are as follows: (complete  table): 
           |      Issue Date      |          Maturity Date      |          Outstanding Amount      |          Bond Rating      |          Rating Agency      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
  
    Any outstanding issues of general obligation bonds, if rated,  have a Moody's rating of Aaa, Aa, A, or Baa or a Standard and Poor's rating of  AAA, AA, A or BBB; if rated by both firms, the bonds have a Moody's rating of  Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA, AA, A or BBB. 
           |      1) Sum of current closure,    post-closure and corrective action cost estimates (total of all cost    estimates listed above)      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |             |           YES      |          NO      |                 |    
       |      5) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |                 |    
       |      6) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |                 |    
       |      7) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |                 |    
       |      8) Is (line 1 + line 4e) <= (line 3a x 0.20)?      |          ____      |          ____      |                 |    
        |      |      |      |      |      |    
  
    If the answer to line 7 is yes and the answer to line 8 is  no, please attach documentation from the agent/trustee /issuing institution  stating the current balance of the account/fund /irrevocable letter of credit  as of the latest fiscal reporting year to this form as required by  9VAC20-70-210. 
    ALTERNATIVE II—FINANCIAL RATIO  TEST 
           |      1) Sum of current closure, post-closure and corrective    action cost estimates      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |      *5) Cash plus marketable securities      |          $_______________      |    
       |      *6) Total Expenditures      |          $_______________      |    
       |      *7) Annual Debt Service      |          $_______________      |    
       |             |          YES      |          NO      |    
       |      8) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |    
       |      9) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |    
       |      10) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |    
       |      11) Is (line 5 / line 6) >= 0.05?      |          ____      |          ____      |    
       |      12) Is (line 7 / line 6) <= 0.20?      |          ____      |          ____      |    
       |      13) Is (line 1 + line 4e) <= (line 3a x.20)      |          ____      |          ____      |    
  
    If the answer to line 13 is no, please attach documentation  from the agent/trustee/issuing institution stating the current balance of the  account/fund/irrevocable letter of credit as of the latest fiscal reporting  year to this form as required by 9VAC20-70-210. 
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 G of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    H. Certification of funding. 
    CERTIFICATION OF FUNDING 
    I certify the following information details the current plan  for funding closure and post closure at the solid waste management facilities  listed below. 
           |       Facility Permit #       |                 |          Source for funding closure and post closure       |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |      Name of Locality or Corporation:    _______________________________________      |    
       |             |                 |                 |                 |                 |    
       |      Signature      |                 |          Printed Name      |                 |          Date      |    
       |             |                 |                 |                 |                 |    
       |      Title      |                 |                 |                 |                 |    
        |      |      |      |      |      |      |      |    
  
    I. Certification of escrow/sinking fund /irrevocable letter  of credit balance. 
    CERTIFICATION OF ESCROW/SINKING FUND BALANCE OR AMOUNT OF  IRREVOCABLE LETTER OF CREDIT 
    I am the Chief Financial Officer of (name of locality) and  hereby certify that as of (date) the current balance in the restricted sinking  (type of fund) fund or the escrow account or the amount of the irrevocable  letter of credit restricted to landfill closure costs is $_____________ 
    The calculation used to determine the amount required to be  funded is as follows: 
    (Show the values that were used in the following formula: 
    (CE * CD) - E 
    Where CE is the current closure cost estimate, CD is the  percentage of landfill capacity used to date, and E is current year expenses  for closure.) 
    Therefore, this account has been funded or an irrevocable  letter of credit has been obtained in accordance with the Financial Assurance  Regulations for Solid Waste Disposal, Transfer and Treatment Facilities, 9VAC20-70-10  et seq 9VAC20-70. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    J. Wording of corporate guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    CORPORATE GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a business corporation organized under the laws of the state of (insert name of  state), herein referred to as guarantor. This guarantee is made on behalf of  the (owner or operator) of (business address), which is (one of the following:  "our subsidiary"; "a subsidiary of (name and address of common  parent corporation) of which guarantor is a subsidiary"; or "an  entity with which the guarantor has a substantial business relationship, as  defined in Part I of the Virginia Financial Assurance Regulations for Solid  Waste Disposal, Transfer, and Treatment Facilities (9VAC20-70-10 et seq.)  (9VAC20-70)") to the Virginia Department of Environmental Quality  ("Department"), obligee, on behalf of our subsidiary (owner or  operator) of (business address). 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-200 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-220 of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer, and Treatment Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care, corrective  action or other environmental obligations.) 
    3. "Closure plans", "post-closure care  plans" and "corrective action plans" as used below refer to the  plans maintained as required by the Solid Waste Management Regulations (9VAC20-80-10  et seq.), (9VAC20-81), or the Regulated Medical Waste Management  Regulations (9VAC20-120-10 et seq.), (9VAC20-120) or  Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.). 
    4. For value received from (owner or operator), guarantor guarantees  to the Department that in the event that (owner or operator) fails to perform  (insert "closure," "post-closure care," or "corrective  action") of the above facility(ies) in accordance with the closure or  post-closure care plans and other (requirements of the) permit or (the order)  whenever required to do so, the guarantor shall do so or establish a trust fund  as specified in 9VAC20-70-140 in the name of (owner or operator) in the amount  of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (Bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure, post-closure or corrective action plan, amendment or modification of  the permit, amendment or modification of the order, the extension or reduction  of the time of performance of closure, post-closure, or corrective action or  any other modification or alteration of an obligation of the owner or operator  pursuant to the (Virginia Solid or Regulated Medical Waste Management or  Vegetative Waste Management and Yard Waste Composting Regulations or § 10.1-1454.1 of the Code of Virginia) (Solid Waste Management Regulations  or Regulated Medical Waste Management Regulations or § 10.1-1454.1 of the  Code of Virginia). 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. (Insert the following language if the guarantor is (a) a  direct or higher-tier corporate parent, or (b) a firm whose parent corporation  is also the parent corporation of the owner or operator:) Guarantor may  terminate this guarantee by sending notice by certified mail to the Director of  the Department of Environmental Quality and to the (owner or operator),  provided that this guarantee may not be terminated unless and until (the owner  or operator) obtains and the director approves, alternate (closure,  post-closure, corrective action) coverage complying with the requirements of 9VAC20-70-10  et seq 9VAC20-70. (Insert the following language if the guarantor is  a firm qualifying as a guarantor due to its "substantial business  relationship" with the owner or operator:) Guarantor may terminate this  guarantee 120 days following the receipt of notification, through certified  mail, by the director and by (the owner or operator). 
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of the  Regulations, and obtain written approval of such assurance from the director  within 90 days after a notice of cancellation by the guarantor is received by  the director from guarantor, guarantor shall provide such alternate financial  assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording in 9VAC20-70-290 J of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    (Name of guarantor) 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    K. Wording of local government guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    LOCAL GOVERNMENT GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a local government created under the laws of the state of Virginia, herein  referred to as guarantor. This guarantee is made on behalf of the (owner or  operator) of (address), to the Virginia Department of Environmental Quality  ("Department"), obligee. 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-210 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-230 of the Financial Assurance Regulations  for Solid Waste Disposal, Treatment and Transfer Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care,  corrective action or other environmental obligations.) 
    3. "Closure plans" and "post-closure care  plans" as used below refer to the plans maintained as required by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.), or Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101-10 et seq.)  (9VAC20-81).
    4. For value received from (owner or operator), guarantor  guarantees to the Department that in the event that (owner or operator) fails  to perform (insert "closure," "post-closure care," or  "corrective action") of the above facility(ies) in accordance with  the closure or post-closure care plans and other (requirements of the) permit  or (the order) whenever required to do so, the guarantor shall do so or  establish a trust fund as specified in 9VAC20-70-150 in the name of (owner or  operator) in the amount of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations in  the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure or post-closure plan, amendment or modification of the closure or  post-closure plan, amendment or modification of the permit, amendment or  modification of the order, the extension or reduction of the time of performance  of the closure or post-closure, or any other modification or alteration of an  obligation of the owner or operator pursuant to the Virginia (Solid Waste  Management or Regulated Medical Waste Management) or Vegetative  Waste Management and Yard Waste Composting) Regulations. 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. Guarantor may terminate this guarantee by sending notice  by certified mail to the Director of the Department of Environmental Quality  and to the (owner or operator), provided that this guarantee may not be  terminated unless and until (the owner or operator) obtains and the director  approves, alternate (closure, post-closure, corrective action,) coverage  complying with the requirements of 9VAC20-70-10 et seq 9VAC20-70.  
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of  the Regulations, and obtain written approval of such assurance from the  director with 90 days after a notice of cancellation by the guarantor is  received by the director from guarantor, guarantor shall provide such alternate  financial assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording specified in 9VAC20-70-290 K of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Name of guarantor) __________ 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    Part I 
  Definitions 
    9VAC20-81-10. Definitions.
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at completion of  closure activities required by this chapter. 
    "Active portion" means that part of a facility or  unit that has received or is receiving wastes and that has not been closed in  accordance with this chapter. 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Airport" means, for the purpose of this chapter, a  military airfield or a public-use airport open to the public without prior  permission and without restrictions within the physical capacities of available  facilities.
    "Aquifer" means a geologic formation, group of  formations, or a portion of a formation capable of yielding significant  quantities of groundwater to wells or springs.
    "Ash" means the fly ash or bottom ash residual  waste material produced from incineration or burning of solid waste or from any  fuel combustion. 
    "Base flood" see "Hundred-year flood."
    "Bedrock" means the rock that underlies soil or  other unconsolidated, superficial material at a site. 
    "Benchmark" means a permanent monument constructed  of concrete and set in the ground surface below the frostline with identifying  information clearly affixed to it. Identifying information will include the  designation of the benchmark as well as the elevation and coordinates on the  local or Virginia state grid system. 
    "Beneficial use" means a use that is of benefit as  a substitute for natural or commercial products and does not contribute to  adverse effects on health or environment. 
    "Bioremediation" means remediation of contaminated  media by the manipulation of biological organisms to enhance the degradation of  contaminants. 
    "Bird hazard" means an increase in the likelihood  of bird/aircraft collisions that may cause damage to the aircraft or injury to  its occupants. 
    "Board" means the Virginia Waste Management Board. 
    "Bottom ash" means ash or slag that has been  discharged from the bottom of the combustion unit after combustion. 
    "Capacity" means the maximum permitted volume of  solid waste, inclusive of daily and intermediate cover, that can be disposed in  a landfill. This volume is measured in cubic yards.
    "Captive industrial landfill" means an industrial  landfill that is located on property owned or controlled by the generator of  the waste disposed of in that landfill.
    "Clean wood" means solid waste consisting of  untreated wood pieces and particles that do not contain paint, laminate,  bonding agents, or chemical preservatives or are otherwise unadulterated.
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of  this chapter. 
    "Closure" means that point in time when a permitted  landfill has been capped, certified as properly closed by a professional  engineer, inspected by the department, and closure notification is performed by  the department in accordance with 9VAC20-81-160 D. 
    "Coal combustion byproducts" or "CCB"  means residuals, including fly ash, bottom ash, boiler slag, and flue gas  emission control waste produced by burning coal. 
    "Combustion unit" means an incinerator, waste heat  recovery unit, or boiler. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants,  and shopping centers. 
    "Compliance schedule" means a time schedule for  measures to be employed on a solid waste management facility that will  ultimately upgrade it to conform to this chapter. 
    "Compost" means a stabilized organic product  produced by a controlled aerobic decomposition process in such a manner that  the product can be handled, stored, and/or applied to the land without  adversely affecting public health or the environment. 
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Conditionally exempt small quantity generator"  means a generator of hazardous waste who has been so defined in 40 CFR 261.5,  as amended. That section applies to the persons who generate in that calendar  month no more than 100 kilograms of hazardous waste or one kilogram of acutely  hazardous waste. 
    "Construction" means the initiation of permanent  physical change at a property with the intent of establishing a solid waste  management unit. This does not include land-clearing activities, excavation for  borrow purposes, activities intended for infrastructure purposes, or activities  necessary to obtain Part A siting approval (i.e., advancing of exploratory  borings, digging of test pits, groundwater monitoring well installation, etc.).
    "Construction/demolition/debris landfill" or  "CDD landfill" means a land burial facility engineered, constructed  and operated to contain and isolate construction waste, demolition waste,  debris waste, split tires, and white goods or combinations of the above solid  wastes. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes include,  but are not limited to lumber, wire, sheetrock, broken brick, shingles, glass,  pipes, concrete, paving materials, and metal and plastics if the metal or  plastics are a part of the materials of construction or empty containers for  such materials. Paints, coatings, solvents, asbestos, any liquid, compressed  gases or semi-liquids and garbage are not construction wastes. 
    "Contaminated soil" means, for the purposes of this  chapter, a soil that, as a result of a release or human usage, has absorbed or  adsorbed physical, chemical, or radiological substances at concentrations above  those consistent with nearby undisturbed soil or natural earth materials. 
    "Container" means any portable device in which a  material is stored, transported, treated, or otherwise handled and includes  transport vehicles that are containers themselves (e.g., tank trucks) and  containers placed on or in a transport vehicle. 
    "Containment structure" means a closed vessel such  as a tank or cylinder. 
    "Convenience center" means a collection point for  the temporary storage of solid waste provided for individual solid waste  generators who choose to transport solid waste generated on their own premises  to an established centralized point, rather than directly to a disposal  facility. To be classified as a convenience center, the collection point may  not receive waste from collection vehicles that have collected waste from more  than one real property owner. A convenience center shall be on a system of  regularly scheduled collections.
    "Cover material" means compactable soil or other  approved material that is used to blanket solid waste in a landfill.
    "Daily disposal limit" means the amount of solid  waste that is permitted to be disposed at the facility and shall be computed on  the amount of waste disposed during any operating day.
    "Debris waste" means wastes resulting from  land-clearing operations. Debris wastes include, but are not limited to stumps,  wood, brush, leaves, soil, and road spoils. 
    "Decomposed vegetative waste" means a stabilized organic  product produced from vegetative waste by a controlled natural decay process in  such a manner that the product can be handled, stored, or applied to the land  without adversely affecting public health or the environment.
    "Demolition waste" means that solid waste that is  produced by the destruction of structures and their foundations and includes  the same materials as construction wastes. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. For purposes of submissions to the director as specified  in the Waste Management Act, submissions may be made to the department. 
    "Discard" means to abandon, dispose of, burn,  incinerate, accumulate, store, or treat before or instead of being abandoned,  disposed of, burned, or incinerated. 
    "Discarded material" means a material that is: 
    1. Abandoned by being: 
    a. Disposed of; 
    b. Burned or incinerated; or 
    c. Accumulated, stored, or treated (but not used, reused, or  reclaimed) before or in lieu of being abandoned by being disposed of, burned,  or incinerated; or
    2. Recycled used, reused, or reclaimed material as defined in  this part.
    "Disclosure statement" means a sworn statement or  affirmation as required by § 10.1-1400 of the Code of Virginia. (see DEQ  Form DISC-01 and 02 (Disclosure Statement)).
    "Displacement" means the relative movement of any  two sides of a fault measured in any direction. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Disposal unit boundary" or "DUB" means  the vertical plane located at the edge of the waste disposal unit. This  vertical plane extends down into the uppermost aquifer. The DUB must be  positioned within or coincident to the waste management boundary.
    "EPA" means the United States Environmental  Protection Agency. 
    "Exempt management facility" means a site used for  activities that are conditionally exempt from management as a solid waste under  this chapter. The facility remains exempt from solid waste management  requirements provided it complies with the applicable conditions set forth in  Parts II (9VAC20-81-20 et seq.) and IV (9VAC20-81-300 et seq.) of this chapter.
    "Expansion" means a horizontal expansion of the  waste management boundary as identified in the Part A application. If a  facility's permit was issued prior to the establishment of the Part A process,  an expansion is a horizontal expansion of the disposal unit boundary. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Facility boundary" means the boundary of the solid  waste management facility. For landfills, this boundary encompasses the waste  management boundary and all ancillary activities including, but not limited to  scales, groundwater monitoring wells, gas monitoring probes, and maintenance  facilities as identified in the facility's permit application. For facilities  with a permit-by-rule (PBR) the facility boundary is the boundary of the  property where the permit-by-rule activity occurs. For unpermitted solid waste  management facilities, the facility boundary is the boundary of the property  line where the solid waste is located.
    "Facility structure" means any building, shed, or  utility or drainage line on the facility. 
    "Fault" means a fracture or a zone of fractures in  any material along which strata on one side have been displaced with respect to  that on the other side. 
    "Floodplain" means the lowland and relatively flat  areas adjoining inland and coastal waters, including low-lying areas of  offshore islands where flooding occurs. 
    "Fly ash" means ash particulate collected from air  pollution attenuation devices on combustion units. 
    "Food-chain crops" means crops grown for human  consumption, tobacco, and crops grown for pasture and forage or feed for  animals whose products are consumed by humans. 
    "Fossil fuel combustion products" means coal  combustion byproducts as defined in this regulation, coal combustion byproducts  generated at facilities with fluidized bed combustion technology, petroleum  coke combustion byproducts, byproducts from the combustion of oil, byproducts  from the combustion of natural gas, and byproducts from the combustion of  mixtures of coal and "other fuels" (i.e., co-burning of coal with  "other fuels" where coal is at least 50% of the total fuel). For  purposes of this definition, "other fuels" means waste-derived fuel  product, auto shredder fluff, wood wastes, coal mill rejects, peat, tall oil,  tire-derived fuel, deionizer resins, and used oil. 
    "Free liquids" means liquids that readily separate  from the solid portion of a waste under ambient temperature and pressure as  determined by the Paint Filter Liquids Test, Method 9095, U.S. Environmental  Protection Agency, Publication SW-846. 
    "Garbage" means readily putrescible discarded  materials composed of animal, vegetable or other organic matter. 
    "Gas condensate" means the liquid generated as a  result of gas control or recovery processes at the solid waste management  facility. 
    "Governmental unit" means any department,  institution, or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.
    "Ground rubber" means material processed from waste  tires that is no larger than 1/4 inch in any dimension. This includes crumb  rubber that is measured in mesh sizes. 
    "Groundwater" means water below the land surface in  a zone of saturation. 
    "Hazardous constituent" means a constituent of  solid waste found listed in Appendix VIII of 9VAC20-60-261.
    "Hazardous waste" means a "hazardous  waste" as described by the Virginia Hazardous Waste Management Regulations  (9VAC20-60).
    "Holocene" means the most recent epoch of the  Quaternary period, extending from the end of the Pleistocene Epoch to the  present. 
    "Home use" means the use of compost for growing  plants that is produced and used on a privately owned residential site. 
    "Host agreement" means any lease, contract,  agreement, or land use permit entered into or issued by the locality in which  the landfill is situated that includes terms or conditions governing the  operation of the landfill. 
    "Household hazardous waste" means any waste  material derived from households (including single and multiple residences,  hotels, motels, bunkhouses, ranger stations, crew quarters, campgrounds, picnic  grounds, and day-use recreation areas) which, except for the fact that it is  derived from a household, would otherwise be classified as a hazardous waste in  accordance with 9VAC20-60.
    "Household waste" means any waste material,  including garbage, trash, and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds, and day-use recreation  areas. Household wastes do not include sanitary waste in septic tanks (septage)  that is regulated by other state agencies. 
    "Hundred-year flood" means a flood that has a 1.0%  or greater chance of recurring in any given year or a flood of magnitude  equaled or exceeded on the average only once in a hundred years on the average  over a significantly long period. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Incinerator" means a facility or device designed  for the treatment of solid waste by combustion. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts; inorganic  chemicals; iron and steel manufacturing; leather and leather products;  nonferrous metals manufacturing/foundries; organic chemicals; plastics and  resins manufacturing; pulp and paper industry; rubber and miscellaneous plastic  products; stone, glass, clay, and concrete products; textile manufacturing;  transportation equipment; and water treatment. This term does not include  mining waste or oil and gas waste. 
    "Industrial waste landfill" means a solid waste  landfill used primarily for the disposal of a specific industrial waste or a  waste that is a byproduct of a production process. 
    "Injection well" means, for the purposes of this  chapter, a well or bore hole into which fluids are injected into selected  geological horizons. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Interim cover systems" means temporary cover  systems applied to a landfill area when landfilling operations will be  temporarily suspended for an extended period (typically, longer than one year).  At the conclusion of the interim period, the interim cover system may be  removed and landfilling operations resume or final cover is installed.
    "Karst topography" means areas where karst terrane,  with its characteristic surface and subterranean features, is developed as the  result of dissolution of limestone, dolomite, or other soluble rock.  Characteristic physiographic features present in karst terranes include, but  are not limited to, sinkholes, sinking streams, caves, large springs, and blind  valleys. 
    "Key personnel" means the applicant itself and any  person employed by the applicant in a managerial capacity, or empowered to make  discretionary decisions, with respect to the solid waste or hazardous waste  operations of the applicant in Virginia, but shall not include employees  exclusively engaged in the physical or mechanical collection, transportation,  treatment, storage, or disposal of solid or hazardous waste and such other  employees as the director may designate by regulation. If the applicant has not  previously conducted solid waste or hazardous waste operations in Virginia, the  term also includes any officer, director, partner of the applicant, or any  holder of 5.0% or more of the equity or debt of the applicant. If any holder of  5.0% or more of the equity or debt of the applicant or of any key personnel is  not a natural person, the term includes all key personnel of that entity,  provided that where such entity is a chartered lending institution or a  reporting company under the Federal Security and Exchange Act of 1934, the term  does not include key personnel of such entity. Provided further that the term  means the chief executive officer of any agency of the United States or of any  agency or political subdivision of the Commonwealth, and all key personnel of  any person, other than a natural person, that operates a landfill or other  facility for the disposal, treatment, or storage of nonhazardous solid waste  under contract with or for one of those governmental entities. 
    "Lagoon" means a body of water or surface  impoundment designed to manage or treat waste water. 
    "Land-clearing activities" means the removal of  flora from a parcel of land.
    "Land-clearing debris" means vegetative waste  resulting from land-clearing activities. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill. 
    "Landfill gas" means gas generated as a byproduct  of the decomposition of organic materials in a landfill. Landfill gas consists  primarily of methane and carbon dioxide. 
    "Landfill mining" means the process of excavating  solid waste from an existing landfill. 
    "Leachate" means a liquid that has passed through  or emerged from solid waste and contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation to disposal in an off-site facility is regulated as septage,  leachate discharged into a waste water collection system is regulated as  industrial waste water and leachate that has contaminated groundwater is  regulated as contaminated groundwater. 
    "Lead acid battery" means, for the purposes of this  chapter, any wet cell battery. 
    "Lift" means the daily landfill layer of compacted  solid waste plus the cover material. 
    "Liquid waste" means any waste material that is  determined to contain "free liquids" as defined by this chapter. 
    "Lithified earth material" means all rock,  including all naturally occurring and naturally formed aggregates or masses of  minerals or small particles of older rock, that formed by crystallization of  magma or by induration of loose sediments. This term does not include manmade  materials, such as fill, concrete, and asphalt, or unconsolidated earth  materials, soil, or regolith lying at or near the earth's surface. 
    "Litter" means, for purposes of this chapter, any  solid waste that is discarded or scattered about a solid waste management  facility outside the immediate working area. 
    "Lower explosive limit" means the lowest  concentration by volume of a mixture of explosive gases in air that will  propagate a flame at 25°C and at atmospheric pressure. 
    "Materials recovery facility" means a solid waste  management facility for the collection, processing, and recovery of material  such as metals from solid waste or for the production of a fuel from solid  waste. This does not include the production of a waste-derived fuel product. 
    "Maximum horizontal acceleration in lithified earth  material" means the maximum expected horizontal acceleration depicted on a  seismic hazard map, with a 90% or greater probability that the acceleration  will not be exceeded in 250 years, or the maximum expected horizontal  acceleration based on a site-specific seismic risk assessment. 
    "Monitoring" means all methods, procedures, and  techniques used to systematically analyze, inspect, and collect data on  operational parameters of the facility or on the quality of air, groundwater,  surface water, and soils. 
    "Monitoring well" means a well point below the  ground surface for the purpose of obtaining periodic water samples from  groundwater for quantitative and qualitative analysis. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses except composting as defined and regulated under this  chapter. 
    "Municipal solid waste" means that waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from combustion of these wastes. 
    "New solid waste management facility" means a  facility or a portion of a facility that was not included in a previous  determination of site suitability (Part A approval). 
    "Nuisance" means an activity that unreasonably  interferes with an individual's or the public's comfort, convenience or  enjoyment such that it interferes with the rights of others by causing damage,  annoyance, or inconvenience. 
    "Offsite" means any site that does not meet the  definition of onsite as defined in this part. 
    "Onsite" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same  person, but connected by a right-of-way that he controls and to which the  public does not have access, are also considered onsite property. 
    "Open burning" means the combustion of solid waste  without:
    1. Control of combustion air to maintain adequate temperature  for efficient combustion;
    2. Containment of the combustion reaction in an enclosed  device to provide sufficient residence time and mixing for complete combustion;  and
    3. Control of the combustion products' emission. 
    "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.
    "Operating record" means records required to be  maintained in accordance with the facility permit or this part (see  9VAC20-81-530). 
    "Operation" means all waste management activities  at a solid waste management facility beginning with the initial receipt of  solid waste for treatment, storage, disposal, or transfer and ceasing with the  initiation of final closure activities at the solid waste management facility  subsequent to the final receipt of waste.
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means the person who owns a solid waste  management facility or part of a solid waste management facility.
    "PCB" means any chemical substance that is limited  to the biphenyl molecule that has been chlorinated to varying degrees or any  combination of substances that contain such substance (see 40 CFR 761.3, as  amended).
    "Perennial stream" means a well-defined channel  that contains water year round during a year of normal rainfall. Generally, the  water table is located above the streambed for most of the year and groundwater  is the primary source for stream flow. A perennial stream exhibits the typical  biological, hydrological, and physical characteristics commonly associated with  the continuous conveyance of water.
    "Permit" means the written permission of the  director to own, operate, or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation, or any  other legal entity. 
    "Point source" means any discernible, confined, and  discrete conveyance, including but not limited to any pipe, ditch, channel,  tunnel, conduit, well, discrete fissure, container, rolling stock, vessel, or  other floating craft, from which pollutants are or may be discharged. Return  flows from irrigated agriculture are not included. 
    "Pollutant" means any substance that causes or  contributes to, or may cause or contribute to, environmental degradation when  discharged into the environment. 
    "Poor foundation conditions" means those areas  where features exist that indicate that a natural or man-induced event may  result in inadequate foundation support for the structural components of a  solid waste management facility. 
    "Postclosure" means the requirements placed upon  solid waste disposal facilities after closure to ensure environmental and  public health safety for a specified number of years after closure. 
    "Process rate" means the maximum rate of waste  acceptance that a solid waste management facility can process for a  treatment and/or storage. This rate is limited by the capabilities of  equipment, personnel, and infrastructure. 
    "Processing" means preparation, treatment, or  conversion of waste by a series of actions, changes, or functions that bring  about a desired end result. 
    "Professional engineer" means an engineer licensed  to practice engineering in the Commonwealth as defined by the rules and  regulations set forth by the Board of Architects, Professional Engineers, Land  Surveyors, and Landscape Architects (18VAC10-20).
    "Professional geologist" means a geologist licensed  to practice geology in the Commonwealth as defined by the rules and regulations  set forth by the Board for Geology (18VAC70-20).
    "Progressive cover" means cover material placed  over the working face of a solid waste disposal facility advancing over the  deposited waste as new wastes are added keeping the exposed area to a minimum. 
    "Putrescible waste" means solid waste that contains  organic material capable of being decomposed by micro-organisms and cause  odors. 
    "Qualified groundwater scientist" means a scientist  or engineer who has received a baccalaureate or postgraduate degree in the  natural sciences or engineering and has sufficient training and experience in  groundwater hydrology and related fields as may be demonstrated by professional  certifications, or completion of accredited university programs that enable  that individual to make sound professional judgments regarding groundwater  monitoring, contaminant fate and transport, and corrective action. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act of 1976 (42 USC  § 6901 et seq.), the Hazardous and Solid Waste Amendments of 1984, and any  other applicable amendments to these laws. 
    "Reclaimed material" means a material that is  processed or reprocessed to recover a usable product or is regenerated to a  usable form. 
    "Refuse" means all solid waste products having the  character of solids rather than liquids and that are composed wholly or  partially of materials such as garbage, trash, rubbish, litter, residues from  clean up of spills or contamination, or other discarded materials. 
    "Refuse-derived fuel (RDF)" means a type of  municipal solid waste produced by processing municipal solid waste through  shredding and size classification. This includes all classes of refuse-derived  fuel including low-density fluff refuse-derived fuel through densified  refuse-derived fuel and pelletized refuse-derived fuel.
    "Regulated hazardous waste" means a solid waste  that is a hazardous waste, as defined in the Virginia Hazardous Waste  Management Regulations (9VAC20-60), that is not excluded from those regulations  as a hazardous waste. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Release" means, for the purpose of this chapter,  any spilling, leaking, pumping, pouring, emitting, emptying, discharging,  injection, escaping, leaching, dumping, or disposing into the environment solid  wastes or hazardous constituents of solid wastes (including the abandonment or  discarding of barrels, containers, and other closed receptacles containing  solid waste). This definition does not include any release that results in  exposure to persons solely within a workplace; release of source, byproduct, or  special nuclear material from a nuclear incident, as those terms are defined in  the Atomic Energy Act of 1954 (68 Stat. 923); and the normal application of  fertilizer. For the purpose of this chapter, release also means substantial  threat of release. 
    "Remediation waste" means all solid waste,  including all media (groundwater, surface water, soils, and sediments) and  debris, that are managed for the purpose of remediating a site in accordance  with 9VAC20-81-45 or Part III (9VAC20-81-100 et seq.) of this chapter or under  the Voluntary Remediation Regulations (9VAC20-160) or other regulated  remediation program under DEQ oversight. For a given facility, remediation  wastes may originate only from within the boundary of that facility, and may  include wastes managed as a result of remediation beyond the boundary of the  facility. Hazardous wastes as defined in 9VAC20-60, as well as "new"  or "as generated" wastes, are excluded from this definition. 
    "Remediation waste management unit" or  "RWMU" means an area within a facility that is designated by the  director for the purpose of implementing remedial activities required under  this chapter or otherwise approved by the director. An RWMU shall only be used  for the management of remediation wastes pursuant to implementing such remedial  activities at the facility. 
    "Responsible official" means one of the following:
    1. For a business entity, such as a corporation, association,  limited liability company, or cooperative: a duly authorized representative of  such business entity if the representative is responsible for the overall  operation of one or more operating facilities applying for or subject to a  permit. The authority to sign documents must be assigned or delegated to such  representative in accordance with procedures of the business entity;
    2. For a partnership or sole proprietorship: a general partner  or the proprietor, respectively; or
    3. For a municipality, state, federal, or other public agency:  a duly authorized representative of the locality if the representative is responsible  for the overall operation of one or more operating facilities applying for or  subject to a permit. The authority to sign documents must be assigned or  delegated to such representative in accordance with procedures of the locality.
    "Rubbish" means combustible or slowly putrescible  discarded materials that include but are not limited to trees, wood, leaves,  trimmings from shrubs or trees, printed matter, plastic and paper products,  grass, rags and other combustible or slowly putrescible materials not included  under the term "garbage." 
    "Runoff" means any rainwater, leachate, or other  liquid that drains over land from any part of a solid waste management  facility. 
    "Run-on" means any rainwater, wastewater, leachate,  or other liquid that drains over land onto any part of the solid waste  management facility. 
    "Salvage" means the authorized, controlled removal  of waste materials from a solid waste management facility. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste that is so located, designed,  constructed, and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Saturated zone" means that part of the earth's crust  in which all voids are filled with water. 
    "Scavenging" means the unauthorized or uncontrolled  removal of waste materials from a solid waste management facility. 
    "Scrap metal" means metal parts such as bars, rods,  wire, empty containers, or metal pieces that are discarded material and can be  used, reused, or reclaimed. 
    "Secondary containment" means an enclosure into  which a container or tank is placed for the purpose of preventing discharge of  wastes to the environment. 
    "Seismic impact zone" means an area with a 10% or  greater probability that the maximum horizontal acceleration in lithified earth  material, expressed as a percentage of the earth's gravitational pull (g), will  exceed 0.10g in 250 years. 
    "Semiannual" means an interval corresponding to  approximately 180 days. For the purposes of scheduling monitoring activities,  sampling within 30 days of the 180-day interval will be considered semiannual. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Sludge" means any solid, semi-solid or liquid  waste generated from a municipal, commercial or industrial wastewater treatment  plant, water supply treatment plant, or air pollution control facility  exclusive of treated effluent from a wastewater treatment plant. 
    "Small landfill" means a landfill that disposed of  100 tons/day or less of solid waste during a representative period prior to  October 9, 1993, and did not dispose of more than an average of 100 tons/day of  solid waste each month between October 9, 1993, and April 9, 1994. 
    "Solid waste" means any of those materials defined  as "solid waste" in 9VAC20-81-95. 
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility" or  "SWMF" means a site used for planned treating, storing, or disposing  of solid waste. A facility may consist of several treatment, storage, or  disposal units. 
    "Special wastes" means solid wastes that are  difficult to handle, require special precautions because of hazardous  properties, or the nature of the waste creates waste management problems in  normal operations. (See Part VI (9VAC20-81-610 et seq.) of this chapter.) 
    "Speculatively accumulated material" means any  material that is accumulated before being used, reused, or reclaimed or in  anticipation of potential use, reuse, or reclamation. Materials are not being  accumulated speculatively when they can be used, reused, or reclaimed, have a  feasible means of use, reuse, or reclamation available and 75% of the materials  accumulated are being removed from the facility annually. 
    "State waters" means all water, on the surface and  under the ground, wholly or partially within, or bordering the Commonwealth, or  within its jurisdiction. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Structural fill" means an engineered fill with a  projected beneficial end use, constructed using soil or fossil fuel combustion  products spread and compacted with proper equipment and covered with a  vegetated soil cap. 
    "Sudden event" means a one-time, single event such  as a sudden collapse or a sudden, quick release of contaminants to the  environment. An example would be the sudden loss of leachate from an impoundment  into a surface stream caused by failure of a containment structure. 
    "Surface impoundment or impoundment" means a  facility or part of a facility that is a natural topographic depression,  manmade excavation, or diked area formed primarily of earthen materials  (although it may be lined with manmade materials), that is designed to hold an  accumulation of liquid wastes or wastes containing free liquids and that is not  an injection well. 
    "Surface waters" means all state waters that are  not groundwater as defined in § 62.1-255 of the Code of Virginia.
    "SW-846" means Test Methods for Evaluating Solid  Waste, Physical/Chemical Methods, EPA Publication SW-846, Second Edition, 1982  as amended by Update I (April, 1984), and Update II (April, 1985) and the third  edition, November, 1986, as amended. 
    "Tank" means a stationary device, designed to  contain an accumulation of liquid or semi-liquid components of solid waste that  is constructed primarily of nonearthen materials that provide structural  support. 
    "TEF" or "Toxicity Equivalency Factor"  means a factor developed to account for different toxicities of structural  isomers of polychlorinated dibenzodioxins and dibenzofurans and to relate them  to the toxicity of 2,3,7,8-tetrachloro dibenzo-p-dioxin. 
    "Terminal" means the location of transportation  facilities such as classification yards, docks, airports, management offices,  storage sheds, and freight or passenger stations, where solid waste that is  being transported may be loaded, unloaded, transferred, or temporarily stored. 
    "Thermal treatment" means the treatment of solid  waste in a device that uses elevated temperature as the primary means to change  the chemical, physical, or biological character, or composition of the solid  waste. 
    "Tire chip" means a material processed from waste  tires that is a nominal two square inches in size, and ranges from 1/4 inch to  four inches in any dimension. Tire chips contain no wire protruding more than  1/4 inch. 
    "Tire shred" means a material processed from waste  tires that is a nominal 40 square inches in size, and ranges from 4 inches to  10 inches in any dimension. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration, or resource recovery. 
    "Trash" means combustible and noncombustible  discarded materials and is used interchangeably with the term rubbish. 
    "Treatment" means, for the purpose of this chapter,  any method, technique, or process, including but not limited to incineration,  designed to change the physical, chemical, or biological character or  composition of any waste to render it more stable, safer for transport, or more  amenable to use, reuse, reclamation, recovery, or disposal. 
    "Underground source of drinking water" means an  aquifer or its portion:
    1. Which contains water suitable for human consumption; or
    2. In which the groundwater contains less than 10,000 mg/liter  total dissolved solids. 
    "Unit" means a discrete area of land used for the  disposal of solid waste. 
    "Unstable area" means a location that is  susceptible to natural or human-induced events or forces capable of impairing  the integrity of some or all of the landfill structural components responsible  for preventing releases from a landfill. Unstable areas can include poor  foundation conditions, areas susceptible to mass movements, and karst terranes.  
    "Uppermost aquifer" means the geologic formation  nearest the natural ground surface that is an aquifer, as well as, lower  aquifers that are hydraulically interconnected with this aquifer within the  facility boundary. 
    "Used or reused material" means a material that is  either: 
    1. Employed as an ingredient (including use as an  intermediate) in a process to make a product, excepting those materials  possessing distinct components that are recovered as separate end products; or 
    2. Employed in a particular function or application as an  effective substitute for a commercial product or natural resources. 
    "Vector" means a living animal, insect, or other  arthropod that transmits an infectious disease from one organism to another. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, woody wastes such as shrub and tree  prunings, bark, limbs, roots, and stumps. 
    "Vermicomposting" means the controlled and managed  process by which live worms convert organic residues into fertile excrement.
    "Vertical design capacity" means the maximum design  elevation specified in the facility's permit or if none is specified in the  permit, the maximum elevation based on a 3:1 slope from the waste disposal unit  boundary. 
    "VPDES" (Virginia Pollutant Discharge Elimination  System) means the Virginia system for the issuance of permits pursuant to the  Permit Regulation (9VAC25-31), the State Water Control Law (§ 62.1-44.2 et  seq. of the Code of Virginia), and § 402 of the Clean Water Act (33 USC  § 1251 et seq.). 
    "Washout" means carrying away of solid waste by  waters of the base flood. 
    "Waste-derived fuel product" means a solid waste or  combination of solid wastes that have been treated (altered physically,  chemically, or biologically) to produce a fuel product with a minimum heating  value of 5,000 BTU/lb. Solid wastes used to produce a waste-derived fuel  product must have a heating value, or act as binders, and may not be added to  the fuel for the purpose of disposal. Waste ingredients may not be listed or  characteristic hazardous wastes. The fuel product must be stable at ambient  temperature, and not degraded by exposure to the elements. This material may  not be "refuse derived fuel (RDF)" as defined in 9VAC5-40-890. 
    "Waste management boundary" means the vertical  plane located at the boundary line of the area approved in the Part A  application for the disposal of solid waste and storage of leachate. This  vertical plane extends down into the uppermost aquifer and is within the  facility boundary.
    "Waste pile" means any noncontainerized  accumulation of nonflowing, solid waste that is used for treatment or storage. 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. (See 9VAC20-150 for other definitions dealing with the  waste tire program.) 
    "Wastewaters" means, for the purpose of this  chapter, wastes that contain less than 1.0% by weight total organic carbon  (TOC) and less than 1.0% by weight total suspended solids (TSS). 
    "Water pollution" means such alteration of the  physical, chemical, or biological properties of any state water as will or is  likely to create a nuisance or render such waters: 
    1. Harmful or detrimental or injurious to the public health,  safety, or welfare, or to the health of animals, fish, or aquatic life or  plants; 
    2. Unsuitable, with reasonable treatment, for use as present  or possible future sources of public water supply; or
    3. Unsuitable for recreational, commercial, industrial, agricultural,  or other reasonable uses, provided that:
    a. An alteration of the physical, chemical, or biological  properties of state waters or a discharge or deposit of sewage, industrial  wastes, or other wastes to state waters by any owner that by itself is not  sufficient to cause pollution but which in combination with such alteration or  discharge or deposit to state waters by other persons is sufficient to cause  pollution;
    b. The discharge of untreated sewage by any person into state  waters; and 
    c. The contribution to the degradation of water quality  standards duly established by the State Water Control Board, are  "pollution" for the terms and purposes of this chapter. 
    "Water table" means the upper surface of the zone  of saturation in groundwaters in which the hydrostatic pressure is equal to the  atmospheric pressure. 
    "Waters of the United States" or "waters of  the U.S." means:
    1. All waters that are currently used, were used in the past,  or may be susceptible to use in interstate or foreign commerce, including all  waters that are subject to the ebb and flow of the tide;
    2. All interstate waters, including interstate  "wetlands";
    3. All other waters such as intrastate lakes, rivers, streams  (including intermittent streams), mud flats, sand flats, "wetlands,"  sloughs, prairie potholes, wet meadows, playa lakes, or natural ponds the use,  degradation, or destruction of which would affect or could affect interstate or  foreign commerce including:
    a. Any such waters that are or could be used by interstate or  foreign travelers for recreational or other purposes;
    b. Any such waters from which fish or shellfish are or could  be taken and sold in interstate or foreign commerce;
    c. Any such waters that are used or could be used for  industrial purposes by industries in interstate commerce;
    d. All impoundments of waters otherwise defined as waters of  the United States under this definition; 
    e. Tributaries of waters identified in subdivisions 3 a  through d of this definition;
    f. The territorial sea; and 
    g. Wetlands adjacent to waters (other than waters that are  themselves wetlands) identified in subdivisions 3 a through f of this  definition. 
    "Wetlands" means those areas that are defined by  the federal regulations under 33 CFR Part 328, as amended. 
    "White goods" means any stoves, washers, hot water  heaters, and other large appliances. 
    "Working face" means that area within a landfill  that is actively receiving solid waste for compaction and cover. 
    "Yard waste" means a subset of vegetative waste and  means decomposable waste materials generated by yard and lawn care and includes  leaves, grass trimmings, brush, wood chips, and shrub and tree trimmings. Yard  waste shall not include roots or stumps that exceed 12 inches in diameter. 
    9VAC20-81-35. Applicability of chapter.
    A. This chapter applies to all persons who treat, store,  dispose, or otherwise manage solid wastes as defined in Part III  (9VAC20-81-100 et seq.) of this chapter 9VAC20-81-95. 
    B. All facilities that were permitted prior to March 15,  1993, and upon which solid waste has been disposed of prior to October 9, 1993,  may continue to receive solid waste until they have reached their vertical  design capacity or until the closure date established pursuant to § 10.1-1413.2  of the Code of Virginia, in Table 2.1 provided: 
    1. The facility is in compliance with the requirements for  liners and leachate control in effect at the time of permit issuance. 
    2. On or before October 9, 1993, the owner or operator of the  solid waste management facility submitted to the director: 
    a. An acknowledgment that the owner or operator is familiar  with state and federal law and regulations pertaining to solid waste management  facilities operating after October 9, 1993, including postclosure care,  corrective action, and financial responsibility requirements; 
    b. A statement signed by a professional engineer that he has  reviewed the regulations established by the department for solid waste  management facilities, including the open dump criteria contained therein, that  he has inspected the facility and examined the monitoring data compiled for the  facility in accordance with applicable regulations and that, on the basis of  his inspection and review, he has concluded: 
    (1) That the facility is not an open dump; 
    (2) That the facility does not pose a substantial present or  potential hazard to human health and the environment; and 
    (3) That the leachate or residues from the facility do not  pose a threat of contamination or pollution of the air, surface water, or  groundwater in a manner constituting an open dump or resulting in a substantial  present or potential hazard to human health or the environment; and 
    c. A statement signed by the owner or operator: 
    (1) That the facility complies with applicable financial  assurance regulations; and 
    (2) Estimating when the facility will reach its vertical  design capacity. 
    3. Enlargement or closure of these facilities shall conform  with the following subconditions:
    a. The facility may not be enlarged prematurely to avoid  compliance with this chapter when such enlargement is not consistent with past  operating practices, the permit, or modified operating practices to ensure good  management.
    b. The facility shall not dispose of solid waste in any  portion of a landfill disposal area that has received final cover or has not  received waste for a period of one year, in accordance with 9VAC20-81-160 C.  The facility shall notify the department, in writing, within 30 days, when an  area has received final cover or has not received waste for a one-year period,  in accordance with 9VAC20-81-160 C. However, a facility may apply for a permit,  and if approved, can construct and operate a new cell that overlays  ("piggybacks") over a closed area in accordance with the permit  requirements of this chapter.
    c. The facilities subject to the restrictions in this  subsection are listed in Table 2.1. The closure dates were established in:  Final Prioritization and Closure Schedule for HB 1205 Disposal Areas (DEQ,  September 2001). The publication of these tables is for the convenience of the  regulated community and does not change established dates. Any facility,  including, but not limited to those listed in Table 2.1, must cease operation  if that facility meets any of the open dump criteria listed in 9VAC20-81-45 A  1.
    d. Those facilities assigned a closure date in accordance with  § 10.1-1413.2 of the Code of Virginia shall designate on a map, plat, diagram,  or other engineered drawing, areas in which waste will be disposed of in  accordance with Table 2.1 until the latest cessation of waste acceptance date  as listed in Table 2.1 is achieved. This map or plat shall be placed in the  operating record and a copy shall be submitted upon request to the department  in order to track the progress of closure of these facilities. If the facility  already has provided this information under 9VAC20-81-160, then the facility  may refer to that information.
           |      TABLE 2.1      Final Prioritization and Closure Schedule For House Bill (HB) 1205 Disposal    Areas       |    
       |      Solid Waste Permit Number and    Site Name      |          Location      |          Department Regional Office1      |          Latest Cessation of Waste    Acceptance Date2      |    
       |      429 - Fluvanna County Sanitary    Landfill      |          Fluvanna County      |          VRO      |          12/31/2007      |    
       |      92 - Halifax County Sanitary    Landfill3      |          Halifax County      |          BRRO      |          12/31/2007      |    
       |      49 - Martinsville Landfill      |          City of Martinsville      |          BRRO      |          12/31/2007      |    
       |      14 - Mecklenburg County    Landfill      |          Mecklenburg County      |          BRRO      |          12/31/2007      |    
       |      228 - Petersburg City Landfill3      |          City of Petersburg      |          PRO      |          12/31/2007      |    
       |      31 - South Boston Sanitary    Landfill      |          Town of South Boston      |          BRRO      |          12/31/2007      |    
       |      204 - Waynesboro City Landfill      |          City of Waynesboro      |          VRO      |          12/31/2007      |    
       |      91 - Accomack County Landfill    – Bobtown South      |          Accomack County      |          TRO      |          12/31/2012      |    
       |      580 – Bethel Landfill3       |          City of Hampton      |          TRO      |          12/31/2012      |    
       |      182 - Caroline County Landfill      |          Caroline County      |          NVRO      |          12/31/2012      |    
       |      149 - Fauquier County Landfill      |          Fauquier County      |          NVRO      |          12/31/2012      |    
       |      405 - Greensville County    Landfill      |          Greensville County      |          PRO      |          12/31/2012      |    
       |      29 - Independent Hill Landfill3      |          Prince William County      |          NVRO      |          12/31/2012      |    
       |      1 - Loudoun County Sanitary    Landfill      |          Loudoun County      |          NVRO      |          12/31/2012      |    
       |      194 - Louisa County Sanitary    Landfill      |          Louisa County      |          NVRO      |          12/31/2012      |    
       |      227 - Lunenburg County    Sanitary Landfill      |          Lunenburg County      |          BRRO      |          12/31/2012      |    
       |      507 - Northampton County    Landfill      |          Northampton County      |          TRO      |          12/31/2012      |    
       |      90 - Orange County Landfill      |          Orange County      |          NVRO      |          12/31/2012      |    
       |      75 - Rockbridge County    Sanitary Landfill      |          Rockbridge County      |          VRO      |          12/31/2012      |    
       |      23 - Scott County Landfill      |          Scott County      |          SWRO      |          12/31/2012      |    
       |      587 - Shoosmith Sanitary    Landfill3      |          Chesterfield County      |          PRO      |          12/31/2012      |    
       |      417 - Southeastern Public    Service Authority Landfill3       |          City of Suffolk      |          TRO      |          12/31/2012      |    
       |      461 - Accomack County Landfill    #2      |          Accomack County      |          TRO      |          12/31/2020      |    
       |      86    - Appomattox County Sanitary Landfill      |          Appomattox    County      |          BRRO      |          12/31/2020      |    
       |      582 - Botetourt County    Landfill3      |          Botetourt County      |          BRRO      |          12/31/2020      |    
       |      498 - Bristol City Landfill      |          City of Bristol      |          SWRO      |          12/31/2020      |    
       |      72 - Franklin County Landfill      |          Franklin County      |          BRRO      |          12/31/2020      |    
       |      398 - Virginia Beach Landfill    #2 – Mount Trashmore II3      |          City of Virginia Beach      |          TRO      |          12/31/2020      |    
       |      Notes:       |                 |                 |                 |    
       |      1Department of Environmental Quality Regional Offices:      |    
       |      BRRO      |          Blue Ridge Regional Office      |    
       |      NVRO      |          Northern Virginia Regional    Office      |    
       |      PRO      |          Piedmont Regional Office       |    
       |      SWRO      |          Southwest Regional    Office       |    
       |      TRO      |          Tidewater Regional    Office       |    
       |      VRO      |          Valley Regional Office       |    
       |      2This date means the latest date that the disposal    area must cease accepting waste.       |    
       |      3A portion of these facilities operated under HB 1205    and another portion currently is compliant with Subtitle D    requirements.       |    
        |      |      |      |      |    
  
    C. Facilities are authorized to expand beyond the waste  boundaries existing on October 9, 1993, as follows: 
    1. Existing captive industrial landfills. 
    a. Existing nonhazardous industrial waste facilities that are  located on property owned or controlled by the generator of the waste disposed  of in the facility shall comply with all the provisions of this chapter except  as shown in subdivision 1 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a captive industrial landfill  beyond the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements in effect at  the time of permit issuance. 
    c. Owners or operators of facilities that are authorized under  subdivision 1 of this subsection to accept waste for disposal beyond the waste  boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120. 
    d. Facilities authorized for expansion in accordance with  subdivision 1 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    2. Other existing industrial waste landfills. 
    a. Existing nonhazardous industrial waste facilities that are  not located on property owned or controlled by the generator of the waste  disposed of in the facility shall comply with all the provisions of this  chapter except as shown in subdivision 2 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand an industrial landfill beyond  the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements of  9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 2 of this subsection to accept waste for disposal beyond the  waste boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120 and 9VAC20-81-130.
    e. Facilities authorized for expansion in accordance with  subdivision 2 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    3. Existing construction/demolition/debris landfills. 
    a. Existing facilities that accept only  construction/demolition/debris waste shall comply with all the provisions of  this chapter except as shown in subdivision 3 of this subsection.
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a  construction/demolition/debris landfill beyond the waste boundaries existing on  October 9, 1993. Liners and leachate collection systems constructed beyond the  waste boundaries existing on October 9, 1993, shall be constructed in  accordance with the requirements of 9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 3 of this subsection to accept waste for disposal beyond the  active portion of the landfill existing on October 9, 1993, shall ensure that  such expanded disposal areas maintain setback distances applicable to such  facilities in 9VAC20-81-120 and 9VAC20-81-130. 
    e. Facilities, or portions thereof, which have reached their  vertical design capacity shall be closed in compliance with 9VAC20-81-160. 
    f. Facilities authorized for expansion in accordance with  subdivision 3 of this subsection are limited to expansion to the permitted  disposal area existing on October 9, 1993, or the facility boundary existing on  October 9, 1993, if no discrete disposal area is defined in the facility  permit. 
    4. Facilities or units undergoing expansion in accordance with  the partial exemptions created by subdivision 1 b, 2 b, or 3 b of this  subsection may not receive hazardous wastes generated by the exempt small  quantity generators, as defined by the Virginia Hazardous Waste Management  Regulations ( 9VAC20-60), for disposal on the expanded portions of the  facility. Other wastes that require special handling in accordance with the  requirements of Part VI (9VAC20-81-610 et seq.) of this chapter or that contain  hazardous constituents that would pose a risk to health or environment, may  only be accepted with specific approval by the director. 
    5. Nothing in subdivisions 1 b, 2 b, and 3 b of this  subsection shall alter any requirement for ground water monitoring, financial  responsibility, operator certification, closure, postclosure care, operation,  maintenance, or corrective action imposed under this chapter, or impair the  powers of the director to revoke or modify a permit pursuant to § 10.1-1409  of the Virginia Waste Management Act or Part V (9VAC20-81-400 et seq.) of this  chapter. 
    D. An owner or operator of a previously unpermitted facility  or unpermitted activity that managed materials previously exempt or excluded  from this chapter shall submit a complete application for a solid waste  management facility permit, permit by rule or a permit modification, as  applicable, in accordance with Part V (9VAC20-81-430 et seq.) of this chapter  within six months after these materials have been defined or identified as  solid wastes. If the director finds that the application is complete, the owner  or operator may continue to manage the newly defined or identified waste until  a permit or permit modification decision has been rendered or until a date two  years after the change in definition whichever occurs sooner, provided however,  that in so doing he shall not operate or maintain an open dump, a hazard, or a  nuisance. 
    Owners or operators of solid waste management facilities in  existence prior to September 24, 2003, shall now be in compliance with this  chapter. Where conflicts exist between the existing facility permit and the new  requirements of the regulations, the regulations shall supersede the permit  except where the standards in the permit are more stringent than the  regulation. Language in an existing permit shall not act as a shield to  compliance with the regulation, unless a variance to the regulations has been  approved by the director in accordance with the provisions of Part VII  (9VAC20-81-700 et seq.) of this chapter. Existing facility permits will not be  required to be updated to eliminate requirements conflicting with the  regulation, except at the request of the director or if a permit is modified  for another reason. However, all sanitary landfills and incinerators that  accept waste from jurisdictions outside of Virginia must have submitted the  materials required under 9VAC20-81-100 E 4 by March 22, 2004. 
    E. This chapter is not applicable to landfill units closed in  accordance with regulations or permits in effect prior to December 21, 1988,  unless releases from these closed landfills meet the open dump criteria found  in 9VAC20-81-45, or the closed landfills are found to be a hazard or a nuisance  under subdivision 21 of § 10.1-1402 of the Code of Virginia, or a site  where improper waste management has occurred under subdivision 19 of  § 10.1-1402 of the Code of Virginia.
    9VAC20-81-95. Identification of solid waste.
    A. Wastes identified in this part section  are solid wastes that are subject to this chapter unless regulated  pursuant to other applicable regulations issued by the department. 
    B. Except as otherwise provided, the definition of solid  waste per 40 CFR 261.2 as incorporated by 9VAC20-60-261, as amended, is also  hereby incorporated as part of this chapter. Except as otherwise provided, all  material definitions, reference materials and other ancillaries that are a part  of 9VAC20-60-261, as amended, are also hereby incorporated as part of this  chapter as well.
    C. Except as otherwise modified or excepted by 9VAC20-60, the  materials listed in the regulations of the United States Environmental  Protection Agency set forth in 40 CFR 261.4 (a) are considered a solid waste  for the purposes of this chapter. However, these materials are not regulated  under the provisions of this chapter if all conditions specified therein are  met. This list and all material definitions, reference materials and other  ancillaries that are part of 40 CFR Part 261.4 (a), as incorporated, modified  and/or accepted by 9VAC20-60 are incorporated as part of this chapter. In  addition, the following materials are not solid wastes for the purpose of this  chapter:
    1. Materials generated by any of the following, which are  returned to the soil as fertilizers: 
    a. The growing and harvesting of agricultural crops. 
    b. The raising and husbanding of animals, including animal  manures and used animal bedding. 
    2. Mining overburden returned to the mine site. 
    3. Recyclable materials used in manner constituting disposal  per 9VAC20-60-266. 
    4. Wood wastes burned for energy recovery. 
    5. Materials that are:
    a. Used or reused, or prepared for use or reuse, as an  ingredient in an industrial process to make a product, or as effective  substitutes for commercial products or natural resources provided the materials  are not being reclaimed or accumulated speculatively; or 
    b. Returned to the original process from which they are  generated. 
    6. Materials that are beneficially used as determined by the  department under this subsection. The department may consider other waste  materials and uses to be beneficial in accordance with the provisions of  9VAC20-81-97. 
    7. The following materials and uses listed in this part are  exempt from this chapter as long as they are managed so they do not create an  open dump, hazard, or public nuisance. These materials and the designated use  are considered a beneficial use of waste materials: 
    a. Clean wood, wood chips, or bark from land clearing, logging  operations, utility line clearing and maintenance operations, pulp and paper  production, and wood products manufacturing, when these materials are placed in  commerce for service as mulch, landscaping, animal bedding, erosion control,  habitat mitigation, wetlands restoration, or bulking agent at a compost  facility operated in compliance with Part IV (9VAC20-81-300 et seq.) of this  chapter;
    b. Clean wood combustion residues when used for pH adjustment  in compost, liquid absorbent in compost, or as a soil amendment or fertilizer,  provided the application rate of the wood ash is limited to the nutrient need  of the crop grown on the land on which the wood combustion residues will be  applied and provided that such application meets the requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    c. Compost that satisfies the applicable requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    d. Nonhazardous, contaminated soil that has been excavated as  part of a construction project and that is used as backfill for the same  excavation or excavations containing similar contaminants at the same site, at  concentrations at the same level or higher. Excess contaminated soil from these  projects is subject to the requirements of this chapter; 
    e. Nonhazardous petroleum contaminated soil that has been  treated to the satisfaction of the department in accordance with 9VAC20-81-660;  
    f. Nonhazardous petroleum contaminated soil when incorporated  into asphalt pavement products; 
    g. Solid wastes that are approved in advance of the placement,  in writing, by the department or that are specifically mentioned in the  facility permit for use as alternate daily cover material or other protective  materials for landfill liner or final cover system components; 
    h. Fossil fuel combustion products when used as a material in  the manufacturing of another product (e.g., concrete, concrete products,  lightweight aggregate, roofing materials, plastics, paint, flowable fill) or as  a substitute for a product or material resource (e.g., blasting grit, roofing  granules, filter cloth pre-coat for sludge dewatering, pipe bedding); 
    i. Tire chips and tire shred when used as a sub base fill for  road base materials or asphalt pavements when approved by the Virginia  Department of Transportation or by a local governing body; 
    j. Tire chips, tire shred, and ground rubber used in the  production of commercial products such as mats, pavement sealers, playground  surfaces, brake pads, blasting mats, and other rubberized commercial products; 
    k. Tire chips and tire shred when used as backfill in landfill  gas or leachate collection pipes, recirculation lines, and drainage material in  landfill liner and cover systems, and gas interception or remediation  applications; 
    l. Waste tires, tire chips or tire shred when burned for  energy recovery or when used in pyrolysis, gasification, or similar treatment  process to produce fuel; 
    m. "Waste -derived fuel product,"  as defined in 9VAC20-81-10, derived from nonhazardous solid waste; 
    n. Uncontaminated concrete and concrete products, asphalt  pavement, brick, glass, soil, and rock placed in commerce for service as a  substitute for conventional aggregate; and
    o. Clean, ground gypsum wallboard when used as a soil  amendment or fertilizer, provided the following conditions are met:
    (1) No components of the gypsum wallboard have been glued,  painted, or otherwise contaminated from manufacture or use (e.g., waterproof or  fireproof drywall) unless otherwise processed to remove contaminants. 
    (2) The gypsum wallboard shall be processed so that 95% of the  gypsum wallboard is less than 1/4 inch by 1/4 inch in size, unless an alternate  size is approved by the department.
    (3) The gypsum wallboard shall be applied only to  agricultural, silvicultural, landscaped, or mined lands or roadway construction  sites that need fertilization.
    (4) The application rate for the ground gypsum wallboard shall  not exceed the following rates.
           |      Region      |          Rate      |    
       |      Piedmont, Mountains, and Ridge and Valley      |          250 lbs/1,000 ft2      |    
       |      Coastal Plain      |          50 lbs/1,000 ft2      |    
       |      Note: These weights are for dry ground gypsum wallboard.      |    
  
    D. The following activities are conditionally exempt from  this chapter provided no open dump, hazard, or public nuisance is created: 
    1. Composting of sewage sludge at the sewage treatment plant  of generation without addition of other types of solid wastes.
    2. Composting of household waste generated at a residence and  composted at the site of generation. 
    3. Composting activities performed for educational purposes as  long as no more than 100 cubic yards of materials are on site at any time.  Greater quantities will be allowed with suitable justification presented to the  department. For quantities greater than 100 cubic yards, approval from the  department will be required prior to composting.
    4. Composting of animal carcasses onsite at the farm of  generation.
    5. Composting of vegetative waste and/or yard waste generated  onsite by owners or operators of agricultural operations or owners of the real  property or those authorized by the owners of the real property provided:
    a. All decomposed vegetative waste and compost produced is  utilized on said property;
    b. No vegetative waste or other waste material generated from  other sources other than said property is received;
    c. All applicable standards of local ordinances that govern or  concern vegetative waste handling, composting, storage or disposal are  satisfied; and 
    d. They pose no nuisance or present no potential threat to  human health or the environment. 
    6. Composting of yard waste by owners or operators who accept  yard waste generated offsite shall be exempt from all other provisions of this  chapter as applied to the composting activities provided the requirements of  9VAC20-81-397 B are met.
    7. Composting of preconsumer food waste and kitchen culls  generated onsite and composted in containers designed to prohibit vector  attraction and prevent nuisance odor generation. 
    8. Vermicomposting, when used to process Category I, Category  II, or Category III feedstocks in containers designed to prohibit vector  attraction and prevent nuisance odor generation. If offsite feedstocks are  received no more than 100 cubic yards of materials may be onsite at any one  time. For quantities greater than 100 cubic yards, approval from the department  will be required prior to composting.
    9. Composting of sewage sludge or combinations of sewage  sludge with nonhazardous solid waste provided the composting facility is  permitted under the requirements of a Virginia Pollution Abatement (VPA) or  VPDES permit.
    10. Management of solid waste in appropriate containers at the  site of its generation, provided that: 
    a. Putrescible waste is not stored more than seven days  between time of collection and time of removal for disposal; 
    b. Nonputrescible wastes are not stored more than 90 days  between time of collection and time of removal for proper management; and
    c. Treatment of waste is conducted in accordance with the  following:
    (1) In accordance with a waste analysis plan that:
    (a) Contains a detailed chemical and physical analysis of a  representative sample of the waste being treated, and contains all records  necessary to treat the waste in accordance with the requirements of this part,  including the selected testing frequency; and
    (b) Is kept in the facility's onsite file and made available  to the department upon request.
    (2) Notification is made to the receiving waste management  facility that the waste has been treated.
    11. Using rocks, brick, block, dirt, broken concrete, crushed  glass, porcelain, and road pavement as clean fill. 
    12. Storage of less than 100 waste tires at the site of  generation provided that no waste tires are accepted from offsite and that the  storage will not present a hazard or a nuisance.
    13. Storage in piles of land-clearing debris including stumps  and brush, clean wood wastes, log yard scrapings consisting of a mixture of  soil and wood, cotton gin trash, peanut hulls, and similar organic wastes that  do not readily decompose, are exempt from this chapter if they meet the  following conditions at a minimum: 
    a. The wastes are managed in the following manner: 
    (1) They do not cause discharges of leachate, or attract  vectors. 
    (2) They cannot be dispersed by wind and rain. 
    (3) Fire is prevented. 
    (4) They do not become putrescent. 
    b. Any facility storing waste materials under the provisions  of this subsection shall obtain a storm water discharge permit if they are  considered a significant source under the provisions of 9VAC25-31-120 A 1 c. 
    c. No more than a total of 1/3 acre of waste material is  stored onsite and the waste pile does not exceed 15 feet in height above base  grade. 
    d. Siting provisions. 
    (1) All log yard scrapings consisting of a mixture of soil and  wood, cotton gin trash, peanut hulls, and similar organic wastes that do not  readily decompose are stored at the site of the industrial activity that  produces them; 
    (2) A 50-foot fire break is maintained between the waste pile  and any structure or tree line; 
    (3) The slope of the ground within the area of the pile and  within 50 feet of the pile does not exceed 4:1; 
    (4) No waste material may be stored closer than 50 feet to any  regularly flowing surface water body or river, floodplain, or wetland; and
    (5) No stored waste materials shall extend closer than 50 feet  to any property line. 
    e. If activities at the site cease, any waste stored at the  site must be properly managed in accordance with these regulations within 90  days. The director can approve longer time frames with appropriate  justification. Justification must be provided in writing no more than 30 days  after ceasing activity at the site. 
    f. Waste piles that do not meet these provisions are required  to obtain a permit in accordance with the permitting provisions in Part V  (9VAC20-81-400 et seq.) of this chapter and meet all of the applicable waste  pile requirements in Part IV (9VAC20-81-300 et seq.) of this chapter.  Facilities that do not comply with the provisions of this subsection and fail  to obtain a permit are subject to the provisions of 9VAC20-81-40.
    14. Storage of nonhazardous solid wastes and hazardous wastes,  or hazardous wastes from conditionally exempt small quantity generators as  defined in Virginia Hazardous Waste Management Regulations (9VAC20-60) at a  transportation terminal or transfer station in closed containers meeting the  U.S. Department of Transportation specifications is exempt from this section  and the permitting provisions of Part V (9VAC20-81-400 et seq.) of this chapter  provided such wastes are removed to a permitted storage or disposal facility  within 10 days from the initial receipt from the waste generator. To be  eligible for this exemption, each shipment must be properly documented to show  the name of the generator, the date of receipt by the transporter, and the date  and location of the final destination of the shipment. The documentation shall  be kept at the terminal or transfer station for at least three years after the  shipment has been completed and shall be made available to the department upon  request. All such activities shall comply with any local ordinances.
    15. Open burning in accordance with the requirements of  9VAC5-130-40. 
    16. Open burning of vegetative waste is allowed at a closed  landfill that has not been released from postclosure care. The activity shall  be included in the text of the postclosure plan and conducted in accordance  with § 10.1-1410.3 of the Code of Virginia.
    17. Placement of trees, brush, or other vegetation from land  used for agricultural or silvicultural purposes on the same property or other  property of the same landowner. 
    18. Using fossil fuel combustion products in one or more of  the following applications or when handled, processed, transported, or  stockpiled for the following uses: 
    a. As a base, sub-base or fill material under a paved road,  the footprint of a structure, a paved parking lot, sidewalk, walkway or similar  structure, or in the embankment of a road. In the case of roadway embankments,  materials will be placed in accordance with VDOT specifications, and exposed  slopes not directly under the surface of the pavement must have a minimum of 18  inches of soil cover over the fossil fuel combustion products, the top six  inches of which must be capable of sustaining the growth of indigenous plant  species or plant species adapted to the area. The use, reuse, or reclamation of  unamended coal combustion byproduct shall not be placed in an area designated  as a 100-year flood plain;
    b. Processed with a cementitious binder to produce a  stabilized structural fill product that is spread and compacted with proper  equipment for the construction of a project with a specified end use; or
    c. For the extraction or recovery of materials and compounds  contained within the fossil fuel combustion products.
    E. The following solid wastes are exempt from this chapter  provided that they are managed in accordance with the requirements promulgated  by other applicable state or federal agencies: 
    1. Management of wastes regulated by the State Board of  Health, the State Water Control Board, the Air Pollution Control Board, the  Department of Mines, Minerals and Energy, Department of Agriculture and  Consumer Services, or any other state or federal agency with such authority.
    2. Drilling fluids, produced waters, and other wastes  associated with the exploration, development, or production of crude oil,  natural gas, or geothermal energy. 
    3. Solid waste from the extraction, beneficiation, and  processing of ores and minerals, including coal. 
    4. Fossil fuel combustion products used for mine reclamation,  mine subsidence, or mine refuse disposal on a mine site permitted by the  Virginia Department of Mines, Minerals and Energy (DMME) when used in  accordance with the standards.
    5. Solid waste management practices that involve only the  onsite placing of solid waste from mineral mining activities at the site of  those activities and in compliance with a permit issued by the DMME, that do  not include any municipal solid waste, are accomplished in an environmentally  sound manner, and do not create an open dump, hazard or public nuisance are  exempt from all requirements of this chapter.
    6. Waste or byproduct derived from an industrial process that  meets the definition of fertilizer, soil amendment, soil conditioner, or  horticultural growing medium as defined in § 3.2-3600 of the Code of Virginia,  or whose intended purpose is to neutralize soil acidity (see § 3.2-3700 of the  Code of Virginia), and that is regulated under the authority of the Virginia  Department of Agriculture and Consumer Services. 
    7. Fossil fuel combustion products bottom ash or boiler slag  used as a traction control material or road surface material if the use is  consistent with Virginia Department of Transportation practices.
    8. Waste tires generated by and stored at salvage yards  licensed by the Department of Motor Vehicles provided that such storage  complies with requirements set forth in § 10.1-1418.2 and such storage  does not pose a hazard or nuisance. 
    9. Tire chips used as the drainage material in construction of  septage drain fields regulated under the authority of the Virginia Department  of Health.
    F. The following solid wastes are exempt from this chapter  provided that they are reclaimed or temporarily stored incidentally to  reclamation, are not accumulated speculatively, and are managed without  creating an open dump, hazard, or a public nuisance: 
    1. Paper and paper products; 
    2. Clean wood waste that is to undergo size reduction in order  to produce a saleable product, such as mulch;
    3. Cloth;
    4. Glass;
    5. Plastics;
    6. Tire chips, tire shred, ground rubber; and
    7. Mixtures of above materials only. Such mixtures may include  scrap metals excluded from regulation in accordance with the provisions of  subsection C of this section.
    9VAC20-81-140. Operation requirements.
    The operation of all sanitary, CDD, and industrial landfills  shall be governed by the standards set forth in this section. Landfill  operations will be detailed in an operations manual that shall be maintained in  the operating record in accordance with 9VAC20-81-485. This operations manual  will include an operations plan, an inspection plan, a health and safety plan,  an unauthorized waste control plan, an emergency contingency plan, and a  landscaping plan meeting the requirements of this section and 9VAC20-81-485.  This manual shall be made available to the department when requested. If the  applicable standards of this chapter and the landfill's Operations Manual  conflict, this chapter shall take precedence.
    A. Landfill operational performance standards.
    1. Safety hazards to operating personnel shall be controlled  through an active safety program consistent with the requirements of 29 CFR  Part 1910, as amended. 
    2. A groundwater monitoring program meeting the requirements  of 9VAC20-81-250 shall be implemented, as applicable. 
    3. A corrective action program meeting the requirements of  9VAC20-81-260 is required whenever the groundwater protection standard is  exceeded at statistically significant levels.
    4. Open burning at active landfills. 
    a. Owners or operators shall ensure that the units do not  violate any applicable requirements developed by the State Air Pollution  Control Board or promulgated by the EPA administrator pursuant to § 110 of the  Clean Air Act, as amended (42 USC §§ 7401 to 7671q). 
    b. Open burning of solid waste, except for infrequent burning  of agricultural wastes, silvicultural wastes, land-clearing debris, diseased  trees, or debris from emergency cleanup operations is prohibited. There shall  be no open burning permitted on areas where solid waste has been disposed of or  is being used for active disposal.
    c. The owner or operator shall be responsible for extinguishing  any fires that may occur at the facility. A fire control plan will be developed  that outlines the response of facility personnel to fires. The fire control  plan will be provided as an attachment to the emergency contingency plan  required under the provisions of 9VAC20-81-485. The fire control plan will be  available for review upon request by the public. There shall be no open burning  permitted on areas where solid waste has been disposed or is being used for  active disposal.
    5. Except as provided in 9VAC20-81-130 K, owners or operators  shall implement a gas management plan in accordance with 9VAC20-81-200  to  control landfill gas such that: 
    a. The concentration of methane gas generated by the landfill  does not exceed 25% of the lower explosive limit for methane in landfill  structures (excluding gas control or recovery system components); and 
    b. The concentration of methane gas does not exceed the lower  explosive limit for methane at the facility boundary. 
    6. Landfills shall not: 
    a. Allow leachate from the landfill to drain or discharge into  surface waters except when treated onsite and discharged into surface water as  authorized under a VPDES Permit (9VAC25-31). 
    b. Cause a discharge of pollutants into waters of the United  States, including wetlands, that violates any requirements of the Clean Water  Act (33 USC § 1251 et seq.), including, but not limited to, the VPDES  requirements and Virginia Water Quality Standards (9VAC25-260). 
    c. Cause the discharge of a nonpoint source of pollution to  waters of the United States, including wetlands, that violates any requirement  of an areawide or statewide water quality management plan that has been  approved under § 208 or 319 of the Clean Water Act (33 USC § 1251 et  seq.), as amended or violates any requirement of the Virginia Water Quality  Standards (9VAC25-260). 
    d. Allow solid waste to be deposited in or to enter any  surface waters or groundwaters.
    7. Owners or operators shall maintain the run-on/runoff  control systems designed and constructed in accordance with 9VAC20-81-130 H. 
    8. Access to sanitary, CDD, or noncaptive industrial landfills  shall be permitted only when an attendant is on duty and only during daylight  hours, unless otherwise specified in the landfill permit. 
    9. Fencing or other suitable control means shall be used to  control litter migration. All litter blown from the landfill operations shall  be collected on a weekly basis.
    10. Odors and vectors shall be effectively controlled so they  do not constitute nuisances or hazards. Odor hazard or nuisances shall be  controlled in accordance with 9VAC20-81-200 D. Disease vectors shall be  controlled using techniques for the protection of human health and the  environment. 
    11. If salvaging is allowed by a landfill, it shall not  interfere with operation of the landfill and shall not create hazards or  nuisances. 
    12. Fugitive dust and mud deposits on main offsite roads and  access roads shall be minimized at all times to limit nuisances. Dust shall be  controlled to meet the requirements of Article 1 (9VAC5-40-60 et seq.) of Part  II of 9VAC5-40.
    13. Internal roads in the landfill shall be maintained to be  passable in all weather by ordinary vehicles. All operation areas and units  shall be accessible.
    14. All landfill appurtenances listed in 9VAC20-81-130 shall be  properly maintained and operated as designed and approved in the facility's  permit. 
    15. Adequate numbers and types of properly maintained  equipment shall be available to a landfill for operation. Provision shall be  made for substitute equipment to be available or alternate means implemented to  achieve compliance with subdivision B 1, C 1, or D 1 of this section, as  applicable, within 24 hours should the former become inoperable or unavailable.  Operators with training appropriate to the tasks they are expected to perform  and in sufficient numbers for the complexity of the site shall be on the site  whenever it is in operation.
    16. Self-Inspection. Each landfill shall implement an  inspection routine including a schedule for inspecting all applicable major aspects  of facility operations necessary to ensure compliance with the requirements of  this chapter. Records of these inspections must be maintained in the operating  record and available for review. At a minimum, the following aspects of the  facility shall be inspected on a monthly basis: erosion and sediment controls,  storm water conveyance system, leachate collection system, safety and emergency  equipment, internal roads, and operating equipment. The groundwater monitoring  system and gas management system shall be inspected at a rate consistent with  the system's monitoring frequency.
    17. Records to include, at a minimum, date of receipt,  quantity by weight or volume, and origin shall be maintained on solid waste  received and processed to fulfill the applicable requirements of the Solid  Waste Information and Assessment Program under 9VAC20-81-80 and the Control  Program for Unauthorized Waste under 9VAC20-81-100 E. Such records shall be  made available to the department for examination or use when requested.
    B. In addition to the standards in subsection A of this  section, sanitary landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread into two-foot layers or less and compacted at the working face, which  shall be confined to the smallest area practicable. 
    b. Lift heights shall be sized in accordance with daily waste  volumes. Lift height is not recommended to exceed 10 feet. 
    c. Daily cover consisting of at least six inches of  compacted soil or other approved material shall be placed upon and maintained  on all exposed solid waste prior to the end of each operating day, or at more  frequent intervals if necessary, to control disease vectors, fires, odors,  blowing litter, and scavenging. Alternate materials of an alternate thickness  may be approved by the department if it has been demonstrated that the  alternate material and thickness control disease vectors, fires, odors, blowing  litter, and scavenging without presenting a threat to human health and the  environment. At least three days of acceptable cover soil or approved material  at the average usage rate shall be maintained at the landfill or readily  available at all times. 
    d. Intermediate cover of at least six inches of additional  compacted soil shall be applied and maintained whenever an additional lift of  refuse is not to be applied within 30 days. Further, all areas with  intermediate cover exposed shall be inspected as needed, but not less than  weekly. Additional cover material shall be placed on all cracked, eroded, and  uneven areas as required to maintain the integrity of the intermediate cover  system. 
    e. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    g. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33% unless steeper slopes are approved in the  permit. 
    2. The active working face of a sanitary landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    3. A sanitary landfill that is located within 10,000 feet of  any airport runway used for turbojet aircraft or 5,000 feet of any airport  runway used by only piston type aircraft, shall operate in such a manner that  the landfill does not increase or pose additional bird hazards to aircraft. 
    4. Sanitary landfills shall not dispose of the following  wastes, except as specifically authorized by the landfill permit or by the  department: 
    a. Free liquids. 
    (1) Bulk or noncontainerized liquid waste, unless: 
    (a) The waste is household waste; or 
    (b) The waste is gas condensate derived from that landfill;
    (c) The waste is leachate derived from that landfill and the landfill  is designed with a composite liner and leachate collection system as described  in 9VAC20-81-130 J 1 a and 9VAC20-81-130 L; or 
    (2) Containers holding liquid waste, unless: 
    (a) The container is a small container similar in size to that  normally found in household waste; 
    (b) The container is designed to hold liquids for use other  than storage; or 
    (c) The waste is household waste. 
    b. Regulated hazardous wastes as defined by the Virginia  Hazardous Waste Management Regulations (9VAC20-60).
    c. Solid wastes, residues, or soils containing more than 1.0  ppb (parts per billion) TEF (dioxins). 
    d. Solid wastes, residues, or soils containing 50.0 ppm (parts  per million) or more of PCB's except as allowed under the provisions of  9VAC20-81-630. 
    e. Sludges that have not been dewatered. 
    f. Contaminated soil unless approved by the department in  accordance with the requirements of 9VAC20-81-610 or 9VAC20-81-660. 
    g. Regulated medical waste as specified in the Regulated  Medical Waste Management Regulations (9VAC20-120).
    5. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    C. In addition to the standards in subsection A of this  section, Construction/demolition/debris landfills shall also comply with the  following:
    1. Compaction and cover requirements. 
    a. Waste materials shall be compacted in shallow layers during  the placement of disposal lifts to minimize differential settlement. 
    b. Compacted soil cover shall be applied as needed for safety  and aesthetic purposes. A minimum one-foot thick progressive cover shall be  maintained weekly such that the top of the lift is fully covered at the end of  the work week. If the landfill accepts Category I or II nonfriable  asbestos-containing material for disposal, daily soil cover shall be placed  upon all exposed Category I or II nonfriable asbestos-containing material prior  to the end of each operating day. The open working face of a landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    c. When waste deposits have reached final elevations, or  disposal activities are interrupted for 15 days or more, waste deposits shall  receive a one-foot thick intermediate cover unless soil has already been  applied in accordance with subdivision 1 b of this subsection and be graded to  prevent ponding and to accelerate surface run-off. 
    d. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    e. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    f. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33%. 
    2. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    D. In addition to the standards in subsection A of this  section, Industrial Landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread and compacted at the working face, which shall be confined to the  smallest area practicable. 
    b. Lift heights shall be sized according to the volume of  waste received daily and the nature of the industrial waste. A lift height is  not required for materials such as fly ash that are not compactable. 
    c. Where it is necessary for the specific waste, such as  Category I or II nonfriable asbestos-containing material, daily soil cover, or  other suitable material shall be placed upon all exposed solid waste prior to  the end of each operating day. For wastes such as fly ash and bottom ash from  burning of fossil fuels, periodic cover to minimize exposure to precipitation  and control dust or dust control measures such as surface wetting or crusting  agents shall be applied. At least three days of acceptable cover soil or  approved material at the average usage rate shall be maintained at the fill at  all times at facilities where daily cover is required unless an offsite supply  is readily available on a daily basis.
    d. Intermediate cover of at least one foot of compacted soil  shall be applied whenever an additional lift of refuse is not to be applied  within 30 days unless the owner or operator demonstrates to the satisfaction of  the director that an alternate cover material or an alternate schedule will be  protective of public health and the environment. In the case of facilities  where fossil fuel combustion products are removed for beneficial use,  intermediate cover must be applied in any area where ash has not been placed or  removed for 30 days or more. Further, all areas with intermediate cover exposed  shall be inspected as needed but not less than weekly and additional cover  material shall be placed on all cracked, eroded, and uneven areas as required  to maintain the integrity of the intermediate cover system. 
    e. Final cover construction will be initiated in accordance  with the requirements of 9VAC20-81-160 D 2 when the following pertain: 
    (1) When an additional lift of solid waste is not to be  applied within two years or a longer period as required by the facility's  phased development. 
    (2) When any area of a landfill attains final elevation and  within 90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) When a landfill's permit is terminated within 90 days of  such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  otherwise specified by the department when seasonal conditions do not otherwise  permit. Mowing will be conducted a minimum of once a year or at a frequency  suitable for the vegetation and climate.
    2. Incinerator and air pollution control residues containing  no free liquids shall be incorporated into the working face and covered at such  intervals as necessary to minimize them from becoming airborne. 
    9VAC20-81-160. Closure requirements.
    The closure of all sanitary, CDD and industrial landfills  shall be governed by the standards set forth in this section.
    A. Closure purpose. The owner or operator shall close the  landfill in a manner that minimizes the need for further maintenance and  provides for the protection of human health and the environment. Closure shall  eliminate the postclosure escape of uncontrolled leachate or of waste  decomposition products to the groundwater or surface water to the extent  necessary to protect human health and the environment. Closure shall also  control and/or minimize surface runoff and the escape of waste decomposition  products to the atmosphere. 
    B. Closure plan and modification of plan.
    1. The owner or operator of a solid waste disposal facility  shall have a written closure plan. This plan shall identify the steps necessary  to completely close the landfill at the time when the operation will be the  most extensive and at the end of its intended life. The closure plan shall  include, at least: 
    a. A schedule for final closure that shall include, as a  minimum, the anticipated date when wastes will no longer be received, the date  when completion of final closure is anticipated, and intervening milestone  dates that will allow tracking of the progress of closure. 
    b. An estimate of waste disposed onsite over the active life  of the landfill; 
    c. An estimate of the largest area ever requiring a final  cover as required at any time during the active life; 
    d. Description of Final Cover System design in accordance with  subsection D of this section;
    e. Description of storm water management to include design,  construction, and maintenance controls;
    f. Closure cost estimate for purpose of financial assurance. 
    2. The owner or operator may amend the closure plan at any  time during the active life of the landfill. The owner or operator shall so  amend his plan any time changes in operating plans or landfill design affect  the closure plan. The amended closure plan shall be placed in the operating  record and a copy provided to the department. 
    3. Closure plans and amended closure plans not previously  approved by the director shall be submitted to the department at least 180 days  before the date the owner or operator expects to begin construction activities  related to closure. The director will approve or disapprove the plan within 90  days of receipt. 
    4. If the owner or operator intends to use an alternate final  cover design, he shall submit a proposed design meeting the requirements of  subdivision D 2 e f of this section to the department at least  180 days before the date he expects to begin closure. The department will  approve or disapprove the plan within 90 days of receipt. 
    5. At least 180 days prior to beginning closure of each solid  waste disposal unit, the owner or operator shall notify the department and the  solid waste planning unit of the intent to close. 
    C. Time allowed for closure. 
    1. The owner or operator shall begin closure activities of  each unit no later than 30 days after the date on which the unit receives the  known final receipt of wastes or, if the unit has remaining capacity and there  is a reasonable likelihood that the unit will receive additional wastes, no  later than one year after the most recent receipt of wastes. Extensions beyond  the one-year deadline for beginning closure may be granted by the director if  the owner or operator demonstrates that the unit has the capacity to receive  additional wastes and the owner or operator has taken and will continue to take  all steps necessary to prevent threats to human health and the environment from  the unclosed unit. 
    2. The owner or operator shall complete closure activities of  each unit in accordance with the closure plan and within six months after  receiving the final volume of wastes. The director may approve a longer closure  period if the owner or operator can demonstrate that the required or planned  closure activities will, of necessity, take longer than six months to complete;  and that he has taken all steps to eliminate any significant threat to human  health and the environment from the unclosed but inactive landfill.
    D. Closure implementation. 
    1. The owner or operator shall close each unit with a final  cover as specified in subdivision 2 of this subsection, grade the fill area to  prevent ponding, and provide a suitable vegetative cover. Vegetation shall be  deemed properly established when there are no large areas void of vegetation  and it is sufficient to control erosion. 
    2. Final cover system.
    a. The owner or operator shall install a final cover system  that is designed to achieve the performance requirements of this section. 
    b. Owners or operators of CDD landfill units used for the  disposal of wastes consisting only of stumps, wood, brush, and leaves from  landclearing operations may apply two feet of compacted soil as final cover  material in lieu of the final cover system specified in this section. The  provisions of this section shall not be applicable to any landfill with respect  to which the director has made a finding that continued operation of the  landfill constitutes a threat to the public health or the environment. 
    c. The final cover system shall be designed and constructed  to: 
    (1) Minimize infiltration through the closed disposal unit by  the use of an infiltration layer that is constructed of at least 18 inches of  earthen material; and which has a hydraulic conductivity less than or equal to  the hydraulic conductivity of any bottom liner system or natural subsoils  present, or a hydraulic conductivity no greater than 1x10-5 cm/sec,  whichever is less; and 
    (2) Minimize erosion of the final cover by the use of an  erosion layer that contains a minimum of six inches of earthen material that is  capable of sustaining native plant growth, and provide for protection of the  infiltration layer from the effects of erosion, frost, and wind. 
    d. The owner or operator of a sanitary landfill may choose to  use this alternate final cover system, which shall consist of at least the  following components:
    (1) An 18-inch soil infiltration layer with a hydraulic  conductivity no greater than 1x10-5 cm/sec or a geosynthetic clay  liner installed over the intermediate cover;
    (2) A barrier layer consisting of a geosynthetic membrane  having a minimum thickness of 40-mils;
    (3) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (4) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    e. The owner or operator of a CDD or industrial landfill may  choose to use this alternate final cover system, which shall consist of at  least the following components: 
    (1) A barrier layer consisting of a geosynthetic clay liner or  a geosynthetic membrane having a minimum thickness of 40 mils;
    (2) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (3) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    f. The director may approve an alternate final cover design  that includes: 
    (1) An infiltration layer that achieves an equivalent  reduction in infiltration as the infiltration layer specified in subdivision 2  c (1) of this subsection; and 
    (2) A minimum 24-inch erosion layer that is capable of  sustaining native plant growth and provide for protection of the infiltration  layer from the effects of erosion, frost, and wind.
    3. Finished side slopes shall be stable and be configured to  adequately control erosion and runoff. Slopes of 33% will be allowed provided  that adequate runoff controls are established. Steeper slopes may be considered  if supported by necessary stability calculations and appropriate erosion and  runoff control features. All finished slopes and runoff management facilities  shall be supported by necessary calculations and included in the design manual.  To prevent ponding of water, the top slope shall be at least 2.0% after  allowance for settlement. 
    4. Following construction of the final cover system for each  unit, the owner or operator shall submit to the department a certification,  signed by a professional engineer verifying that closure has been completed in  accordance with the closure plan requirements of this part. This certification  shall include the results of the CQA/QC requirements under 9VAC20-81-130 Q 1 b  (6). 
    5. Following the closure of all units the owner or operator  shall: 
    a. Post one sign at the entrance of the landfill notifying all  persons of the closing, and the prohibition against further receipt of waste  materials. Further, suitable barriers shall be installed at former accesses to  prevent new waste from being deposited.
    b. Within 90 days after closure is completed, submit to the  local land recording authority a survey plat prepared by a professional land  surveyor registered by the Commonwealth or a person qualified in accordance  with Title 54.1 of the Code of Virginia indicating the location and dimensions  of landfills. Groundwater monitoring well and landfill gas monitoring  probe locations shall be included and identified by the number on the survey  plat. The plat filed with the local land recording authority shall contain a  note, prominently displayed, which states the owner's or operator's future  obligation to restrict disturbance of the site as specified.
    c. Record a notation on the deed to the landfill property, or  on some other instrument which is normally examined during title searches,  notifying any potential purchaser of the property that the land has been used  to manage solid waste and its use is restricted under 9VAC20-81-170 A 2 c. A  copy of the deed notation as recorded shall be submitted to the department. 
    d. Submit to the department a certification, signed by a  professional engineer, verifying that closure has been completed in accordance  with the requirements of subdivisions 5 a, b, and c of this subsection and the  landfill closure plan. 
    6. The department shall inspect all solid waste management  facilities at the time of closure to confirm that the closing is complete and  adequate. It shall notify the owner or operator of a closed landfill, in  writing, if the closure is satisfactory, and shall require any construction or  such other steps necessary to bring unsatisfactory sites into compliance with  these regulations. Notification by the department that the closure is  satisfactory does not relieve the owner or operator of responsibility for  corrective action to prevent or abate problems caused by the landfill. 
    9VAC20-81-250. Groundwater monitoring program.
    A. General requirements. 
    1. Applicability. 
    a. Existing landfills. Owners or operators of all existing  landfills shall be in compliance with the groundwater monitoring requirements  specified in this section, except as provided for in subdivision 1 c of this  subsection. Owners or operators of landfills that were permitted prior to  December 21, 1988, but were closed in accordance with the requirements of their  permit or existing regulation prior to December 21, 1988, are not required to  be in compliance with the groundwater monitoring requirements specified in this  section, unless conditions are recognized that classify the landfill as an Open  Dump as defined under 9VAC20-81-45. 
    b. New landfills. Owners or operators of new facilities shall  be in compliance with the groundwater monitoring requirements specified in this  section before waste can be placed in the landfill except as provided for in  subdivision 1 c of this subsection.
    c. No migration potential exemption. Groundwater monitoring  requirements under this section may be suspended by the director if the owner  or operator can demonstrate that there is no potential for migration of any  Table 3.1 constituents to the uppermost aquifer during the active life and the  postclosure care period of the landfill. This demonstration shall be certified  by a qualified groundwater scientist and shall be based upon: 
    (1) Site-specific field collected measurements including  sampling and analysis of physical, chemical, and biological processes affecting  contaminant fate and transport; and 
    (2) Contaminant fate and transport predictions that maximize  contaminant migration and consider impacts on human health and the environment.  
    2. General requirements. 
    a. Purpose. Owners or operators shall install, operate, and  maintain a groundwater monitoring system that is capable of determining the  landfill's impact on the quality of groundwater in the uppermost aquifer at the  disposal unit boundary during the active life and postclosure care period of  the landfill. 
    b. Program requirements. The groundwater monitoring program  shall meet the requirements of subdivision 3 of this subsection and comply with  all other applicable requirements of this section. 
    c. Director authority. The groundwater monitoring and  reporting requirements set forth here are minimum requirements. The director  may require, by amending modifying the permit as allowed under  9VAC20-81-600 E, any owner or operator to install, operate, and maintain a  groundwater monitoring system and conduct a monitoring program that contains  requirements more stringent than this chapter imposes whenever it is determined  that such requirements are necessary to protect human health and the  environment. 
    3. Groundwater monitoring system. 
    a. System requirements. A groundwater monitoring system shall  be installed consisting of a sufficient number of monitoring wells, at  appropriate locations and depths, capable of yielding sufficient quantities of  groundwater for sampling and analysis purposes from the uppermost aquifer that:  
    (1) Represent the quality of background groundwater that has  not been affected by a release from the landfill; and 
    (2) Represent the quality of groundwater at the disposal unit  boundary. The downgradient monitoring system shall be installed at the disposal  unit boundary in a manner that ensures detection of groundwater contamination  in the uppermost aquifer unless a variance has been granted by the director  under 9VAC20-81-740. 
    (3) When physical obstacles preclude installation of  groundwater monitoring wells at the disposal unit boundary, the downgradient  monitoring wells may be installed at the closest practicable distance  hydraulically downgradient from the boundary in locations that ensure detection  of groundwater contamination in the uppermost aquifer. 
    b. Multiunit systems. The director may approve a groundwater  monitoring system that covers multiple waste disposal units instead of  requiring separate groundwater monitoring systems for each unit when the  landfill has several units, provided the multiunit groundwater monitoring  system meets the requirement of subdivision 3 of this subsection and can be  demonstrated to be equally protective of human health and the environment as  individual monitoring systems. The system for each waste disposal unit would be  based on the following factors: 
    (1) Number, spacing, and orientation of the waste disposal  units; 
    (2) Hydrogeologic setting; 
    (3) Site history; 
    (4) Engineering design of the waste disposal units; and 
    (5) Type of waste accepted at the waste disposal units. 
    c. Well construction. All monitoring wells shall be of a size  adequate for sampling and shall be cased and grouted in a manner that maintains  the integrity of the monitoring well bore hole. This casing shall be screened  or perforated, and packed with gravel or sand where necessary, to enable sample  collection at depths where appropriate aquifer flow zones exist. The annular  space above the sampling depth shall be sealed with a suitable material to  prevent contamination of samples and the groundwater. 
    d. Boring logs. A log shall be made of each newly installed  monitoring well describing the soils or rock encountered, and the hydraulic  conductivity of the geologic units (formations) encountered. A copy of the  final log(s) with appropriate maps, including at a minimum a site plan showing  the location of all monitoring wells, the total depth of monitoring well, the  location of the screened interval, the top and bottom of sand or gravel pack,  and the top and bottom of the seal shall be sent to the department with the  certification required under subdivision 3 g of this subsection. 
    e. Well maintenance. The monitoring wells, piezometers, and  other groundwater measurement, sampling, and analytical devices shall be  operated and maintained in a manner that allows them to perform to design  specifications throughout the duration of the groundwater monitoring program.  Nonfunctioning monitoring wells must be replaced or repaired upon recognition  of damage or nonperformance. Well repair or replacement shall be coordinated  with the department for approval prior to initiating the action. 
    f. Network specifics. The network shall include at least  one upgradient monitoring well and at least three downgradient monitoring  wells. The number, spacing, and depths of monitoring wells included in a  landfill's network shall be determined based on: 
    (1) Site-specific technical information that shall include  thorough characterization by the owner or operator of: 
    (a) The thickness of any unsaturated geologic units or fill  materials that may overlay the uppermost aquifer; 
    (b) The thickness and description of materials comprising the  uppermost aquifer;
    (c) Materials comprising the confining unit defining the lower  boundary of the uppermost aquifer, including, but not limited to, thicknesses,  stratigraphy, lithology, hydraulic conductivities, porosities, and effective  porosities; and
    (d) the calculated groundwater flow rate and direction within  the uppermost aquifer including any seasonal and temporal fluctuations in  groundwater flow. 
    (2) At least one upgradient and at least three downgradient  monitoring wells. 
    (3) A The lateral spacing between downgradient  monitoring wells based on site-specific information supplied under subdivision  3 f (1) of this subsection. 
    g. Monitoring well certification. The groundwater monitoring  well(s) shall, within 30 days of well(s) installation, be certified by a  qualified groundwater scientist noting that all wells have been installed in  accordance with the documentation submitted under subdivision 3 d of this  subsection. Within 14 days of completing this certification, the owner or  operator shall transmit the certification to the department. 
    4. The groundwater sampling and analysis requirements for the  groundwater monitoring system are as follows: 
    a. Quality assurance and control. The groundwater monitoring  program shall include consistent field sampling and laboratory analysis  procedures that are designed to ensure monitoring results that provide an  accurate representation of the groundwater quality at the background and  downgradient wells. At a minimum the program shall include procedures and  techniques for: 
    (1) Sample collection; 
    (2) Sample preservation and shipment; 
    (3) Analytical procedures; 
    (4) Chain of custody control; and 
    (5) Quality assurance and quality control. 
    b. Analytical methods. The groundwater monitoring program  shall include sampling and analytical methods that are appropriate for  groundwater sampling and that accurately measure solid waste constituents in  groundwater samples. Groundwater samples obtained pursuant to 9VAC20-81-250 B  or C shall not be filtered prior to laboratory analysis. The sampling, analysis  and quality control/quality assurance methods set forth in EPA document SW-846,  as amended, shall be used. The department may require re-sampling if it  believes the samples were not properly sampled or analyzed. 
    c. Groundwater rate and flow. Groundwater elevations at each  monitoring well shall be determined immediately prior to purging each time a  sample is obtained. The owner or operator shall determine the rate and  direction of groundwater flow each time groundwater is sampled pursuant to  subsection B or C of this section or 9VAC20-81-260. Groundwater  elevations in wells that monitor the same waste management area disposal  unit or units shall be measured within a period of time short enough to  avoid temporal variations in groundwater flow, which could preclude  accurate determination of groundwater flow rate and direction. 
    d. Background data. The owner or operator shall establish  background groundwater quality in a hydraulically upgradient or background  well, or wells, for each of the monitoring parameters or constituents required  in the particular groundwater monitoring program that applies to the landfill.  Background groundwater quality may be established at wells that are not located  hydraulically upgradient from the landfill if they meet the requirements of  subdivision 4 e of this subsection. 
    e. Alternate well provision. A determination of background  quality may be based on sampling of wells that are not upgradient from the  waste management area disposal unit or units where: 
    (1) Hydrogeologic conditions do not allow the owner or  operator to determine what wells are upgradient; and 
    (2) Sampling at these wells will provide an indication of  background groundwater quality that is as representative or more representative  than that provided by the upgradient wells. 
    f. Sampling and statistics. The number of samples collected to  establish groundwater quality data shall be consistent with the appropriate  statistical procedures determined pursuant to subdivision 4 g of this  subsection. 
    g. Statistical methods. The owner or operator shall specify in  the Groundwater Monitoring Plan the statistical method(s) listed in subsection  D of this section that will be used in evaluating groundwater monitoring data  for each monitoring constituent. The statistical test(s) chosen shall be  applied separately for each groundwater constituent in each well after each  individual sampling event required under subdivision B 2 or 3, C 2 or 3, or as  required under 9VAC20-81-260 E 1.
    h. Evaluation and response. After each sampling event required  under subsection B or C of this section, the owner or operator shall determine  whether or not there is a statistically significant increase over background  values for each groundwater constituent required in the particular groundwater  monitoring program by comparing the groundwater quality of each constituent at  each monitoring well installed pursuant to subdivision 3 a of this subsection  to the background value of that constituent. In determining whether a  statistically significant increase has occurred, the owner or operator shall:
    (1) Ensure the sampling result comparisons are made according  to the statistical procedures and performance standards specified in subsection  D of this section; 
    (2) Ensure that within 30 days of completion of sampling and  laboratory analysis actions, the determination of whether there has been a  statistically significant increase over background at each monitoring well has  been completed; and
    (3) If identified, the statistically significant increase  shall be reported to the department within the notification timeframes  identified in subsection B or C of this section and discussed in the quarterly  or semi-annual report submission described under subdivision E 2 c of this  section. Notifications qualified as being "preliminary,"  "suspect," "unverified," or otherwise not a final  determination of a statistical exceedance will not be accepted. 
    i. Verification sampling. The owner or operator may at any  time within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this section, obtain verification  samples if the initial review of analytical data suggests results that might  not be an accurate reflection of groundwater quality at the disposal unit  boundary. Undertaking verification sampling is a voluntary action on the part  of the owner or operator and shall not alter the timeframes associated with  determining or reporting a statistically significant increase as otherwise  defined under subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    j. Data validation. The owner or operator may at any time  within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this subsection, undertake third-party  data validation of the analytical data received from the laboratory.  Undertaking such validation efforts is a voluntary action on the part of the  owner or operator and shall not alter the timeframes associated with determining  or reporting a statistically significant increase as otherwise defined under  subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    5. Alternate source demonstration allowance. 
    a. Allowance. As a result of any statistically significant  increase identified while monitoring groundwater under subdivision B 2 or 3, or  C 2 or 3 of this section, or at anytime within the Corrective Action process  under 9VAC20-81-260, the owner or operator has the option of submitting an  Alternate Source Demonstration report, certified by a qualified groundwater  scientist, demonstrating:
    (1) A source other than the landfill caused the statistical  exceedance; 
    (2) The exceedance resulted from error in sampling, analysis,  or evaluation; or
    (3) The exceedance resulted from a natural variation in  groundwater quality. 
    b. Timeframes. A successful demonstration must be made within  90 days of noting a statistically significant increase. The director may  approve a longer timeframe for submittal and approval of the Alternate Source  Demonstration with appropriate justification. 
    c. Evaluation and response. Based on the information submitted  in accordance with subdivision 5 a of this subsection, the director will: 
    (1) In the case of the successful demonstration of an error in  sampling, analysis, or evaluation, allow the owner or operator to continue  monitoring groundwater in accordance with the monitoring program in place at  the time of the statistical exceedance. 
    (2) In the case of a successful demonstration of an alternate  source for the release or natural variability in the aquifer matrix:
    (a) Require changes in the groundwater monitoring system as  needed to accurately reflect the groundwater conditions and allow the owner or  operator to continue monitoring groundwater in accordance with the monitoring  program in place at the time of the statistical exceedance; 
    (b) Require any changes to the monitoring system be completed  prior to the next regularly scheduled groundwater monitoring event or within 90  days (whichever is greater); and
    (c) Require any changes to the monitoring system be approved  via the amendment modification process under 9VAC20-81-600 within  90 days of the approval of the alternate source demonstration. 
    (3) In the case of an unsuccessful Alternate Source Demonstration,  require the owner or operator to initiate the actions that would otherwise be  required as a result of the statistically significant increase noted under  subdivision B 2 or 3, or C 2 or 3 of this section as appropriate. 
    6. Establishment of groundwater protection standards. 
    a. Requirement. Upon recognition of a statistically  significant increase over background and while monitoring in the Assessment or  Phase II monitoring programs defined under subdivision B 3 or C 3 of this  section, the owner or operator shall propose a groundwater protection standard  for all detected Table 3.1 Column B constituents. The proposed standards shall  be submitted to the department by a qualified groundwater scientist and be  accompanied by relevant historical groundwater sampling data to justify the  proposed concentration levels. 
    b. Establishment process. The groundwater protection standards  shall be established in the following manner: 
    (1) For constituents for which a maximum contaminant level  (MCL) has been promulgated under § 1412 of the Safe Drinking Water Act (40 CFR  Part 141), the MCL for that constituent shall be automatically established as  the groundwater protection standard upon submission of the proposed standards. 
    (2) If the owner or operator determines that a site-specific  background concentration is greater than the MCL associated with that  constituent under subdivision 6 b (1) of this subsection, the background value  may be substituted for use as the groundwater protection standard in lieu of  the MCL for that constituent upon receiving written department approval. 
    (3) For constituents for which no MCL has been promulgated,  site-specific background concentration value(s) may be used upon receiving  written department approval. 
    (4) For constituents for which no MCL has been promulgated, a  risk-based alternate concentration levels may be used if approved by the  director as long as: 
    (a) The owner or operator submits a request to the department  asking for approval to use risk-based alternate concentration levels for a  specific list of constituents and identifies that these constituents lack an  MCL. In the request the owner or operator shall specify whether site-specific,  independently calculated, risk-based alternate concentration levels will be  applied, or if the facility will accept the default department-provided limits.  
    (b) Both the The alternate concentration levels  that may be provided as default values by the department and those  independently calculated by the owner or operator are demonstrated to meet the  following criteria or factors before they can be used as groundwater protection  standards: 
    (i) Groundwater quality - The potential for adverse quality  effects considering the physical and chemical characteristics of the waste in  the landfill, its potential for migration in the aquifer; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the proximity and withdrawal rates of groundwater users; the  current and future uses of groundwater in the area; the existing quality of  groundwater, including other sources of contamination and their cumulative  impact on the groundwater quality. 
    (ii) Human exposure - Potential for health risks caused by  exposure to waste constituents released from the landfill using federal  guidelines for assessing the health risks of environmental pollutants;  scientifically valid studies conducted in accordance with the Toxic Substances  Control Act Good Laboratory Practice Standards (40 CFR Part 792); or equivalent  standards. For carcinogens, the alternate concentration levels must be set  based on a lifetime cancer risk level due to continuous lifetime exposure  within the 1x10-4 to 1x10-6 range. For systemic  toxicants, alternate concentration levels must be demonstrated to be levels to  which the human population (including sensitive subgroups) could be exposed to  on a daily basis without the likelihood of appreciable risk of deleterious  effects during a lifetime.
    (iii) Surface water - The potential adverse effect on  hydraulically connected surface water quality based on the volume, physical and  chemical characteristics of the waste in the landfill; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the patterns of rainfall in the region; the proximity of the  landfill to surface waters; the current and future uses of surface waters in  the area and any water quality standards established for those surface waters;  the existing quality of surface water, including other sources of contamination  and the cumulative impact on surface water quality. 
    (iv) Other adverse effects - Potential damage to wildlife,  crops, vegetation, and physical structures caused by exposure to waste  constituents; the persistence and permanence of the potential adverse effects;  and the potential for health risks caused by human exposure to waste  constituents using factors shown in subdivision b (4) (b) (ii) of this  subsection. 
    (5) In making any determination regarding the use of alternate  concentration levels under this section, the director will:
    (a) Consider any identification of underground sources of  drinking water as identified by EPA under 40 CFR 144.7,
    (b) Consider additional or modified monitoring requirements or  control measures, 
    (c) Include a schedule for the periodic review of the  alternate concentration levels, or
    (d) Approve the alternate concentration levels as proposed or  issue modified alternate concentration levels.
    c. Implementation. Groundwater protection standards shall be  considered established for the facility upon completion of the actions  described under either subdivision A 6 b (1), (2), (3) or if necessary (4) and  shall be placed in the facility Operating Record and shall be used during  subsequent comparisons of groundwater sampling data consistent with the  requirements of subdivision B 3 f or C 3 e of this section. 
    d. MCL and background revisions. After establishment of  groundwater protection standards under subdivision B 6 b, if the standards are  modified as a result of revisions to any MCL or department-approved background,  the facility shall update its listing of groundwater protection standards and  shall place the new list in the Operating Record and shall use the new values  during subsequent comparisons of sampling data consistent with the requirements  of subdivision B 3 f or C 3 e of this section. 
    e. Alternate concentration levels revisions. After  establishment of groundwater protection standards under subdivision B 6 b of  this section, if the department-approved alternate concentration levels change  based on information released by EPA, to the extent practical, the department  will issue revisions to the alternate concentration levels for facility use no  more often than an annual basis. The facility shall use the alternate  concentration levels listing in effect at the time the sampling event takes  place when comparing the results against the groundwater protection standards  under subdivision B 3 f or C 3 e of this section. 
    B. Monitoring for sanitary landfills. 
    1. Applicability. 
    a. Existing facilities. Except for those sanitary landfills  identified in subdivision C 1 of this section, existing sanitary landfill  facilities and closed facilities that have accepted waste on or after October  9, 1993, and in the case of 'small' landfills on or after April 9, 1994, shall  be in compliance with the detection monitoring requirements specified in  subdivision 2 of this subsection unless existing sampling data requires a move  to assessment monitoring described under subdivision 3 of this subsection. 
    b. New facilities. Facilities placed in operation to receive  waste after October 9, 1993, shall be in compliance with the detection  monitoring requirements specified in subdivision 2 of this section before waste  can be placed in the landfill unless existing sampling data requires a move to  assessment monitoring described under subdivision 3 of this subsection. 
    c. Closed facilities. Unless an extension to the deadline  above has been granted by the director, closed facilities that have ceased to  accept any waste on or before October 9, 1993, and in the case of a  "small" landfill, before April 9, 1994, may comply with the  "State Monitoring Program" monitoring requirements specified in  subdivision C 2 or 3 of this section. 
    d. Other facilities. Owners or operators of disposal  facilities not subject to the federal groundwater monitoring requirements  prescribed under 40 CFR Parts 257 and 258 must perform the groundwater  monitoring described in subdivision C 2 or 3 of this section. 
    e. Proximity to wetlands. Owners or operators of sanitary  landfills that accepted waste after June 30, 1999, must:
    (1) Perform quarterly groundwater monitoring unless the  director determines that less frequent monitoring is necessary consistent with  the requirements of the special provisions regarding wetlands in  § 10.1-1408.5 of the Code of Virginia.
    (2) The quarterly monitoring frequency shall remain in effect  until the department is notified waste is no longer being accepted at the  sanitary landfill. 
    (3) This requirement will not limit the authority of the Waste  Management Board or the director to require more frequent groundwater  monitoring if required to protect human health and the environment. 
    (4) For purposes of this subdivision "proximity to  wetlands" shall be defined as landfills that were constructed on a  wetland, have a potential hydrologic connection to such a wetland in the event  of an escape of liquids from the facility, or are within a mile of such a  wetland.
    2. Detection monitoring program.
    a. Sampling requirements. All sanitary landfills shall  implement detection monitoring except as otherwise provided in subdivision 1 of  this subsection. The monitoring frequency for all constituents listed in Table  3.1 Column A shall be as follows: 
    (1) Initial sampling period. 
    (a) For facilities that monitor groundwater on a semi-annual  basis, a minimum of four independent samples from each well (background and  downgradient) shall be collected and analyzed for the Table 3.1 Column A  constituents during the first semi-annual sampling period. A semi-annual period  is defined under 9VAC20-81-10. 
    (b) For facilities that monitor groundwater on a quarterly  basis as a result of subdivision 1 e of this subsection, a minimum of four  samples from each well (background and downgradient) shall be collected and  analyzed for the Table 3.1 Column A constituents. The samples shall be  collected within the first quarterly period, using a schedule that ensures, to  the greatest extent possible, an accurate calculation of background concentrations.  
    (2) Subsequent sampling events. At least one sample from each  well (background and downgradient) shall be collected and analyzed during  subsequent semi-annual or quarterly events during the active life and  postclosure period. Data from subsequent background sampling events may be  added to the previously calculated background data so that the facility  maintains the most accurate representation of background groundwater quality  with which to carry out statistical analysis required under subdivision A 4 h  of this section. 
    (3) Alternate sampling events. The director may specify an  appropriate alternate frequency for repeated sampling and analysis during the  active life (including closure) and the postclosure care period. The alternate  frequency during the active life (including closure) and the postclosure period  shall be no less than annual. The alternate frequency shall be based on  consideration of the following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); and 
    (e) Resource value of the aquifer. 
    b. Evaluation and response. If the owner or operator  determines under subdivision A 4 h of this section, that there is:
    (1) A statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this section,  for one or more of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event, the owner or operator shall: 
    (a) Within 14 days of this finding, notify the department of  this fact, indicating which constituents have shown statistically significant  increases over background levels; and 
    (b) Within 90 days, (i) establish an assessment monitoring  program meeting the requirements of subdivision 3 of this subsection, or (ii)  submit an Alternate Source Demonstration as specified in subdivision A 5 of  this section. If, after 90 days, a successful demonstration has not been made,  the owner or operator shall initiate an assessment monitoring program as  otherwise required in subdivision 3 of this subsection. The 90-day Alternate  Source Demonstration period may be extended by the director for good cause. 
    (2) No statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this  section, for any of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event; the owner or operator may remain in detection monitoring and  include a discussion of the sampling results and statistical analysis in the  semi-annual or quarterly report required under subdivision E 2 c of this  section. 
    3. Assessment monitoring program. The owner or operator shall  implement the assessment monitoring program whenever a statistically  significant increase over background has been detected during monitoring  conducted under the detection monitoring program.
    a. Sampling requirements. Within 90 days of recognizing a  statistically significant increase over background for one or more of the  constituents listed in Table 3.1 Column A, the owner or operator shall, unless  in receipt of an approval to an Alternate Source Demonstration under  subdivision A 5 of this section or a director-approved extension, conduct the initial  assessment monitoring sampling event for the constituents found in Table 3.1  Column B. A minimum of one sample from each well installed under subdivision A  3 a of this section shall be collected and analyzed during the initial and all  subsequent annual Table 3.1 Column B sampling events.
    b. Director provisions: 
    (1) The owner or operator may request that the director  approve an appropriate subset of monitoring wells that may remain in detection  monitoring defined under subdivision 2 of this subsection, based on the results  of the initial, or subsequent annual Table 3.1 Column B sampling events.  Monitoring wells may be considered for the subset if:
    (a) They show no detections of Table 3.1 Column B constituents  other than those already previously detected in detection monitoring defined  under subdivision 2 of this subsection; and 
    (b) They display no statistically significant increases over  background for any constituents on the Table 3.1 Column A list. If an increase  is subsequently recognized in a well approved for the subset, the well shall no  longer be considered part of the detection monitoring subset. 
    (2) The owner or operator may request the director delete any  of the Table 3.1 Column B monitoring constituents from the assessment  monitoring program if the owner or operator demonstrates that the deleted  constituents are not reasonably expected to be in or derived from the waste. 
    (3) The director may specify an appropriate alternate  frequency for repeated sampling and analysis for the full set of Table 3.1  Column B constituents required by subdivision 3 a of this subsection during the  active life and postclosure care period based on the consideration of the  following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); 
    (e) Resource value of the aquifer; and 
    (f) Nature (fate and transport) of any constituents detected  in response to subdivision 3 f of this subsection. 
    c. Development of background. After obtaining the results from  the initial or subsequent annual sampling events required in subdivision 3 a of  this subsection, the owner or operator shall: 
    (1) Within 14 days, notify the department identifying the  Table 3.1 Column B constituents that have been detected; 
    (2) Within 90 days, and on at least a semi-annual basis  thereafter, resample all wells installed under subdivision A 3 a of this  section, conduct analyses for all constituents in Table 3.1 Column A as well as  those constituents in Column B that are detected in response to subdivision 3 a  of this subsection and subsequent Table 3.1 Column B sampling events as may be  required of this section, and report this data in the semi-annual or quarterly  report defined under subdivision E 2 c of this section;
    (3) Within 180 days of the initial sampling event, establish  background concentrations for any Table 3.1 Column B constituents detected  pursuant to subdivision B 3 a of this subsection. A minimum of four independent  samples from each well (background and downgradient) shall be collected and  analyzed to establish background for the detected constituents. 
    d. Establishment of groundwater protection standards. Within  30 days of establishing background under subdivision 3 c (3) of this  subsection, submit proposed groundwater protection standards for all  constituents detected under Assessment monitoring. The groundwater protection  standards shall be approved by the director in accordance with the provisions  of subdivision A 6 of this section. 
    e. Groundwater monitoring plan. No later than 60 days after  approval of the groundwater protection standard standards in  accordance with subdivision A 6 of this section, the owner or operator shall  submit an updated Groundwater Monitoring Plan that details the site monitoring  well network and sampling and analysis procedures undertaken during groundwater  monitoring events. The owner or operator shall additionally: 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, request a permit amendment modification  to incorporate the plan and related groundwater monitoring modules into the  landfill's permit in accordance with 9VAC20-81-600. The department may waive  the requirement for a permit amendment modification if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (2) If the 30-day timeframe specified in subdivision 3 e (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    f. Evaluation and response. 
    (1) If the concentrations of all Table 3.1 Column B constituents  are shown to be at or below background values, using the statistical procedures  in subsection D of this section, for two consecutive Table 3.1 Column B  sampling events, the owner or operator shall notify the director of this  finding in the semi-annual or quarterly monitoring report and may return to  detection monitoring defined under subdivision 2 of this subsection. 
    (2) If the concentrations of any Table 3.1 Column B  constituents are found to be above background values, but below the groundwater  protection standards established under subdivision A 6 of this section using  the statistical procedures in subsection D of this section, the owner or  operator shall continue in assessment monitoring in accordance with this  section and present the findings to the department in the semi-annual or  quarterly report. 
    (3) If one or more Table 3.1 Column B constituents are  detected at statistically significant levels above the groundwater protection  standard established under subdivision A 6 of this section using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Within 14 days of this finding, notify the department  identifying the Table 3.1 Column B constituents that have exceeded the  groundwater protection standard. The notification will include a statement that  within 90 days the owner or operator will either: 
    (i) Undertake characterization and assessment actions required  under 9VAC20-81-260 C 1; or 
    (ii) Submit an Alternate Source Demonstration as specified in  subdivision A 5 of this section. If a successful demonstration is made within  90 days, the owner or operator may continue monitoring in accordance with the  assessment monitoring program pursuant to subdivision 3 of this subsection. If  the 90-day period passes without demonstration approval, the owner or operator  shall comply with the actions under 9VAC20-81-260 C within the timeframes  specified unless the director has granted an extension to those timeframes. 
    (b) Describe the results in the semi-annual or quarterly report.  
    C. Monitoring for CDD, industrial, and State Monitoring  Program sanitary landfills. 
    1. Applicability. 
    a. Sanitary landfills. Owners or operators of sanitary  disposal facilities that have ceased to accept solid waste prior to the  federally imposed deadline of October 9, 1993, and or in the case  of a "small landfill" before April 9, 1994, are eligible, with the  director's approval, to conduct the state groundwater monitoring program  described in this section in lieu of the groundwater monitoring program  required under subdivision B 2 or 3 of this section. 
    b. CDD and industrial landfills. Owners or operators of CDD  and industrial landfills not subject to the federal groundwater monitoring  requirements prescribed under 40 CFR Parts 257 and 258 will shall  perform the groundwater monitoring described in this section. 
    c. Other landfills. All other landfills excluding sanitary  landfills, including those that accepted hazardous waste from conditionally  exempt small quantity generators after July 1, 1998, will shall  perform the groundwater monitoring described in this section. 
    2. First determination monitoring program. 
    a. Sampling requirements. A first determination monitoring  program shall consist of a background-establishing period followed by  semi-annual sampling and analysis for the constituents shown in Table 3.1  Column A at all wells installed under subdivision A 3 a of this section. Within  14 days of each event during first determination monitoring, notify the  department identifying the Table 3.1 Column A constituents that have been  detected. 
    b. Development of background. Within 360 days of the initial  first determination sampling event: 
    (1) Establish background concentrations for any constituents  detected pursuant to subdivision 2 a of this subsection. 
    (a) A minimum of four independent samples from each well  (background and downgradient) shall be collected and analyzed to establish  background concentrations for the detected constituents using the procedures in  subsection D of this section. 
    (b) In those cases where new wells are installed downgradient  of waste disposal units that already have received waste, but these wells have  not yet undergone their initial sampling event, collection of four independent  samples for background development will not be required. 
    (2) Within 30 days of completing the background calculations  required under subdivision 2 b (1) (a) of this subsection, submit a first  determination report, signed by a qualified groundwater scientist, to the  department which must include a summary of the background concentration data  developed during the background sampling efforts as well as the statistical  calculations for each constituent detected in the groundwater during the  background sampling events. 
    c. Semi-annual sampling and analysis. Within 90 days of the  last sampling event during the background-establishing period and at least  semi-annually thereafter, sample each monitoring well in the compliance network  for analysis of the constituents in Table 3.1 Column A. 
    d. Evaluation and response. Upon determination of site  background under subdivision 2 b (1) (a) of this subsection, the results of all  subsequent first determination monitoring events shall be assessed as follows: 
    (1) If no Table 3.1 Column A constituents are found to have entered  the groundwater at statistically significant levels over background, the owner  or operator shall:
    (a) Remain in first determination monitoring; and 
    (b) May request the director delete any Table 3.1 Column A  constituents from the semi-annual sampling list if the owner or operator  demonstrates that the proposed deleted constituents are not reasonably expected  to be in or derived from the waste. 
    (2) If the owner or operator recognizes a statistically  significant increase over background for any Table 3.1 Column A constituent,  within 14 days of this finding, the owner or operator shall notify the  department identifying the Table 3.1 Column A constituents that have exceeded  background levels. The notification will include a statement that within 90 days  the owner or operator will shall:
    (a) Initiate a Phase II sampling program; or 
    (b) Submit an Alternate Source Demonstration under subdivision  A 5 of this section. 
    (3) If a successful demonstration is made and approved within  the timeframes established under subdivision A 5 of this section, the owner or  operator may remain in First Determination monitoring. 
    (4) If a successful demonstration is not made and approved  within the timeframes established under subdivision A 5 of this section, the  owner or operator shall initiate Phase II monitoring in accordance with the  timeframes in subdivision C 3 of this section. The director may approve a  longer timeframe with appropriate justification. 
    3. Phase II monitoring. 
    a. Sampling requirements. The owner or operator shall:
    (1) Within 90 days of noting the exceedance over background  determined under subdivision C 2 d of this section, sample the groundwater in  all monitoring wells installed under subdivision A 3 a of this section for all  Table 3.1 Column B constituents; 
    (2) After completing the initial Phase II sampling event,  continue to sample and analyze groundwater on a semi-annual basis within the  Phase II monitoring program; 
    b. Background development. If no additional Table 3.1 Column B  constituents are detected other than those previously detected under Column A,  which already have established their background levels, the owner or operator  shall follow the requirements under subdivision 3 c of this subsection  regarding groundwater protection standard establishment while continuing to  sample for the Table 3.1 Column A list on a semi-annual basis. If one or more  additional Table 3.1 Column B constituents are detected during the initial  Phase II sampling event:
    (1) Within 360 days, establish a background value for each  additional detected Table 3.1 Column B constituent. 
    (2) Submit a Phase II Background report within 30 days of  completing the background calculations including a summary of the background  concentration data for each constituent detected in the groundwater during the  Table 3.1 Column B background sampling events.
    (3) If any detected Table 3.1 Column B constituent is  subsequently not detected for a period of two years, the owner or operator may  petition the director to delete the constituent from the list of detected Table  3.1 Column B constituents that must be sampled semi-annually. 
    c. Establishment of groundwater protection standards. No later  than:
    (1) Thirty days after submitting the Phase II Background  report required under the provisions of subdivision 3 b (2) of this subsection,  or within 30 days of obtaining the results from the initial Table 3.1 Column B  sampling event indicating no further sampling for background determination is  necessary, the owner or operator shall propose a groundwater protection  standard for all detected Table 3.1 constituents. 
    (2) The groundwater protection standard proposed shall be  established in a manner consistent with the provisions in subdivision A 6 of  this section. 
    d. Groundwater monitoring plan. No later than 60 days after  establishment of groundwater protection standards in accordance with  subdivision A 6 of this section, the owner or operator shall submit an updated  Groundwater Monitoring Plan that details the site monitoring well network and  sampling and analysis procedures undertaken during groundwater monitoring  events. The department may waive the requirement for an updated plan if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, the owner or operator shall request a permit amendment  modification to incorporate the updated plan and related groundwater  monitoring modules into the landfill's permit in accordance with 9VAC20-81-600.  
    (2) If the 30-day timeframe specified in subdivision 3 d (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    e. Evaluation and response. After each subsequent Phase II  monitoring event following establishment of groundwater protection standards,  the concentration of Table 3.1 Column B constituents found in the groundwater  at each monitoring well installed pursuant to subdivision A 3 a of this section  will be evaluated against the groundwater protection standards. The evaluation  will be presented to the department in a semi-annual Phase II report. The  evaluation will be as follows: 
    (1) If all Table 3.1 constituents are shown to be at or below  background values, using the statistical procedures in subsection D of this  section, for two consecutive Table 3.1 Column B sampling events, the owner or  operator shall notify the director of this finding in the semi-annual report  and may return to first determination monitoring; 
    (2) If any Table 3.1 Column B constituents are found to be  above background values, but are below the established groundwater protection  standard using the statistical procedures in subsection D of this section, the  owner or operator shall continue semi-annual Phase II monitoring and present  the findings in a semi-annual report; 
    (3) If one or more Table 3.1 Column B constituents are above  the established groundwater protection standard using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Notify the department within 14 days of this finding. The  notification will include a statement that within 90 days the owner or operator  will either: (i) undertake the characterization and assessment actions required  under 9VAC20-81-260 C 1; or (ii) submit an alternate source demonstration as  specified in subdivision A 5 of this section. If a successful demonstration is  made within 90 days, the owner or operator may continue monitoring in  accordance with Phase II monitoring program. If the 90-day period is exceeded,  the owner or operator shall comply with the timeframes of 9VAC20-81-260 C  unless the director has granted an extension to those timeframes; and
    (b) Present the findings in the semi-annual report. 
    D. Statistical methods and constituent lists. 
    1. Acceptable test methods. The following statistical test  methods may be used to evaluate groundwater monitoring data: 
    a. A parametric analysis of variance (ANOVA) followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's mean and the background mean levels  for each constituent. 
    b. An analysis of variance (ANOVA) based on ranks followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's median and the background median  levels for each constituent. 
    c. A tolerance or prediction interval procedure in which an  interval for each constituent is established from the distribution of the  background data, and the level of each constituent in each compliance well is  compared to the upper tolerance or prediction limit. 
    d. A control chart approach that gives control limits for each  constituent. 
    e. Another statistical test method that meets the performance  standards specified below. Based on the justification submitted to the  department, the director may approve the use of an alternative test. The  justification must demonstrate that the alternative method meets the  performance standards in subdivision 2 of this subsection. 
    2. Performance standards. Any statistical method chosen by the  owner or operator shall comply with the following performance standards, as  appropriate: 
    a. The statistical method used to evaluate groundwater  monitoring data shall be appropriate for the distribution of monitoring  parameters or constituents. If the distribution is shown by the owner or  operator to be inappropriate for a normal theory test, then the data shall be  transformed or a distribution-free theory test shall be used. If the  distributions for the constituents differ, more than one statistical method may  be needed. 
    b. If an individual well comparison procedure is used to  compare an individual compliance well constituent concentration with background  constituent concentrations or a groundwater protection standard, the test shall  be done at a Type I error level no less than 0.01 for each testing period. If a  multiple comparisons procedure is used, the Type I experiment-wise error rate  for each testing period shall be no less than 0.05; however, the Type I error  of no less than 0.01 for individual well comparisons must be maintained. 
    c. If a control chart approach is used to evaluate groundwater  monitoring data, the specific type of control chart and its associated  parameter values shall be protective of human health and the environment. The  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    d. If a tolerance interval or a predictional interval is used  to evaluate groundwater monitoring data, the levels of confidence and, for  tolerance intervals, the percentage of the population that the interval must  contain, shall be protective of human health and the environment. These  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    e. The statistical method shall account for data below the  limit of detection with one or more statistical procedures that are protective  of human health and the environment. Any estimated quantitation limit (EQL)  that is used in the statistical method shall be the lowest concentration level  that can be reliably achieved within specified limits of precision and accuracy  during routine laboratory operating conditions that are available to the  landfill. 
    f. If necessary, the statistical method shall include  procedures to control or correct for seasonal and spatial variability as well  as temporal correlation in the data.
    E. Recordkeeping and reporting. 
    1. Records pertaining to groundwater monitoring activities on  site shall be retained at a specified location by the owner or operator  throughout the active life and postclosure care period of the landfill, and  shall include at a minimum: 
    a. All historical groundwater surface elevation data obtained  from wells installed pursuant to subdivision A 3 a of this section; 
    b. All historical laboratory analytical results for  groundwater sampling events required under the groundwater monitoring programs  as described in this section; 
    c. All records of well installation, repair, or abandonment  actions; 
    d. All department correspondence to the landfill; and 
    e. All approved variances, well subsets, wetlands, or other  such director/department approvals. 
    2. Reporting requirements. 
    a. Annual report. 
    (1) An Annual Groundwater Monitoring Report shall be submitted  by the owner or operator to the department no later than 120 days from the  completion of sampling and analysis conducted under subdivision A 4 h of this  section for the second semi-annual event or fourth quarterly event during each  calendar year and shall by accompanied by:
    (a) A signature page; and 
    (b) A completed QA/QC DEQ Form ARSC-01.
    (2) The technical content of the annual report shall at a  minimum, contain the following topical content: 
    (a) The landfill's name, type, permit number, current owner or  operator, and location keyed to a USGS topographic map; 
    (b) Summary of the design type (i.e., lined versus unlined),  operational history (i.e., trench fill versus area fill), and size (acres) of  the landfill including key dates such as beginning and termination of waste  disposal actions and dates different groundwater monitoring phases were  entered;
    (c) Description of the surrounding land use noting whether any  adjoining land owners utilize private wells as a potable water source;
    (d) A discussion of the topographic, geologic, and hydrologic  setting of the landfill including a discussion on the nature of the uppermost  aquifer (i.e., confined versus unconfined) and proximity to surface waters;
    (e) A discussion of the monitoring wells network noting any  modifications that were made to the network during the year or any  nonperformance issues and a statement noting that the monitoring well network  meets (or did not meet) the requirements of subdivision A 3 of this section; 
    (f) A listing of the groundwater sampling events undertaken  during the previous calendar year; 
    (g) A historical table listing the detected constituents, and  their concentrations identified in each well during the sampling period; and
    (h) Evaluations of and appropriate responses to the  groundwater elevation data; groundwater flow rate as calculated using the prior  years elevation data; groundwater flow direction (as illustrated on a  potentiometric surface map); and sampling and analytical data obtained during  the past calendar year. 
    b. Semi-annual or quarterly report. 
    (1) After each sampling event has been completed for the 1st  semi-annual or first, second and third quarterly groundwater sampling events, a  semi-annual or quarterly monitoring report shall be submitted under separate  cover by the owner or operator to the department no later than 120 days from  the completion of sampling and analysis conducted under subdivision A 4 h of  this section, unless as allowed under a director-approved extension. The report  shall at a minimum contain the following items: 
    (a) Signature page signed by a professional geologist or  qualified groundwater scientist; 
    (b) Landfill name and permit number;
    (c) Statement noting whether or not all monitoring points  within the permitted network installed to meet the requirements of subdivision  A 3 a of this section were sampled as required under subdivision B 2 or 3 or C  2 or 3 during the event;
    (d) Calculated rate of groundwater flow during the sampling  period as required under subdivision A 4 c of this section;
    (e) The groundwater flow direction as determined during the  sampling period as required under subdivision A 4 c of this section presented  as either plain text or graphically as a potentiometric surface map;
    (f) Statement noting whether or not there were statistically  significant increases over background or groundwater protection standards  during the sampling period, the supporting statistical calculations, and  reference to the date the director was notified of the increase pursuant to  timeframes in subdivision B 2 or 3 or C 2 or 3, if applicable; 
    (g) Copy of the full Laboratory Analytical Report including  dated signature page (laboratory manager or representative) to demonstrate  compliance with the timeframes of subdivision A 4 h of this section. The  department will accept the lab report in CD-ROM format. 
    (2) In order to reduce the reporting burden on the owner or  operator and potential redundancy within the operating record, a discussion of  the second semi-annual or fourth quarterly sampling event results may be  presented in the Annual Report submission.
    c. Other submissions. Statistically significant increase  notifications, well certifications, the first determination report, alternate  source demonstration, nature and extent study, assessment of corrective  measures, presumptive remedy proposal, corrective action plan or monitoring  plan, or other such report or notification types as may be required under  9VAC20-81-250 or 9VAC20-81-260, shall be submitted in a manner which achieves  the timeframe requirements as listed in 9VAC20-81-250 or 9VAC20-81-260. 
         
                 |      TABLE 3.1      GroundWater Solid Waste Constituent Monitoring List       |    
       |      Column A – Common Name1, 2      |          Column B – Common Name1, 2      |          CAS RN3      |    
       |             |          Acenaphthene      |          83-32-9      |    
       |             |          Acenaphthylene      |          208-96-8      |    
       |      Acetone      |          Acetone      |          67-64-1      |    
       |             |          Acetonitrile; Methyl cyanide      |          75-05-8      |    
       |             |          Acetophenone      |          98-86-2      |    
       |             |          2-Acetylaminofluorene; 2-AAF      |          53-96-3      |    
       |             |          Acrolein      |          107-02-8      |    
       |      Acrylonitrile      |          Acrylonitrile      |          107-13-1      |    
       |             |          Aldrin      |          309-00-2      |    
       |             |          Allyl chloride      |          107-05-1      |    
       |             |          4-Aminobiphenyl      |          92-67-1      |    
       |             |          Anthracene      |          120-12-7      |    
       |      Antimony      |          Antimony      |          (Total)      |    
       |      Arsenic      |          Arsenic      |          (Total)      |    
       |      Barium      |          Barium      |          (Total)      |    
       |      Benzene      |          Benzene      |          71-43-2      |    
       |             |          Benzo[a]anthracene; Benzanthracene      |          56-55-3      |    
       |             |          Benzo[b]fluoranthene      |          205-99-2      |    
       |             |          Benzo[k]fluoranthene      |          207-08-9      |    
       |             |          Benzo[ghi]perylene      |          191-24-2      |    
       |             |          Benzo[a]pyrene      |          50-32-8      |    
       |             |          Benzyl alcohol      |          100-51-6      |    
       |      Beryllium      |          Beryllium      |          (Total)      |    
       |             |          alpha-BHC      |          319-84-6      |    
       |             |          beta-BHC      |          319-85-7      |    
       |             |          delta-BHC      |          319-86-8      |    
       |             |          gamma-BHC; Lindane      |          58-89-9      |    
       |             |          Bis(2-chloroethoxy)methane      |          111-91-1      |    
       |             |          Bis(2-chloroethyl) ether; Dichloroethyl ether      |          111-44-4      |    
       |             |          Bis(2-chloro-1-methylethyl) ether; 2, 2'-Dichlorodiisopropyl    ether; DCIP      |          108-60-1, See note 4      |    
       |             |          Bis(2-ethylhexyl)phthalate      |          117-81-7      |    
       |      Bromochloromethane;.Chlorobromomethane      |          Bromochloromethane;.Chlorobromomethane      |          74-97-5      |    
       |      Bromodichloromethane;.Dibromochloromethane      |          Bromodichloromethane;.Dibromochloromethane      |          75-27-4      |    
       |      Bromoform; Tribromomethane      |          Bromoform; Tribromomethane      |          75-25-2      |    
       |             |          4-Bromophenyl phenyl ether      |          101-55-3      |    
       |             |          Butyl benzyl phthalate; Benzyl butyl phthalate      |          85-68-7      |    
       |      Cadmium      |          Cadium Cadmium      |          (Total)      |    
       |      Carbon disulfide      |          Carbon disulfide      |          75-15-0      |    
       |      Carbon tetrachloride      |          Carbon tetrachloride      |          56-23-5      |    
       |             |          Chlordane      |          Note 5      |    
       |             |          p-Chloroaniline      |          106-47-8      |    
       |      Chlorobenzene      |          Chlorobenzene      |          108-90-7      |    
       |             |          Chlorobenzilate      |          510-15-6      |    
       |             |          p-Chloro-m-cresol; 4-Chloro-3-methylphenol      |          59-50-7      |    
       |      Chloroethane; Ethyl chloride      |          Chloroethane; Ethyl chloride      |          75-00-3      |    
       |      Chloroform; Trichloromethane      |          Chloroform; Trichloromethane      |          67-66-3      |    
       |             |          2-Chloronaphthalene      |          91-58-7      |    
       |             |          2-Chlorophenol      |          95-57-8      |    
       |             |          4-Chlorophenyl phenyl ether      |          7005-72-3      |    
       |             |          Chloroprene      |          126-99-8      |    
       |      Chromium      |          Chromium      |          (Total)      |    
       |             |          Chrysene      |          218-01-9      |    
       |      Cobalt      |          Cobalt      |          (Total)      |    
       |      Copper      |          Copper      |          (Total)      |    
       |             |          m-Cresol; 3-methyphenol      |          108-39-4      |    
       |             |          o-Cresol; 2-methyphenol      |          95-48-7      |    
       |             |          p-Cresol; 4-methyphenol      |          106-44-5      |    
       |             |          Cyanide      |          57-12-5      |    
       |             |          2,4-D; 2,4-Dichlorophenoxyacetic acid      |          94-75-7      |    
       |             |          4,4'-DDD      |          72-54-8      |    
       |             |          4,4'-DDE      |          72-55-9      |    
       |             |          4,4'-DDT      |          50-29-3      |    
       |             |          Diallate      |          2303-16-4      |    
       |             |          Dibenz[a,h]anthracene      |          53-70-3      |    
       |             |          Dibenzofuran      |          132-64-9      |    
       |      Dibromochloromethane; Chlorodibromomethane      |          Dibromochloromethane; Chlorodibromomethane      |          124-48-1      |    
       |      1,2-Dibromo-3-chloropropane; DBCP      |          1,2-Dibromo-3-chloropropane; DBCP      |          96-12-8      |    
       |      1,2-Dibrimoethane; Ethylene dibromide; EDB      |          1,2-Dibrimoethane; Ethylene dibromide; EDB      |          106-93-4      |    
       |             |          Di-n-butyl phthalate      |          84-74-2      |    
       |      o-Dichlorobenzene; 1,2-Dichlorobenzene      |          o-Dichlorobenzene; 1,2-Dichlorobenzene      |          95-50-1      |    
       |             |          m-Dichlorobenzene; 1,3-Dichlorobenzene      |          541-73-1      |    
       |      p-Dichlorobenzene; 1,4-Dichlorobenzene      |          p-Dichlorobenzene; 1,4-Dichlorobenzene      |          106-46-7      |    
       |             |          3,3'-Dichlorobenzidine      |          91-94-2      |    
       |      trans-1,4-Dichloro-2-butene      |          trans-1,4-Dichloro-2-butene      |          110-57-6      |    
       |             |          Dichlorodifluoromethane; CFC 12;      |          75-71-8      |    
       |      1.1-Dichloroethane; Ethylidene chloride      |          1,1-Dichloroethane; Ethylidene chloride      |          75-34-3      |    
       |      1,2-Dichloroethane; Ethylene dichloride      |          1,2-Dichloroethane; Ethylene dichloride      |          107-06-2      |    
       |      1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          75-35-4      |    
       |      cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          156-59-2      |    
       |      trans-1,2-Dichloroethylene      |          trans-1,2-Dichloroethylene; trans-1,2-Dichroroethene      |          156-60-5      |    
       |             |          2,4-Dichlorophenol      |          120-83-2      |    
       |             |          2,6-Dichlorophenol      |          87-65-0      |    
       |      1,2-Dichloropropane; Propylene dichloride      |          1,2-Dichloropropane; Propylene dichloride      |          78-87-5      |    
       |             |          1,3-Dichloropropane; Trimethylene dichloride      |          142-28-9      |    
       |             |          2, 2-Dichloropropane; isopropylidene chloride      |          594-20-7      |    
       |             |          1,1-Dichloropropene      |          563-58-6      |    
       |      cis-1,3-Dichloropropene      |          cis-1,3-Dichloropropene      |          10061-01-5      |    
       |      trans-1,3-Dichloropropene      |          trans-1,3-Dichloropropene      |          10061-02-6      |    
       |             |          Dieldrin      |          60-57-1      |    
       |             |          Diethyl phthalate      |          84-66-2      |    
       |             |          O,O-Diethyl O-2-pyrazinyl phosphorothioate; Thionazin      |          297-97-2      |    
       |             |          Dimethoate      |          60-51-5      |    
       |             |          p-(Dimethylamino)azobenzene      |          60-11-7      |    
       |             |          7,12-Dimethylbenz[a]anthracene      |          57-97-6      |    
       |             |          3,3'-Dimethylbenzidine      |          119-93-7      |    
       |             |          2,4-Dimethylphenol; m-Xylenol      |          105-67-9      |    
       |             |          Dimethyl phthalate      |          131-11-3      |    
       |             |          m-Dinitrobenzene      |          99-65-0      |    
       |             |          4,6-Dinitro-o-cresol; 4,6-Dinitro-2-methylphenol      |          534-52-1      |    
       |             |          2,4-Dinitrophenol      |          51-28-5      |    
       |             |          2,4-Dinitrotoluene      |          121-14-2      |    
       |             |          2,6-Dinitrotoluene      |          606-20-2      |    
       |             |          Dinoseb; DNBP; 2-sec-Butyl-4,6-dinitrophenol      |          88-85-7      |    
       |             |          Di-n-octyl phthalate      |          117-84-0      |    
       |             |          Diphenylamine      |          122-39-4      |    
       |             |          Disulfoton      |          298-04-4      |    
       |             |          Endosulfan I      |          959-96-8      |    
       |             |          Endosulfan II      |          33213-65-9      |    
       |             |          Endosulfan sulfate      |          1031-07-8      |    
       |             |          Endrin      |          72-20-8      |    
       |             |          Endrin aldehyde      |          7421-93-4      |    
       |      Ethylbenzene      |          Ethylbenzene      |          100-41-4      |    
       |             |          Ethyl methacrylate      |          97-63-2      |    
       |             |          Ethylmethanesulfonate      |          62-50-0      |    
       |             |          Famphur      |          52-85-7      |    
       |             |          Fluoranthene      |          206-44-0      |    
       |             |          Fluorene      |          86-73-7      |    
       |             |          Heptachlor      |          76-44-8      |    
       |             |          Heptachlor epoxide      |          1024-57-3      |    
       |             |          Hexachlorobenzene      |          118-74-1      |    
       |             |          Hexachlorobutadiene      |          87-68-3      |    
       |             |          Hexachlorocyclopentadiene      |          77-47-4      |    
       |             |          Hexachloroethane      |          67-72-1      |    
       |             |          Hexachloropropene      |          1888-71-7      |    
       |      2-Hexanone; Methyl butyl ketone      |          2-Hexanone; Methyl butyl ketone      |          591-78-6      |    
       |             |          Indeno[1,2,3-cd]pyrene      |          193-39-5      |    
       |             |          Isobutyl alcohol      |          78-83-1      |    
       |             |          Isodrin      |          465-73-6      |    
       |             |          Isophorone      |          78-59-1      |    
       |             |          Isosafrole      |          120-58-1      |    
       |             |          Kepone      |          143-50-0      |    
       |      Lead      |          Lead      |          (Total)      |    
       |             |          Mercury      |          (Total)      |    
       |             |          Methacrylonitrile      |          126-98-7      |    
       |             |          Methapyrilene      |          91-80-5      |    
       |             |          Methoxychlor      |          72-43-5      |    
       |      Methyl bromide; Bromomethane      |          Methyl bromide; Bromomethane      |          74-83-9      |    
       |      Methyl chloride; Chloromethane      |          Methyl chloride; Chloromethane      |          74-87-3      |    
       |             |          3-Methylcholanthrene      |          56-49-5      |    
       |      Methyl ethyl ketone; MEK; 2-Butanone      |          Methyl ethyl ketone; MEK; 2-Butanone      |          78-93-3      |    
       |      Methyl iodide; Iodomethane      |          Methyl iodide; Iodomethane      |          74-88-4      |    
       |             |          Methyl methacrylate      |          80-62-6      |    
       |             |          Methyl methanesulfonate      |          66-27-3      |    
       |             |          2-Methylnaphthalene      |          91-57-6      |    
       |             |          Methyl parathion; Parathion methyl methyl      |          298-00-0      |    
       |      4-Methyl-2-pentanone; Methyl isobutyl ketone      |          4-Methyl-2-pentanone; Methyl isobutyl ketone      |          108-10-1      |    
       |      Methylene bromide; Dibromomethane      |          Methylene bromide; Dibromomethane      |          74-95-3      |    
       |      Methylene chloride; Dichloromethane      |          Methylene chloride; Dichloromethane      |          75-09-2      |    
       |             |          Naphthalene      |          91-20-3      |    
       |             |          1,4-Naphthoquinone      |          130-15-4      |    
       |             |          1- Naphthylamine      |          134-32-7      |    
       |             |          2-Napthylamine      |          91-59-8      |    
       |      Nickel      |          Nickel      |          (Total)      |    
       |             |          o-Nitroaniline; 2-Nitroaniline      |          88-74-4      |    
       |             |          m-Nitroaniline; 3-Nitroaniline      |          99-09-2      |    
       |             |          p-Nitroaniline; 4-Nitroaniline      |          100-01-6      |    
       |             |          Nitrobenzene      |          98-95-3      |    
       |             |          o-Nitrophenol; 2-Nitrophenol      |          88-75-5      |    
       |             |          p-Nitrophenol; 4-Nitrophenol      |          100-02-7      |    
       |             |          N-Nitrosodi-n-butylamine      |          924-16-3      |    
       |             |          N-Nitrosodiethylamine      |          55-18-5      |    
       |             |          N-Nitrosodimethylamine      |          62-75-9      |    
       |             |          N-Nitrosodiphenylamine      |          86-30-6      |    
       |             |          N-Nitrosodipropylamine; N-Nitroso-N-dipropylamine;    Di-n-propylnitrosamine      |          621-64-7      |    
       |             |          N-Nitrosomethylethalamine      |          10595-95-6      |    
       |             |          N-Nitrosopiperidine      |          100-75-4      |    
       |             |          N-Nitrosopyrrolidine      |          930-55-2      |    
       |             |          5-Nitro-o-toluidine      |          99-55-8      |    
       |             |          Parathion      |          56-38-2      |    
       |             |          Pentachlorobenzene      |          608-93-5      |    
       |             |          Pentachloronitrobenzene      |          82-68-8      |    
       |             |          Pentachlorophenol      |          87-86-5      |    
       |             |          Phenacetin      |          62-44-2      |    
       |             |          Phenanthrene      |          85-01-8      |    
       |             |          Phenol      |          108-95-2      |    
       |             |          p-Phenylenediamine      |          106-50-3      |    
       |             |          Phorate      |          298-02-2      |    
       |             |          Polychlorinated biphenyls; PCBS; Aroclors      |          Note 6      |    
       |             |          Pronamide      |          23950-58-5      |    
       |             |          Propionitrile; Ethyl cyanide      |          107-12-0      |    
       |             |          Pyrene      |          129-00-0      |    
       |             |          Safrole      |          94-59-7      |    
       |      Selenium      |          Selenium      |          (Total)      |    
       |      Silver      |          Silver      |          (Total)      |    
       |             |          Silvex; 2,4,5-TP      |          93-72-1      |    
       |      Styrene      |          Styrene      |          100-42-5      |    
       |             |          Sulfide      |          18496-25-8      |    
       |             |          2,4,5-T; 2,4,5-Trichlorophenoxyacetic acid      |          93-76-5      |    
       |             |          1,2,4,5-Tetrachlorobenzene      |          95-94-3      |    
       |      1,1,1,2-Tetrachloroethane      |          1,1,1,2-Tetrachloroethane      |          630-20-6      |    
       |      1,1,2,2-Tetrachloroethane      |          1,1,2,2-Tetrachloroethane      |          79-34-5      |    
       |      Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          127-18-4      |    
       |             |          2,3,4,6-Tetrachlorophenol      |          58-90-2      |    
       |      Thallium      |          Thallium      |          (Total)      |    
       |             |          Tin      |          (Total)      |    
       |      Toluene      |          Toluene      |          108-88-3      |    
       |             |          o-Toluidine      |          95-53-4      |    
       |             |          Toxaphene      |          Note 7      |    
       |             |          1,2,4-Trichlorobenzene      |          120-82-1      |    
       |      1,1,1-Trichloroethane; Methychloroform      |          1,1,1-Trichloroethane; Methychloroform      |          71-55-6      |    
       |      1,1,2-Trichloroethane      |          1,1,2-Trichloroethane      |          79-00-5      |    
       |      Trichloroethylene; Trichloroethene ethene      |          Trichloroethylene; Trichloroethene ethane      |          79-01-6      |    
       |      Trichlorofluoromethane; CFC-11      |          Trichlorofluoromethane; CFC-11      |          75-69-4      |    
       |             |          2,4,5-Trichlorophenol      |          95-95-4      |    
       |             |          2,4,6-Trichlorophenol      |          88-06-2      |    
       |      1,2,3-Trichloropropane      |          1,2,3-Trichloropropane      |          96-18-4      |    
       |             |          O,O,O-Triethyl phosphorothioate      |          126-68-1      |    
       |             |          sym-Trinitrobenzene      |          99-35-4      |    
       |      Vanadium      |          Vanadium      |          (Total)      |    
       |      Vinyl acetate      |          Vinyl acetate      |          108-05-4      |    
       |      Vinyl chloride; Chloroethene      |          Vinyl chloride; Chloroethene      |          75-01-4      |    
       |      Xylene(total)      |          Xylene(total)      |          Note 8      |    
       |      Zinc      |          Zinc      |          (Total)      |    
  
    NOTES:
    1Common names are those widely used in government  regulations, scientific publications, and commerce; synonyms exist for many  chemicals.
    2The corresponding Chemical Abstracts Service Index  name as used in the 9th Collective Index, may be found in Appendix II of 40 CFR  258.
    3Chemical Abstracts Service Registry Number. Where  "Total" is entered, all species in the groundwater that contains this  element are included.
    4This substance is often called  Bis(2-chloroisopropyl) ether, the name Chemical Abstracts Service applies to  its noncommercial isomer, Propane, 2.2'-oxybis2-chloro (CAS RN 39638-32-9).
    5Chlordane: This entry includes alpha-chlordane (CAS  RN 5103-71-9), beta-chlordane (CAS RN 5103-74-2), gamma-chlordane (CAS RN  5566-34-7), and constituents of chlordane (CAS RN 57-74-9 and CAS RN  12739-03-6).
    6Polychlorinated biphenyls (CAS RN 1336-36-3); this  category contains congener chemicals, including constituents of Aroclor 1016  (CAS RN 12674-11-2), Aroclor 1221 (CAS RN 11104-28-2), Aroclor 1232 (CAS RN  11141-16-5), Aroclor 1242 (CAS RN 53469-21-9), Aroclor 1248 (CAS RN  12672-29-6), Aroclor 1254 (CAS RN 11097-69-1), and Arclor 1260 (CAS RN  11096-82-5).
    7Toxaphene: This entry includes congener chemicals  contained in technical toxaphene (CAS RN 8001-35-2), i.e., chlorinated  camphene.
    8Xylene (total): This entry includes o-xylene (CAS  RN 96-47-6), m-xylene (CAS RN 108-38-3), p-xylene (CAS RN 106-42-3), and  unspecified xylenes (dimethylbenzenes) (CAS RN 1330-20-7).
         
          9VAC20-81-260. Corrective action program.
    A. Corrective action is required whenever one or more  groundwater protection standard is exceeded at statistically significant  levels. An owner or operator of a landfill may elect to initiate corrective  action at any time; however, prior to such initiation, the appropriate  groundwater protection standards for all Table 3.1 constituents shall be  established consistent with 9VAC20-81-250 A 6. At any time during the  corrective action process, the owner or operator may elect to pursue, or the  director can determine that, interim measures as defined under subsection F of  this section are required in accordance with subdivision E 3 of this section.
    B. The director may require periodic progress reports when a  corrective action program is required but not yet implemented. At any time  during the corrective action process, the owner or operate may elect to pursue,  or the director can determine that, interim measures as defined under  subsection F of this section are required in accordance with subdivision E 3 of  this section. 
    C. Characterization and assessment requirements. 
    1. Upon notifying the department that one or more of the  constituents listed in Table 3.1 Column B has been detected at a statistically  significant level exceeding the groundwater protection standards, the owner or  operator shall, unless department approval of an Alternate Source Demonstration  has been received as noted under 9VAC20-81-250 B 3 f (3) (a) (ii) or  9VAC20-81-250 C 3 c (3) (a) (ii):
    a. Characterization. Within 90 days, install additional  monitoring wells as necessary including the installation of at least one  additional monitoring well at the facility boundary in the direction of  contaminant migration sufficient to define the vertical and horizontal  extent of the release of constituents at statistically significant levels  exceeding the groundwater protection standards including the installation of  at least one additional monitoring well at the facility boundary in the  direction of contaminant migration. 
    b. Notification. Notify all persons who own the land or reside  on the land that directly overlies any part of the release if contaminants have  migrated offsite as indicated by the results of sampling of the  characterization wells installed under subdivision 1 a of this subsection  within 15 days of completion of the characterization sampling and analysis  efforts. 
    c. Assessment. Within 90 days, initiate an assessment of  corrective measures or a proposal for presumptive remedy. 
    d. Financial assurance. Within 120 days, provide additional  financial assurance in the amount of $1 million to the department using the  mechanisms required in 9VAC20-70-140 of the Financial Assurance Requirements  for Solid Waste Disposal, Transfer, and Treatment Facilities. 
    e. Public meeting. Prior to submitting the document required  under subdivision 1 f of this subsection, schedule and hold a public meeting to  discuss the draft results of the corrective measures assessment or the proposal  for presumptive remedy, prior to the final selection of remedy. The meeting  shall be held to the extent practicable in the vicinity of the landfill. The  process to be followed for scheduling and holding the public hearing is  described under subdivision 4 of this subsection. 
    f. Submission requirements. Within 180 days, submit the  completed assessment of corrective measures defined under subdivision 3 of this  subsection, or the proposal for presumptive remedies defined under subdivision  2 of this subsection, including any responses to public comments received. 
    g. Director allowance. The submission timeframe noted in  subdivision 1 f of this subsection may be extended by the director for good cause  upon request of the owner or operator. 
    2. Presumptive remedy  allowance. 
    a. Applicability. To expedite corrective action, in lieu of an  analysis meeting the requirements of subdivision 3 of this subsection, the  owner or operator of any facility monitoring groundwater in accordance with  9VAC20-81-250 C may propose a presumptive remedy for the landfill. 
    b. Options. The presumptive remedy for solid waste landfills  shall be limited to one or more of the following: 
    (1) Containment of the landfill mass, including an impermeable  cap; 
    (2) Control of the landfill leachate; 
    (3) Control of the migration of contaminated groundwater; 
    (4) Collection and treatment of landfill gas; and 
    (5) Reduction of saturation of the landfill mass. 
    Containment may be selected as a sole or partial remedy until  a determination is made under subdivision F 1 of this section that another  remedy shall be employed to meet the requirements of subdivision G 1 of this  section concerning remediation completion. Upon recognition that presumptive  remedies may not be able to achieve the groundwater protection standards, an  assessment of corrective measures shall be initiated within 90 days.
    c. Restrictions. Presumptive remedies are not applicable to:
    (1) Landfills monitoring groundwater under the Federal  Subtitle D equivalent program defined under 9VAC20-81-250 B when the use of the  presumptive remedy will be the sole remedy applied to the groundwater release;  or
    (2) Landfills that may monitor groundwater under 9VAC20-81-250  C but that exhibit contamination beyond facility boundaries unless the proposed  presumptive remedy option under subdivision 2 b of this subsection can be  demonstrated to show it will address the reduction of contamination already  present beyond the facility boundary, and the demonstration is approved by the  department. 
    d. Submission requirements. Owner or operators who wish to  propose use of the presumptive remedy allowance shall submit with the proposal,  signed by a qualified groundwater professional, an: 
    (1) Assessment of risks resulting from the contamination at  the disposal unit boundary and at the facility boundary; 
    (2) Evaluation of the current trends in groundwater quality  data with respect to the established groundwater protection standards; and
    (3) Anticipated schedule for initiating and completing  presumptive remedy-based remedial activities. 
    e. Implementation. Upon conducting a public meeting as  required under subdivision 4 of this subsection, submitting a corrective action  monitoring plan meeting subdivision D 1 of this section, and amending modifying  the landfill permit in accordance with 9VAC20-81-600 F 2, the owner or operator  may proceed with the implementation of the remedy in accordance with  subdivision E 1 of this section. 
    f. Evaluation and response. The owner or operator shall  provide an evaluation of the performance of the implemented presumptive remedy  every three years, unless an alternate schedule is approved by the director, in  a Corrective Action Site Evaluation report containing, at a minimum, the  following information: 
    (a) A description of how the presumptive remedy is performing  with respect to the conditions in subdivision H 1 of this section;
    (b) Current and historical groundwater data and analysis; 
    (c) An evaluation of the changes seen in groundwater  contamination after the implementation of the remedy and a projection of when  the conditions in subdivision H 1 of this section will be achieved; and 
    (d) The progress toward achieving the schedule required in  subdivision C 2 d (3) of this section. 
    3. Assessment of corrective measures. 
    a. Purpose. The assessment shall include an analysis of the  effectiveness of several potential corrective measures in meeting all of the  requirements and objectives of the remedy as described under this subsection,  addressing at least the following: 
    (1) The performance, reliability, implementation ease, and  potential impacts of appropriate potential remedies, including safety impacts,  cross-media impacts, and control of exposure to any residual contamination; 
    (2) The time required to begin and complete the remedy; 
    (3) The costs of remedy implementation; and 
    (4) The institutional requirements such as state or local  permit requirements or other environmental or public health requirements that  may substantially affect implementation of the remedies. 
    b. Requirements. As part of the assessment of corrective  measures submitted to the department for review, the owner or operator must  demonstrate that one or more possible groundwater remedy has been evaluated for  potential application on site. These remedies may include a specific technology  or combination of technologies that achieve or may achieve the standards for  remedies specified in subdivision 3 c (1) of this subsection given appropriate  consideration of the factors specified in subdivision D 1 a of this section. 
    c. Selection of remedy. As part of submission of the  assessment of corrective measures document, the owner or operator shall select  a remedy that, at a minimum, meets the standards listed in subdivision H 1 of  this section. 
    (1) The selected remedies to be included in the corrective  action plan shall: 
    (a) Be protective of human health and the environment; 
    (b) Attain the groundwater protection standard as specified  pursuant to 9VAC20-81-250 A 6; 
    (c) Control the sources of releases so as to reduce or  eliminate, to the maximum extent practicable, further releases of solid waste  constituents into the environment that may pose a threat to human health or the  environment; and 
    (d) Comply with standards for management of wastes. 
    d. Evaluation and response. The department shall review the  assessment of corrective measures to evaluate the proposed remedy and may  require revisions to the assessment. If the assessment is approved without  revision, the department will notify the owner or operator to prepare a written  corrective action plan based on the proposed remedy and such plan will be  submitted within 180 days of the department's notification of approval of the  assessment of corrective measures. 
    4. Public meeting process. As part of the public meeting  process completed prior to the submission of a proposal for presumptive remedy  or assessment of corrective measures: 
    a. Newspaper notice. The owner or operator must publish a  notice once a week for two consecutive weeks in a major local newspaper of  general circulation inviting public comment on the results of the corrective  measures assessment or proposal for presumptive remedy as applicable. The  notice shall include: 
    (1) The name of the landfill, its location, and the date,  time, and place for the public meeting, and the beginning and ending dates for  the 30-day comment period. The public meeting shall be held at a time  convenient to the public. The comment period will begin on the date the owner  or operator publishes the notice in the local newspaper;
    (2) The name, telephone, and address of the owner's or  operator's representative who can be contacted by the interested persons to  answer questions or where comments shall be sent; 
    (3) Location where copies of the documentation to be submitted  to the department in support of the corrective measures assessment or proposal  of presumptive remedy can be viewed and copied prior to the meeting; 
    (4) A statement indicating that the need to perform the  corrective measures assessment or presumptive remedy is a result of a  statistically significant increase in one or more groundwater protection  standards; and 
    (5) A statement that the purpose of the public meeting is to  acquaint the public with the technical aspects of the proposal, describe how  the requirements of these regulations will be met, identify issues of concern,  facilitate communication, and establish a dialogue between the permittee and  persons who may be affected by the landfill.
    b. Document review. The owner or operator shall place a copy  of the report and supporting documentation in a location accessible to the  public during the public comment period in the vicinity of the proposed  landfill. 
    c. Meeting timeframe. The owner or operator shall hold a  public meeting within a timeframe that allows for the submission of a completed  assessment of corrective measures or presumptive remedy within 180 days of  notifying the department of a groundwater protection standard exceedance or as  granted under subdivision 1 g of this subsection. The meeting must be scheduled  and held:
    (1) No earlier than 15 days after the publication of the  notice; and
    (2) No later than seven days before the close of the 30-day  comment period.
    D. Corrective action plan and monitoring plan. 
    1. The owner or operator shall submit to the department a  Corrective Action Plan (CAP) and related Corrective Action Monitoring Plan  (CAMP) consistent with the findings as presented in the assessment of  corrective measures required under subdivision C 3 of this section, or proposal  for presumptive remedy described under subdivision C 2 of this section.
    a. Requirements. In preparing a proposed corrective action  plan, the owner or operator will consider the following evaluation factors: 
    (1) The long-term and short-term effectiveness and  protectiveness of the potential remedies, along with the degree of certainty  that the remedy will prove successful based on consideration of the following: 
    (a) Magnitude of reduction of existing risks; 
    (b) Magnitude of residual risks in terms of likelihood of  further releases due to waste remaining following implementation of a remedy; 
    (c) The type and degree of long-term management required,  including monitoring, operation, and maintenance; 
    (d) Short-term risks that might be posed to the community,  workers, or the environment during implementation of such a remedy, including  potential threats to human health and the environment associated with  excavation, transportation, and redisposal or containment; 
    (e) Time until full protection is achieved; 
    (f) Potential for exposure of humans and environmental  receptors to remaining wastes, considering the potential threat to human health  and the environment associated with excavation, transportation, re-disposal, or  containment; 
    (g) Long-term reliability of the engineering and institutional  controls; and 
    (h) Potential need for replacement of the remedy. 
    (2) The effectiveness of the remedy in controlling the source  to reduce further releases based on consideration of the following factors: 
    (a) The extent to which containment practices will reduce  further releases; 
    (b) The extent to which treatment technologies may be used; 
    (c) Magnitude of reduction of existing risks; and 
    (d) Time until full protection is achieved. 
    (3) The ease or difficulty of implementing a potential remedy  based on consideration of the following types of factors: 
    (a) Degree of difficulty associated with constructing the  technology; 
    (b) Expected operational reliability of the technologies; 
    (c) Need to coordinate with and obtain necessary approvals and  permits from other agencies; 
    (d) Availability of necessary equipment and specialists; and 
    (e) Available capacity and location of needed treatment,  storage, and disposal services. 
    (4) Practicable capability of the owner or operator, including  a consideration of the technical and economic capability. At a minimum the  owner or operator must consider capital costs, operation and maintenance costs,  net present value of capital and operation and maintenance costs, and potential  future remediation costs. 
    (5) Ensure that all solid wastes that are managed while  undergoing corrective action or an interim measure shall be managed in a  manner: 
    (a) That is protective of human health and the environment;  and 
    (b) That complies with all applicable federal and Virginia  requirements. 
    (6) The degree to which community concerns raised as the  result of the public meeting required by subdivision C 4 of this section are  addressed by the potential remedy. 
    b. Implementation and completion timeframes. The owner or  operator shall specify as part of the selected remedy a schedule for initiating  and completing remedial activities. Such a schedule shall require the  initiation of remedial activities within a reasonable period of time taking into  consideration the factors set forth in this section. The owner or operator  shall consider the following factors in determining the schedule of remedial  activities: 
    (1) Extent and nature Nature and extent of  contamination; 
    (2) Practical capabilities of remedial technologies in  achieving compliance with groundwater protection standards established under  9VAC20-81-250 A 6 and other objectives of the remedy; 
    (3) Availability of treatment or disposal capacity for wastes  managed during implementation of the remedy; 
    (4) Desirability of utilizing technologies that are not  currently available, but which may offer significant advantages over already  available technologies in terms of effectiveness, reliability, safety, or  ability to achieve remedial objectives; 
    (5) Potential risks to human health and the environment from  exposure to contamination prior to completion of the remedy; 
    (6) Resource value of the aquifer including: 
    (a) Current and future uses; 
    (b) Proximity and withdrawal rates of users; 
    (c) Groundwater quantity and quality; 
    (d) The potential damage to wildlife, crops, vegetation, and  physical structures caused by exposure to the waste constituents; 
    (e) The hydrological characteristics of the landfill and  surrounding land; 
    (f) Groundwater removal and treatment costs; and 
    (g) The cost and availability of alternate water supplies; 
    (7) Practical capability of the owner or operator; 
    (8) Timeframes for periodic progress reports during design,  construction, operation, and maintenance. Items to consider when preparing the  reports include but are not limited to: 
    (a) Progress of remedy implementation; 
    (b) Results of monitoring and sampling activities; 
    (c) Progress in meeting cleanup standards; 
    (d) Descriptions of remediation activities; 
    (e) Problems encountered during the reporting period and  actions taken to resolve problems; 
    (f) Work for next reporting period;
    (g) Copies of laboratory reports including drilling logs,  QA/QC documentation, and field data; and
    (9) Other relevant factors. 
    c. Corrective action monitoring program. Any groundwater  monitoring program to be employed during the corrective action process: 
    (1) Shall at a minimum, meet the requirements of the  applicable groundwater monitoring program described under 9VAC20-81-250 B 3 or  C 3; 
    (2) Shall determine the horizontal and vertical extent of the  plume of contamination for constituents at statistically significant levels  exceeding background concentrations; 
    (3) Can be used to demonstrate the effectiveness of the  implemented corrective action remedy; and 
    (4) Shall demonstrate compliance with the groundwater  protection standard established under 9VAC20-81-250 A 6. 
    2. The proposed corrective action plan shall be submitted to  the director for approval. Prior to rendering his approval, the director may: 
    a. Request an evaluation of one or more alternative remedies; 
    b Request technical modification of the monitoring program; 
    c. Request a change in the time schedule; or 
    d. Determine that the remediation of the release of Table 3.1  constituents is not necessary if the owner or operator demonstrates to the  satisfaction of the director that: 
    (1) The groundwater is additionally contaminated by substances  that have originated from a source other than the landfill in a demonstration  meeting the requirements of 9VAC20-81-250 A 5 and those substances are present  in concentrations such that cleanup of the release from the landfill would  provide no significant reduction in risk to actual or potential receptors;
    (2) The constituent is present in groundwater that is not  currently or reasonably expected to be a source of drinking water and not  hydraulically connected with waters to which the constituents are migrating or  are likely to migrate in a concentration that would exceed the groundwater  protection standards established;
    (3) Remediation of the release is technically impracticable;  or 
    (4) Remediation results in unacceptable cross-media impacts. 
    3. A determination by the director pursuant to subdivision 2 d  of this subsection shall not affect the authority of the state to require the  owner or operator to undertake source control measures or other measures that  may be necessary to eliminate or minimize further releases to the groundwater,  to prevent exposure to the groundwater, or to remediate the groundwater to  concentrations that are technically practicable and significantly reduce  threats to human health or the environment. 
    4. After an evaluation of the proposed or revised plan, the  director will: 
    a. Approve the proposed corrective action plan as written;
    b. Approve the proposed corrective action plan as modified by  the owner or operator;
    c. Proceed with the permit amendment modification  process in accordance with 9VAC20-81-600 F 2; or 
    d. Disapprove the proposed corrective action plan and undertake  appropriate containment or clean up actions in accordance with § 10.1-1402  (18) of the Virginia Waste Management Act. 
    E. Remedy implementation. Upon completion of the permit amendment  modification action described under subdivision D 4 c of this section,  the owner or operator shall: 
    1. Monitoring program. Implement a corrective action  groundwater monitoring program meeting the requirements of subdivision D 1 c of  this section;
    2. Remedy. Implement the remedy described in the Corrective  Action Plan and the Permit as amended under subdivision D 4 c of this section;  and 
    3. Interim measures. Take any interim measures necessary to  ensure the protection of human health and the environment as described in  subsection F of this section.
    F. Interim measures. 
    1. To the greatest extent practicable, interim measures shall  be consistent with the objectives of and contribute to the performance of any  remedy that may be required pursuant to meeting the groundwater protection  standard. 
    2. Should the director require interim measures pursuant to  this section, the director will notify the owner or operator of the necessary  actions required. Such actions will be implemented as soon as practicable in  accordance with a schedule as specified by the director. 
    3. The following factors shall be considered in determining  whether interim measures are necessary: 
    a. Timeframes. Time required to develop or implement a final  remedy; 
    b. Exposure. Actual or potential exposure of nearby  populations or environmental receptors to hazardous constituents; 
    c. Drinking water. Actual or potential contamination of  drinking water supplies; 
    d. Resource degradation. Further degradation of the  groundwater that may occur if remedial action is not initiated expeditiously; 
    e. Migration potential. Weather conditions that may cause the  constituents to migrate or be released; 
    f. Accident. Risks of fire or explosion, or potential for  exposure to constituents as a result of an accident or failure of a container  or handling system; and 
    g. Other. Situations including the presence of wastes or other  contaminants that may pose threats to human health, sensitive ecosystems, and  the environment. 
    G. Remedy performance. 
    1. The owner or operator shall provide an evaluation of the  performance of the remedy consistent with the timeframes established in the  permit and present the findings in a Corrective Action Site Evaluation report.  The evaluation shall describe the progress toward achieving the groundwater  protection standards since implementation of the remedy. 
    2. An owner or operator or the director may determine, based  on information developed after implementation of the remedy or other  information contained in the evaluation, that compliance with requirements of  subdivision H 1 of this section are not being achieved through the remedy  selected. In such cases, the owner or operator shall implement other methods or  techniques that could practicably achieve compliance with the requirements,  unless the owner or operator makes the determination under subdivision G 3 of  this section. 
    3. If the owner or operator determines that groundwater  protection standards cannot be practically achieved with any currently  available methods, the owner or operator shall, within 90 days of recognizing  that condition: 
    a. Submit a report, certified by a qualified groundwater  scientist, for director approval, that demonstrates that compliance with  groundwater protection standards established under 9VAC20-81-250 A 6 cannot be  practically achieved with any currently available groundwater remedial methods;  
    b. Upon receiving director approval under subdivision 2 a  3 a of this subsection, implement alternate measures to control exposure  of humans or the environment to residual contamination that will remain as a  result of termination of remedial actions, as necessary to protect human health  and the environment;
    c. Implement alternate measures for removal or decontamination  of any remediation-related equipment, units, devices, or structures that are: 
    (1) Technically practicable; and 
    (2) Consistent with the overall objective of the remedy; and
    d. At least 14 days prior to implementing the alternate  measures, Submit submit a request for approval to the director  describing and justifying the alternate measures to be applied. 
    H. Remedy completion.
    1. The groundwater remedy implemented under corrective action  shall be considered complete when: 
    a. The owner or operator complies with the groundwater  protection standards at all points within the plume of contamination that lie  at or beyond the disposal unit boundary by demonstrating that no Table 3.1  Column B constituents have exceeded groundwater protection standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards as described under 9VAC20-81-250 D; and
    b. All other actions required as part of the remedy have been  satisfied or completed, and the owner or operator obtains the certification  required under subdivision H 2 of this section. 
    2. Upon completion of the remedy, the owner or operator shall  notify the director within 14 days by submitting a certification that the  remedy has been completed in compliance with the requirements of the Corrective  Action Plan and the permit as amended modified under subdivision  D 4 c of this section. 
    3. The certification shall be signed by the owner or operator  and by a qualified groundwater scientist, and shall include all data relevant  to the demonstration of a successful remedy completion. 
    4. If the director, based on the review of information presented  under subdivision H 3 of this section, determines that:
    a. The corrective action remedy has been completed in  accordance with the requirements of the Corrective Action Plan, the permit as  amended, and subdivision H 1 of this section, the director will release the  owner or operator from the requirements for financial assurance for corrective  action under 9VAC20-70; or
    b. The remedy has not yet achieved completion, the owner or  operator shall remain in corrective action and meet the financial assurance requirements  until such time as a successful demonstration and certification can be made. 
    Part IV 
  Other Solid Waste Management Facility Standards: 
  Compost Facilities; Solid Waste Transfer Stations; Centralized Waste Treatment  Facilities; Materials Recovery Facilities; Waste to Energy; Incineration  Facilities; Surface Impoundments and Lagoons; Waste Piles; Remediation Waste  Management Units; Landfill Mining; Miscellaneous Units; and Exempt Management  Facilities
    9VAC20-81-300. General.
    A. Any person who designs, constructs, or operates any solid  waste treatment or storage facility not otherwise exempt under 9VAC20-81-35  D 9VAC20-81-95 shall comply with the requirements of this part. In  addition, this part sets forth conditions that yard waste composting facilities  must meet to maintain their exempt status, where applicable, under 9VAC20-81-95  D 6. Further, all applications pursuant to these standards shall demonstrate  specific means proposed for compliance with requirements set forth in this  part.
    B. All facilities, except exempted facilities, shall be  maintained and operated in accordance with the permit issued or permit-by-rule  status pursuant to this regulation. All facilities shall be maintained and  operated in accordance with the approved design and intended use of the  facility. 
    C. Hazardous wastes shall not be disposed or managed in  facilities subject to this regulation unless specified in the permit or by  specific approval of the executive director. 
    D. Solid waste management facilities regulated under this  part that place solid wastes or residues on site for disposal, or leave such  wastes or residues in place after closure, are subject to the provisions of  Part III (9VAC20-81-100 et seq.) of this chapter, including:
    1. Groundwater monitoring requirements in 9VAC20-81-250;
    2. Closure and postclosure care requirements in 9VAC20-81-160  and 9VAC20-81-170; and
    3. Permitting requirements of Part V (9VAC20-81-400 et seq.)  of this chapter.
    E. All other facilities shall close in accordance with the  closure plan prepared per the requirements described in this part and  9VAC20-81-480, as applicable.
    F. Control program for unauthorized waste. Facilities  managing solid waste per activities exempted under the provisions of  9VAC20-81-95 are not required to implement the control program for unauthorized  waste as provided in this section.
    1. Solid waste treatment or storage facilities regulated under  this part shall implement a control program for unauthorized waste in  accordance with the following provisions. The owner or operator of the facility  shall:
    a. Place a written description of the control program for  unauthorized waste in the facility's operating manual; 
    b. Institute a control program (including measures such as  signs at all maintained access points indicating hours of operation and the  types of solid waste accepted and not accepted, monitoring, alternate  collection programs, passage of local laws, etc.) to assure that only solid  waste authorized by the department to be managed at the solid waste management  facility is being managed there; and
    c. Develop and implement a program to teach the solid waste  management facility's staff to recognize, remove, and report receipt of solid  waste not authorized by the department to be managed at the solid waste  management facilities.
    2. If unauthorized waste is observed in the waste delivered to  the facility prior to unloading, the owner or operator may refuse to accept the  waste. If the unauthorized waste is observed in the waste delivered to the  facility, the owner or operator shall segregate it, notify the generator,  document the incident in the operating record, make necessary arrangements to  have the material managed in accordance with applicable federal and state laws,  and notify the department of the incident to include the means of proper  handling. If the unauthorized waste is accepted, the owner or operator shall  remove it, segregate it, and provide to the department a record identifying  that waste and its final disposition. Any unauthorized waste accepted by the  owner or operator shall be managed in accordance with applicable federal or  state laws and regulations. Unauthorized waste that has been segregated shall  be adequately secured and contained to prevent leakage or contamination to the  environment. The solid waste management facility owner or operator shall have  the unauthorized waste removed or properly managed as soon as practicable, but  not to exceed 90 days after discovery. Removal shall be by a person authorized  to transport such waste to a waste management facility approved to receive it  for treatment, disposal, or transfer.
    3. Owners or operators of waste to energy or incinerator  facilities receiving waste generated outside of Virginia shall also comply with  the increased random inspection provisions in 9VAC20-81-340 E 3.
    G. Solid waste management facilities regulated under this  part that store waste tires shall also adhere to the requirements of  9VAC20-81-640 for the waste tire storage. 
    9VAC20-81-397. Exempt yard waste composting facilities.
    A. Applicability.
    1. The standards in subsection B of this section apply to  persons who compost vegetative waste in a manner described in the conditional  exemption set forth at 9VAC20-81-95 D.
    2. The standards in subsection C of this section apply to  persons who operate small vegetative waste disposal units on their property.
    B. Composting of yard waste. Additional requirements for  managing conditionally exempt yard waste compost facilities, described under  9VAC20-81-95 D 6, are as follows: 
    1. Owners or operators of agricultural operational activities  that accept only yard waste generated offsite are exempt from all other  provisions of this chapter as applied to the composting activities provided  that:
    a. The total time for composting process and storage of  material that is being composted shall not exceed 18 months prior to its field  application or sale as a horticultural or agricultural product;
    b. No waste material other than yard waste is received;
    c. The total amount of yard waste received from offsite never  exceeds 6,000 cubic yards in any consecutive 12-month period;
    d. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;
    e. They pose no nuisance or present or potential threat to  human health or the environment; and
    f. Before receiving any waste, the owner submits a complete  DEQ Form YW-3:
    2. Owners or operators of agricultural operations that accept  only Category I yard waste feedstocks and manures from herbivorous  animals generated offsite are exempt from all other provisions of this chapter  as applied to the composting activities provided that:
    a. The composting area is located not less 300 feet from a  property boundary of a parcel owned or controlled by another person, is located  not less than 1,000 feet from an occupied dwelling not located on the same  property as the composting area, and is not located within an area designated  as a flood plain;
    b. The agricultural operation has at least one acre of ground  suitable to receive yard waste for each 150 cubic yards of finished compost;
    c. The total time for the composting process and storage of  material that is being composted or has been composted shall not exceed 18  months prior to the field application or sale as horticultural or agricultural  product;
    d. The owner or operator of any agricultural operation that  receives in any 12-month period (consecutive) more than 6,000 cubic yards of  waste generated from property not within the control of the owner or the  operator shall submit by April 1 each year to the director an annual report in  accordance with subdivision 4 of this subsection describing the volume and  types of yard waste received for composting by the operation between January 1  and December 31 of the preceding consecutive 12 months and shall certify that  the yard waste composting facility complies with local ordinances; 
    e. No waste material other than yard waste and manures from  herbivorous animals are received;
    f. The quantities of offsite manures from herbivorous animals  brought onsite are limited to achieve a carbon to nitrogen ratio of 25:1 to  40:1. All manures must be incorporated into the compost within 24 hours of  delivery. No offsite manures may be stored onsite; and
    g. Prior to the receipt of solid waste generated offsite, the  owner or operator of the agricultural operation intending to operate under this  exemption shall submit a complete DEQ Form YW-4.
    3. Owners or other persons authorized by the owner of real  property who receive only yard waste generated offsite for the purpose of  producing compost on said property shall be exempt from all requirements of  this chapter as applied to the composting activity provided that: 
    a. Not more than 500 cubic yards of yard waste generated  offsite is received at the owner's said property in any consecutive 12-month  period; 
    b. No compensation will be received, either directly or  indirectly, by the owner or other persons authorized by the owner of said  property from parties providing yard waste generated off said property; 
    c. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;  and 
    d. They pose no nuisance or present or potential threat to  human health or the environment.
    4. Owners or operators of an agricultural composting operation  in accordance with subdivision 2 of this subsection, who are exempt from the  permitting requirements in accordance with 9VAC20-81-95 D and who may receive  more than 6,000 cubic yards of yard waste generated from property not within  the control of the owner or operator in any 12-month period shall submit an  annual report on DEQ Form YW-2. The report shall describe the volume and  types of yard waste received for composting. Completion and filing of the form  by July 15 April 1 for activities in the preceding 12 months  (January 1 through December 31) constitutes compliance with the requirements.  The annual report shall be submitted on DEQ Form YW-2.
    C. Small disposal units for vegetative wastes from land  clearing. Additional requirements for managing small disposal units for  vegetative waste from land clearing as exempted under 9VAC20-81-95 D 17 are as  follows:
    Owners of real property who operate small waste disposal  units that qualify under all the conditions of this subsection shall be exempt  from other provisions, including permitting, of this chapter as applied to  those units provided:
    1. No person other than the owner of the real property shall  be exempt under this section.
    2. All owners of the real property who hold title to property  at the time the disposal unit is initially opened or during the time the unit  remains open (limited to two calendar years below) shall, in the exercise of  this exemption, accept responsibility for maintaining compliance of the unit  with all requirements of this chapter as set out in this exemption.
    3. The owner agrees that he shall not sell, give, or otherwise  transfer the responsibility for the unit's compliance to any other party  throughout its active life, the postclosure care period, and the corrective  action period, and that he shall remain the principal party responsible for the  compliance of the unit with this chapter. 
    4. Only units that are in compliance with all requirements of  this section shall qualify, and units that are not in compliance with all  requirements of this section shall not qualify or shall cease to qualify. Units  that qualify for this exemption shall comply with the following requirements:
    a. Only vegetative waste or yard waste shall be placed in the  disposal unit; however, grass trimmings or bulk leaves shall not be placed in  the disposal unit.
    b. The waste disposal unit shall not be larger than 0.50 acres  in size.
    c. The waste disposal unit shall not be located within 1,000  feet of any other waste disposal unit of any type, including other disposal  units exempted by this chapter.
    d. The waste disposal unit shall not be located within 150  feet of any existing building or planned building. The waste disposal unit  shall not be located within 50 feet of any existing or planned subdivision lot  that may be used for the erection of a building.
    e. The waste disposal unit shall not be located within 100  feet of a flowing stream; body of water; any well, spring, sinkhole, or  unstable geologic feature. Also, it shall not be located within 200 feet of any  groundwater source of drinking water.
    f. The waste disposal unit shall be constructed to separate  all waste by at least two feet vertically from the seasonal high water table.
    g. The waste disposal unit should not obstruct the scenic view  from any public road and should be graded to present a good appearance.
    h. Mounding of the waste disposal unit shall not reach an  elevation more than 20 feet above the original elevation of the terrain before  the disposal began. The elevation of the original terrain should be based on  the general area and not the bottom of ravines and small depressions in the  disposal area.
    i. The waste received by the waste disposal unit shall be  limited to the following:
    (1) Waste generated onsite;
    (2) Waste generated by clearing the path of a roadway or  appurtenances to the roadway when buried within the right-of-way of the roadway  (waste shall not be buried in the structural roadway prism) or adjacent land  under a permanent easement and the terms of the easement incorporate the  construction of the disposal unit; and
    (3) Waste from property that is owned by the owner of the  disposal unit, within the same construction project, and generated not more  than two miles from the unit.
    j. The waste disposal unit shall be closed two calendar years  from the date it first receives waste. The closure shall include cover with two  feet of compacted soil, grading for good appearance with slopes that prevent  erosion, and seeding or revegetation. During the life of the unit, earthen material  should be applied periodically to prevent excessive subsidence of the waste  disposal unit when closed. Sides of the finished unit shall be sloped to  prevent erosion, and slopes shall not be steeper than one vertical foot to  three horizontal feet.
    k. The location plat and legal description, as set out in  subdivision 4 p of this subsection, of all units that are not located wholly  within the bed or right-of-way of a public road shall be recorded in the deed  book for the property in the court of record prior to the first receipt of  waste. Waste disposal shall not be allowed within the structural roadway prism.
    l. The owner shall maintain continuous control of access to  all disposal units from the time they are opened until they are closed in  accordance with this section. The owner shall prevent fires and provide standby  equipment and supplies sufficient to easily suppress a fire. Brush and small  limbs that might provide tinder for a fire shall be covered at the end of the  work day with one foot of soil.
    m. The owner shall not be exempt from the CDD landfill  groundwater monitoring and corrective action requirements of 9VAC20-81-250 and  9VAC20-81-260, respectively, to include required monitoring during the  postclosure period.
    n. The owner shall not be exempt from the decomposition gas  monitoring and venting requirements of 9VAC20-81-210. The owner of a small  waste disposal unit shall comply in all respects with the decomposition gas  monitoring and venting requirements as established in this chapter.
    o. The owner shall not be exempt from any requirement of the  Financial Assurance Regulations For Solid Waste Disposal Facilities,  (9VAC20-70), and shall comply with all financial assurance requirements.
    p. At least six weeks before beginning construction of a  vegetative waste disposal unit, the owner of the real property shall notify in  writing the director, the governing board of the city, county, or town wherein  the property lies, and all property owners whose parcel will abut the area of  the proposed disposal unit. The notice shall give the names and legal addresses  of the owners, the type of unit to be developed, and the projected date of  initial construction of the unit. The owner shall include a plat and legal  description of the disposal unit's metes and bounds prepared and stamped by a  Virginia licensed land surveyor. The plat and description shall follow all  standard practice such as inclusion of the nearest existing intersection of  state roads and existing fixed survey markers in the vicinity.
    q. Unless otherwise designated, all monitoring and reporting  requirements shall begin at the initiation of the disposal operations and all  reports shall be sent to the department and the chief executive of the local  government. 
    9VAC20-81-470. Part B permit application for solid waste l  disposal facilities.
    Part B permit application requirements for all solid waste  disposal facilities regulated under Part III (9VAC20-81-100 et seq.) are  contained in this section. The Part B applications shall include the following  requirements and documentation: 
    A. Plans submitted as part of the Part B application shall  include the following: 
    1. Design plans. Design plans shall be certified by a  professional engineer and shall consist of, at least, the following: 
    a. A title sheet indicating the project title, who prepared  the plans, the person for whom the plans were prepared, a table of contents,  and a location map showing the location of the site and the area to be served. 
    b. An existing site conditions plans sheet indicating site  conditions prior to development. 
    c. A base grade plan sheet indicating site base grades or the  appearance of the site if it were excavated in its entirety to the base  elevation, before installation of any engineering modifications or the  beginning of any filing. 
    d. An engineering modification plan sheet indicating the  appearance of the site after installation of engineering modifications. More  than one plan sheet may be required for complicated sites. This plan is  required only for those sites with engineering modifications. 
    e. A final site topography plan sheet indicating the  appearance of the site, and final contours of the site at closing including the  details necessary to prepare the site for long-term care. 
    f. A series of phasing plan sheets showing the progression of  site development through time. At a minimum, a separate plan shall be provided  for initial site preparations and for each subsequent major phase or new area  where substantial site preparation must be performed. Each such plan shall  include a list of construction items and quantities necessary to prepare the  phase indicated. 
    g. A site monitoring plan showing the location of all devices  for the monitoring of leachate production, groundwater quality, and gas  production and venting. This plan shall include a table indicating the  parameters to be monitored for the frequency of monitoring before and during  site development. The groundwater monitoring plan shall include information as  applicable under 9VAC20-81-250 or 9VAC20-81-260. 
    h. A series of site cross-sections shall be drawn  perpendicular and parallel to the site base line at a maximum distance of 500  feet between cross-sections and at points of grade break and important  construction features. The location of the cross-sections shall be shown on the  plan sheets and the section labeled using the site grid system. Where  applicable, each cross-section shall show existing, proposed base and final  grades; soil borings and monitoring wells that the section passes through or is  adjacent to; soil types, bedrock and water table; leachate control, collection,  and monitoring systems; limits of filling for each major waste type; drainage  control structures; access roads and ramps on the site parameter perimeter  and within the active fill area; the filling sequence or phases; and other site  features. 
    i. Detailed drawings and typical sections for drainage control  structures, access roads, fencing, leachate and gas control systems, and  monitoring devices, buildings, signs, and other construction details. 
    j. Plan sheets shall include: 
    (1) A survey grid with base lines and bench marks to be used  for field control. 
    (2) Limits of filling for each major waste type or fill area. 
    (3) All drainage patterns and surface water drainage control  structures both within the actual fill area and at the site perimeter. Such  structures may include berms, ditches, sedimentation basins, pumps, sumps,  culverts, pipes, inlets, velocity breaks, sodding, erosion matting, or other  methods of erosion control. 
    (4) Ground surface contours at the time represented by the  drawing. Spot elevations shall be indicated for key features. 
    (5) Areas to be cleared and grubbed and stripped of topsoil. 
    (6) Borrow areas for liner materials, gas venting materials,  berms, roadway construction, daily cover, and final cover. 
    (7) All soil stockpiles including daily and final cover,  topsoil, liner materials, gas venting materials, and other excavation. 
    (8) Access roads and traffic flow patterns to and within the  active fill area. 
    (9) All temporary and permanent fencing. 
    (10) The methods of screening such as berms, vegetation, or  special fencing. 
    (11) Leachate collection, control, storage, and treatment  systems that may include pipes, manholes, trenches, berms, collection sumps,  storage units, pumps, risers, liners, and liner splices. 
    (12) Gas, leachate, and groundwater monitoring devices and  systems. 
    (13) Severe weather solid waste disposal areas. 
    (14) Support buildings, scale, utilities, gates, and signs. 
    (15) Special waste handling areas. 
    (16) Construction notes and references to details. 
    (17) Other site features. 
    2. Closure plan. A detailed closure plan be prepared and  submitted. Such a plan shall be prepared in two parts, one reflecting those  measures to be accomplished at the midpoint of the permit period, and the other  when the useful life of the landfill is reached. The plan shall show how the  facility will be closed to meet the requirements of 9VAC20-81-160 and  9VAC20-81-170. The plan shall include the procedures to be followed in closing  the site, sequence of closure, time schedules, final plans of completion of  closure to include final contours, and long-term care plan sheets showing the  site at the completion of closing and indicating those items anticipated to be  performed during the period of long-term care for the site. The plans shall  include a table listing the items and the anticipated schedule for monitoring  and maintenance. In many instances this information can be presented on the  final site topography sheet. 
    3. Postclosure plan. A postclosure care plan containing  long-term care information including a discussion of the procedures to be  utilized for the inspection and maintenance of: run-off control structures;  settlement; erosion damage; gas and leachate control facilities; monitoring for  gas, leachate, and groundwater; and other long-term care needs. 
    B. A design report shall be submitted, which shall include  supplemental discussions and design calculations, to facilitate department  review and provide supplemental information including the following  information: 
    1. The design report shall identify the project title;  engineering consultants; site owner, permittee and operator; proposed permitted  acreage; hours of operation; wastes to be accepted; site life; design capacity;  and the daily disposal limit. It shall also identify any variances desired by  the applicant.
    2. A discussion of the basis for the design of the major  features of the site, such as traffic routing, base grade and relationships to  subsurface conditions, anticipated waste types and characteristics, phases  development, liner design, leachate management system design, facility  monitoring, and similar design features shall be provided. A list of the  conditions of site development as stated in the department determination of  site feasibility and the measures taken to meet the conditions shall be  included. A discussion of all calculations, such as refuse-cover balance  computations, stockpile sizing estimates, estimate of site life, and run-off  and leachate volume estimates shall be included. The calculations shall be  summarized with the detailed equations presented in an appendix.
    3. Specifications, including detailed instructions to the site  operator for all aspects of site construction.
    a. Initial site preparations including specifications for  clearing and grubbing, topsoil stripping, other excavations, berm construction,  drainage control structures, leachate collection system, access roads and  entrance, screening, fencing, groundwater monitoring, and other special design  features.
    b. A plan for initial site preparation including a discussion  of the field measurements, photographs to be taken, sampling and testing  procedures to be utilized to verify that the in-field conditions encountered  were the same as those defined in the feasibility report, and to document that  the site was constructed according to the engineering plans and specifications  submitted for department approval.
    C. Financial assurance documentation. When required by the  Financial Assurance Regulations of Solid Waste Disposal, Transfer, and  Treatment Facilities (9VAC20-70), the applicant shall provide the completed  documentation to demonstrate compliance with those regulations; proof of  financial responsibility must be for the entity identified in accordance with  9VAC20-81-450 B 10.
    D. DEQ Form SW PTB (Part B Permit Application Form). The  applicant shall submit a completed DEQ Form SW PTB.
    9VAC20-81-485. Operations manual requirements for solid waste  management facilities.
    A. Solid waste disposal facilities. An operations manual  shall be prepared and maintained in the operating record. The operations manual  shall include a certification page signed by a responsible official. This  signature shall certify the manual meets the requirements of this chapter. This  manual shall be reviewed and recertified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements, and shall be made available for review by the department upon  request. The operations manual for disposal facility operation shall contain at  least the following plans: 
    1. An operations plan that at a minimum includes:
    a. Explanation of how the design and construction plans will  be implemented from the initial phase of operation until closure;
    b. Municipalities, industries, and collection and  transportation agencies served; 
    c. Waste types and quantities to be disposed; 
    d. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the operational requirements  of Part III (9VAC20-81-100 et seq.) of this chapter are achieved. References to  specifications on the plan sheet shall be pointed out as well as additional  instructions included, where appropriate. At a minimum, the plan specifications  shall include: 
    (1) Daily operations including a discussion of the timetable  for development, waste types accepted or excluded, inspection of incoming  waste, typical waste handling techniques, hours of operation, traffic routing,  drainage and erosion control, windy, wet and cold weather operations, fire  protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, direction of  filling, salvaging, recordkeeping, parking for visitors and employees,  monitoring, maintenance, closure of filled areas, gas and leachate control  methods, backup equipment with names and telephone numbers where equipment may  be obtained, and other special design features; 
    (2) Development of subsequent phases; and 
    (3) Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan. 
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part III (9VAC20-81-100 et seq.) of this chapter. 
    b. The frequency of inspection based on the rate of potential  equipment deterioration or malfunction and the probability of an adverse  incident occurring if the deterioration or malfunction goes undetected between  inspections. The plan shall establish the minimum frequencies for inspections  required in 9VAC20-81-140. This plan shall identify areas of the facility  subject to spills such as loading and unloading areas and areas in which  significant adverse environmental or health consequences may result if  breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the requirements of  9VAC20-81-140.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses, and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates. 
    6. A landscaping plan that shall:
    a. Delineate existing site vegetation to be retained;
    b. Discuss methods to be employed in order to ensure protection  of vegetation to be retained during the clearing, grading and construction  phases of the project and the supplemental vegetation to be planted; and 
    c. Information relating to vegetation type, location and  purpose, such as for buffer, screening or aesthetics, and schedules for  planting, shall accompany the plan. 
    B. Other solid waste management facilities. An operations  manual shall be prepared and maintained in the operating record. The Operations  Manual shall include a certification page signed by a responsible official.  This signature shall certify the manual meets the requirements of this chapter.  This manual shall be reviewed and re-certified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements and shall be made available to the department upon request. The  manual for facility operation shall contain at least the following plans:
    1. An operations plan that at a minimum includes:
    a. An explanation of how the design and construction plans  will be implemented from the initial phase of operation until closure.
    b. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the applicable operational  requirements of Part IV (9VAC20-81-300 et seq.) are achieved. Daily operations  including a discussion of the timetable for development, waste types accepted  or excluded, typical waste handling techniques, hours of operation, traffic  routing, drainage and erosion control, windy, wet and cold weather operations,  fire protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, salvaging,  record keeping, parking for visitors and employees, monitoring, backup equipment  with names and telephone numbers where equipment may be obtained, and other  special design features. The daily operations section of the operations manual  may be developed as a removable section to improve accessibility for the site  operator. 
    c. Development of subsequent phases of the facility, if  applicable.
    d. Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan.
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part IV (9VAC20-81-300 et seq.) of this chapter. 
    b. The frequency of inspection shall be based on the rate of  potential equipment deterioration or malfunction and the probability of an  adverse incident occurring if the deterioration or malfunction goes undetected  between inspections. The plan shall establish the minimum frequencies for  inspections required in 9VAC20-81-140 9VAC20-81-340. This plan  shall identify areas of the facility subject to spills such as loading and  unloading areas and areas in which significant adverse environmental or health  consequences may result if breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the applicable  requirements of 9VAC20-81-340.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates.
    9VAC20-81-490. Effect of the permit.
    A. A completed permit for a solid waste management facility  shall be prepared at the conclusion of the procedures outlined in  9VAC20-81-450. The permit shall be prepared in detail to establish the  construction requirements, monitoring requirements, operating limitations or  guides, waste limitations if any, and any other details essential to the  operation and maintenance of the facility and its closure. Before receipt of  waste by the facility, the applicant must: 
    1. Notify the department, in writing, that construction has been  completed; and submit to the department a letter from a professional engineer  certifying that the facilities have been completed in accordance with the  approved plans and specifications and is ready to begin operation. This  certification letter is in addition to the CQA certification required in  9VAC20-81-130 Q 3 and must be provided by a different individual than the CQA  certification. This certification letter is typically provided by the design  engineer. 
    2. Arrange for a department representative to inspect the site  and confirm that the site is ready for operation. 
    B. Certificate-to-Operate (CTO). Following review of a  complete CQA certification and site inspection the department shall issue a CTO  authorizing the facility to begin receiving waste. The facility shall not  receive waste until a CTO has been issued by the department. 
    C. Inspections. Each facility permitted to accept solid waste  requires periodic inspection and review of records and reports. Such  requirements shall be set forth in the final permit issued by the department.  The permit applicant by accepting the permit, agrees to the specified periodic  inspections. 
    D. Compliance with a valid permit during its term constitutes  compliance, for purposes of enforcement, with the Virginia Waste Management  Act. However, a permit may be modified, revoked and reissued, or revoked for  cause as set forth in 9VAC20-81-570 and 9VAC20-81-600. 
    E. The issuance of a permit does not convey any property  rights of any sort, or any exclusive privilege. 
    F. The issuance of a permit does not authorize any injury to  persons or property or invasion of other private rights, or any infringement of  federal, Commonwealth, or local law or regulations. 
    G. A permit may be transferred by the permittee to a new  owner or operator only if the permit has been revoked and reissued, or a minor  modification made to identify the new permittee and incorporate such other  requirements as may be necessary. Upon presentation of the financial assurance  proof required by 9VAC20-70 by the new owner, the department will release the  old owner from his closure and financial responsibilities and acknowledge  existence of the new or modified permit in the name of the new owner. 
    H. This section provides for the approval of permits or  permit modifications that include a time allowance for the permittee to achieve  the new standards contained in the approved permit or permit modification.
    1. The permit may specify a schedule of compliance leading to  compliance with this chapter. 
    a. Any schedules of compliance under this subsection shall  require compliance as soon as possible. 
    b. Except as otherwise provided, if a permit establishes a  schedule of compliance that exceeds one year from the date of permit issuance,  the schedule shall set forth interim requirements and the dates for their  achievement. 
    (1) The time between interim dates shall not exceed one year;  and 
    (2) If the time necessary for completion of any interim  requirement is more than one year and is not readily divisible into stages of  completion, the permit shall specify interim dates for the submission of  reports of progress toward completion of the interim requirements and indicate  a projected completion date. 
    c. The permit shall be written to require that no later than  14 days following each interim date and the final date of compliance, a  permittee shall notify the department, in writing, of his compliance or  noncompliance with the interim or final requirements. 
    2. A permit applicant or permittee may cease conducting  regulated activities (by receiving a terminal volume of solid waste, and, in  case of treatment or storage facilities, closing pursuant to applicable  requirements, or, in case of disposal facilities, closing and conducting  postclosure care pursuant to applicable requirements) rather than continue to  operate and meet permit requirements as follows: 
    a. If the permittee decides to cease conducting regulated  activities at a specified time for a permit that has already been issued: 
    (1) The permit may be modified to contain a new or additional  schedule leading to timely cessation of activities; or 
    (2) The permittee shall cease conducting permitted activities  before noncompliance with any interim or final compliance schedule requirement  already specified in the permit. 
    b. If the decision to cease conducting regulated activities is  made before the issuance of a permit whose terms will include the termination  date, the permit shall contain a schedule leading to termination that will  ensure timely compliance with applicable requirements. 
    c. If the permittee is undecided whether to cease conducting  regulated activities, the director may issue or modify a permit to continue two  schedules as follows: 
    (1) Both schedules shall contain an identical interim deadline  requiring a final decision on whether to cease conducting regulated activities  no later than a date that ensures sufficient time to comply with applicable  requirements in a timely manner if the decision is to continue conducting  regulated activities; 
    (2) One schedule shall lead to timely compliance with  applicable requirements; 
    (3) The second schedule shall lead to cessation of regulated  activities by a date that will ensure timely compliance with applicable  requirements; and
    (4) Each permit containing two schedules shall include a  requirement that, after the permittee has made a final decision, he shall  follow the schedule leading to compliance if the decision is to continue  conducting regulated activities, and follow the schedule leading to termination  if the decision is to cease conducting regulated activities. 
    d. The applicant's decisions to cease conducting regulated  activities shall be evidenced by a firm public commitment satisfactory to the  department, such as a resolution of the board of directors of a corporation.
    9VAC20-81-530. Recording and reporting required of a permitee  permittee.
    A. A permit shall specify: 
    1. Required monitoring, including type, intervals and  frequency, sufficient to yield data that are representative of the monitored  activity; 
    2. Requirements concerning the proper use, maintenance, and  installation of monitoring equipment or methods, including biological  monitoring methods when appropriate; and
    3. Applicable reporting requirements based upon the impact of  the regulated activity and as specified in this chapter. 
    B. A permittee shall be subject to the following whenever  monitoring is required by the permit: 
    1. The permittee shall retain records at the permitted  facility or another location approved by the department. Records shall include  all records required by the facility permit, these regulations, or other  applicable regulations. Records of all required monitoring information,  including all calibration and maintenance records will be maintained for at  least three years from the sample or measurement date. The director may request  that this period be extended. For operating landfills, records of the most  recent gas and groundwater monitoring event will be maintained at the facility.  
    2. Records of monitoring information shall include: 
    a. The date, exact place, and time of sampling or  measurements; 
    b. The individuals who performed the sampling or measurements;  
    c. The dates analyses were performed; 
    d. The individuals who performed the analyses; 
    e. The analytical techniques or methods used; and 
    f. The results of such analyses. 
    3. Required monitoring results shall be maintained on file for  inspection by the department. 
    C. A permittee shall be subject to the following reporting  requirements: 
    1. Written notice of any planned physical alterations to the  permitted facility shall be submitted to the department and approved before  such alterations are to occur, unless such items were included in the plans and  specifications approved by the department.
    2. Reports of compliance or noncompliance with, or any  progress reports on, interim and final requirements contained in any compliance  schedule of the permit, shall be submitted no later than 14 days following each  schedule date. 
    3. The permittee shall report to the department any  noncompliance or unusual condition that may endanger health or environment. Any  information shall be provided orally within 24 hours from the time the  permittee becomes aware of the circumstances. A written submission shall also  be provided within five days of the time the permittee becomes aware of the  circumstances. The written submission shall contain a description of the  circumstances and its cause; the period of occurrence, including exact dates  and times, and, if the circumstance has not been corrected, the anticipated time  it is expected to continue. It shall also contain steps taken or planned to  reduce, eliminate, and prevent reoccurrence of the circumstances resulting in  an unusual condition or noncompliance. 
    D. Copies of all reports required by the permit, and records  of all data used to complete the permit application must be retained by the  permittee for at least three years from the date of the report or application.  The director may request that this period be extended. 
    E. When the permittee becomes aware that he failed to submit  any relevant facts or submitted incorrect information in a permit application  or in any report to the director, he shall promptly submit such omitted facts  or the correct information with an explanation.
    9VAC20-81-600. Modification of permits.
    A. Permits may be modified at the request of any interested  person or upon the director's initiative. However, permits may only be modified  for the reasons specified in subsections E and F of this section. All requests  shall be in writing and shall contain facts or reasons supporting the request.  Any permit modification authorizing expansion of an existing sanitary landfill  shall incorporate the conditions required for a disposal capacity guarantee in  § 10.1-1408.1 P of the Code of Virginia. This provision does not apply to  permit applications from one or more political subdivisions that will only  accept waste from within those political subdivisions' jurisdiction or  municipal solid waste generated within other political subdivisions pursuant to  an interjurisdictional agreement. 
    B. If the director decides the request is not justified, he  shall send the requester a response providing justification for the decision. 
    C. If the director tentatively decides to modify, he shall  prepare a draft permit incorporating the proposed changes. The director may  request additional information and may require the submission of an updated  permit application. In a permit modification under subsection E of this  section, only those conditions to be modified shall be reopened when a new  draft permit is prepared. All other aspects of the existing permit shall remain  in effect. During any modification proceeding the permittee shall comply with  all conditions of the existing permit until the modified permit is issued. 
    D. When the director receives any information, he may  determine whether or not one or more of the causes listed for modification  exist. If cause exists, the director may modify the permit on his own  initiative subject to the limitations of subsection E of this section and may  request an updated application if necessary. If a permit modification satisfies  the criteria in subsection F of this section for minor modifications, the  permit may be modified without a draft permit or public review. Otherwise, a  draft permit shall be prepared and other appropriate procedures followed. 
    E. Causes for modification. The director may modify a permit  upon his own initiative or at the request of a third party: 
    1. When there are material and substantial alterations or  additions to the permitted facility or activity that occurred after permit  issuance that justify the application of permit conditions that are different  or absent in the existing permit; 
    2. When there is found to be a possibility of pollution  causing significant adverse effects on the air, land, surface water, or  groundwater; 
    3. When an investigation has shown the need for additional  equipment, construction, procedures and testing to ensure the protection of the  public health and the environment from adverse effects; 
    4. If the director has received information pertaining to  circumstances or conditions existing at the time the permit was issued that was  not included in the administrative record and would have justified the  application of different permit conditions, the permit may be modified  accordingly if in the judgment of the director such modification is necessary  to prevent significant adverse effects on public health or the environment; 
    5. When the standards or regulations on which the permit was  based have been changed by promulgation of amended standards or regulations or  by judicial decision after the permit was issued; 
    6. When the director determines good cause exists for  modification of a compliance schedule, such as an act of God, strike, flood, or  material shortage or other events over which the permittee has little or no  control and for which there is no reasonably available remedy; 
    7. When a modification of a closure plan is required under  9VAC20-81-160 or 9VAC20-81-360 and the permittee has failed to submit a permit  modification request within the specified period; 
    8. When the corrective action program specified in the permit  under 9VAC20-81-260 has not brought the facility into compliance with the  groundwater protection standard within a reasonable period of time; or 
    9. When cause exists for revocation under 9VAC20-81-570 and  the director determines that a modification is more appropriate. 
    F. Permit modification at the request of the permittee. 
           |      TABLE 5.2     PERMIT MODIFICATIONS      |    
       |      MAJOR      |          1. Implementation of a groundwater corrective action program    as required by 9VAC20-81-260      |    
       |      2. Change in the remedy applied as part of the groundwater    corrective action program      |    
       |      3. Groundwater monitoring plan for an existing facility    where no written plan has previously been provided      |    
       |      4. Changes to the design of final closure cover      |    
       |      5. Landfill mining      |    
       |      6. Reduction in the postclosure care period      |    
       |      7. Changes in postclosure use of the property with    disturbance of cover      |    
       |      8. All new or modifications of a leachate collection tank or    a leachate collection surface impoundment      |    
       |      9. Addition of new landfill units      |    
       |      10. Expansion or increase in capacity      |    
       |      11. Increase in daily disposal limit      |    
       |      12. Addition or modification of a liner, leachate collection    system, leachate detection system      |    
       |      13. Incorporation or modification of a Research,    Development, and Demonstration Plan       |    
       |      MINOR      |          Any change not specified as    major modification (above) or a permittee change (below)      |    
       |      PERMITTEE CHANGE      |          1. Correction of typographical errors      |    
       |      2. Equipment replacement or upgrade with functionally    equivalent components      |    
       |      3. Replacement of an existing leachate tank with a tank that    meets the same design standards and has a capacity within +/-10% of the    replaced tank      |    
       |      4. Replacement with functionally equivalent, upgrade, or    relocation of emergency equipment      |    
       |      5. Changes in name, address, or phone number of contact    personnel      |    
       |      6. Replacement of an existing well that has been damaged or    rendered nonoperable, without change to location, design, or depth of the    well      |    
       |      7. Changes to the expected year of final closure, where    other permit conditions are not changed      |    
       |      8. Changes in postclosure use of the property, without    disturbance of the cover      |    
       |      9. Modification of a leachate tank management practice      |    
  
    1. Permittee change. Items listed under Permittee Change in  Table 5.2 may be implemented without approval of the department. If a permittee  changes such an item, the permittee shall: 
    a. Notify the department of the change at least 14 calendar  days before the change is put into effect, indicating the affected permit  conditions; and
    b. Notify the governing body of the county, city, or town in  which the facility is located, within 90 calendar days after the change is put  into effect.
    2. Minor modifications. 
    a. Minor modifications apply to minor changes that keep the  permit current with routine changes to the facility or its operation. These  changes do not substantially alter the permit conditions or reduce the capacity  of the facility to protect human health or the environment.
    b. Minor modifications may be requested for changes that will  result in a facility being more protective of human health and the environment  or equivalent to the standards contained in this chapter, unless otherwise  noted in Table 5.2. The request for such a minor permit modification will be  accompanied by a description of the desired change and an explanation of the  manner in which the health and environment will be protected in a greater  degree than required by the chapter.
    c. Minor permit modifications may be made only with the prior  written approval of the department. The permittee shall notify the department  that a minor modification is being requested. Notification of the department  shall be provided by certified mail or other means that establish proof of  delivery. This notice shall specify the changes being made to permit conditions  or supporting documents referenced by the permit and shall  include an  explanation of why they are necessary. Along with the notice, the permittee  shall provide the applicable information required by 9VAC20-81-460 and  9VAC20-81-470 or as required by 9VAC20-81-480.
    d. The permittee shall send a notice of the modification to  the governing body of the county, city or town in which the facility is  located. This notification shall be made within 90 days after the department  approves the request. 
    3. Major modifications. 
    a. Major modifications substantially alter the facility or its  operation. Major modifications are listed in Table 5.2. 
    b. The permittee shall submit a modification request to the  department that: 
    (1) Describes the exact change to be made to the permit  conditions and supporting documents referenced by the permit; 
    (2) Identifies that the alteration is a major modification; 
    (3) Contains an explanation of why the modification is needed;  and
    (4) Provides the applicable information required by  9VAC20-81-460 and 9VAC20-81-470 or as required by 9VAC20-81-480. 
    c. No later than 90 days after receipt of the notification  request, the director will determine whether the information submitted under  subdivision  3 b (4) of this subsection is adequate to formulate a  decision. If found to be inadequate, the permittee will be requested to furnish  additional information within 30 days of the request by the director to complete  the modification request record. The 30-day period may be extended at the  request of the applicant. After the completion of the record, the director will  either: 
    (1) Approve the modification request, with or without changes,  and draft a permit modification accordingly;
    (2) Deny the request; or 
    (3) Approve the request, with or without changes, as a  temporary authorization having a term of up to 180 days in accordance with  subdivision 3 of this subsection. 
    d. If the director proposes to approve the permit  modification, he will proceed with the permit issuance in accordance with  9VAC20-81-450 E. 
    e. The director may deny or change the terms of a major permit  modification request under subdivision  F 3 b of this section for the  following reasons: 
    (1) The modification request is incomplete; 
    (2) The requested modification does not comply with the  appropriate requirements of Part III (9VAC20-81-100 et seq.) or Part IV  (9VAC20-81-300 et seq.) of this chapter or other applicable requirements; or 
    (3) The conditions of the modification fail to protect human  health and the environment. 
    4. Temporary authorizations. 
    a. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of subdivision  4 of this subsection.  Temporary authorizations shall have a term of not more than 180 days. 
    b. (1) The permittee may request a temporary authorization for  any major modification that meets the criteria in subdivision 4 c (2) (a) or  (b) of this subsection; or that meets the criteria in subdivision 4 c (2) (c)  and (d) of this subsection and provides improved management or treatment of a  solid waste already listed in the facility permit. 
    (2) The temporary authorization request shall include: 
    (a) A description of the activities to be conducted under the  temporary authorization; 
    (b) An explanation of why the temporary authorization is  necessary; and 
    (c) Sufficient information to ensure compliance with Part III  (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et seq.) standards. 
    (3) The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven days of submission of the authorization  request. 
    c. The director shall approve or deny the temporary  authorization as quickly as practical. To issue a temporary authorization, the  director shall find: 
    (1) The authorized activities are in compliance with the  standards of Part III (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et  seq.) of this chapter. 
    (2) The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an modification  request: 
    (a) To facilitate timely implementation of closure or  corrective action activities; 
    (b) To prevent disruption of ongoing waste management  activities; 
    (c) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (d) To facilitate other changes to protect human health and  the environment. 
    d. A temporary authorization may be reissued for one  additional term of up to 180 days provided that the permittee has requested a  major permit modification for the activity covered in the temporary  authorization, and the director determines that the reissued temporary  authorization involving a major permit modification request is warranted to  allow the authorized activities to continue while the modification procedures  of subdivision 2 3 of this subsection are conducted. 
    5. The director's decision to grant or deny a permit  modification request under subdivision of this subsection may be appealed under  the case decision provisions of the Virginia Administrative Process Act  (§ 2.2-4000 et seq. of the Code of Virginia). 
    6. Newly defined or identified wastes. The permitted facility  is authorized to continue to manage wastes defined or identified as solid waste  under 9VAC20-81-95 if: 
    a. It was in existence as a solid waste management facility  with respect to the newly defined or identified solid waste on the effective  date of the final rule defining or identifying the waste; and 
    b. It is in compliance with the standards of Part III  (9VAC20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, submits a minor modification request  on or before the date on which the waste becomes subject to the new  requirements; or 
    c. It is not in compliance with the standards of Part III  (9VAC 20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, also submits a complete permit  modification request within 180 days after the effective date of the definition  or identifying the waste. 
    7. Research, development and demonstration plans. Research,  development and demonstration (RDD) plans may be submitted for sanitary  landfills that meet the applicability requirements. These plans shall be  submitted as a major permit modification application for existing sanitary  landfills or as a part of the Part B application for new sanitary landfills.
    a. Applicability.
    (1) RDD shall be restricted to permitted sanitary landfills  designed with a composite liner system, as required by 9VAC20-81-130 J 1. The  effectiveness of the liner system and leachate collection system shall be  demonstrated in the plan and shall be assessed at the end of the testing period  in order to compare the effectiveness of the systems to the start of the RDD  testing period.
    (2) Operating permitted sanitary landfills that have exceeded  groundwater protection standards at statistically significant levels in  accordance with 9VAC20-81-250 B, from any waste unit on site shall have  implemented a remedy in accordance with 9VAC20-81-260 C prior to the RDD plan  submittal. Operating permitted sanitary landfills that have an exceedance in  the concentration of methane gas migrating from the landfill in accordance with  9VAC20-81-200 shall have a gas control system in place per 9VAC20-81-200 B  prior to the RDD plan submittal. 
    (3) An owner or operator of a sanitary landfill that disposes  of 20 tons of municipal solid waste per day or less, based on annual average,  may not apply for a modification to include a RDD plan.
    (4) The sanitary landfill shall have a leachate collection  system designed and constructed to maintain less than a 30 cm depth of leachate  on the liner.
    b. Requirements.
    (1) RDD Plans may be submitted for activities such as:
    (a) The addition of liquids in addition to leachate and gas  condensate from the same landfill for accelerated decomposition of the waste  mass; prior to the RDD Plan submittal.
    (b) Allowing run-on water to flow into the landfill waste  mass; and
    (c) Allowing testing of the construction and infiltration  performance of alternative final cover systems. An RDD plan may be proposed  for; and
    (d) For other measures to be taken to enhance  stabilization of the waste mass.
    (2) No landfill owner or operator may continue to implement an  RDD plan beyond any time limit placed in the initial plan approval or any  renewal without issuance of written prior approval by the department.  Justification for renewals shall be based upon information in annual and final  reports as well as research and findings in technical literature.
    (3) RDD plans may not include changes to the approved design  and construction of subgrade preparation, liner system, leachate collection and  removal systems, final cover system, gas and leachate systems outside the  limits of waste, run-off controls, run-on controls, or environmental monitoring  systems exterior to the waste mass.
    (4) Implementation of an approved RDD plan shall comply with  the specific conditions of the RDD Plan as approved in the permit for the  initial testing period and any renewal.
    (5) Structures and features exterior to the waste mass or  waste final grades shall be removed at the end of the testing period, unless  otherwise approved by the department in writing.
    (6) The RDD plan may propose an alternate final cover  installation schedule.
    c. An RDD plan shall include the following details and  specifications. Processes other than adding liquids to the waste mass and  leachate recirculation may be practiced in conjunction with the RDD plan.
    (1) Initial applications for RDD plans shall be submitted for  review and approval prior to the initiation of the process to be tested. These  plans shall specify the process that will be tested, describe preparation and  operation of the process, describe waste types and characteristics that the  process will affect, describe desired changes and end points that the process  is intended to achieve, define testing methods and observations of the process  or waste mass that are necessary to assess effectiveness of the process, and  include technical literature references and research that support use of the  process. The plans shall specify the time period for which the process will be  tested. The plans shall specify the additional information, operating  experience, data generation, or technical developments that the process to be  tested is expected to generate. 
    (2) The test period for the initial application shall be  limited to a maximum of three years.
    (3) Renewals of testing periods shall be limited to a maximum  of three years each. The maximum number of renewals shall be limited to three.
    (4) Renewals shall require department review and approval of  reports of performance and progress on achievement of goals specified in the  RDD plan.
    (5) RDD Plans for addition of liquids, in addition to leachate  and gas condensate from the same landfill, for accelerated decomposition of the  waste mass and/or for allowing run-on water to flow into the landfill waste  mass shall demonstrate that there is no increased risk to human health and the  environment. The following minimum performance criteria shall be demonstrated.
    (a) Risk of contamination to groundwater or surface water will  not be greater than the risk without an approved RDD plan.
    (b) Stability analysis demonstrating the physical stability of  the landfill.
    (c) Landfill gas collection and control in accordance with  applicable Clean Air Act requirements (i.e., Title V, NSPS or EG rule, etc.).
    (d) For RDD plans that include the addition of offsite  nonhazardous waste liquids to the landfill, the following information shall be  submitted with the RDD plan: 
    (i) Demonstration of adequate facility liquid storage volume  to receive the offsite liquid;
    (ii) A list of proposed characteristics for screening the  accepted liquids is developed; and
    (iii) The quantity and quality of the liquids are compatible  with the RDD plan. 
    If offsite nonhazardous liquids are certified by the offsite  generator as stormwater uncontaminated by solid waste, screening is not  required for this liquid.
    (6) RDD plans for testing of the construction and infiltration  performance of alternative final cover systems shall demonstrate that there is  no increased risk to human health and the environment. The proposed final cover  system shall be as protective as the final cover system required by  9VAC20-81-160 D. The following minimum performance criteria shall be  demonstrated:
    (a) No build up of excess liquid in the waste and on the  landfill liner;
    (b) Stability analysis demonstrating the physical stability of  the landfill; 
    (c) No moisture will escape from the landfill to the surface  water or groundwater; and
    (d) Sufficient reduction in infiltration so that there will be  no leakage of leachate from the landfill.
    (7) RDD plans that evaluate introduction of liquids in  addition to leachate or gas condensate from the same landfill shall propose  measures to be integrated with any approved leachate recirculation plan and  compliance with requirements for leachate recirculation.
    (8) RDD plans shall include a description of warning symptoms  and failure thresholds that will be used to initiate investigation, stand-by,  termination, and changes to the process and any other landfill systems that  might be affected by the process, such as gas extraction and leachate  recirculation. Warning symptoms shall result in a reduction or suspension of liquids  addition, leachate recirculation, investigation, and changes to be implemented  before resuming the process being tested. Failure thresholds shall result in  termination of the process being tested, investigation, and changes that will  be submitted to the department for review and approval in writing prior to  resumption of the process being tested.
    (9) RDD plans shall include an assessment of the manner in  which the process to be tested might alter the impact that the landfill may  have on human health or environmental quality. The assessment shall include  both beneficial and deleterious effects that could result from the process.
    (10) RDD plans shall include a geotechnical stability analysis  of the waste mass and an assessment of the changes that the implementation of  the plan are expected to achieve. The geotechnical stability analysis and  assessment shall be repeated at the end of testing period, with alteration as  needed to include parameters and parameter values derived from field  measurements. The plan shall define relevant parameters and techniques for  field measurement.
    (11) RDD plans shall propose monitoring parameters,  frequencies, test methods, instrumentation, recordkeeping and reporting to the  department for purposes of tracking and verifying goals of the process selected  for testing.
    (12) RDD plans shall propose monitoring techniques and  instrumentation for potential movements of waste mass and settlement of waste  mass, including proposed time intervals and instrumentation, pertinent to the  process selected for testing. 
    (13) RDD plans shall propose construction documentation,  construction quality control and construction quality assurance measures, and  recordkeeping for construction and equipment installation that is part of the  process selected for testing. 
    (14) RDD plans shall propose operating practices and controls,  staffing, monitoring parameters, and equipment needed to support operations of  the process selected for testing. 
    (15) RDD plans that include aeration of the waste mass shall  include a temperature monitoring plan, a fire drill and safety program,  instructions for use of liquids for control of temperature and fires in the  waste mass, and instructions for investigation and repair of damage to the  liner and leachate collection system. 
    (16) RDD plans may include an alternate interim cover system  and final cover installation schedule. The interim cover system shall be  designed to account for weather conditions, slope stability, and leachate and  gas generation. The interim cover shall also control, at a minimum, disease  vectors, fires, odors, blowing litter, and scavenging.
    d. Reporting. An annual report shall be prepared for each year  of the RDD testing period, including any renewal periods, and a final report  shall be prepared for the end of the testing period. These reports shall assess  the attainment of goals proposed for the process selected for testing,  recommend changes, recommend further work, and summarize problems and their  resolution. Reports shall include a summary of all monitoring data, testing  data and observations of process or effects and shall include recommendations  for continuance or termination of the process selected for testing. Annual  reports shall be submitted to the department within three months after the  anniversary date of the approved permit or permit modification. Final reports  shall be submitted at least 90 days prior to the end of the testing period for  evaluation by the department. The department shall review this report within 90  days. If the department's evaluation indicates that the goals of the project  have been met, are reliable and predictable, the department will provide a  minor permit modification to incorporate the continued operation of the project  with the appropriate monitoring.
    e. Termination. The department may require modifications to or  immediate termination of the RDD process being tested if any of the following  conditions occur:
    (1) Significant and persistent odors;
    (2) Significant leachate seeps or surface exposure of  leachate;
    (3) Significant leachate head on the liner;
    (4) Excessively acidic leachate chemistry or gas production  rates or other monitoring data indicate poor waste decomposition conditions;
    (5) Instability in the waste mass; or 
    (6) Other persistent and deleterious effects.
    The RDD program is an optional participation program, by  accepting the modification or new permit, the applicant acknowledges that the  program is optional; and that they are aware the department may provide  suspension or termination of the RDD program for any reasonable cause, without  a public hearing. Notice of suspension or termination will be by letter for a  cause related to a technical problem, nuisance problem, or for protection of  human health or the environment as determined by the department.
    G. Facility siting. The suitability of the facility location  will not be considered at the time of permit modification unless new  information or standards indicate that an endangerment to human health or the  environment exists which was unknown at the time of permit issuance or the  modification is for an expansion or increase in capacity. 
    Part I 
  Definitions 
    9VAC20-85-10. Definitions as established in Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.). 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations 9VAC20-80-10 et seq., 9VAC20-81,  are incorporated by reference. 
    9VAC20-85-40. Applicability. 
    A. This chapter applies to all persons who use, reuse, or  reclaim fossil fuel combustion products by applying them to or placing them on  land in a manner other than addressed in 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations, 9VAC20-80-150 and 9VAC20-80-160. 9VAC20-80-150  9VAC20-81-95 provides for the beneficial use of waste materials such as  fossil fuel combustion products, and 9VAC20-80-160 provides for  conditional exemptions from regulation for fossil fuel combustion products. 
    B. This chapter establishes minimum standards for the owners  or operators of coal mining facilities that accept CCB for mine reclamation or  mine refuse disposal on a mine site permitted by the Virginia Department of  Mines, Minerals and Energy (DMME) unless otherwise exempt under 9VAC20-80-160  B 9VAC20-81-95 D 18 of the Solid Waste Management Regulations. If  the permit issued by the DMME in accordance with the Virginia Surface Mining  Regulations, 4VAC25-130-700.1 et seq., specifies the applicable conditions set  forth in Parts III and IV of this chapter, the permittee is exempt from this  chapter. 
    C. Conditions of applicability are as follows: 
    1. Persons using fossil fuel combustion products other than in  a manner prescribed under this chapter, or managing fossil fuel combustion  products containing any constituent at a level exceeding levels set forth in  Table 1 in Part IV of this chapter, shall manage their waste in accordance with  all applicable provisions of the Virginia Solid Waste Management  Regulations, 9VAC20-80 9VAC20-81; 
    2. Materials which are accumulated speculatively, materials  which are not utilized in a manner described in the operation plan required by  9VAC20-85-90 of this chapter, and off-specification materials which cannot be  utilized or reprocessed to make them usable shall be managed in accordance with  all appropriate provisions of the Virginia Solid Waste Management Regulations,  9VAC20-80 9VAC20-81; and 
    3. Storage, stockpiling, and other processing or handling of  fossil fuel combustion products, which may need to occur prior to their final  placement or use, reuse, or reclamation, shall be in a manner necessary to protect  human health and safety and the environment. For projects permitted by the  DMME, the storage, stockpiling, or handling of CCB shall be managed in  accordance with the Virginia Surface Mining Regulations, 4VAC25-130-700.1 et  seq. 
    9VAC20-85-50. Relationship to other regulations. 
    This chapter does not affect the Virginia Solid Waste  Management Regulations, 9VAC20-80-10 et seq. 9VAC20-81, or other  pertinent regulations of the department or other agencies of the Commonwealth,  except that persons subject to and in compliance with this chapter are exempt  from the Virginia Solid Waste Management Regulations and the Financial  Assurance Regulations for Solid Waste Facilities, 9VAC20-70-10 et seq. 9VAC20-70,  for those activities covered by this chapter. 
    9VAC20-85-60. Enforcement and appeals. 
    A. All administrative enforcement and appeals taken from  actions of the department relative to the provisions of this chapter shall be  governed by the Virginia Administrative Process Act (§ 2.2-4000 et seq. of the  Code of Virginia). 
    B. The owner or operator of the fossil fuel combustion  products site who violates any provision of this chapter will be considered to  be operating an unpermitted facility as provided for in 9VAC20-80-90 9VAC20-81-40  of the Solid Waste Management Regulations and shall be required to either  obtain a permit as required by Part VII V or close under Part V  III of this chapter 9VAC20-81. 
    C. The requirement to obtain a permit or to close the project  shall not preclude additional action for remediation or enforcement, including  (without limitations) the assessment of civil charges or civil penalties, as is  otherwise authorized by law. 
    Article 3 
  Operations 
    9VAC20-85-90. Operations. 
    The owner or operator of a fossil fuel combustion products  site shall prepare an operation plan. At a minimum, the plan shall address the  requirements contained in this section. 
    1. Tracking of mud or fossil fuel combustion products onto  public roads from the site shall be controlled at all times to minimize  nuisances. 
    2. The addition of any solid waste including but not limited  to hazardous, infectious, construction, debris, demolition, industrial,  petroleum-contaminated soil, or municipal solid waste to fossil fuel combustion  products is prohibited. This prohibition does not apply to solid wastes from  the extraction, beneficiation and processing of ores and minerals conditionally  exempted under 9VAC20-80-160 A 2 9VAC20-81-95 E 3 of the Solid  Waste Management Regulations. 
    3. Fugitive dust shall be controlled at the site so it does  not constitute nuisances or hazards. 
    4. After preparing the subbase, fossil fuel combustion  products shall be placed uniformly and compacted to standards, including insitu  density, compaction effort and relative density as specified by a registered  professional engineer based on the intended use of the fossil fuel combustion  products. The placement and compaction of CCB on coal mine sites shall be  subject to the applicable requirements of the Coal Surface Mining Reclamation  Regulations, 4VAC25-130-700.1 et seq. 
    5. A surface run on and runoff control program shall be  implemented to control and reduce the infiltration of surface water through the  fossil fuel combustion products and to control the runoff from the placement  area to other areas and to surface waters. 
    6. Runoff shall not be permitted to drain or discharge into  surface waters except when in accordance with 9VAC25-10-10 et seq., of the  State Water Control Board, or otherwise approved by the department. 
    7. Fossil fuel combustion products site development shall be  in accordance with the Virginia Erosion and Sediment Control Regulations,  4VAC50-30, or the Coal Surface Mining Reclamation Regulations, 4VAC25-130-700.1  et seq., as applicable. 
    Part IV 
  Administrative Requirements 
    9VAC20-85-150. General. 
    A. Notwithstanding any provisions of Part VII V  of the Virginia Solid Waste Management Regulations, 9VAC20-80 9VAC20-81,  the owner or operator of a site which manages only fossil fuel combustion  products allowed under 9VAC20-85-40 shall not be required to have a solid waste  management facility permit, neither must a fossil fuel combustion products  facility operator certified by the Board for Waste Management Facility  Operators directly supervise operations at the site, if the owner or operator at  least 30 days prior to initial placement of fossil fuel combustion products  provides to the appropriate department regional office and verifies receipt of:  
    1. A certification that it has legal control over the fossil  fuel combustion products site for the project life and the closure period. For  the purposes of this section, on a coal mine site permitted by the DMME,  demonstration of legal right to enter and begin surface coal mining and  reclamation operations shall constitute compliance with the provisions of this  section. 
    2. A certification from the governing body of the county,  city, or town in which the fossil fuel combustion products site is to be  located that the location and operation of the fossil fuel combustion products  site are consistent with all applicable ordinances, with the exception of  projects permitted by the DMME. 
    3. A general description of the intended use, reuse, or  reclamation of fossil fuel combustion products. Such description will include: 
    a. A description of the nature, purpose and location of the  fossil fuel combustion products site, including a topographic map showing the  site area and available soils, and geological maps. The description shall  include an explanation of how fossil fuel combustion products will be stored  prior to use, reuse or reclamation, if applicable; 
    b. The estimated beginning and ending dates for the operation;  
    c. An estimate of the volume of the fossil fuel combustion  products to be utilized; and 
    d. A description of the proposed type of fossil fuel combustion  products to be used, reused or reclaimed, including physical and chemical  characteristics of the fossil fuel combustion products. The chemical  description shall contain the results of TCLP analyses for the constituents  shown in Table 1. The description shall also contain a statement that the  project will not manage fossil fuel combustion products that contain any  constituent at a level exceeding those shown in the table. 
           |      TABLE 1.      LIST OF CONSTITUENTS AND MAXIMUM LEVELS.      |    
       |      Constituent      |          Level, mg/lit      |    
       |      Arsenic      |          5.0      |    
       |      Barium      |          100      |    
       |      Cadmium      |          1.0      |    
       |      Chromium      |          5.0      |    
       |      Lead      |          5.0      |    
       |      Mercury      |          0.2      |    
       |      Selenium      |          1.0      |    
       |      Silver      |          5.0      |    
  
    4. A certification by a professional engineer licensed to  practice by the Commonwealth that the project meets the locational restrictions  of 9VAC20-85-70. Such certificate shall contain no qualifications or exemptions  from the requirements. 
    5. A certificate signed by a professional engineer licensed to  practice by the Commonwealth that the project has been designed in accordance  with the standards of 9VAC20-85-80 if applicable. Such certificate shall  contain no qualifications or exceptions from the requirements and plans. 
    6. An operational plan describing how the standards of  9VAC20-85-90 will be met. 
    7. A closure plan describing how the standards of Article 4 of  Part III of this chapter will be met, if applicable. 
    8. A signed statement that the owner or operator shall allow  authorized representatives of the Commonwealth, upon presentation of  appropriate credentials, to have access to areas in which the activities  covered by this chapter will be, are being, or have been conducted to ensure  compliance. 
    B. The materials submitted under the provisions of subsection  A of this section will be evaluated for completeness within 30 days of receipt  by the appropriate department regional office. If the department notifies the  applicant of deficiencies within 30 days, the applicant shall postpone any  construction or activities proposed in the application for the department's  approval until the department's approval has been received. If the applicant  has not received a notice of deficiency within 30 days, the applicant can  proceed. 
    9VAC20-85-180. Administrative procedures. 
    The administrative procedures associated with the submission  of the variance petition, its processing and resolution will be accomplished in  accordance with the requirements of 9VAC20-80-790 Part VII  (9VAC20-81-700 et seq.) of the Solid Waste Management Regulations. 
    Part I 
  Definitions 
    9VAC20-120-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise.  Chapter 14 (§ 10.1-1400 et seq.) of Title 10.1 of the Code of Virginia defines  words and terms that supplement those in this chapter. The Virginia  Solid Waste Management Regulations, 9VAC20-80 9VAC20-81, define  additional words and terms that supplement those in the statutes and this  chapter. When the statutes, as cited, and the solid waste management  regulations, as cited, conflict, the definitions of the statutes are  controlling. 
    "Act" or "regulations" means the federal  or state law or regulation last cited in the context, unless otherwise  indicated. 
    "Alternative treatment method" means a method for  the treatment of regulated medical waste that is not incineration or steam  sterilization (autoclaving). 
    "Approved sanitary sewer system" means a network of  sewers serving a facility that has been approved in writing by the Virginia  Department of Health, including affiliated local health departments. Such sewer  systems may be approved septic tank/drainfield systems and on-site treatment  systems, or they may be a part of a collection system served by an NPDES  permitted treatment works. 
    "Associated" means two or more firms that share  staff members, management, directors, and assets or engage in joint ventures.  Holding companies and part owners are associated parties. 
    "Ash" means the residual waste material produced  from an incineration process or any combustion. 
    "ASTM" means the American Society For Testing and  Materials. 
    "Autoclave tape" means tape that changes color or  becomes striped when subjected to temperatures that will provide sterilization  of materials during treatment in an autoclave or similar device. 
    "Blood" means human blood, human blood components,  and products made from human blood. 
    "Board" means the Virginia Waste Management Board. 
    "Body fluids" means liquid emanating or derived  from humans including blood; cerebrospinal, synovial, pleural, peritoneal and  pericardial fluids; semen and vaginal secretions; amniotic fluid; urine; saliva  in dental procedures; and any other body fluids that are contaminated with  blood, and any other liquids emanating from humans that may be mixed or  combined with body fluids. 
    "Closure" means the act of securing a regulated  medical waste management facility pursuant to the requirements of these  regulations. 
    "Closure plan" means the plan for closure prepared  in accordance with the requirements of this chapter. 
    "Commonwealth" means the Commonwealth of Virginia. 
    "Container" means any portable enclosure in which a  material is stored, transported, treated, or otherwise handled. 
    "Contaminated" means the presence or the reasonably  anticipated presence of blood or other body fluids on an item or surface. 
    "Contingency plan" means a document setting out an  organized, planned and coordinated course of action to be followed in the event  of a fire, explosion, or release of regulated medical waste or regulated  medical waste constituents that could threaten human health or the environment.  
    "CWA" means the Clean Water Act (formerly referred  to as the Federal Water Pollution Control Act), 33 USC § 1251 et seq.; PL  92-500, PL 93-207, PL 93-243, PL 93-592, PL 94-238, PL 94-273, PL 94-558, PL  95-217, PL 95-576, PL 96-148, PL 96-478, PL 96-483, PL 96-510, PL 96-561, PL  97-35, PL 97-117, PL 97-164, PL 97-216, PL 97-272, PL 97-440, PL 98-45, PL  100-4, PL 100-202, PL 100-404, and PL 100-668. 
    "Decontamination" means the use of physical or  chemical means to remove, inactivate, or destroy human pathogens on a surface  or item to the point where they are no longer capable of transmitting disease  and the surface or item is rendered safe for handling, use, or disposal. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. 
    "Discard" means to throw away or reject. When a  material is soiled, contaminated or no longer usable and it is placed in a  waste receptacle for disposal or treatment prior to disposal, it is considered  discarded. 
    "Discharge" or "waste discharge" means  the accidental or intentional spilling, leaking, pumping, pouring, emitting,  emptying, or dumping of regulated medical waste into or on any land or state  waters. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters, including  ground waters. 
    "Disposal facility" means a facility or part of a  facility at which solid waste is intentionally placed into or on any land or  water, and at which the solid waste will remain after closure. 
    "Domestic sewage" means untreated sanitary wastes  that pass through a sewer system. 
    "Empty" means wastes have been removed from a  container using the practices commonly employed to remove materials of that  type. 
    "EPA" means the U.S. Environmental Protection  Agency. 
    "Etiologic agents" means the specific organisms  defined to be etiologic agents in 42 CFR 72.3. In general, etiologic agents as  defined in 42 CFR 72.1 means a viable microorganism or its toxin which causes  or may cause human disease. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Generate" means to cause waste to become subject  to regulation. When regulated medical waste is first discarded, it must be  appropriately packaged in accordance with this regulation. At the point a  regulated medical waste is discarded it has been generated. 
    Note: Timeframes associated with storage and refrigeration  are no longer linked to the "date of generation." 
    "Generator" means any person, by site location,  whose act or process produces regulated medical waste identified or listed in  Part III (9VAC20-120-80 et seq.) of this chapter or whose act first causes a  regulated medical waste to become subject to this chapter. 
    "Hazardous material" means a substance or material  that has been so designated under 49 Parts CFR 171 and 173. 
    "Hazardous waste" means any solid waste defined as  a "hazardous waste" by the Virginia Hazardous Waste Management  Regulations. 
    "Health Care Professional" means a medical doctor  or nurse practicing under a license issued by the Department of Health  Professions. 
    "Highly leak resistant" means that leaks will not  occur in the container even if the container receives severe abuse and stress,  but remains substantially intact. 
    "Highly puncture resistant" means that punctures  will not penetrate the container even if the container receives severe abuse  and stress, but remains substantially intact. 
    "Motor vehicle" means a vehicle, machine, roll off  container, tractor, trailer, or semi-trailer, or any combination of them,  propelled or drawn by mechanical power and used in transportation or designed  for such use. 
    "Nonstationary health care providers" means those  persons who routinely provide health care at locations that change each day or  frequently. This term includes traveling doctors, nurses, midwives, and others  providing care in patients' homes, first aid providers operating from emergency  vehicles, and mobile blood service collection stations. 
    "NPDES" or "National Pollutant Discharge  Elimination System" means the national program for issuing, modifying,  revoking, reissuing, terminating, monitoring, and enforcing permits pursuant to  §§ 307, 402, 318, and 405 of the Clean Water Act. The term includes any state  or interstate program that has been approved by the Administrator of the United  States Environmental Protection Agency. 
    "Off-site" means any site that does not meet the  definition of on-site as defined in this part, including areas of a facility  that are not on geographically contiguous property or outside of the boundary  of the site. 
    "On-site" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same person  but connected by a right-of-way that he controls and to which the public does  not have access are also considered on-site property. 
    "Owner" means the person or persons who own a  regulated medical waste management facility or part of a regulated medical  waste management facility. 
    "Package" or "outside package" means a  package plus its contents. 
    "Packaging" means the assembly of one or more  containers and any other components necessary to assure compliance with minimum  packaging requirements under VRGTHM or this chapter. 
    "Permit by rule" means provisions of this chapter  stating that a facility or activity is deemed to have a permit if it meets the  requirements of the provision. 
    "Permitted waste management facility" or  "permitted facility" means a regulated medical waste treatment or  storage facility that has received a permit in accordance with the requirements  of the chapter. 
    "Physical construction" means excavation, movement  of earth, erection of forms or structures, the purchase of equipment, or any  other activity involving the actual preparation of the regulated medical waste management  facility. 
    "Processing" means preparation, treatment, or  conversion of regulated medical waste by a series of actions, changes, or  functions that bring about a decided result. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act (42 USC § 6901 et  seq.), the Hazardous and Solid Waste Amendments of 1984, and any other  applicable amendments to these laws. 
    "Regulated medical waste" means solid wastes  defined to be regulated medical wastes in Part III (9VAC20-120-80 et seq.) of  this chapter. 
    "Regulated medical waste management" means the  systematic administration of activities that provide for the collection, source  separation, storage, transportation, transfer, processing, treatment, and  disposal of regulated medical wastes whether or not such facility is associated  with facilities generating such wastes or otherwise. 
    "Regulated medical waste management facility" means  a solid waste management facility that manages regulated medical waste. 
    "Safe sharps program" means a program supported by  a city, county, town or public authority that is intended to enhance the safe  disposal of sharps discarded by private individuals. 
    "Sanitary sewer system" means a system for the  collection and transport of sewage, the construction of which was approved by  the Department of Health or other appropriate authority. 
    "Secondary container" means a storage device into  which a container can be placed for the purpose of containing any leakage from  the original container. 
    "Section" means a subpart of this chapter and when  referred to all portions of that part apply. 
    "Sharps" means needles, scalpels, knives, syringes  with attached needles, pasteur pipettes and similar items having a point or  sharp edge or that are likely to break during transportation and result in a  point or sharp edge. 
    "Shipment" means the movement or quantity conveyed  by a transporter of a regulated medical waste between a generator and a  designated facility or a subsequent transporter. 
    "Site" means the land or water area upon which a  facility or activity is physically located or conducted, including but not  limited to adjacent land used for utility systems such as repair, storage,  shipping, or processing areas, or other areas incident to the controlled facility  or activity. 
    "Solid waste" means any garbage, refuse, sludge and  other discarded material, including solid, liquid, semisolid or contained  gaseous material, resulting from industrial, commercial, mining and agriculture  operations, or community activities, but does not include (i) solid or  dissolved material in domestic sewage, (ii) solid or dissolved material in  irrigation return flows or in industrial discharges which are sources subject  to a permit from the State Water Control Board, or (iii) source, special  nuclear, or by-product material as defined by the Federal Atomic Energy Act of  1954, as amended 42 USC §§ 2011-2284. The definition of solid waste is further  clarified in the Virginia Solid Waste Management Regulations (9VAC20-80-140)  (9VAC20-81-95). 
    "Solid waste management" means the collection,  source separation, storage, transportation, transfer, processing, treatment,  and disposal of solid wastes or resource recovery. 
    "Spill" means any accidental or unpermitted  discharge, leaking, pumping, pouring, emitting, or dumping of wastes or  materials that, when spilled, become wastes. 
    "Start-up" or "cold start-up" means the  beginning of a combustion operation from a condition where the combustor unit  is not operating and less than 140°F in all areas. 
    "Storage" means the holding, including during  transportation, of more than 200 gallons of waste, at the end of which the  regulated medical waste is treated or stored elsewhere. 
    "Training" means formal instruction, supplementing  an employee's existing job knowledge, designed to protect human health and the  environment via attendance and successful completion of a course of instruction  in regulated medical waste management procedures, including contingency plan  implementation, relevant to those operations connected with the employee's  position at the facility. 
    "Transfer facility" means any transportation  related facility including loading docks, parking areas, storage areas, and  other similar areas where shipments of regulated medical waste are held during  the normal course of transportation. 
    "Transportation" or "transport" means the  movement of regulated medical waste by air, rail, highway, or water. 
    "Transport vehicle" means any vehicle used for the  transportation of cargo. 
    "Vector" means a living animal, insect or other  arthropod that may transmits an infectious disease from one organism to  another. 
    "VRGTHM" means Virginia Regulations Governing the  Transportation of Hazardous Materials promulgated by the Virginia Waste  Management Board as authorized by §§ 10.1-1450 through 10.1-1454 of the Code of  Virginia. 
    "Waste management facility" means all contiguous  land and structures, other appurtenances, and improvements on them used for  treating, storing, or disposing of waste. 
    "Waste management unit" means any unit at a  treatment or storage facility that possesses a permit, or that has received  regulated medical waste (as defined in this chapter) at any time, including  units that are not currently active. 
    9VAC20-120-70. Relationship to other bodies of regulation. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  address other requirements for regulated medical waste management. Any  regulated medical waste management facility must also conform to any applicable  sections of the solid waste management regulations issued by the board and any  special solid waste management regulations such as those defining financial  assurance requirements. If there is a conflict between the details of  regulations here and the others, this chapter is controlling. 
    B. Regulated medical waste management facility must also  comply with any applicable sections of the Hazardous Waste Management  Regulations (9VAC20-60) issued by the department. If there is a conflict  between the details of regulations here and the hazardous waste management  regulations, the latter regulations are controlling. 
    C. Intrastate shipment of hazardous materials is subject to  the Regulations Governing the Transportation of Hazardous Materials  (9VAC20-110) of the department. If there is a conflict between the details of  regulations here and the hazardous materials transportation regulations, the  latter are controlling. 
    D. Generators of regulated medical waste and regulated  medical waste management facilities may be subject to the general industry  standard for occupational exposure to bloodborne pathogens in  16VAC25-90-1910.1030 (29 CFR 1910.1030). 
    E. Persons transporting regulated medical waste are subject  to the federal hazardous material transportation requirements in 49 CFR 171  through 178. 
    F. If there is a conflict between the regulations here and  adopted regulations of another agency of the Commonwealth, the provisions of  these regulations are set aside to the extent necessary to allow compliance  with the regulations of the other agency. If neither regulation controls, the  more stringent standard applies. 
    G. Nothing here either precludes or enables a local governing  body to adopt ordinances. Compliance with one body of regulation does not  insure compliance with the other, and, normally, both bodies of regulation must  be complied with fully. 
    9VAC20-120-100. Recycled materials. 
    A. Untreated regulated medical wastes shall not be used,  reused, or reclaimed. 
    B. Wastes that have been treated in accord with these  regulations are no longer regulated medical waste and may be used, reused, or  reclaimed in accordance with the provisions of the Virginia Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81). 
    C. Bed linen, instruments, medical care equipment and other  materials that are routinely reused for their original purpose are not subject  to these regulations until they are discarded and are a solid waste. These  items do not include reusable carts or other devices used in the management of  regulated medical waste (see 9VAC20-120-260). 
    Article 6 
  Treatment and Disposal 
    9VAC20-120-300. Methods of treatment and disposal. 
    A. All regulated medical waste must be incinerated,  sterilized by steam, or treated by a method as described in Part VII  (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.), or IX (9VAC20-120-630  et seq.) of this chapter. 
    B. No regulated medical waste shall be disposed of in a solid  waste landfill or other solid waste management facility. Upon authorized  treatment and management in accord with this chapter, the solid waste or its  ash is not regulated medical waste and may be disposed of at any landfill or  other solid waste management facility permitted to receive municipal solid  waste or garbage, provided the disposal is in accordance with the Solid Waste  Management Regulations, 9VAC20-80 9VAC20-81, and other applicable  regulations and standards. 
    C. Regulated medical waste in closed bags or containers shall  not be compacted or subjected to violent mechanical stress; however, after it  is fully treated and it is no longer regulated medical waste, it may be  compacted in a closed container. Nothing in this section shall prevent the  puncturing of containers or packaging immediately prior to permitted treatment  in which grinding, shredding, or puncturing is integral to the process units;  however, all grinding, shredding and puncturing shall be done with safe and  sanitary methods. Nothing in this section shall prevent the use of devices that  grind, shred or compact to reduce volume at the point of generation. Devices  will be constructed in a manner that prevents employee exposure to the waste,  contains any aerosol or mist that may be caused by the process, and treats or  filters any air evacuated from the chamber during processing. These devices may  be employed at the point of generation and prior to enclosing the regulated  medical waste in plastic bags and other required packaging; however, the waste  remains regulated medical waste. Appropriate means must be employed to  appropriately protect workers and contain the waste when unloading regulated  medical wastes from such a device. 
    9VAC20-120-540. Analysis and management of the ash product;  procedure; results and records; disposition of ash; ash storage. 
    A. Once every eight hours of operation of a continuously fed  incinerator and once every batch or 24 hours of operation of a batch fed  incinerator, a representative sample of 250 milliliters of the bottom ash shall  be collected from the ash discharge or the ash discharge conveyer. Samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous Waste  Management Regulations for determining if a solid waste is a hazardous waste.  Also, the sample shall be tested for total organic carbon content. 
    At incinerators equipped with air pollution control devices  that remove and collect incinerator emissions control ash or dust, this ash  shall be held separately and not mixed with bottom ash. Once every eight hours  of operation of a continuously fed incinerator and once every batch or 24 hours  of operation of a batch fed incinerator, a representative sample of 250  milliliters of the air pollution control ash or dust shall be collected from  the pollution control ash discharge. Air pollution control ash or dust samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous  Waste Management Regulations for determining if a waste is a hazardous waste. 
    B. A log shall document the ash sampling, to include the date  and time of each sample collected; the date, time and identification number of  each composite sample; and the results of the analyses, including laboratory  identification. Results of analyses must be returned from the laboratory and  recorded within four weeks following collection of the composite sample. The  results and records described in this part shall be maintained for a period of  three years, and shall be available for review. 
    C. If a waste ash is found to be hazardous waste (based on a  sample and a confirmation sample) the waste ash shall be disposed of as a  hazardous waste in accord with the Virginia Hazardous Waste Management  Regulations. If ash is found not to be hazardous waste by analysis, it may be  disposed of in a solid waste landfill that is permitted to receive garbage,  municipal solid waste or incinerator ash, provided the disposal is in  accordance with the Solid Waste Management Regulations, 9VAC20-80 9VAC20-81.  If the ash is found to be hazardous waste, the operator shall notify the  Director of the Department of Environmental Quality within 24 hours. No later  than 15 calendar days following, the permittee shall submit a plan for treating  and disposing of the waste on hand at the facility and all unsatisfactorily  treated waste that has left the facility. The permittee may include with the  plan a description of the corrective actions to be taken to prevent further  unsatisfactory performance. No ash subsequently generated from the incinerator  waste stream that was found to be hazardous waste shall be sent to a  nonhazardous solid waste management facility in the Commonwealth without the  express written approval of the director. 
    D. Air pollution control ash and bottom ash shall be held  separately and not mixed; however, once both are determined not to be hazardous  waste, they may be combined and disposed of as other solid waste. Throughout  the storage of the untested material it shall be kept in covered highly leak  resistant containers. It should be held until the generator determines whether  the ash waste is hazardous waste. Areas where untested material containers are  placed must be constructed with a berm to prevent runoff from that area. 
    E. Regulated medical waste treated in compliance with Part  VII (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.) or IX  (9VAC20-120-630 et seq.) of this chapter shall be deemed to be treated in  accordance with this chapter. Regulated medical waste not treated in accordance  with this chapter shall not be transported, received for transport or disposal,  or disposed of in any solid waste management facility. 
    9VAC20-120-810. Amendment of permits. 
    A. Temporary authorizations. 
    1. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of this section. Temporary authorizations  shall have a term of not more than 180 calendar days. 
    2. a. The permittee may request a temporary authorization for:  
    (1) Any substantive amendment meeting the criteria in  subdivision 3 b (1) of this subsection; and 
    (2) Any major amendment that meets the criteria in subdivision  3 b (1) or (2) of this subsection; or that meets the criteria in subdivisions 3  b (3) and (4) of this subsection and provides improved management or treatment  of a regulated medical waste already listed in the facility permit. 
    b. The temporary authorization request shall include: 
    (1) A description of the activities to be conducted under the  temporary authorization; 
    (2) An explanation of why the temporary authorization is  necessary; and 
    (3) Sufficient information to ensure compliance with standards  in Part V (9VAC20-120-330 et seq.) or VI (9VAC20-120-400 et seq.) of this  chapter. 
    c. The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven calendar days of submission of the  authorization request. 
    3. The director shall approve or deny the temporary  authorization as quickly as is practical. To issue a temporary authorization,  the director shall find: 
    a. The authorized activities are in compliance with the  standards of Part V (9VAC20-120-330 et seq.), VII (9VAC20-120-520 et seq.),  VIII (9VAC20-120-580 et seq.) or IX (9VAC20-120-630 et seq.) of this chapter. 
    b. The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an amendment  request: 
    (1) To facilitate timely implementation of closure or  corrective action activities; 
    (2) To prevent disruption of ongoing waste management  activities; 
    (3) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (4) To facilitate other changes to protect human health and  the environment. 
    4. A temporary authorization may be reissued for one  additional term of up to 180 calendar days provided that the permittee has  requested a substantive or a major permit amendment for the activity covered in  the temporary authorization, and (i) the reissued temporary authorization  constitutes the director's decision on a substantive permit amendment in  accordance with the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  or (ii) the director determines that the reissued temporary authorization  involving a major permit amendment request is warranted to allow the authorized  activities to continue while the amendment procedures of the Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81) are conducted. 
    B. Newly defined or identified wastes. The permittee is  authorized to continue to manage wastes defined or identified as regulated  medical waste under Part III (9VAC20-120-80 et seq.) of this chapter if he: 
    1. Was in existence as a regulated medical waste management  facility with respect to the newly defined or identified regulated medical  waste on the effective date of the final rule defining or identifying the  waste; and 
    2. (i) Is in compliance with the standards of Part V, VII,  VIII or IX, as applicable, with respect to the new waste, submits a minor  modification request on or before the date on which the waste becomes subject  to the new requirements or (ii) is not in compliance with the standards of Part  V or VI, as applicable, with respect to the new waste, but submits a complete  permit amendment request within 180 calendar days after the effective date of  the definition or identifying the waste. 
    C. The suitability of the facility location will not be  considered at the time of permit amendment unless new information or standards  indicate that an endangerment to human health or the environment exists that  was unknown at the time of permit issuance. 
    9VAC20-130-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Board" means the Virginia Waste Management Board. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants  and shopping centers.
    "Compost" means a stabilized organic product  produced by composting in such a manner that the product can be handled,  stored, and/or applied to the land.
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes  include, but are not limited to, lumber, wire, sheetrock, broken brick,  shingles, glass, pipes, concrete, paving materials, and metal and plastics if  the metal or plastics are a part of the materials of construction or empty containers  for such materials. Paints, coatings, solvents, asbestos-containing material,  any liquid, compressed gases, or semi-liquids and garbage are not construction  wastes. 
    "Debris waste" means solid waste resulting from  land clearing operations. Debris wastes include, but are not limited to,  stumps, wood, brush, leaves, soil, and road spoils. 
    "Demolition waste" means solid waste produced by  the destruction of structures and their foundations and includes the same  materials as construction wastes. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. For purposes of submissions to the  director as specified in the Waste Management Act, submissions may be made to  the department.
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulation,  9VAC20-60. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts;  inorganic chemicals; iron and steel manufacturing; leather and leather  products; nonferrous metals manufacturing/foundries; organic chemicals;  plastics and resins manufacturing; pulp and paper industry; rubber and  miscellaneous plastic products; stone, glass, clay, and concrete products;  textile manufacturing; transportation equipment; and water treatment. This term  does not include mining waste or oil and gas waste. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Integrated waste management plan" means a  governmental plan that considers all elements of waste management during  generation, collection, transportation, treatment, storage, disposal, and  litter control and selects the appropriate methods of providing necessary  control and services for effective and efficient management of all wastes. An  "integrated waste management plan" must provide for source reduction,  reuse and recycling within the jurisdiction and the proper funding and  management of waste management programs. 
    "Jurisdiction" means a local governing body; city,  county or town; or any independent entity, such as a federal or state agency,  which join with local governing bodies to develop a waste management plan. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill (as these terms  are defined in the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    "Litter" means all waste material disposable  packages or containers, but not including the wastes of the primary processes  of mining, logging, farming, or manufacturing.
    "Market" or "markets" means interim or  end destinations for the recyclable materials, including a materials recovery  facility (MRF).
    "Market conditions" means business and system  related issues used to determine if materials can be targeted, collected, and  delivered to an interim or end market in an efficient manner. Issues may  include, but are not limited to: the cost of collection, storage and  preparation or both; the cost of transportation; accessible volumes of  materials targeted for recycling; market value of materials targeted for  collection/recycling; and distance to viable markets.
    "Materials recovery facility (MRF)" means, for the  purpose of this regulation, a facility for the collection, processing and  marketing of recyclable materials including, but not limited to: metal, paper,  plastics, and glass. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses, except composting as defined and regulated under the Solid  Waste Management Regulations (9VAC20-80) or the Vegetative Waste Management  and Yard Waste Composting Regulations (9VAC20-101) (9VAC20-81). 
    "Municipal solid waste" means waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from the combustion of these wastes. 
    "Permit" means the written permission of the  director to own, operate or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Principal recyclable materials (PRMs)" means  paper, metal, plastic, glass, commingled yard waste, wood, textiles, tires,  used oil, used oil filters, used antifreeze, batteries, electronics, or  material as may be approved by the director. Commingled materials refers to  single stream collections of recyclables where sorting is done at a materials  recovery facility.
    "Recycling" means the process of separating a given  waste material from the waste stream and processing it so that it may be used  again as a raw material for a product, which may or may not be similar to the  original product. For the purpose of this chapter, recycling shall not include  processes that only involve size reduction. 
    "Recycling residue" means the (i) nonmetallic  substances, including but not limited to plastic, rubber, and insulation, which  remain after a shredder has separated for purposes of recycling the ferrous and  nonferrous metal from a motor vehicle, appliance or other discarded metallic  item and (ii) organic waste remaining after removal of metals, glass, plastics  and paper that are to be recycled as part of a resource recovery process for  municipal solid waste resulting in the production of a refuse derived fuel.
    "Regional boundary" means the boundary defining an  area of land that will be a unit for the purpose of developing a waste  management plan, and is established in accordance with 9VAC20-130-180 through  9VAC20-130-220. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Residential waste" means any waste material,  including garbage, trash and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds and day-use recreation  areas. Residential wastes do not include sanitary waste in septic tanks  (septage), that is regulated by other state agencies. 
    "Resource recovery system" means a solid waste  management system that provides for collection, separation, recycling and  recovery of energy or solid wastes, including disposal of nonrecoverable waste  residues. 
    "Reuse" means the process of separating a given  solid waste material from the waste stream and using it, without processing or  changing its form, other than size reduction, for the same or another end use. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste, which is so located, designed,  constructed and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste.  (Note: This term includes all sites whether they are planned and managed  facilities or open dumps.) 
    "Sludge" means any solid, semisolid or liquid waste  generated from a public, municipal, commercial or industrial  wastewater treatment plant, water supply treatment plant, or air pollution  control facility. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Solid Waste Management Regulations (9VAC20-80)  (9VAC20-81).
    "Solid waste planning unit" means each region or  locality that submits a solid waste management plan. 
    "Solid waste management facility  ("SWMF")" means a site used for planned treating, storing, or  disposing of solid waste. A facility may consist of several treatment, storage,  or disposal units. 
    "Source reduction" means any action that reduces or  eliminates the generation of waste at the source, usually within a process.  Source reduction measures include process modifications, feedstock  substitutions, improvements in feedstock purity, improvements in housekeeping  and management practices, increases in the efficiency of machinery, and  recycling within a process. Source reduction minimizes the material that must  be managed by waste disposal or nondisposal options by creating less waste.  "Source reduction" is also called "waste prevention,"  "waste minimization," or "waste reduction."
    "Source separation" means separation of recyclable  materials by the waste generator of materials that are collected for use,  reuse, reclamation, or recycling. 
    "Tons" means 2,000 pounds.
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, and woody wastes such as shrub and  tree prunings, bark, limbs, roots, and stumps. For more detail see Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101) the  Solid Waste Management Regulations (9VAC20-81).
    "Waste exchange" means any system to identify  sources of wastes with potential for use reuse, recycling or reclamation and to  facilitate its acquisition by persons who reuse, recycle or reclaim it, with a  provision for maintaining confidentiality of trade secrets. 
    "White goods" means any stoves, washers, hot water  heaters or other large appliances. For the purposes of this chapter, this  definition also includes, but is not limited to, such Freon-containing appliances  as refrigerators, freezers, air conditioners, and dehumidifiers. 
    "Yard waste" means decomposable waste materials  generated by yard and lawn care and includes leaves, grass trimmings, brush,  wood chips, and shrub and tree trimmings. Yard waste shall not include roots or  stumps that exceed six inches in diameter. 
    9VAC20-130-60. Applicability of regulations. 
    A. This chapter applies to all cities, counties, towns,  designated solid waste planning units (under 9VAC20-130-180) and permitted  solid waste facilities within the solid waste planning unit, including those  facilities covered under permit by rule procedures found in 9VAC20-80 9VAC20-81.  Any city, county, and town may mutually agree to unite for the purpose of solid  waste management planning, and upon joint written notification to the director,  shall be deemed to be a solid waste planning unit for development of a solid  waste management plan. 
    B. Any cities, counties, and towns may be represented by a  planning district, public service authority, or designated region that has been  adopted under 9VAC20-130-90 B. 
    C. The plan may (subject to statutory authority) specify that  all solid waste must be recycled at the rate established by the plan regardless  of the point of origin of the solid waste. Solid wastes from both public and  private sources shall be subject to such requirement. 
    9VAC20-130-120. Planning requirements. 
    A. Basic planning elements:
    1. Objectives for solid waste management within the planning  unit;
    2. A discussion as to how the plan will be implemented and  tracked, consisting of an integrated waste management strategy to support and  promote the hierarchy set forth at 9VAC20-130-30; giving preference to  alternatives in the following order of priority: source reduction, reuse,  recycling, resource recovery, incineration, and landfilling;
    3. Definition of incremental stages of progress toward the  objectives and schedule for their implementation, including, for compliance  with 9VAC20-80-500 9VAC20-81-450, specific solid waste management  facility names, facility capacities, and life based on 20-year need;
    4. Strategy for the provision of necessary funds and  resources;
    5. Descriptions of the funding and resources necessary,  including consideration of fees dedicated to future facility development;
    6. Strategy for public education and information on source  reduction, reuse, and recycling; and
    7. Consideration of public and private sector partnerships and  private sector participation in execution of the plan. Existing private sector  recycling operations should be incorporated in the plan and the expansion of  such operations should be encouraged. 
    B. A minimum recycling rate as specified in § 10.1-1411 of  the Code of Virginia for total municipal solid waste generated annually in each  solid waste planning unit shall be met and maintained. 
    1. The plan shall describe how the minimum recycling rate  shall be met or exceeded. The department may approve the solid waste management  plans of units that do not currently meet the minimum recycling rate only if all  other requirements of these regulations have been met and the solid waste  planning unit demonstrates its commitment to implementing a strong and detailed  action plan for recycling to meet the required rate.
    2. When a solid waste planning unit's annual recycling rate  falls below the minimum rate, it shall constitute evidence of a significant  deviation from the plan. The plan may be subject to revocation by the  department under 9VAC20-130-110 E unless the solid waste planning unit submits  a recycling action plan acceptable to the department per subsection I of this  section.
    C. The solid waste management plan shall include data and  analyses of the following type(s) for each jurisdiction. Each item below shall  be in a separate section and labeled as to content:
    1. Population information and projections for 20 years of  population growth and development patterns;
    2. Urban concentrations, geographic conditions, economic  growth and development, markets for the reuse and recycling of materials,  transportation conditions, and related factors;
    3. Estimates of solid waste generation from residential,  commercial institutional, industrial, construction, demolition, debris and  other types of sources, including the amounts reused, recycled, recovered as a  resource, incinerated and landfilled. Entities engaged in the collection,  processing, and marketing of recyclable materials should provide data for  incorporation into the recycling rate calculation, when requested by the  planning unit.
    4. A listing of existing and planned solid waste collection,  storage, treatment, transportation, disposal and other management facilities,  their projected capacities, expected life and systems for their use;
    5. All milestones in the implementation of the solid waste  management plan over the 20-year projection and the parties responsible for  each milestone;
    6. A description of programs for solid waste reduction, reuse,  recycling, resource recovery, incineration, storage, treatment, disposal and  litter control;
    7. A description of outreach programs for waste exchange,  public education and public participation;
    8. The procedures for and results of evaluating solid waste  collection, including transfer stations; and
    9. The assessment of all current and predicted needs for solid  waste management for a period of 20 years and a description of the action to be  taken to meet those needs.
    D. All known solid waste disposal sites, closed, inactive and  active, within the area of the solid waste management plan shall be documented  and recorded at a centralized archive authorized to receive and record  information and a copy shall be sent to the department. All new sites shall be  recorded at the same central data source.
    E. A methodology shall be utilized to monitor the amount of  solid waste of each type produced within the area of the solid waste management  plan and to record the annual production by solid waste types at a centralized  archive and a copy shall be sent to the department. 
    F. The solid waste management plan shall include, when  developed locally, a copy of the local governing body's resolution adopting the  solid waste management plan.
    G. The solid waste management plan shall include, when  developed regionally, a copy of the resolution approving the plan adopted in  accordance with the Virginia Area Development Act, the Virginia Water and Waste  Authorities Act, the provisions of the Code of Virginia governing joint  exercise of powers by political subdivisions (§ 15.2-1300 of the Code of  Virginia), or other authority as applicable.
    H. The solid waste management plan shall clearly and  explicitly demonstrate the manner in which the goals of the planning  requirements in these regulations shall be accomplished and actions to take if  these requirements are not met.
    I. A planning unit that does not meet the requirements of  these regulations shall submit an action plan, by mail or electronic mail, for  approval by the department. Such action plans shall include:
    1. A description of the deficiency that requires the  development of the action plan.
    2. A time schedule to resolve the deficiency(ies) associated  with the planning unit's failure to meet the requirements of the approved solid  waste management plan.
    3. A reporting requirement to the department, of a minimum of  once every six months, including activities or updates documenting how the  action plan requirements are being met.
    4. Plans and all subsequent reports and submittals shall be  reviewed by the department within 30 days of receipt by the department.
    5. All the department's requests for further information or  response(s) shall be provided within 30 days of receipt at the planning unit.  The department may grant reasonable extensions to these deadlines on a  case-by-case basis. 
    Part I 
  Definitions 
    9VAC20-140-10. Definition incorporated by reference. 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  are incorporated by reference. 
    9VAC20-150-10. Definitions. 
    A. The definitions set out in Part I of the Virginia  Solid Waste Management Regulations, 9VAC20-80-10 et seq., (9VAC20-81)  are incorporated by reference. 
    B. The following words and terms, when used in this chapter,  shall have the following meanings, unless the context clearly indicates  otherwise: 
    "Applicant" means any person or persons seeking  reimbursement under this chapter. 
    "Asphalt pavement containing recycled rubber" means  any hot mix or spray applied binder in asphalt paving mixture that contains  rubber from waste tire materials which is used for asphalt pavement base,  surface course or interlayer, or other road and highway related uses. 
    "Authorized signature" means the signature of an  individual who has authority to sign on behalf of, and bind, the applicant. 
    "Available funds" means for a given fiscal year, a  maximum of 80% of the previous fiscal year's collection of the waste tire tax  plus 85% of nonobligated carryover funds at the end of the previous fiscal  year. 
    "Burning" means the controlled burning of waste  tire materials for the purpose of energy recovery. 
    "Cost of use" means the equipment, leasehold  improvements, buildings, land, engineering, transportation, operating, taxes,  interest, and depreciation or replacement costs of using waste tire materials  incurred by the end user after deducting any tipping fee received by the end  user. 
    "Daily cover" means using waste tire material as an  alternate cover placed upon exposed solid waste to control disease vectors,  fires, odors, blowing litter and scavenging without presenting a threat to  human health and the environment. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or the director's designee. 
    "Embankment" means a raised earthen structure to  carry a roadway. 
    "End user" means: 
    1. For energy recovery: the person who utilizes the heat  content or other forms of energy from the burning or pyrolysis of waste tire  materials; 
    2. For other eligible uses: the last person who uses the  waste tire materials to make a product with economic value. If the waste tire  materials are processed by more than one person in becoming a product, the end  user is the last person to use the tire as waste tire materials. A person who  produces waste tire materials and gives or sells them to another person to use  is not an end user. 
    "Energy recovery" means utilizing the heat content  or other forms of energy from the burning or pyrolysis of waste tire materials.  
    "Fill material for construction" means the material  is used as a base or sub-base under the footprint of a structure, a paved  parking lot, sidewalk, walkway or similar application. 
    "Generator" means any person whose act or process  produces waste tires or whose act first causes a tire to become a solid waste. 
    "Hauler" means a person who picks up or transports  waste tires for the purpose of removal to a permitted storage, processing or  disposal facility. 
    "Partial reimbursement" means reimbursement that  does not exceed the purchase price of waste tire materials or the cost of use  if the waste tire materials were not purchased. 
    "Passenger tire equivalent" means a measure of  passenger, truck tires, and oversize tires where: One passenger car tire equals  20 pounds or 1/100 ton. One truck tire 20-24 inch rim equals 100 pounds or  1/200 ton and a tire with over 24-inch rim equals 200 pounds or greater as  computed by the end user. 
    "Processor" means a person engaged in the  processing of waste tires including, but not limited to, stamping, stripping,  shredding, or crumbing; that operates under a permit issued by the local, state,  or federal government; or is exempt from permit requirements. 
    "Pyrolysis" means thermal treatment of waste tire  materials to separate it into other components with economic value. 
    "Retreading" means processing a waste tire by  attaching a new tread to make a usable tire. 
    "Road bed base" means the foundation of a road  prepared for surfacing. 
    "Tipping fee" means a fee charged to a person for  disposal of a waste tire. 
    "Tire" means a continuous solid or pneumatic rubber  covering encircling the wheel of a vehicle in which a person or property is  transported, or by which they may be drawn on a highway. 
    "Tire pile" means an accumulation of waste tire  materials that violates the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81). 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. 
    "Waste tire materials" means whole waste tires or  waste tires that have been size reduced by physical or chemical process. This  term includes waste tires or chips or similar materials as specified in §§ 10.1-1422.3  and 10.1-1422.4 of the Code of Virginia. 
    "Waste Tire Trust Fund" means the nonreverting fund  set up by § 10.1-1422.3 of the Code of Virginia in which proceeds from the  waste tire tax are deposited. 
    Part II
  General Information 
    9VAC20-150-20. Purpose. 
    The purpose of this chapter is to define the types of uses  eligible for partial reimbursement, to establish the procedures for application  and processing of reimbursement, and to establish the amount of reimbursement. 
    9VAC20-150-40. End uses of waste tires eligible for  reimbursement. 
    A. The following uses of waste tire materials will be  eligible for the reimbursement if the use complies with applicable local  ordinances and regulations and the Virginia Solid Waste Management  Regulations, 9VAC20-80 (9VAC20-81) or the equivalent regulations  in another state. The eligible uses are: 
    1. Civil engineering applications, which utilize waste tire  materials as a substitute for soil, sand, or aggregate in a construction  project such as land or surface applications, road bed base and embankments;  fill material for construction projects; and daily cover and other  substitutions at a permitted solid waste facility if the facility's permit is  so modified; 
    2. Burning of waste tire materials for energy recovery; 
    3. Pyrolysis; and 
    4. Products made from waste tire materials such as molded  rubber products, rubberized asphalt, soil amendments, playground and horse  arena surfacing materials, mulches, mats, sealers, etc. 
    B. Uses that are not eligible for reimbursement include: 
    1. Reuse as a vehicle tire; 
    2. Retreading; 
    3. Burning without energy recovery; and 
    4. Landfilling, except use as specified in subdivision A 1 of  this section. 
    9VAC20-160-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise. 
    "Authorized agent" means any person who is  authorized in writing to fulfill the requirements of this program. 
    "Carcinogen" means a chemical classification for  the purpose of risk assessment as an agent that is known or suspected to cause  cancer in humans, including but not limited to a known or likely human  carcinogen or a probable or possible human carcinogen under an EPA  weight-of-evidence classification system. 
    "Certificate" means a written certification of  satisfactory completion of remediation issued by the director pursuant to § 10.1-1232  of the Code of Virginia. 
    "Completion" means fulfillment of the commitment  agreed to by the participant as part of this program. 
    "Contaminant" means any man-made or man-induced  alteration of the chemical, physical or biological integrity of soils,  sediments, air and surface water or groundwater including, but not limited to,  such alterations caused by any hazardous substance (as defined in the  Comprehensive Environmental Response, Compensation and Liability Act, 42 USC  § 9601(14)), hazardous waste (as defined in 9VAC20-60), solid waste (as  defined in 9VAC20-80-10) 9VAC20-81), petroleum (as defined in  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.))  of the Virginia State Water Control Law, or natural gas. 
    "Cost of remediation" means all costs incurred by  the participant pursuant to activities necessary for completion of voluntary  remediation at the site, based on an estimate of the net present value (NPV) of  the combined costs of the site investigation, report development, remedial  system installation, operation and maintenance, and all other costs associated  with participating in the program and addressing the contaminants of concern at  the site. 
    "Department" means the Department of Environmental  Quality of the Commonwealth of Virginia or its successor agency. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Engineering controls" means physical modification  to a site or facility to reduce or eliminate potential for exposure to  contaminants. These include, but are not limited to, stormwater conveyance  systems, pump and treat systems, slurry walls, liner systems, caps, monitoring  systems, and leachate collection systems. 
    "Hazard index (HI)" means the sum of more than one  hazard quotient for multiple contaminants or multiple exposure pathways or  both. The HI is calculated separately for chronic, subchronic, and shorter  duration exposures. 
    "Hazard quotient" means the ratio of a single  contaminant exposure level over a specified time period to a reference dose for  that contaminant derived from a similar period. 
    "Incremental upper-bound lifetime cancer risk  level" means a conservative estimate of the incremental probability of an  individual developing cancer over a lifetime. Upper-bound lifetime cancer risk  level is likely to overestimate "true risk." 
    "Institutional controls" means legal or contractual  restrictions on property use that remain effective after remediation is  completed, and are used to reduce or eliminate the potential for exposure to  contaminants. The term may include, but is not limited to, deed and water use  restrictions. 
    "Land use controls" means legal or physical  restrictions on the use of, or access to, a site to reduce or eliminate  potential for exposure to contaminants, or prevent activities that could  interfere with the effectiveness of remediation. Land use controls include but  are not limited to engineering and institutional controls. 
    "Noncarcinogen" means a chemical classification for  the purposes of risk assessment as an agent for which there is either  inadequate toxicological data or is not likely to be a carcinogen based on an  EPA weight-of-evidence classification system. 
    "Operator" means the person currently responsible  for the overall operations at a site, or any person responsible for operations  at a site at the time of, or following, the release. 
    "Owner" means any person currently owning or  holding legal or equitable title or possessory interest in a property,  including the Commonwealth of Virginia, or a political subdivision thereof,  including title or control of a property conveyed due to bankruptcy,  foreclosure, tax delinquency, abandonment, or similar means. 
    "Participant" means a person who has received  confirmation of eligibility and has remitted payment of the registration fee. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Program" means the Virginia Voluntary Remediation  Program. 
    "Property" means a parcel of land defined by the  boundaries in the deed. 
    "Reference dose" means an estimate of a daily  exposure level for the human population, including sensitive subpopulations,  that is likely to be without an appreciable risk of deleterious effects during  a lifetime. 
    "Registration fee" means the fee paid to enroll in  the Voluntary Remediation Program, based on 1.0% of the total cost of  remediation at a site, not to exceed the statutory maximum. 
    "Release" means any spilling, leaking, pumping,  pouring, emitting, emptying, discharging, injecting, escaping, leaching,  dumping or disposing of any contaminant into the environment. 
    "Remediation" means actions taken to cleanup,  mitigate, correct, abate, minimize, eliminate, control and contain or prevent a  release of a contaminant into the environment in order to protect human health  and the environment, including actions to investigate, study or assess any  actual or suspected release. Remediation may include, when appropriate and  approved by the department, land use controls. 
    "Remediation level" means the concentration of a  contaminant with applicable land use controls, that is protective of human  health and the environment. 
    "Report" means the Voluntary Remediation Report  required by 9VAC20-160-70. 
    "Restricted use" means any use other than  residential. 
    "Risk" means the probability that a contaminant  will cause an adverse effect in exposed humans or to the environment. 
    "Risk assessment" means the process used to  determine the risk posed by contaminants released into the environment.  Elements include identification of the contaminants present in the  environmental media, assessment of exposure and exposure pathways, assessment  of the toxicity of the contaminants present at the site, characterization of  human health risks, and characterization of the impacts or risks to the  environment. 
    "Site" means any property or portion thereof, as  agreed to and defined by the participant and the department, which contains or  may contain contaminants being addressed under this program. 
    "Termination" means the formal discontinuation of  participation in the Voluntary Remediation Program without obtaining a  certification of satisfactory completion. 
    "Unrestricted use" means the designation of  acceptable future use for a site at which the remediation levels, based on  either background or standard residential exposure factors, have been attained  throughout the site in all media. 
    9VAC20-160-30. Eligibility criteria. 
    A. Candidate sites shall meet eligibility criteria as defined  in this section. 
    B. Any persons who own, operate, have a security interest in  or enter into a contract for the purchase or use of an eligible site who wish  to voluntarily remediate that site may participate in the program. Any person  who is an authorized agent of any of the parties identified in this subsection  may participate in the program. 
    C. Sites are eligible for participation in the program if (i)  remediation has not been clearly mandated by the United States Environmental  Protection Agency, the department or a court pursuant to the Comprehensive  Environmental Response, Compensation and Liability Act (42 USC § 9601 et  seq.), the Resource Conservation and Recovery Act (42 USC § 6901 et seq.),  the Virginia Waste Management Act (§ 10.1-1400 et seq. of the Code of  Virginia), the Virginia State Water Control Law (§ 62.1-44.2 et seq. of the  Code of Virginia), or other applicable statutory or common law; or (ii)  jurisdiction of the statutes listed in clause (i) has been waived. 
    A site on which an eligible party has completed remediation  of a release is potentially eligible for the program if the actions can be  documented in a way which are equivalent to the requirements for prospective  remediation, and provided the site meets applicable remediation levels. 
    Petroleum or oil releases not mandated for remediation under  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.) of  the Virginia State Water Control Law may be eligible for participation in the  program. 
    Where an applicant raises a genuine issue based on documented  evidence as to the applicability of regulatory programs in subsection D of this  section, the site may be eligible for the program. Such evidence may include a  demonstration that: 
    1. It is not clear whether the release involved a waste  material or a virgin material; 
    2. It is not clear that the release occurred after the  relevant regulations became effective; or 
    3. It is not clear that the release occurred at a regulated  unit. 
    D. For the purposes of this chapter, remediation has been  clearly mandated if any of the following conditions exist, unless jurisdiction  for such mandate has been waived: 
    1. Remediation of the release is the subject of a permit  issued by the U.S. Environmental Protection Agency or the department, a pending  or existing closure plan, a pending or existing administrative order, a pending  or existing court order, a pending or existing consent order, or the site is on  the National Priorities List; 
    2. The site at which the release occurred is subject to the  Virginia Hazardous Waste Management Regulations (9VAC20-60) (VHWMR), is a  permitted facility, is applying for or should have applied for a permit, is  under interim status or should have applied for interim status, or was  previously under interim status, and is thereby subject to requirements of the  VHWMR; 
    3. The site at which the release occurred constitutes an open  dump or unpermitted solid waste management facility under Part IV  (9VAC20-80-170 et seq.) 9VAC20-81-45 of the Virginia Solid  Waste Management Regulations; 
    4. The director determines that the release poses an imminent  and substantial threat to human health or the environment; or 
    5. Remediation of the release is otherwise the subject of a  response action required by local, state, or federal law or regulation. 
    E. The director may determine that a site under subdivision D  3 of this section may participate in the program provided that such  participation complies with the substantive requirements of the applicable  regulations. 
    9VAC20-170-30. Applicability. 
    A. This chapter applies to each owner and/or operator of a  vessel transporting solid wastes or regulated medical wastes for the purposes  of commercial carriage as cargo, and each owner or operator of a receiving  facility. This chapter also applies to the receiving facilities and vessels  transporting solid wastes or regulated medical wastes upon the navigable waters  of the Commonwealth to the extent allowable under state law. 
    B. This chapter does not apply to a public vessel as defined  under 9VAC20-170-10, the owner and operator of a public vessel, vessels transporting  solid wastes or regulated medical wastes incidental to their predominant  business or purposes, vessels transporting solid wastes or regulated medical  wastes generated during normal operations of the vessel, solid wastes or  regulated medical wastes generated during the normal operations of the vessel,  and solid wastes excluded pursuant to 9VAC20-80-150 or conditionally  exempted pursuant to 9VAC20-80-160 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations. 
    9VAC20-170-40. Relationship to other regulations. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  prescribe requirements for the solid waste management facilities in general.  While a facility utilized to receive solid wastes or regulated medical wastes  transported, loaded, or unloaded upon the navigable waters of the Commonwealth,  to the extent allowable under state law, by a commercial transporter is a solid  waste management facility, this chapter herein prescribes specific  requirements, including siting, design/construction, operation, and permitting,  for this type of facilities. If there is any overlapping requirement between  these two regulations, whichever is more stringent shall apply. 
    B. The Regulated Medical Waste Management Regulations  (9VAC20-120) address special needs for regulated medical waste management. A  facility utilized to receive regulated medical waste transported, loaded, or  unloaded upon the navigable waters of the Commonwealth, to the extent allowable  under state law, by a commercial transporter is a regulated medical waste  facility and it must conform to any applicable sections of the Regulated  Medical Waste Management Regulations adopted by the board. If there is any  overlapping requirement between these two regulations, whichever is more stringent  shall apply. 
    C. This chapter does not exempt any receiving facility from  obtaining a Virginia Water Protection Permit as required by the Virginia Water  Protection Permit Program Regulation (9VAC25-210), whenever it is applicable. 
    VA.R. Doc. No. R11-2731; Filed June 8, 2011, 1:15 p.m. 
TITLE 9. ENVIRONMENT
VIRGINIA WASTE MANAGEMENT BOARD
Final Regulation
        REGISTRAR'S NOTICE: The  Virginia Waste Management Board is claiming an exemption from the  Administrative Process Act in accordance with § 2.2-4006 A 3,  which excludes regulations that consist only of changes in style or form or  corrections of technical errors. The Virginia Waste Management Board will  receive, consider, and respond to petitions by any interested person at any  time with respect to reconsideration or revision.
         Titles of Regulations: 9VAC20-60. Virginia Hazardous  Waste Management Regulations (amending 9VAC20-60-261).
    9VAC20-70. Financial Assurance Regulations for Solid Waste  Disposal, Transfer and Treatment Facilities (amending 9VAC20-70-10, 9VAC20-70-50,  9VAC20-70-70, 9VAC20-70-75, 9VAC20-70-90, 9VAC20-70-113, 9VAC20-70-210,  9VAC20-70-290).
    9VAC20-81. Solid Waste Management Regulations (amending 9VAC20-81-10, 9VAC20-81-35, 9VAC20-81-95,  9VAC20-81-140, 9VAC20-81-160, 9VAC20-81-250, 9VAC20-81-260, 9VAC20-81-300,  9VAC20-81-397, 9VAC20-81-470, 9VAC20-81-485, 9VAC20-81-490, 9VAC20-81-530,  9VAC20-81-600).
    9VAC20-85. Coal Combustion Byproduct Regulations (amending 9VAC20-85-10, 9VAC20-85-40,  9VAC20-85-50, 9VAC20-85-60, 9VAC20-85-90, 9VAC20-85-150, 9VAC20-85-180).
    9VAC20-120. Regulated Medical Waste Management Regulations (amending 9VAC20-120-10, 9VAC20-120-70,  9VAC20-120-100, 9VAC20-120-300, 9VAC20-120-540, 9VAC20-120-810).
    9VAC20-130. Solid Waste Planning and Recycling Regulations (amending 9VAC20-130-10, 9VAC20-130-60,  9VAC20-130-120).
    9VAC20-140. Regulations for the Certification of Recycling  Machinery and Equipment for Tax Exemption Purposes (amending 9VAC20-140-10).
    9VAC20-150. Waste Tire End User Reimbursement Regulation (amending 9VAC20-150-10, 9VAC20-150-20,  9VAC20-150-40).
    9VAC20-160. Voluntary Remediation Regulations (amending 9VAC20-160-10, 9VAC20-160-30).
    9VAC20-170. Transportation of Solid and Medical Wastes on  State Waters (amending 9VAC20-170-30, 9VAC20-170-40). 
    Statutory Authority: §§ 10.1-1232, 10.1-1402, 10.1-1410, 10.1-1411, 10.1-1422.3, 10.1-1422.4, and 58.1-3661 of the Code of  Virginia.
    Effective Date: August 3, 2011. 
    Agency Contact: Debra Miller, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4206, FAX (804) 698-4346, or email  debra.miller@deq.virginia.gov.
    Summary:
    Amendment 7 to the Solid Waste Management Regulations  amended and recodified these regulations creating 9VAC20-81, which became  effective March 16, 2011. This regulatory action makes necessary style and form  changes and technical corrections to that chapter and, as a secondary action,  makes the appropriate citations changes in other waste management regulations. 
    9VAC20-60-261. Adoption of 40 CFR Part 261 by reference. 
    A. Except as otherwise provided, the regulations of the  United States Environmental Protection Agency set forth in 40 CFR Part 261 are  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. Except as otherwise provided, all material definitions, reference  materials and other ancillaries that are a part of 40 CFR Part 261 are also  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. 
    B. In all locations in these regulations where 40 CFR Part  261 is incorporated by reference, the following additions, modifications and  exceptions shall amend the incorporated text for the purpose of its  incorporation into these regulations: 
    1. Any agreements required by 40 CFR 261.4(b)(11)(ii) shall be  sent to the United States Environmental Protection Agency at the address shown  and to the Department of Environmental Quality, P.O. Box 1105, Richmond,  Virginia 23218. 
    2. In 40 CFR 261.4(e)(3)(iii), the text "in the Region  where the sample is collected" shall be deleted. 
    3. In 40 CFR 261.4(f)(1), the term "Regional  Administrator" shall mean the regional administrator of Region III of the  United States Environmental Protection Agency or his designee. 
    4. In 40 CFR 261.6(a)(2), recyclable materials shall be  subject to the requirements of 9VAC20-60-270 and Part XII (9VAC20-60-1260 et  seq.) of this chapter. 
    5. No hazardous waste from a conditionally exempt small  quantity generator shall be managed as described in 40 CFR 261.5(g)(3)(iv) or  40 CFR 261.5(g)(3)(v) unless such waste management is in full compliance with  all requirements of the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    6. In 40 CFR 261.9 and wherever elsewhere in Title 40 of the  Code of Federal Regulations there is a listing of universal wastes or a listing  of hazardous wastes that are the subject of provisions set out in 40 CFR Part  273 as universal wastes, it shall be amended by addition of the following  sentence: "In addition to the hazardous wastes listed herein, the term  "universal waste" and all lists of universal waste or waste subject  to provisions of 40 CFR Part 273 shall include those hazardous wastes listed in  Part XVI (9VAC20-60-1495 et seq.) of the Virginia Hazardous Waste Management  Regulations as universal wastes, under such terms and requirements as shall  therein be ascribed." 
    7. In Subparts B and D of 40 CFR Part 261, the term  "Administrator" shall mean the administrator of the United States  Environmental Protection Agency, and the term "Director" shall not  supplant "Administrator" throughout Subparts B and D. 
    8. Regardless of the provisions of 9VAC20-60-18, the revisions  to 40 CFR Part 261 as promulgated by U.S. EPA on October 30, 2008, (73 FR 64757  - 64788) (definition of solid waste rule) are not adopted herein.
    Part I 
  Definitions 
    9VAC20-70-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings, unless the context clearly indicates otherwise: 
    "Abandoned facility" means any inactive solid waste  management facility that has not met closure and post-closure care  requirements. 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at the completion  of closure activities required by 9VAC20-80-10 et seq the Solid Waste  Management Regulations (9VAC20-81). Active life does not include the  post-closure care monitoring period. 
    "Anniversary date" means the date of issuance of a  financial mechanism. 
    "Assets" means all existing and all probable future  economic benefits obtained or controlled by a particular entity. 
    "Authority" means an authority created under the  provisions of the Virginia Water and Waste Authorities Act, Chapter 51 (§ 15.2-5100  et seq.) of Title 15.2 of the Code of Virginia, or, if any such authority shall  be abolished, the board, body, or commission succeeding to the principal  functions thereof or to whom the powers given by the Virginia Water and Waste  Authorities Act to such authority shall be given by law. 
    "Board" means the Virginia Waste Management Board. 
    "Cash plus marketable securities" means all the  cash plus marketable securities held on the last day of a fiscal year,  excluding cash and marketable securities designed to satisfy past obligations  such as pensions. 
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of 9VAC20-80-10  et seq., 9VAC20-101-10 et seq., 9VAC20-120-10 et seq., or 9VAC20-170-10 et seq.  the Solid Waste Management Regulations (9VAC20-81), the Regulated Medical  Waste Management Regulations (9VAC20-120), or the Transportation of Solid and  Medical Wastes on State Waters Regulations (9VAC20-170). A closed facility  may be undergoing post-closure care. 
    "Closure" means the act of securing a solid waste  management facility pursuant to the requirements of this chapter and any other  applicable solid waste management standards. 
    "Commercial transporter" means any person who  transports for the purpose of commercial carriage of solid wastes or regulated  medical wastes as cargo. 
    "Corrective action" means all actions necessary to  mitigate the public health or environmental threat from a release to the  environment of solid waste or constituents of solid waste from an operating,  abandoned, or closed solid waste management facility and to restore the  environmental conditions as required. 
    "Current annual inflation factor" means the annual  inflation factor derived from the most recent Implicit Price Deflator for Gross  National Product published by the U.S. Department of Commerce in its Survey of  Current Business. 
    "Current assets" means cash or other assets or  resources commonly identified as those which are reasonably expected to be  realized in cash or sold or consumed during the normal operating cycle of the  business. 
    "Current closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-111. 
    "Current dollars" means the figure represented by  the total of the cost estimate multiplied by the current annual inflation  factor. 
    "Current liabilities" means obligations whose  liquidation is reasonably expected to require the use of existing resources  properly classifiable as current assets or the creation of other current  liabilities. 
    "Current post-closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-112. 
    "Current year expenses for closure" means  expenditures documented by the facility during the previous fiscal year for  construction-related activities associated with closing the facility. Expenses  for closure must be detailed and identified in an approved closure plan. 
    "Debt service" means the amount of principal and  interest due on a loan in a given time period, typically the current year. 
    "Deficit" means total annual revenues less total  annual expenditures. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent thereof may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means any solid waste management facility  unless the context clearly indicates otherwise. The term "facility"  includes transfer stations. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Governmental unit" means any department,  institution or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.  
    "Groundwater" means any water, except capillary  moisture or unsaturated zone moisture, beneath the land surface in the zone of  saturation or beneath the bed of any stream, lake, reservoir or other body of  surface water within the boundaries of this Commonwealth, whatever may be the  subsurface geologic structure in which such water stands, flows, percolates or  otherwise occurs. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60). 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill as defined by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Leachate" means a liquid that has passed through  or emerged from solid waste and that contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation for disposal in an off-site facility is regulated as septage,  and leachate discharged into a wastewater collection system is regulated as  industrial wastewater. 
    "Liabilities" means probable future sacrifices of  economic benefits arising from present obligations to transfer assets or  provide services to other entities in the future as a result of past  transactions or events. 
    "Local government" means a county, city or town or  any authority, commission, or district created by one or more counties, cities  or towns. 
    "Net working capital" means current assets minus  current liabilities. 
    "Net worth" means total assets minus total  liabilities and is equivalent to owner's equity. 
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means a person who owns a solid waste  management facility or part of a solid waste management facility. For the  purposes of this chapter, all individuals, corporations, companies, partnerships,  societies or associations, and any federal agency or governmental unit of the  Commonwealth having any title or interest in any solid waste management  facility or the services or facilities to be rendered thereby shall be  considered an owner. 
    "Parent corporation" means a corporation that  directly owns at least 50% of the voting stock of the corporation that is the  facility owner or operator; the latter corporation is deemed a  "subsidiary" of the parent corporation. 
    "Permit" means the written permission of the  director to own, operate, modify, or construct a solid waste management  facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Post-closure care" means the requirements placed  upon an owner or operator of a solid waste disposal facility after closure to  ensure environmental and public health and safety are protected for a specified  number of years after closure. 
    "Receiving facility" means a facility, vessel or  operation that receives solid wastes or regulated medical wastes transported,  loaded or unloaded upon the navigable waters of the Commonwealth, to the extent  allowable under state law, by a commercial transporter. A receiving facility is  considered as a solid waste management facility. A facility that receives solid  waste from a ship, barge or other vessel and is regulated under § 10.1-1454.1  of the Code of Virginia shall be considered a transfer facility for purposes of  this chapter. 
    "Regulated medical waste" means solid waste so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120) as promulgated by the Virginia Waste  Management Board. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of solid waste which is so located, designed,  constructed and operated to contain and isolate the solid waste so that it does  not pose a substantial present or potential hazard to human health or the  environment. 
    "Signature" means the name of a person written with  his own hand. 
    "Site" means all land and structures, other  appurtenances, and improvements thereon used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the property  boundary used for utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Virginia Waste Management Act and the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility (SWMF)" means a  site used for planned treating, storing, or disposing of solid waste. A  facility may consist of several treatment, storage, or disposal units. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Substantial business relationship" means the  extent of a business relationship necessary under applicable Virginia law to  make a guarantee contract incident to that relationship valid and enforceable.  A "substantial business relationship" shall arise from a pattern of recent  and on-going business transactions, in addition to the guarantee itself, such  that a currently existing business relationship between the guarantor and the  owner or operator is demonstrated to the satisfaction of the director. 
    "Tangible net worth" means the tangible assets that  remain after deducting liabilities; such assets would not include intangibles  such as goodwill and rights to patents or royalties. 
    "Total expenditures" means all expenditures  excluding capital outlays and debt repayment. 
    "Total revenue" means revenue from all taxes and  fees but does not include the proceeds from borrowing or asset sales, excluding  revenue from funds managed on behalf of a specific third party. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Treatment" means any method, technique, or  process, including incineration or neutralization, designed to change the  physical, chemical, or biological character or composition of any waste to  neutralize it or render it less hazardous or nonhazardous, safer for transport,  or more amenable to use, reuse, reclamation or recovery. 
    "Unit" means a discrete area of land used for the  management of solid waste. 
    9VAC20-70-50. Applicability of chapter. 
    A. This chapter applies to all persons who own, operate, or  allow the following permitted or unpermitted facilities to be operated on their  property: 
    1. Solid waste treatment, transfer and disposal facilities  regulated under the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81);
    2. Facilities Vegetative waste management facilities  regulated under the Vegetative Waste Management and Yard Waste Composting  Regulations (9VAC20-101-10 et seq.) Solid Waste Management Regulations  (9VAC20-81);
    3. Medical waste treatment, transfer or disposal facilities  regulated under the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120); or 
    4. Receiving facilities as defined herein.
    B. Exemptions. 
    1. Owners or operators of facilities who are federal or state  government entities whose debts and liabilities are the debts or liabilities of  the United States or the Commonwealth, are exempt from this chapter; 
    2. Owners and operators of facilities conditionally exempt  under 9VAC20-80-60 D 9VAC20-81-95 of the Virginia Solid  Waste Management Regulations are exempt from this chapter so long as they meet  the conditions of the exemption; 
    3. Owners and operators of facilities that manage solely  wastes excluded under 9VAC20-80-150 or conditionally exempt under 9VAC20-80-160  9VAC20-81-95 of the Virginia Solid Waste Management Regulations  are exempt from this chapter; 
    4. Owners or operators of facilities exempt under  9VAC20-120-120 or excluded under 9VAC20-120-130 of the Virginia  Regulated Medical Waste Management Regulations (9VAC20-120-10 et seq.) (9VAC20-120)  are exempt from this chapter; 
    5. Owners and operators of yard waste composting facilities  exempt under 9VAC20-101-60 and 9VAC20-101-70 of the Vegetative Waste  Management and Yard Waste Composting Regulations 9VAC20-81-95 of the  Solid Waste Management Regulations are exempt from this chapter; and 
    6. Owners and operators of hazardous waste management units  regulated under the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60) are exempt from this chapter as far as such  units are concerned. 
    C. Owners and operators of facilities or units that treat or  dispose of wastes which are exempted from the Virginia Hazardous Waste  Management Regulations (9VAC20-60-12 et seq.) (9VAC20-60) are  subject to these regulations unless also exempted herein. 
    D. Facilities with separate ownership and operation. If  separate, nonexempt persons own and operate a facility subject to this chapter,  the owner and operator shall be jointly and severally liable for meeting the  requirements of this chapter. If either the owner or operator is exempt, as  provided in 9VAC20-70-50 B, then the other person shall be liable for meeting  the requirements of this chapter. If both the owner and the operator are  exempt, as provided in 9VAC20-70-50 B, then the requirements of this chapter  are not applicable to that facility. 
    E. Exemptions for facilities owned and operated by local  governments. 
    1. Closed facilities. Owners and operators of facilities who  are local governmental entities or regional authorities that have completed  closure by October 9, 1994, are exempt from all the requirements of this  chapter, provided they: 
    a. Have (i) disposed of less than 100 tons per day of solid  waste during a representative period prior to October 9, 1993; (ii) disposed of  less than 100 tons per day of solid waste each month between October 9, 1993,  and April 9, 1994; (iii) ceased to accept solid waste prior to April 9, 1994;  and (iv) whose units are not on the National Priority List as found in Appendix  B to 40 CFR Part 300; or 
    b. Have (i) disposed of more than 100 tons per day of solid  waste prior to October 9, 1993, and (ii) ceased to accept solid waste prior to  that date. 
    2. All other facilities. Owners and operators of facilities  who are local governmental entities or regional authorities that are not exempt  under subdivision 1 of this subsection are subject to the requirements of this  chapter. 
    9VAC20-70-70. Suspensions and revocations. 
    The director may revoke, suspend, or amend any permit for  cause as set in § 10.1-1409 of the Code of Virginia and as provided for in  9VAC20-80-600 9VAC20-81-570 and 9VAC20-80-620 9VAC20-81-600  of the Virginia Solid Waste Management Regulations, 9VAC20-120-790 and  9VAC20-120-810 of the Regulated Medical Waste Management Regulations, 9VAC20-101-200  of the Vegetative Waste Management and Yard Waste Composting Regulations,  and any other applicable regulations. Failure to provide or maintain adequate  financial assurance in accordance with these regulations shall be a basis for  revocation of such facility permit. Failure to provide or maintain adequate  financial assurance in accordance with this chapter, taken with other relevant  facts and circumstances, may be a basis for summary suspension of such facility  permit pending a hearing to amend or revoke the permit, or to issue any other appropriate  order. 
    9VAC20-70-75. Forfeitures. 
    Forfeiture of any financial obligation imposed pursuant to  this chapter shall not relieve any owner or operator of a solid waste  management facility from any obligations to comply with provisions of the Solid  Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  or the Regulated Medical Waste Management Regulations (9VAC20-120-10 et  seq.), the Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.) (9VAC20-120), and any other applicable  regulations or any other legal obligations for the consequences of abandonment  of any facility. 
    Article 2 
  Closure, Post-Closure Care and Corrective Action Requirements 
    9VAC20-70-90. Closure, post-closure care and corrective action  requirements. 
    A. The owner or operator shall close his facility in a manner  that minimizes the need for further maintenance; and controls, minimizes or  eliminates, to the extent necessary to protect human health and the  environment, the post-closure escape of uncontrolled leachate, surface runoff,  or waste decomposition products to the groundwater, surface water, or to the  atmosphere. The owner or operator shall close his facility in accordance with  all applicable regulations. 
    The closure standards applicable to the solid waste  management facilities are described in 9VAC20-80-210 B, 9VAC20-80-210 B 2,  9VAC20-80-250 E, 9VAC20-80-260 E, 9VAC20-80-270 E, 9VAC20-80-330 E,  9VAC20-80-340 E, 9VAC20-80-360 E, 9VAC20-80-370 E, 9VAC20-80-380 B, and  9VAC20-80-470 E 9VAC20-81-160, 9VAC20-81-360, and 9VAC20-81-370 of  the Solid Waste Management Regulations. The closure requirements applicable to  the regulated medical waste facilities are specified in 9VAC20-120-290 of the  Regulated Medical Waste Management Regulations. The closure requirements for  vegetative waste management and yard waste composting facilities are specified  in 9VAC20-101-150 of the Vegetative Waste Management and Yard Waste Composting  Regulations. 
    B. Following closure of each solid waste disposal unit, the  owner or operator shall conduct post-closure care in accordance with the  requirements of 9VAC20-80-250 F, 9VAC20-80-260 F, or 9VAC20-80-270 F 9VAC20-81-170  of the Solid Waste Management Regulations, as applicable. 
    C. The owner or operator shall institute a corrective action  program when required to do so by 9VAC20-80-190, 9VAC20-80-210 B 2, or  9VAC20-80-310 9VAC20-81-45 or 9VAC20-81-260 of the Solid Waste  Management Regulations, as applicable. 
    D. During any re-examination of a determination of the amount  of financial assurance required, the owner or operator of a landfill facility  not closed in accordance with 9VAC20-80-10 et seq. 9VAC20-81  shall demonstrate financial assurance by using one or more of the approved  mechanisms listed in Article 4 (9VAC20-70-140 et seq.) of this part for the  lesser of the following: 
    1. The amount requested by the director; or 
    2. The following default amounts: 
    a. $200,000 per acre of fill for sanitary landfills; or 
    b. $150,000 per acre of fill for construction demolition  debris landfills and industrial landfills. 
    9VAC20-70-113. Financial assurance for corrective action. 
    A. Within 120 days of a facility's finding or the director's  determining (whichever first occurs) that Groundwater Protection Standards  established as required by 9VAC20-80-250 D 6, or Appendix 5.6 D of  9VAC20-80-10 et seq. as applicable 9VAC20-81-250 have been  statistically exceeded, an owner or operator of a landfill or other unit  subject to groundwater monitoring shall provide additional financial assurance  in the amount of $1 million to the department using the mechanisms listed under  Article 4 (9VAC20-70-140 et seq.) of this part. The director shall release the  owner or operator from this requirement after the director has determined: 
    1. The owner or operator is providing financial assurance for  a corrective action program using one or more mechanisms listed under Article 4  (9VAC20-70-140 et seq.) of this part, as required under 9VAC20-70-90 C and  subsections B and C of this section; or 
    2. The owner of operator has achieved compliance with  Groundwater Protection Standards by demonstrating that concentrations of APPENDIX  5.1 constituents of 9VAC20-80-10 et seq. Table 3.1, Column B of  9VAC20-81-250 have not exceeded the Groundwater Protection Standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards. 
    B. An owner or operator of a solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  prepare and submit to the director a detailed written estimate, in current  dollars, of the cost of hiring a third party to perform the corrective action.  The corrective action cost estimate shall account for the total costs of  corrective action activities as described in the corrective action plan for the  entire corrective action period. The owner or operator shall notify the  director that the estimate has been placed in the operating record unless  corrective action is proceeding under Part IV of the Solid Waste Management  Regulations (9VAC20-80-10 et seq.) 9VAC20-81-45. In the latter case,  the new corrective action cost estimate shall be submitted to the director  within 30 days of its preparation. The corrective action cost estimate shall be  approved by the director. 
    1. The owner or operator shall adjust the estimate annually  for inflation within 60 days prior to the anniversary date of the establishment  of the financial mechanism used to comply with this part until the corrective  action program is completed. For owners or operators using the financial test  or guarantee, the corrective action cost estimate shall be updated for  inflation within 30 days after the close of the owner's or operator's fiscal  year. The adjustment process to be used is described in 9VAC20-70-111 B. 
    2. The owner or operator shall increase the corrective action  cost estimate and the amount of financial assurance provided under this  subsection no later than 30 days after revisions to the corrective action  program or where a change in the solid waste management unit conditions  increase the maximum costs of corrective action. 
    3. The owner or operator may request a reduction in the amount  of the corrective action cost estimate and the amount of financial assurance  provided under this subsection if the cost estimate exceeds the maximum  remaining costs of corrective action. The owner or operator shall submit a  revised cost estimate with the justification for the reduction to the director  when requesting a reduction in the amount of the corrective action cost  estimate and the amount of financial assurance provided. The justification  shall include an itemization of all corrective action costs. No reduction  request shall be reviewed until a complete cost estimate acceptable to the  department has been submitted. A request for a reduction in the corrective  action cost estimate shall be reviewed in a timely manner. 
    C. The owner or operator of each solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  establish financial assurance in the amount specified by the most recently  approved cost estimate for the selected remedy in accordance with  9VAC20-70-140. The owner or operator shall provide continuous coverage for  corrective action until released from financial assurance requirements for  corrective action by the director. 
    9VAC20-70-210. Local government financial test. 
    An owner or operator that satisfies the requirements of  subdivisions 1 through 3 of this section may demonstrate financial assurance  using the local government financial test up to the amount specified in  subdivision 4 of this section. 
    1. Financial component. 
    a. The owner or operator shall satisfy the provisions of  subdivision 1 a of this section, as applicable: 
    (1) If the owner or operator has outstanding, rated, general  obligation bonds that are not secured by insurance, a letter of credit, or  other collateral or guarantee, he shall supply the director with documentation  demonstrating that the owner or operator has a current rating of Aaa, Aa, A, or  Baa, as issued by Moody's, or AAA, AA, A, or BBB, as issued by Standard and  Poor's on all such general obligation bonds; or 
    (2) If the owner or operator does not have outstanding, rated  general obligation bonds, he shall satisfy each of the following financial  ratios based on the owner's or operator's most recent audited annual financial  statement: 
    (a) A ratio of cash plus marketable securities to total  expenditures greater than or equal to 0.05; and 
    (b) A ratio of annual debt service to total expenditures less  than or equal to 0.20. 
    b. The owner or operator shall prepare his financial  statements in conformity with Generally Accepted Accounting Principles for  governments and have its financial statements audited by an independent  certified public accountant or by the Auditor of Public Accounts. 
    c. An owner or operator is not eligible to assure its  obligations under this section if he: 
    (1) Is currently in default on any outstanding general  obligation bonds; 
    (2) Has any outstanding general obligation bonds rated lower  than Baa as issued by Moody's or BBB as issued by Standard and Poor's; 
    (3) Operated at a deficit equal to 5.0% or more of total  annual revenue in each of the past two fiscal years; or 
    (4) Receives an adverse opinion, disclaimer of opinion, or  other qualified opinion from the independent certified public accountant or  Auditor of Public Accounts auditing its financial statement as required under  subdivision 1 b of this section. However, the director may evaluate qualified  opinions on a case-by-case basis and allow use of the financial test in cases  where the director deems the qualification insufficient to warrant disallowance  of the test. 
    2. Public notice component. The local government owner or  operator shall place a reference to the closure, post-closure care, or  corrective action costs assured through the financial test into the next  comprehensive annual financial report (CAFR) after January 7, 1998, or prior to  the initial receipt of waste at the facility, whichever is later. Disclosure  shall include the nature and source of closure and post-closure requirements,  the reported liability at the balance sheet date, the estimated total closure  and post-closure care cost remaining to be recognized, the percentage of  landfill capacity used to date, and the estimated landfill life in years. A  reference to corrective action cost shall be placed in CAFR no later than 120  days after the corrective action remedy has been selected in accordance with 9VAC20-80-310  9VAC20-81-260. For the first year the financial test is used to assure  costs at a particular facility, the reference may instead be placed in the  operating record until issuance of the next available CAFR if timing does not  permit the reference to be incorporated into the most recently issued CAFR or  budget. For closure and post-closure care costs, conformance with Government  Accounting Standards Board Statement 18 assures compliance with this public  notice component. 
    3. Recordkeeping and reporting requirements. 
    a. The local government owner or operator must submit to the  department the following items and place copies of the items in the facility's  operating record: 
    (1) An original letter signed by the local government's chief  financial officer worded as specified in 9VAC20-70-290 G; 
    (2) The local government's independently audited year-end  financial statements for the latest fiscal year, including the unqualified  opinion of the auditor who must be an independent, certified public accountant  or an appropriate state agency that conducts equivalent comprehensive audits; 
    (3) A report to the local government from the local  government's independent certified public accountant (CPA) or the Auditor of  Public Accounts based on performing an agreed upon procedures engagement  relative to the financial ratios required by subdivision 1 a (3) of this  section, if applicable, and the requirements of subdivisions 1 b, 1 c (3) and 1  c (4) of this section. The CPA or state agency's report shall state the  procedures performed and the CPA or state agency's findings; 
    (4) A copy of the comprehensive annual financial report (CAFR)  used to comply with subdivision 2 of this section or certification that the  requirements of General Accounting Standards Board Statement 18 have been met; 
    (5) A certification from the local government's chief  executive officer stating in detail the method selected by the local government  for funding closure and post-closure costs. If the method selected by the local  government is a trust fund, escrow account or similar mechanism, there shall be  included a certification from the local government's chief financial officer  indicating the current reserve obligated to closure and post-closure care cost.  If the method selected by local governments is the use of annual operating  budget and Capital Investment Funds, there shall be a certification from the  local government's chief financial officer so indicating. Nothing herein shall  be construed to prohibit the local government from revising its plan for  funding closure and post-closure care costs if such revision provides economic  benefit to the local government and if such revision provides adequate means  for funding closure and post-closure care cost. This certification shall be  worded as specified in 9VAC20-70-290 H; and 
    (6) If the local government is required under this section to  fund a restricted sinking fund, escrow account, or to obtain an irrevocable  letter of credit, an original letter signed by the local government's chief  financial officer and worded as specified in 9VAC20-70-290 I must be submitted.  
    b. The items required in subdivision 3 a of this section shall  be submitted to the department and placed in the facility operating record as  follows: 
    (1) In the case of closure and post-closure care, either  before January 7, 1998, or prior to the initial receipt of waste at the  facility, whichever is later; or 
    (2) In the case of corrective action, not later than 120 days  after the corrective action remedy is selected in accordance with the  requirements of 9VAC20-80-310 9VAC20-81-260. 
    c. After the initial submission of the items, the local  government owner or operator must update the information, place a copy of the  updated information in the operating record, and submit the updated  documentation described in subdivisions 3 a (1) through (6) of this section to  the department within 180 days following the close of the owner or operator's  fiscal year. 
    d. The local government owner or operator is no longer  required to meet the requirements of subdivision 3 of this section when: 
    (1) The owner or operator substitutes alternate financial  assurance as specified in this section; or 
    (2) The owner or operator is released from the requirements of  this section in accordance with 9VAC20-70-111 E, 9VAC20-70-112 B, or  9VAC20-70-113 C. 
    e. A local government shall satisfy the requirements of the  financial test at the close of each fiscal year. If the local government owner  or operator no longer meets the requirements of the local government financial  test it must, within 210 days following the close of the owner or operator's  fiscal year, obtain alternative financial assurance that meets the requirements  of this section, place a copy of the financial assurance mechanism in the  operating record, and submit the original financial assurance mechanism to the  director. 
    f. The director, based on a reasonable belief that the local  government owner or operator may no longer meet the requirements of the local  government financial test, may require additional reports of financial  condition from the local government at any time. If the director finds, on the  basis of such reports or other information, that the owner or operator no  longer meets the requirements of the local government financial test, the local  government shall provide alternate financial assurance in accordance with this  article. 
    4. Calculation of costs to be assured. The portion of the  closure, post-closure, and corrective action costs for which an owner or  operator can assure under subdivision 1 of this section is determined as  follows: 
    a. If the local government owner or operator does not assure  other environmental obligations through a financial test, it may assure  closure, post-closure, and corrective action costs that equal up to 43% of the  local government's total annual revenue or the sum of total revenues of  constituent governments in the case of regional authorities. If the local  government assures closure, post-closure, and corrective action costs that  exceed 20% (but do not exceed 43%) of the local government's total annual  revenue or the sum of the revenue of constituent governments in the case of  regional authorities, the locality must also establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    b. If the local government assures other environmental obligations  through a financial test, including those associated with UIC facilities under  40 CFR 144.62, petroleum underground storage tank facilities under  9VAC25-590-10 et seq., PCB storage facilities under 40 CFR Part 761, and  hazardous waste treatment, storage, and disposal facilities under Part IX or X  of the Virginia Hazardous Waste Management Regulations (9VAC20-60-12 et  seq.) (9VAC20-60), it shall add those costs to the closure,  post-closure, and corrective action costs it seeks to assure under subdivision  1 of this section. The total shall not exceed 43% of the local government's  total annual revenue. If the local government's total environmental liabilities  assured through financial tests exceed 20% (but do not exceed 43%) of the local  government's total annual revenue or the sum of the revenue of constituent  governments in the case of regional authorities, the locality must also  establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    c. The owner or operator shall obtain an alternate financial  assurance mechanism for those costs that exceed the limits set in subdivisions  4 a and 4 b of this section. 
    9VAC20-70-290. Wording of financial mechanisms. 
    A. Wording of trust agreements. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    TRUST AGREEMENT 
    Trust agreement, the "Agreement," entered into as  of (date) by and between (name of the owner or operator), a (State)  (corporation, partnership, association, proprietorship), the  "Grantor," and (name of corporate trustee), a (State corporation)  (national bank), the "Trustee." 
    Whereas, the Virginia Waste Management Board has established  certain regulations applicable to the Grantor, requiring that the owner or operator  of a (solid) (regulated medical) (yard) waste (transfer station) (receiving)  (management) facility must provide assurance that funds will be available when  needed for (closure, post-closure care, or corrective action) of the facility, 
    Whereas, the Grantor has elected to establish a trust to  provide (all or part of) such financial assurance for the facility identified  herein, 
    Whereas, the Grantor, acting through its duly authorized  officers, has selected the Trustee to be the trustee under this agreement, and  the Trustee is willing to act as trustee, 
    Now, therefore, the Grantor and the Trustee agree as follows:  
    Section 1. Definitions. As used in this Agreement: 
    A. The term "fiduciary" means any person who  exercises any power of control, management, or disposition or renders  investment advice for a fee or other compensation, direct or indirect, with  respect to any moneys or other property of this trust fund, or has any  authority or responsibility to do so, or who has any authority or  responsibility in the administration of this trust fund. 
    B. The term "Grantor" means the owner or operator  who enters into this Agreement and any successors or assigns of the Grantor. 
    C. The term "Trustee" means the Trustee who enters  into this Agreement and any successor Trustee. 
    Section 2. Identification of Facility and Cost Estimates.  This Agreement pertains to facility(ies) and cost estimates identified on  attached Schedule A. 
    (NOTE: On Schedule A, for each facility list, as applicable,  the permit number, name, address, and the current closure, post-closure,  corrective action cost estimates, or portions thereof, for which financial  assurance is demonstrated by this Agreement.) 
    Section 3. Establishment of Fund. The Grantor and the Trustee  hereby establish a trust fund, the "Fund," for the benefit of the  Department of Environmental Quality, Commonwealth of Virginia. The Grantor and  the Trustee intend that no third party have access to the Fund except as herein  provided. The Fund is established initially as property consisting of cash or  securities, which are acceptable to the Trustee, described in Schedule B  attached hereto. Such property and any other property subsequently transferred  to the Trustee is referred to as the fund, together with all earnings and  profits thereon, less any payments or distributions made by the Trustee  pursuant to this Agreement. The Fund will be held by the Trustee, IN TRUST, as  hereinafter provided. The Trustee undertakes no responsibility for the amount  or adequacy of, nor any duty to collect from the Grantor, any payments to  discharge any liabilities of the Grantor established by the Commonwealth of  Virginia's Department of Environmental Quality. 
    Section 4. Payment for (Closure, Post-Closure Care, or  Corrective Action). The Trustee will make such payments from the Fund as the  Department of Environmental Quality, Commonwealth of Virginia will direct, in  writing, to provide for the payment of the costs of (closure, post-closure  care, corrective action) of the facility covered by this Agreement. The Trustee  will reimburse the Grantor or other persons as specified by the Department of  Environmental Quality, Commonwealth of Virginia, from the Fund for (closure,  post-closure care, corrective action) expenditures in such amounts as the  Department of Environmental Quality will direct, in writing. In addition, the  Trustee will refund to the Grantor such amounts as the Department of  Environmental Quality specifies in writing. Upon refund, such funds will no  longer constitute part of the Fund as defined herein. 
    Section 5. Payments Comprising the Fund. Payments made to the  Trustee for the fund will consist of cash or securities acceptable to the  Trustee. 
    Section 6. Trustee Management. The Trustee will invest and  reinvest the principal and income of the Fund and keep the Fund invested as a  single fund, without distinction between principal and income, in accordance  with investment guidelines and objectives communicated in writing to the  Trustee from time to time by the Grantor, subject, however, to the provisions  of this Section. In investing, reinvesting, exchanging, selling and managing  the Fund, the Trustee or any other fiduciary will discharge his duties with  respect to the trust fund solely in the interest of the beneficiary and with  the care, skill, prudence, and diligence under the circumstances then  prevailing which persons of prudence, acting in a like capacity and familiar  with such matters, would use in the conduct of any enterprise of a like  character and with like aims; except that: 
    A. Securities or other obligations of the Grantor, or any  other owner or operator of the facility, or any of their affiliates as defined  in the Investment Company Act of 1940, as amended, 15 USC § 80a-2(a), will not  be acquired or held, unless they are securities or other obligations of the  federal or a state government; 
    B. The Trustee is authorized to invest the Fund in time or  demand deposits of the Trustee, to the extent insured by an agency of the  federal or state government; and 
    C. The Trustee is authorized to hold cash awaiting investment  or distribution uninvested for a reasonable time and without liability for the  payment of interest thereon. 
    Section 7. Commingling and Investment. The Trustee is  expressly authorized in its discretion: 
    A. To transfer from time to time any or all of the assets of  the Fund to any common, commingled or collective trust fund created by the  Trustee in which the Fund is eligible to participate subject to all of the  provisions thereof, to be commingled with the assets of other trusts  participating herein. To the extent of the equitable share of the Fund in any  such commingled trust, such commingled trust will be part of the Fund; and 
    B. To purchase shares in any investment company registered  under the Investment Company Act of 1940, 15 USC § 80a-1 et seq., of one which  may be created, managed, underwritten, or to which investment advice is  rendered or the shares of which are sold by the Trustee. The Trustees may vote  such shares in its discretion. 
    Section 8. Express Powers of Trustee. Without in any way  limiting the powers and discretions conferred upon the Trustee by the other  provisions of this Agreement or by law, the Trustee is expressly authorized and  empowered: 
    A. To sell, exchange, convey, transfer or otherwise dispose of  any property held by it, by private contract or at public auction. No person  dealing with the Trustee will be bound to see to the application of the  purchase money or to inquire into the validity or expediency of any such sale  or other dispositions; 
    B. To make, execute, acknowledge and deliver any and all  documents of transfer and conveyance and any and all other instruments that may  be necessary or appropriate to carry out the powers herein granted; 
    C. To register any securities held in the fund in its own name  or in the name of a nominee and to hold any security in bearer form or in book  entry, or to combine certificates representing such securities with  certificates of the same issue held by the Trustee in other fiduciary  capacities, or to deposit or arrange for the deposit of such securities in a  qualified central depository even though, when so deposited, such securities  may be merged and held in bulk in the name of the nominee of such depository  with other securities deposited therein by another person, or to deposit or  arrange for the deposit of any securities issued by the United State  government, or any agency or instrumentality thereof with a Federal Reserve  Bank, but the books and records of the Trustee will at all times show that all  such securities are part of the Fund; 
    D. To deposit any cash in the fund in interest-bearing  accounts maintained or savings certificates issued by the Trustee, in its  separate corporate capacity, or in any other banking institution affiliated  with the Trustee, to the extent insured by an agency of the Federal or State  government; and 
    E. To compromise or otherwise adjust all claims in favor of or  against the Fund. 
    Section 9. Taxes and Expenses. All taxes of any kind that may  be assessed or levied against or in respect of the Fund and all brokerage  commissions incurred by the Fund will be paid from the Fund. All other expenses  incurred by the Trustee in connection with the administration of this Trust,  including fees for legal services rendered to the Trustee, the compensation of  the Trustee to the extent not paid directly by the Grantor, and all other  proper charges and disbursements of the Trustee will be paid from the Fund. 
    Section 10. Annual Valuation. The Trustee will annually, at  the end of the month coincident with or preceding the anniversary date of  establishment of the Fund, furnish the Grantor and to the director of the  Department of Environmental Quality, Commonwealth of Virginia, a statement  confirming the value of the Trust. Any securities in the Fund will be valued at  market value as of no more than 30 days prior to the date of the statement. The  failure of the Grantor to object in writing to the Trustee within 90 days after  the statement has been furnished to the Grantor and the director of the  Department of Environmental Quality, Commonwealth of Virginia will constitute a  conclusively binding assent by the Grantor, barring the Grantor from asserting  any claim or liability against the Trustee with respect to matters disclosed in  the statement. 
    Section 11. Advice of Counsel. The Trustee may from time to  time consult with counsel, who may be counsel to the Grantor, with respect to  any question arising as to the construction of this Agreement or any action to  be taken hereunder. The Trustee will be fully protected, to the extent  permitted by law, in acting upon the advice of counsel. 
    Section 12. Trustee Compensation. The Trustee will be  entitled to reasonable compensation for its services as agreed upon in writing  from time to time with the Grantor. 
    Section 13. Successor Trustee. The Trustee may resign or the  Grantor may replace the Trustee, but such resignation or replacement shall not  be effective until the Grantor has appointed a successor trustee and this  successor accepts the appointment. The successor trustee shall have the same  powers and duties as those conferred upon the Trustee hereunder. Upon  acceptance of the appointment by the successor trustee, the Trustee will  assign, transfer and pay over to the successor trustee the funds and properties  then constituting the Fund. If for any reason the grantor cannot or does not  act in the event of the resignation of the Trustee, the Trustee may apply to a  court of competent jurisdiction for the appointment of a successor trustee or  for instructions. The successor trustee and the date on which he assumes  administration of the trust will be specified in writing and sent to the  Grantor, the director of the Department of Environmental Quality, Commonwealth  of Virginia, and the present trustees by certified mail 10 days before such  change becomes effective. Any expenses incurred by the Trustee as a result of  any of the acts contemplated by this section will be paid as provided in Part  IX. 
    Section 14. Instructions to the Trustee. All orders, requests  and instructions by the Grantor to the Trustee will be in writing, signed by  such persons as are designated in the attached Exhibit A or such other  designees as the grantor may designate by amendment to Exhibit A. The Trustee  will be fully protected in acting without inquiry in accordance with the  Grantor's orders, requests and instructions. All orders, requests, and  instructions by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, to the Trustee will be in writing, signed by the  Director and the Trustee will act and will be fully protected in acting in  accordance with such orders, requests and instructions. The Trustee will have  the right to assume, in the absence of written notice to the contrary, that no  event constituting a change or a termination of the authority of any person to  act on behalf of the Grantor or the Commonwealth of Virginia's Department of  Environmental Quality hereunder has occurred. The Trustee will have no duty to  act in the absence of such orders, requests and instructions from the Grantor  and/or the Commonwealth of Virginia's Department of Environmental Quality,  except as provided for herein. 
    Section 15. Notice of Nonpayment. The Trustee will notify the  Grantor and the Director of the Department of Environmental Quality,  Commonwealth of Virginia, by certified mail within 10 days following the  expiration of the 30-day period after the anniversary of the establishment of  the Trust, if no payment is received from the Grantor during that period. After  the pay-in period is completed, the Trustee is not required to send a notice of  nonpayment. 
    Section 16. Amendment of Agreement. This Agreement may be  amended by an instrument in writing executed by the Grantor, the Trustee, and  the Director of the Department of Environmental Quality, Commonwealth of  Virginia, or by the Trustee and the Director of the Department of Environmental  Quality, Commonwealth of Virginia, if the Grantor ceases to exist. 
    Section 17. Irrevocability and Termination. Subject to the  right of the parties to amend this Agreement as provided in Section 16, this  Trust will be irrevocable and will continue until terminated at the written  agreement of the Grantor, the Trustee, and the Director of the Department of  Environmental Quality, Commonwealth of Virginia, or by the Trustee and the  Director if the Grantor ceases to exist. Upon termination of the Trust, all  remaining trust property, less final trust administration expenses, will be  delivered to the Grantor. 
    Section 18. Immunity and Indemnification. The Trustee will  not incur personal liability of any nature in connection with any act or  omission, made in good faith, in the administration of this Trust, or in  carrying out any directions by the Grantor or the Director of the Department of  Environmental Quality, Commonwealth of Virginia, issued in accordance with this  Agreement. The Trustee will be indemnified and saved harmless by the Grantor or  from the Trust Fund, or both, from and against any personal liability to which  the Trustee may be subjected by reason of any act or conduct in its official  capacity, including all expenses reasonably incurred in its defense in the  event the Grantor fails to provide such defense. 
    Section 19. Choice of Law. This Agreement will be  administered, construed and enforced according to the laws of the Commonwealth  of Virginia. 
    Section 20. Interpretation. As used in the Agreement, words  in the singular include the plural and words in the plural include the  singular. The descriptive headings for each section of this Agreement will not  affect the interpretation of the legal efficacy of this Agreement. 
    In witness whereof the parties have caused this Agreement to  be executed by their respective officers duly authorized and their corporate  seals to be hereunto affixed and attested as of the date first above written.  The parties below certify that the wording of this Agreement is identical to  the wording specified in 9VAC20-70-290 A of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer and Treatment Facilities, as such regulations  were constituted on the date shown immediately below. 
           |      (Signature of Grantor)      |                 |    
       |      By: (Title)      |          (Date)      |    
       |      Attest:      |                 |    
       |      (Title)      |          (Date)      |    
       |      (Seal)      |                 |    
       |      (Signature of Trustee)      |                 |    
       |      By      |                 |    
       |      Attest:      |                 |    
       |      (Title)      |                 |    
       |      (Seal)      |          (Date)      |    
  
    Certification of Acknowledgment: 
    COMMONWEALTH OF VIRGINIA 
    STATE OF __________ 
    CITY/COUNTY OF __________ 
    On this date, before me personally came (owner or operator)  to me known, who being by me duly sworn, did depose and say that she/he resides  at (address), that she/he is (title) of (corporation), the corporation  described in and which executed the above instrument; that she/he knows the  seal of said corporation; that the seal affixed to such instrument is such  corporate seal; that it was so affixed by order of the Board of Directors of said  corporation, and that she/he signed her/his name thereto by like order. 
    (Signature of Notary Public) 
    B. Wording of surety bond guaranteeing performance or  payment. 
    (NOTE: instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    PERFORMANCE OR PAYMENT BOND 
    Date bond executed: __________ 
    Effective date: __________ 
    Principal: (legal name and business address) _____________ 
    Type of organization: (insert "individual,"  "joint venture," "partnership," or "corporation")  _____________ 
    State of incorporation: __________ 
    Surety: (name and business address) _____________ 
    Name, address, permit number, if any, and (closure,  post-closure care, or corrective action) cost estimate for the facility:  _____________ 
    Penal sum of bond: $________ 
    Surety's bond number: __________ 
    Know all men by these present, That we, the Principal and  Surety hereto are firmly bound to the Department of Environmental Quality,  Commonwealth of Virginia, (hereinafter called the Department) in the above  penal sum for the payment of which we bind ourselves, our heirs, executors,  administrators, successors and assigns, jointly and severally; provided that,  where the Surety(ies) are corporations acting as co-sureties, we, the Sureties,  bind ourselves in such sum "jointly and severally" only for the  purpose of allowing a joint action or actions against any or all of us, and for  all other purposes each Surety binds itself, jointly and severally with the  Principal, for the payment of each sum only as is set forth opposite the name  of such Surety, but if no limit of liability is indicated, the limit of  liability shall be the full amount of the penal sum. 
    Whereas, said Principal is required to have a permit from the  Department of Environmental Quality, Commonwealth of Virginia, in order to own  or operate the (solid, regulated medical, yard) waste management facility  identified above, and 
    Whereas, said Principal is required to provide financial  assurance for (closure, post-closure care, corrective action) of the facility  as a condition of the permit or an order issued by the department, 
    Now, therefore the conditions of this obligation are such  that if the Principal shall faithfully perform (closure, post-closure care,  corrective action), whenever required to do so, of the facility identified  above in accordance with the order or the (closure, post-closure care,  corrective action) plan submitted to receive said permit and other requirements  of said permit as such plan and permit may be amended or renewed pursuant to  all applicable laws, statutes, rules, and regulations, as such laws, statutes,  rules, and regulations may be amended, 
    Or, if the Principal shall faithfully perform (closure,  post-closure care, corrective action) following an order to begin (closure,  post-closure care, corrective action) issued by the Commonwealth of Virginia's  Department of Environmental Quality or by a court, or following a notice of  termination of the permit, 
    Or, if the Principal shall provide alternate financial assurance  as specified in the Department's regulations and obtain the director's written  approval of such assurance, within 90 days of the date notice of cancellation  is received by the Director of the Department of Environmental Quality from the  Surety, then this obligation will be null and void, otherwise it is to remain  in full force and effect for the life of the management facility identified  above. 
    The Surety shall become liable on this bond obligation only  when the Principal has failed to fulfill the conditions described above. Upon  notification by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, that the Principal has been found in violation of the  requirements of the Department's regulations, the Surety must either perform  (closure, post-closure care, corrective action) in accordance with the approved  plan and other permit requirements or forfeit the (closure, post-closure care,  corrective action) amount guaranteed for the facility to the Commonwealth of  Virginia. 
    Upon notification by the Director of the Department of  Environmental Quality, Commonwealth of Virginia, that the Principal has been  found in violation of an order to begin (closure, post-closure care, corrective  action), the Surety must either perform (closure, post-closure care, corrective  action) in accordance with the order or forfeit the amount of the (closure,  post-closure care, corrective action) guaranteed for the facility to the  Commonwealth of Virginia. 
    The Surety hereby waives notification of amendments to the  (closure, post-closure care, corrective action) plans, orders, permit,  applicable laws, statutes, rules, and regulations and agrees that such  amendments shall in no way alleviate its obligation on this bond. 
    For purposes of this bond, (closure, post-closure care,  corrective action) shall be deemed to have been completed when the Director of  the Department of Environmental Quality, Commonwealth of Virginia, determines  that the conditions of the approved plan have been met. 
    The liability of the Surety shall not be discharged by any  payment or succession of payments hereunder, unless and until such payment or  payments shall amount in the aggregate to the penal sum of the bond, but the  obligation of the Surety hereunder shall not exceed the amount of said penal  sum unless the Director of the Department of Environmental Quality,  Commonwealth of Virginia, should prevail in an action to enforce the terms of  this bond. In this event, the Surety shall pay, in addition to the penal sum  due under the terms of the bond, all interest accrued from the date the  Director of the Department of Environmental Quality, Commonwealth of Virginia,  first ordered the Surety to perform. The accrued interest shall be calculated  at the judgment rate of interest pursuant to § 6.1-330.54 6.2-302  of the Code of Virginia. 
    The Surety may cancel the bond by sending written notice of  cancellation to the owner or operator and to the Director of the Department of  Environmental Quality, Commonwealth of Virginia, provided, however, that cancellation  cannot occur (1) during the 120 days beginning on the date of receipt of the  notice of cancellation by the director as shown on the signed return receipt;  or (2) while an enforcement action is pending. 
    The Principal may terminate this bond by sending written  notice to the Surety, provided, however, that no such notice shall become  effective until the Surety receives written authorization for termination of  the bond by the Director of the Department of Environmental Quality,  Commonwealth of Virginia. 
    In witness whereof, the Principal and Surety have executed  this Performance Bond and have affixed their seals on the date set forth above.  
    The persons whose signatures appear below hereby certify that  they are authorized to execute this surety bond on behalf of the Principal and  Surety and I hereby certify that the wording of this surety bond is identical  to the wording specified in 9VAC20-70-290 B of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    Principal 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Surety 
    Name and Address: __________ 
    State of Incorporation: __________ 
    Liability Limit: $___ 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Seal: 
    C. Wording of irrevocable standby letter of credit. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    IRREVOCABLE STANDBY LETTER OF CREDIT 
    Director 
    Department of Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia 23240-0009 
    Dear (Sir or Madam): 
    We hereby establish our Irrevocable Letter of Credit No......  in your favor at the request and for the account of (owner's or operator's name  and address) up to the aggregate amount of (in words) U.S. dollars $____,  available upon presentation of 
    1. Your sight draft, bearing reference to this letter of  credit No ____ together with 
    2. Your signed statement declaring that the amount of the  draft is payable pursuant to regulations issued under the authority of the  Department of Environmental Quality, Commonwealth of Virginia. 
    The following amounts are included in the amount of this  letter of credit: (Insert the facility permit number, if any, name and address,  and the closure, post-closure care, corrective action cost estimate, or  portions thereof, for which financial assurance is demonstrated by this letter  of credit.) 
    This letter of credit is effective as of (date) and will  expire on (date at least one year later), but such expiration date will be  automatically extended for a period of (at least one year) on (date) and on  each successive expiration date, unless, at least 120 days before the current  expiration date, we notify you and (owner or operator's name) by certified mail  that we decide not to extend the Letter of Credit beyond the current expiration  date. In the event you are so notified, unused portion of the credit will be  available upon presentation of your sight draft for 120 days after the date of  receipt by you as shown on the signed return receipt or while a compliance  procedure is pending, whichever is later. 
    Whenever this letter of credit is drawn on under and in  compliance with the terms of this credit, we will duly honor such draft upon  presentation to us, and we will pay to you the amount of the draft promptly and  directly. 
    I hereby certify that I am authorized to execute this letter  of credit on behalf of (issuing institution) and I hereby certify that the  wording of this letter of credit is identical to the wording specified in  9VAC20-70-290 C of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities as such regulations were  constituted on the date shown immediately below. 
    Attest: 
    (Print name and title of official of issuing institution)  (Date) 
        This credit is subject to (insert "the most recent  edition of the Uniform Customs and Practice for Documentary Credits, published by  the International Chamber of Commerce," of "the Uniform Commercial  Code.") 
    D. Assignment of certificate of deposit account. 
    City _______________________ ____________, 20___ 
    FOR VALUE RECEIVED, the undersigned assigns all right, title  and interest to the Virginia Department of Environmental Quality, Commonwealth  of Virginia, and its successors and assigns the Virginia Department of  Environmental Quality the principal amount of the instrument, including all  monies deposited now or in the future to that instrument, indicated below: 
    ( ) If checked here, this assignment includes all interest  now and hereafter accrued. 
    Certificate of Deposit Account No. _____________________ 
    This assignment is given as security to the Virginia  Department of Environmental Quality in the amount of _______________________  Dollars ($_____________). 
    Continuing Assignment. This assignment shall continue to  remain in effect for all subsequent terms of the automatically renewable  certificate of deposit. 
    Assignment of Document. The undersigned also assigns any  certificate or other document evidencing ownership to the Virginia Department  of Environmental Quality. 
    Additional Security. This assignment shall secure the payment  of any financial obligation of the (name of owner/operator) to the Virginia  Department of Environmental Quality for ("closure" "post closure  care" "corrective action") at the (facility name and permit  number) located (physical address) 
    Application of Funds. The undersigned agrees that all or any  part of the funds of the indicated account or instrument may be applied to the  payment of any and all financial assurance obligations of (name of  owner/operator) to the Virginia Department of Environmental Quality for  ("closure" "post closure care" "corrective  action") at the (facility name and address). The undersigned authorizes  the Virginia Department of Environmental Quality to withdraw any principal  amount on deposit in the indicated account or instrument including any  interest, if indicated, and to apply it in the Virginia Department of  Environmental Quality's discretion to fund ("closure" "post  closure care" "corrective action") at the (facility name) or in  the event of (owner or operator's) failure to comply with the Virginia Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities, 9VAC20-70-10 et seq 9VAC20-70. The undersigned agrees  that the Virginia Department of Environmental Quality may withdraw any  principal and/or interest from the indicated account or instrument without demand  or notice. (The undersigned) agrees to assume any and all loss of penalty due  to federal regulations concerning the early withdrawal of funds. Any partial  withdrawal of principal or interest shall not release this assignment. 
    The party or parties to this Assignment set their hand or  seals, or if corporate, has caused this assignment to be signed in its  corporate name by its duly authorized officers and its seal to be affixed by  authority of its Board of Directors the day and year above written. 
           |             |                 |          SEAL       |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
       |             |                 |          SEAL      |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
  
    THE FOLLOWING SECTION IS TO BE COMPLETED BY THE BRANCH OR  LENDING OFFICE: 
    The signature(s) as shown above compare correctly with the  name(s) as shown on record as owner(s) of the Certificate of Deposit indicated  above. The above assignment has been properly recorded by placing a hold in the  amount of $ _______________________ for the benefit of the Department of  Environmental Quality. 
    ( ) If checked here, the accrued interest on the Certificate  of Deposit indicated above has been maintained to capitalize versus being  mailed by check or transferred to a deposit account. 
           |             |                 |                 |    
       |      (Signature)      |                 |          (Date)      |    
       |             |                 |                 |    
       |      (print name)      |                 |                 |    
       |             |                 |                 |    
       |      (Title)      |                 |                 |    
  
    E. Wording of certificate of insurance. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    CERTIFICATE OF INSURANCE 
    Name and Address of Insurer (herein called the  "Insurer"): 
    _____________ 
    _____________
    Name and Address of Insured (herein called the  "Insured"): 
    _____________ 
    _____________ 
    _____________
    Facilities Covered: (List for each facility: Permit number  (if applicable), name, address and the amount of insurance for closure,  post-closure care, or corrective action. (These amounts for all facilities  covered shall total the face amount shown below.)) 
    Face Amount: $___ 
    Policy Number: __________ 
    Effective Date: __________ 
    The Insurer hereby certifies that it has issued to the  Insured the policy of insurance identified above to provide financial assurance  for (insert "closure," "post-closure care,"  "corrective action") for the facilities identified above. The Insurer  further warrants that such policy conforms in all respects with the requirements  of 9VAC20-70-190 of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities ("Regulations") (9VAC20-70-10  et seq.) (9VAC20-70), as such regulations were constituted on the  date shown immediately below. It is agreed that any provision of the policy  inconsistent with such regulations is hereby amended to eliminate such  inconsistency. 
    Whenever requested by the Director, the Insurer agrees to  furnish to the Director a duplicate original of the policy listed above,  including all endorsements thereon. 
    I hereby certify that the wording of this certificate is  identical to the wording specified in 9VAC20-70-290 E of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Authorized signature for Insurer) 
    (Name of person signing) 
    (Title of person signing) 
    Signature of witness or notary: 
    (Date) 
    F. Wording of letter from chief financial officer. 
    (NOTE: Instructions in  parentheses are to be replaced with the relevant information and the  parentheses removed.) 
    Director 
    Department of  Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia  23240-0009 
    Dear (Sir, Madam): 
    I am the chief financial officer of (name and address of  firm). This letter is in support of this firm's use of the financial test to  demonstrate financial assurance, as specified in 9VAC20-70-200 of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities (9VAC20-70-10 et seq.) (9VAC20-70)  ("Regulations"). 
    (Fill out the following four paragraphs regarding solid  waste, regulated medical waste, yard waste composting, hazardous waste,  underground injection (regulated under the federal program in 40 CFR Part 144,  or its equivalent in other states), petroleum underground storage (9VAC25-590-10  et seq.) (9VAC25-590), above ground storage facilities (9VAC25-640-10  et seq.) (9VAC25-640) and PCB storage (regulated under 40 CFR Part  761) facilities and associated cost estimates. If your firm has no facilities  that belong in a particular paragraph, write "None" in the space  indicated. For each facility, include its name, address, permit number, if any,  and current closure, post-closure care, corrective action or any other  environmental obligation cost estimates. Identify each cost estimate as to  whether it is for closure, post-closure care, corrective action or other  environmental obligation.) 
    1. This firm is the owner or operator of the following  facilities for which financial assurance is demonstrated through the corporate  test specified in 9VAC20-70-200 or its equivalent in other applicable  regulations. The current cost estimates covered by the test are shown for each  facility: 
    2. This firm guarantees, through the corporate guarantee  specified in 9VAC20-70-220, the financial assurance for the following  facilities owned or operated by subsidiaries of this firm. The current cost  estimates so guaranteed are shown for each facility: 
    3. This firm, as owner or operator or guarantor, is  demonstrating financial assurance for the following facilities through the use  of a financial test. The current cost estimates covered by such a test are  shown for each facility: 
    4. This firm is the owner or operator of the following waste  management facilities for which financial assurance is not demonstrated through  the financial test or any other financial assurance mechanism. The current cost  estimates for the facilities which are not covered by such financial assurance  are shown for each facility: 
    This firm (insert "is required" or "is not  required") to file a Form 10K with the Securities and Exchange Commission  (SEC) for the latest fiscal year. 
    The fiscal year of this firm ends on (month, day). The  figures for the following items marked with an asterisk are derived from this  firm's independently audited, year-end financial statements for the latest  completed fiscal year, ended (date). 
           |      1) Sum of current closure, post-closure care, corrective    action or other environmental obligations cost estimates (total of all cost    estimates shown in the four paragraphs above.)       |          $__________      |    
       |      2) Tangible net worth*       |          $__________      |    
       |      3) Total assets located in the United States*       |          $__________      |    
       |             |           YES      |          NO      |    
       |      Line 2 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
       |      Line 3 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
        |      |      |      |    
  
    (Fill in Alternative I if the criteria of 9VAC20-70-200 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-200 1 a (2)  are used. Fill in Alternative III if the criteria of 9VAC20-70-200 1 a (3) are  used.) 
    ALTERNATIVE I 
    Current bond rating of this firm's senior unsubordinated debt  and name of rating service 
    Date of issuance of bond 
    Date of maturity of bond 
           |      ALTERNATIVE II       |    
       |      4) Total liabilities* (if any portion of the closure,    post-closure care, corrective action or other environmental obligations cost    estimates is included in total liabilities, you may deduct the amount of that    portion from this line and add that amount to line 5.)       |          $___________      |    
       |      5) Net worth*       |          $___________      |    
       |      Is line 4 divided by line 5 less than 1.5?      |          YES      |          NO      |    
        |      |      |      |    
  
     
     
                    ALTERNATIVE III       |    
       |      6) Total liabilities*        |          $___________      |    
       |      7) The sum of net income plus depreciation, depletion, and    amortization minus $10 million*      |                 |          $___________      |    
       |      Is line 7 divided by line 6 less than 0.1?      |           YES      |          NO      |                 |    
        |      |      |      |    
  
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 F of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name) 
    (Title) 
    (Date) 
    G. Wording of the local government letter from chief  financial officer. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    LETTER FROM CHIEF FINANCIAL OFFICER 
    I am the chief financial officer of (insert: name and address  of local government owner or operator, or guarantor). This letter is in support  of the use of the financial test to demonstrate financial responsibility for  ("closure care" "post-closure care" "corrective action  costs") arising from operating a solid waste management facility. 
    The following facilities are assured by this financial test:  (List for each facility: the name and address of the facility, the permit  number, the closure, post-closure and/or corrective action costs, whichever  applicable, for each facility covered by this instrument). 
    This owner's or operator's financial statements were prepared  in conformity with Generally Accepted Accounting Principles for governments and  have been audited by ("an independent certified public accountant"  "Auditor of Public Accounts"). The owner or operator has not received  an adverse opinion or a disclaimer of opinion from ("an independent  certified public accountant" "Auditor of Public Accounts") on  its financial statements for the latest completed fiscal year. 
    This owner or operator is not currently in default on any  outstanding general obligation bond. Any outstanding issues of general  obligation, if rated, have a Moody's rating of Aaa, Aa, A, or Baa or a Standard  and Poor's rating of AAA, AA, A or BBB; if rated by both firms, the bonds have  a Moody's rating of Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA,  AA, A, or BBB. 
    The fiscal year of this owner or operator ends on (month,  day). The figures for the following items marked with the asterisk are derived  from this owner's or operator's independently audited, year-end financial  statements for the latest completed fiscal year ended (date). 
    (Please complete Alternative I or Alternative II.) 
    (Fill in Alternative I if the criteria in 9VAC20-70-210 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-210 1 a (2)  are used.) 
    ALTERNATIVE I—BOND RATING TEST 
    The details of the issue date, maturity, outstanding amount,  bond rating, and bond rating agency of all outstanding general obligation bond  issues that are being used by (name of local government owner or operator, or  guarantor) to demonstrate financial responsibility are as follows: (complete  table): 
           |      Issue Date      |          Maturity Date      |          Outstanding Amount      |          Bond Rating      |          Rating Agency      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
  
    Any outstanding issues of general obligation bonds, if rated,  have a Moody's rating of Aaa, Aa, A, or Baa or a Standard and Poor's rating of  AAA, AA, A or BBB; if rated by both firms, the bonds have a Moody's rating of  Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA, AA, A or BBB. 
           |      1) Sum of current closure,    post-closure and corrective action cost estimates (total of all cost    estimates listed above)      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |             |           YES      |          NO      |                 |    
       |      5) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |                 |    
       |      6) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |                 |    
       |      7) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |                 |    
       |      8) Is (line 1 + line 4e) <= (line 3a x 0.20)?      |          ____      |          ____      |                 |    
        |      |      |      |      |      |    
  
    If the answer to line 7 is yes and the answer to line 8 is  no, please attach documentation from the agent/trustee /issuing institution  stating the current balance of the account/fund /irrevocable letter of credit  as of the latest fiscal reporting year to this form as required by  9VAC20-70-210. 
    ALTERNATIVE II—FINANCIAL RATIO  TEST 
           |      1) Sum of current closure, post-closure and corrective    action cost estimates      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |      *5) Cash plus marketable securities      |          $_______________      |    
       |      *6) Total Expenditures      |          $_______________      |    
       |      *7) Annual Debt Service      |          $_______________      |    
       |             |          YES      |          NO      |    
       |      8) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |    
       |      9) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |    
       |      10) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |    
       |      11) Is (line 5 / line 6) >= 0.05?      |          ____      |          ____      |    
       |      12) Is (line 7 / line 6) <= 0.20?      |          ____      |          ____      |    
       |      13) Is (line 1 + line 4e) <= (line 3a x.20)      |          ____      |          ____      |    
  
    If the answer to line 13 is no, please attach documentation  from the agent/trustee/issuing institution stating the current balance of the  account/fund/irrevocable letter of credit as of the latest fiscal reporting  year to this form as required by 9VAC20-70-210. 
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 G of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    H. Certification of funding. 
    CERTIFICATION OF FUNDING 
    I certify the following information details the current plan  for funding closure and post closure at the solid waste management facilities  listed below. 
           |       Facility Permit #       |                 |          Source for funding closure and post closure       |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |      Name of Locality or Corporation:    _______________________________________      |    
       |             |                 |                 |                 |                 |    
       |      Signature      |                 |          Printed Name      |                 |          Date      |    
       |             |                 |                 |                 |                 |    
       |      Title      |                 |                 |                 |                 |    
        |      |      |      |      |      |      |      |    
  
    I. Certification of escrow/sinking fund /irrevocable letter  of credit balance. 
    CERTIFICATION OF ESCROW/SINKING FUND BALANCE OR AMOUNT OF  IRREVOCABLE LETTER OF CREDIT 
    I am the Chief Financial Officer of (name of locality) and  hereby certify that as of (date) the current balance in the restricted sinking  (type of fund) fund or the escrow account or the amount of the irrevocable  letter of credit restricted to landfill closure costs is $_____________ 
    The calculation used to determine the amount required to be  funded is as follows: 
    (Show the values that were used in the following formula: 
    (CE * CD) - E 
    Where CE is the current closure cost estimate, CD is the  percentage of landfill capacity used to date, and E is current year expenses  for closure.) 
    Therefore, this account has been funded or an irrevocable  letter of credit has been obtained in accordance with the Financial Assurance  Regulations for Solid Waste Disposal, Transfer and Treatment Facilities, 9VAC20-70-10  et seq 9VAC20-70. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    J. Wording of corporate guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    CORPORATE GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a business corporation organized under the laws of the state of (insert name of  state), herein referred to as guarantor. This guarantee is made on behalf of  the (owner or operator) of (business address), which is (one of the following:  "our subsidiary"; "a subsidiary of (name and address of common  parent corporation) of which guarantor is a subsidiary"; or "an  entity with which the guarantor has a substantial business relationship, as  defined in Part I of the Virginia Financial Assurance Regulations for Solid  Waste Disposal, Transfer, and Treatment Facilities (9VAC20-70-10 et seq.)  (9VAC20-70)") to the Virginia Department of Environmental Quality  ("Department"), obligee, on behalf of our subsidiary (owner or  operator) of (business address). 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-200 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-220 of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer, and Treatment Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care, corrective  action or other environmental obligations.) 
    3. "Closure plans", "post-closure care  plans" and "corrective action plans" as used below refer to the  plans maintained as required by the Solid Waste Management Regulations (9VAC20-80-10  et seq.), (9VAC20-81), or the Regulated Medical Waste Management  Regulations (9VAC20-120-10 et seq.), (9VAC20-120) or  Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.). 
    4. For value received from (owner or operator), guarantor guarantees  to the Department that in the event that (owner or operator) fails to perform  (insert "closure," "post-closure care," or "corrective  action") of the above facility(ies) in accordance with the closure or  post-closure care plans and other (requirements of the) permit or (the order)  whenever required to do so, the guarantor shall do so or establish a trust fund  as specified in 9VAC20-70-140 in the name of (owner or operator) in the amount  of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (Bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure, post-closure or corrective action plan, amendment or modification of  the permit, amendment or modification of the order, the extension or reduction  of the time of performance of closure, post-closure, or corrective action or  any other modification or alteration of an obligation of the owner or operator  pursuant to the (Virginia Solid or Regulated Medical Waste Management or  Vegetative Waste Management and Yard Waste Composting Regulations or § 10.1-1454.1 of the Code of Virginia) (Solid Waste Management Regulations  or Regulated Medical Waste Management Regulations or § 10.1-1454.1 of the  Code of Virginia). 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. (Insert the following language if the guarantor is (a) a  direct or higher-tier corporate parent, or (b) a firm whose parent corporation  is also the parent corporation of the owner or operator:) Guarantor may  terminate this guarantee by sending notice by certified mail to the Director of  the Department of Environmental Quality and to the (owner or operator),  provided that this guarantee may not be terminated unless and until (the owner  or operator) obtains and the director approves, alternate (closure,  post-closure, corrective action) coverage complying with the requirements of 9VAC20-70-10  et seq 9VAC20-70. (Insert the following language if the guarantor is  a firm qualifying as a guarantor due to its "substantial business  relationship" with the owner or operator:) Guarantor may terminate this  guarantee 120 days following the receipt of notification, through certified  mail, by the director and by (the owner or operator). 
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of the  Regulations, and obtain written approval of such assurance from the director  within 90 days after a notice of cancellation by the guarantor is received by  the director from guarantor, guarantor shall provide such alternate financial  assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording in 9VAC20-70-290 J of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    (Name of guarantor) 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    K. Wording of local government guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    LOCAL GOVERNMENT GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a local government created under the laws of the state of Virginia, herein  referred to as guarantor. This guarantee is made on behalf of the (owner or  operator) of (address), to the Virginia Department of Environmental Quality  ("Department"), obligee. 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-210 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-230 of the Financial Assurance Regulations  for Solid Waste Disposal, Treatment and Transfer Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care,  corrective action or other environmental obligations.) 
    3. "Closure plans" and "post-closure care  plans" as used below refer to the plans maintained as required by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.), or Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101-10 et seq.)  (9VAC20-81).
    4. For value received from (owner or operator), guarantor  guarantees to the Department that in the event that (owner or operator) fails  to perform (insert "closure," "post-closure care," or  "corrective action") of the above facility(ies) in accordance with  the closure or post-closure care plans and other (requirements of the) permit  or (the order) whenever required to do so, the guarantor shall do so or  establish a trust fund as specified in 9VAC20-70-150 in the name of (owner or  operator) in the amount of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations in  the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure or post-closure plan, amendment or modification of the closure or  post-closure plan, amendment or modification of the permit, amendment or  modification of the order, the extension or reduction of the time of performance  of the closure or post-closure, or any other modification or alteration of an  obligation of the owner or operator pursuant to the Virginia (Solid Waste  Management or Regulated Medical Waste Management) or Vegetative  Waste Management and Yard Waste Composting) Regulations. 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. Guarantor may terminate this guarantee by sending notice  by certified mail to the Director of the Department of Environmental Quality  and to the (owner or operator), provided that this guarantee may not be  terminated unless and until (the owner or operator) obtains and the director  approves, alternate (closure, post-closure, corrective action,) coverage  complying with the requirements of 9VAC20-70-10 et seq 9VAC20-70.  
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of  the Regulations, and obtain written approval of such assurance from the  director with 90 days after a notice of cancellation by the guarantor is  received by the director from guarantor, guarantor shall provide such alternate  financial assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording specified in 9VAC20-70-290 K of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Name of guarantor) __________ 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    Part I 
  Definitions 
    9VAC20-81-10. Definitions.
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at completion of  closure activities required by this chapter. 
    "Active portion" means that part of a facility or  unit that has received or is receiving wastes and that has not been closed in  accordance with this chapter. 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Airport" means, for the purpose of this chapter, a  military airfield or a public-use airport open to the public without prior  permission and without restrictions within the physical capacities of available  facilities.
    "Aquifer" means a geologic formation, group of  formations, or a portion of a formation capable of yielding significant  quantities of groundwater to wells or springs.
    "Ash" means the fly ash or bottom ash residual  waste material produced from incineration or burning of solid waste or from any  fuel combustion. 
    "Base flood" see "Hundred-year flood."
    "Bedrock" means the rock that underlies soil or  other unconsolidated, superficial material at a site. 
    "Benchmark" means a permanent monument constructed  of concrete and set in the ground surface below the frostline with identifying  information clearly affixed to it. Identifying information will include the  designation of the benchmark as well as the elevation and coordinates on the  local or Virginia state grid system. 
    "Beneficial use" means a use that is of benefit as  a substitute for natural or commercial products and does not contribute to  adverse effects on health or environment. 
    "Bioremediation" means remediation of contaminated  media by the manipulation of biological organisms to enhance the degradation of  contaminants. 
    "Bird hazard" means an increase in the likelihood  of bird/aircraft collisions that may cause damage to the aircraft or injury to  its occupants. 
    "Board" means the Virginia Waste Management Board. 
    "Bottom ash" means ash or slag that has been  discharged from the bottom of the combustion unit after combustion. 
    "Capacity" means the maximum permitted volume of  solid waste, inclusive of daily and intermediate cover, that can be disposed in  a landfill. This volume is measured in cubic yards.
    "Captive industrial landfill" means an industrial  landfill that is located on property owned or controlled by the generator of  the waste disposed of in that landfill.
    "Clean wood" means solid waste consisting of  untreated wood pieces and particles that do not contain paint, laminate,  bonding agents, or chemical preservatives or are otherwise unadulterated.
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of  this chapter. 
    "Closure" means that point in time when a permitted  landfill has been capped, certified as properly closed by a professional  engineer, inspected by the department, and closure notification is performed by  the department in accordance with 9VAC20-81-160 D. 
    "Coal combustion byproducts" or "CCB"  means residuals, including fly ash, bottom ash, boiler slag, and flue gas  emission control waste produced by burning coal. 
    "Combustion unit" means an incinerator, waste heat  recovery unit, or boiler. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants,  and shopping centers. 
    "Compliance schedule" means a time schedule for  measures to be employed on a solid waste management facility that will  ultimately upgrade it to conform to this chapter. 
    "Compost" means a stabilized organic product  produced by a controlled aerobic decomposition process in such a manner that  the product can be handled, stored, and/or applied to the land without  adversely affecting public health or the environment. 
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Conditionally exempt small quantity generator"  means a generator of hazardous waste who has been so defined in 40 CFR 261.5,  as amended. That section applies to the persons who generate in that calendar  month no more than 100 kilograms of hazardous waste or one kilogram of acutely  hazardous waste. 
    "Construction" means the initiation of permanent  physical change at a property with the intent of establishing a solid waste  management unit. This does not include land-clearing activities, excavation for  borrow purposes, activities intended for infrastructure purposes, or activities  necessary to obtain Part A siting approval (i.e., advancing of exploratory  borings, digging of test pits, groundwater monitoring well installation, etc.).
    "Construction/demolition/debris landfill" or  "CDD landfill" means a land burial facility engineered, constructed  and operated to contain and isolate construction waste, demolition waste,  debris waste, split tires, and white goods or combinations of the above solid  wastes. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes include,  but are not limited to lumber, wire, sheetrock, broken brick, shingles, glass,  pipes, concrete, paving materials, and metal and plastics if the metal or  plastics are a part of the materials of construction or empty containers for  such materials. Paints, coatings, solvents, asbestos, any liquid, compressed  gases or semi-liquids and garbage are not construction wastes. 
    "Contaminated soil" means, for the purposes of this  chapter, a soil that, as a result of a release or human usage, has absorbed or  adsorbed physical, chemical, or radiological substances at concentrations above  those consistent with nearby undisturbed soil or natural earth materials. 
    "Container" means any portable device in which a  material is stored, transported, treated, or otherwise handled and includes  transport vehicles that are containers themselves (e.g., tank trucks) and  containers placed on or in a transport vehicle. 
    "Containment structure" means a closed vessel such  as a tank or cylinder. 
    "Convenience center" means a collection point for  the temporary storage of solid waste provided for individual solid waste  generators who choose to transport solid waste generated on their own premises  to an established centralized point, rather than directly to a disposal  facility. To be classified as a convenience center, the collection point may  not receive waste from collection vehicles that have collected waste from more  than one real property owner. A convenience center shall be on a system of  regularly scheduled collections.
    "Cover material" means compactable soil or other  approved material that is used to blanket solid waste in a landfill.
    "Daily disposal limit" means the amount of solid  waste that is permitted to be disposed at the facility and shall be computed on  the amount of waste disposed during any operating day.
    "Debris waste" means wastes resulting from  land-clearing operations. Debris wastes include, but are not limited to stumps,  wood, brush, leaves, soil, and road spoils. 
    "Decomposed vegetative waste" means a stabilized organic  product produced from vegetative waste by a controlled natural decay process in  such a manner that the product can be handled, stored, or applied to the land  without adversely affecting public health or the environment.
    "Demolition waste" means that solid waste that is  produced by the destruction of structures and their foundations and includes  the same materials as construction wastes. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. For purposes of submissions to the director as specified  in the Waste Management Act, submissions may be made to the department. 
    "Discard" means to abandon, dispose of, burn,  incinerate, accumulate, store, or treat before or instead of being abandoned,  disposed of, burned, or incinerated. 
    "Discarded material" means a material that is: 
    1. Abandoned by being: 
    a. Disposed of; 
    b. Burned or incinerated; or 
    c. Accumulated, stored, or treated (but not used, reused, or  reclaimed) before or in lieu of being abandoned by being disposed of, burned,  or incinerated; or
    2. Recycled used, reused, or reclaimed material as defined in  this part.
    "Disclosure statement" means a sworn statement or  affirmation as required by § 10.1-1400 of the Code of Virginia. (see DEQ  Form DISC-01 and 02 (Disclosure Statement)).
    "Displacement" means the relative movement of any  two sides of a fault measured in any direction. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Disposal unit boundary" or "DUB" means  the vertical plane located at the edge of the waste disposal unit. This  vertical plane extends down into the uppermost aquifer. The DUB must be  positioned within or coincident to the waste management boundary.
    "EPA" means the United States Environmental  Protection Agency. 
    "Exempt management facility" means a site used for  activities that are conditionally exempt from management as a solid waste under  this chapter. The facility remains exempt from solid waste management  requirements provided it complies with the applicable conditions set forth in  Parts II (9VAC20-81-20 et seq.) and IV (9VAC20-81-300 et seq.) of this chapter.
    "Expansion" means a horizontal expansion of the  waste management boundary as identified in the Part A application. If a  facility's permit was issued prior to the establishment of the Part A process,  an expansion is a horizontal expansion of the disposal unit boundary. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Facility boundary" means the boundary of the solid  waste management facility. For landfills, this boundary encompasses the waste  management boundary and all ancillary activities including, but not limited to  scales, groundwater monitoring wells, gas monitoring probes, and maintenance  facilities as identified in the facility's permit application. For facilities  with a permit-by-rule (PBR) the facility boundary is the boundary of the  property where the permit-by-rule activity occurs. For unpermitted solid waste  management facilities, the facility boundary is the boundary of the property  line where the solid waste is located.
    "Facility structure" means any building, shed, or  utility or drainage line on the facility. 
    "Fault" means a fracture or a zone of fractures in  any material along which strata on one side have been displaced with respect to  that on the other side. 
    "Floodplain" means the lowland and relatively flat  areas adjoining inland and coastal waters, including low-lying areas of  offshore islands where flooding occurs. 
    "Fly ash" means ash particulate collected from air  pollution attenuation devices on combustion units. 
    "Food-chain crops" means crops grown for human  consumption, tobacco, and crops grown for pasture and forage or feed for  animals whose products are consumed by humans. 
    "Fossil fuel combustion products" means coal  combustion byproducts as defined in this regulation, coal combustion byproducts  generated at facilities with fluidized bed combustion technology, petroleum  coke combustion byproducts, byproducts from the combustion of oil, byproducts  from the combustion of natural gas, and byproducts from the combustion of  mixtures of coal and "other fuels" (i.e., co-burning of coal with  "other fuels" where coal is at least 50% of the total fuel). For  purposes of this definition, "other fuels" means waste-derived fuel  product, auto shredder fluff, wood wastes, coal mill rejects, peat, tall oil,  tire-derived fuel, deionizer resins, and used oil. 
    "Free liquids" means liquids that readily separate  from the solid portion of a waste under ambient temperature and pressure as  determined by the Paint Filter Liquids Test, Method 9095, U.S. Environmental  Protection Agency, Publication SW-846. 
    "Garbage" means readily putrescible discarded  materials composed of animal, vegetable or other organic matter. 
    "Gas condensate" means the liquid generated as a  result of gas control or recovery processes at the solid waste management  facility. 
    "Governmental unit" means any department,  institution, or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.
    "Ground rubber" means material processed from waste  tires that is no larger than 1/4 inch in any dimension. This includes crumb  rubber that is measured in mesh sizes. 
    "Groundwater" means water below the land surface in  a zone of saturation. 
    "Hazardous constituent" means a constituent of  solid waste found listed in Appendix VIII of 9VAC20-60-261.
    "Hazardous waste" means a "hazardous  waste" as described by the Virginia Hazardous Waste Management Regulations  (9VAC20-60).
    "Holocene" means the most recent epoch of the  Quaternary period, extending from the end of the Pleistocene Epoch to the  present. 
    "Home use" means the use of compost for growing  plants that is produced and used on a privately owned residential site. 
    "Host agreement" means any lease, contract,  agreement, or land use permit entered into or issued by the locality in which  the landfill is situated that includes terms or conditions governing the  operation of the landfill. 
    "Household hazardous waste" means any waste  material derived from households (including single and multiple residences,  hotels, motels, bunkhouses, ranger stations, crew quarters, campgrounds, picnic  grounds, and day-use recreation areas) which, except for the fact that it is  derived from a household, would otherwise be classified as a hazardous waste in  accordance with 9VAC20-60.
    "Household waste" means any waste material,  including garbage, trash, and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds, and day-use recreation  areas. Household wastes do not include sanitary waste in septic tanks (septage)  that is regulated by other state agencies. 
    "Hundred-year flood" means a flood that has a 1.0%  or greater chance of recurring in any given year or a flood of magnitude  equaled or exceeded on the average only once in a hundred years on the average  over a significantly long period. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Incinerator" means a facility or device designed  for the treatment of solid waste by combustion. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts; inorganic  chemicals; iron and steel manufacturing; leather and leather products;  nonferrous metals manufacturing/foundries; organic chemicals; plastics and  resins manufacturing; pulp and paper industry; rubber and miscellaneous plastic  products; stone, glass, clay, and concrete products; textile manufacturing;  transportation equipment; and water treatment. This term does not include  mining waste or oil and gas waste. 
    "Industrial waste landfill" means a solid waste  landfill used primarily for the disposal of a specific industrial waste or a  waste that is a byproduct of a production process. 
    "Injection well" means, for the purposes of this  chapter, a well or bore hole into which fluids are injected into selected  geological horizons. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Interim cover systems" means temporary cover  systems applied to a landfill area when landfilling operations will be  temporarily suspended for an extended period (typically, longer than one year).  At the conclusion of the interim period, the interim cover system may be  removed and landfilling operations resume or final cover is installed.
    "Karst topography" means areas where karst terrane,  with its characteristic surface and subterranean features, is developed as the  result of dissolution of limestone, dolomite, or other soluble rock.  Characteristic physiographic features present in karst terranes include, but  are not limited to, sinkholes, sinking streams, caves, large springs, and blind  valleys. 
    "Key personnel" means the applicant itself and any  person employed by the applicant in a managerial capacity, or empowered to make  discretionary decisions, with respect to the solid waste or hazardous waste  operations of the applicant in Virginia, but shall not include employees  exclusively engaged in the physical or mechanical collection, transportation,  treatment, storage, or disposal of solid or hazardous waste and such other  employees as the director may designate by regulation. If the applicant has not  previously conducted solid waste or hazardous waste operations in Virginia, the  term also includes any officer, director, partner of the applicant, or any  holder of 5.0% or more of the equity or debt of the applicant. If any holder of  5.0% or more of the equity or debt of the applicant or of any key personnel is  not a natural person, the term includes all key personnel of that entity,  provided that where such entity is a chartered lending institution or a  reporting company under the Federal Security and Exchange Act of 1934, the term  does not include key personnel of such entity. Provided further that the term  means the chief executive officer of any agency of the United States or of any  agency or political subdivision of the Commonwealth, and all key personnel of  any person, other than a natural person, that operates a landfill or other  facility for the disposal, treatment, or storage of nonhazardous solid waste  under contract with or for one of those governmental entities. 
    "Lagoon" means a body of water or surface  impoundment designed to manage or treat waste water. 
    "Land-clearing activities" means the removal of  flora from a parcel of land.
    "Land-clearing debris" means vegetative waste  resulting from land-clearing activities. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill. 
    "Landfill gas" means gas generated as a byproduct  of the decomposition of organic materials in a landfill. Landfill gas consists  primarily of methane and carbon dioxide. 
    "Landfill mining" means the process of excavating  solid waste from an existing landfill. 
    "Leachate" means a liquid that has passed through  or emerged from solid waste and contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation to disposal in an off-site facility is regulated as septage,  leachate discharged into a waste water collection system is regulated as  industrial waste water and leachate that has contaminated groundwater is  regulated as contaminated groundwater. 
    "Lead acid battery" means, for the purposes of this  chapter, any wet cell battery. 
    "Lift" means the daily landfill layer of compacted  solid waste plus the cover material. 
    "Liquid waste" means any waste material that is  determined to contain "free liquids" as defined by this chapter. 
    "Lithified earth material" means all rock,  including all naturally occurring and naturally formed aggregates or masses of  minerals or small particles of older rock, that formed by crystallization of  magma or by induration of loose sediments. This term does not include manmade  materials, such as fill, concrete, and asphalt, or unconsolidated earth  materials, soil, or regolith lying at or near the earth's surface. 
    "Litter" means, for purposes of this chapter, any  solid waste that is discarded or scattered about a solid waste management  facility outside the immediate working area. 
    "Lower explosive limit" means the lowest  concentration by volume of a mixture of explosive gases in air that will  propagate a flame at 25°C and at atmospheric pressure. 
    "Materials recovery facility" means a solid waste  management facility for the collection, processing, and recovery of material  such as metals from solid waste or for the production of a fuel from solid  waste. This does not include the production of a waste-derived fuel product. 
    "Maximum horizontal acceleration in lithified earth  material" means the maximum expected horizontal acceleration depicted on a  seismic hazard map, with a 90% or greater probability that the acceleration  will not be exceeded in 250 years, or the maximum expected horizontal  acceleration based on a site-specific seismic risk assessment. 
    "Monitoring" means all methods, procedures, and  techniques used to systematically analyze, inspect, and collect data on  operational parameters of the facility or on the quality of air, groundwater,  surface water, and soils. 
    "Monitoring well" means a well point below the  ground surface for the purpose of obtaining periodic water samples from  groundwater for quantitative and qualitative analysis. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses except composting as defined and regulated under this  chapter. 
    "Municipal solid waste" means that waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from combustion of these wastes. 
    "New solid waste management facility" means a  facility or a portion of a facility that was not included in a previous  determination of site suitability (Part A approval). 
    "Nuisance" means an activity that unreasonably  interferes with an individual's or the public's comfort, convenience or  enjoyment such that it interferes with the rights of others by causing damage,  annoyance, or inconvenience. 
    "Offsite" means any site that does not meet the  definition of onsite as defined in this part. 
    "Onsite" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same  person, but connected by a right-of-way that he controls and to which the  public does not have access, are also considered onsite property. 
    "Open burning" means the combustion of solid waste  without:
    1. Control of combustion air to maintain adequate temperature  for efficient combustion;
    2. Containment of the combustion reaction in an enclosed  device to provide sufficient residence time and mixing for complete combustion;  and
    3. Control of the combustion products' emission. 
    "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.
    "Operating record" means records required to be  maintained in accordance with the facility permit or this part (see  9VAC20-81-530). 
    "Operation" means all waste management activities  at a solid waste management facility beginning with the initial receipt of  solid waste for treatment, storage, disposal, or transfer and ceasing with the  initiation of final closure activities at the solid waste management facility  subsequent to the final receipt of waste.
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means the person who owns a solid waste  management facility or part of a solid waste management facility.
    "PCB" means any chemical substance that is limited  to the biphenyl molecule that has been chlorinated to varying degrees or any  combination of substances that contain such substance (see 40 CFR 761.3, as  amended).
    "Perennial stream" means a well-defined channel  that contains water year round during a year of normal rainfall. Generally, the  water table is located above the streambed for most of the year and groundwater  is the primary source for stream flow. A perennial stream exhibits the typical  biological, hydrological, and physical characteristics commonly associated with  the continuous conveyance of water.
    "Permit" means the written permission of the  director to own, operate, or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation, or any  other legal entity. 
    "Point source" means any discernible, confined, and  discrete conveyance, including but not limited to any pipe, ditch, channel,  tunnel, conduit, well, discrete fissure, container, rolling stock, vessel, or  other floating craft, from which pollutants are or may be discharged. Return  flows from irrigated agriculture are not included. 
    "Pollutant" means any substance that causes or  contributes to, or may cause or contribute to, environmental degradation when  discharged into the environment. 
    "Poor foundation conditions" means those areas  where features exist that indicate that a natural or man-induced event may  result in inadequate foundation support for the structural components of a  solid waste management facility. 
    "Postclosure" means the requirements placed upon  solid waste disposal facilities after closure to ensure environmental and  public health safety for a specified number of years after closure. 
    "Process rate" means the maximum rate of waste  acceptance that a solid waste management facility can process for a  treatment and/or storage. This rate is limited by the capabilities of  equipment, personnel, and infrastructure. 
    "Processing" means preparation, treatment, or  conversion of waste by a series of actions, changes, or functions that bring  about a desired end result. 
    "Professional engineer" means an engineer licensed  to practice engineering in the Commonwealth as defined by the rules and  regulations set forth by the Board of Architects, Professional Engineers, Land  Surveyors, and Landscape Architects (18VAC10-20).
    "Professional geologist" means a geologist licensed  to practice geology in the Commonwealth as defined by the rules and regulations  set forth by the Board for Geology (18VAC70-20).
    "Progressive cover" means cover material placed  over the working face of a solid waste disposal facility advancing over the  deposited waste as new wastes are added keeping the exposed area to a minimum. 
    "Putrescible waste" means solid waste that contains  organic material capable of being decomposed by micro-organisms and cause  odors. 
    "Qualified groundwater scientist" means a scientist  or engineer who has received a baccalaureate or postgraduate degree in the  natural sciences or engineering and has sufficient training and experience in  groundwater hydrology and related fields as may be demonstrated by professional  certifications, or completion of accredited university programs that enable  that individual to make sound professional judgments regarding groundwater  monitoring, contaminant fate and transport, and corrective action. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act of 1976 (42 USC  § 6901 et seq.), the Hazardous and Solid Waste Amendments of 1984, and any  other applicable amendments to these laws. 
    "Reclaimed material" means a material that is  processed or reprocessed to recover a usable product or is regenerated to a  usable form. 
    "Refuse" means all solid waste products having the  character of solids rather than liquids and that are composed wholly or  partially of materials such as garbage, trash, rubbish, litter, residues from  clean up of spills or contamination, or other discarded materials. 
    "Refuse-derived fuel (RDF)" means a type of  municipal solid waste produced by processing municipal solid waste through  shredding and size classification. This includes all classes of refuse-derived  fuel including low-density fluff refuse-derived fuel through densified  refuse-derived fuel and pelletized refuse-derived fuel.
    "Regulated hazardous waste" means a solid waste  that is a hazardous waste, as defined in the Virginia Hazardous Waste  Management Regulations (9VAC20-60), that is not excluded from those regulations  as a hazardous waste. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Release" means, for the purpose of this chapter,  any spilling, leaking, pumping, pouring, emitting, emptying, discharging,  injection, escaping, leaching, dumping, or disposing into the environment solid  wastes or hazardous constituents of solid wastes (including the abandonment or  discarding of barrels, containers, and other closed receptacles containing  solid waste). This definition does not include any release that results in  exposure to persons solely within a workplace; release of source, byproduct, or  special nuclear material from a nuclear incident, as those terms are defined in  the Atomic Energy Act of 1954 (68 Stat. 923); and the normal application of  fertilizer. For the purpose of this chapter, release also means substantial  threat of release. 
    "Remediation waste" means all solid waste,  including all media (groundwater, surface water, soils, and sediments) and  debris, that are managed for the purpose of remediating a site in accordance  with 9VAC20-81-45 or Part III (9VAC20-81-100 et seq.) of this chapter or under  the Voluntary Remediation Regulations (9VAC20-160) or other regulated  remediation program under DEQ oversight. For a given facility, remediation  wastes may originate only from within the boundary of that facility, and may  include wastes managed as a result of remediation beyond the boundary of the  facility. Hazardous wastes as defined in 9VAC20-60, as well as "new"  or "as generated" wastes, are excluded from this definition. 
    "Remediation waste management unit" or  "RWMU" means an area within a facility that is designated by the  director for the purpose of implementing remedial activities required under  this chapter or otherwise approved by the director. An RWMU shall only be used  for the management of remediation wastes pursuant to implementing such remedial  activities at the facility. 
    "Responsible official" means one of the following:
    1. For a business entity, such as a corporation, association,  limited liability company, or cooperative: a duly authorized representative of  such business entity if the representative is responsible for the overall  operation of one or more operating facilities applying for or subject to a  permit. The authority to sign documents must be assigned or delegated to such  representative in accordance with procedures of the business entity;
    2. For a partnership or sole proprietorship: a general partner  or the proprietor, respectively; or
    3. For a municipality, state, federal, or other public agency:  a duly authorized representative of the locality if the representative is responsible  for the overall operation of one or more operating facilities applying for or  subject to a permit. The authority to sign documents must be assigned or  delegated to such representative in accordance with procedures of the locality.
    "Rubbish" means combustible or slowly putrescible  discarded materials that include but are not limited to trees, wood, leaves,  trimmings from shrubs or trees, printed matter, plastic and paper products,  grass, rags and other combustible or slowly putrescible materials not included  under the term "garbage." 
    "Runoff" means any rainwater, leachate, or other  liquid that drains over land from any part of a solid waste management  facility. 
    "Run-on" means any rainwater, wastewater, leachate,  or other liquid that drains over land onto any part of the solid waste  management facility. 
    "Salvage" means the authorized, controlled removal  of waste materials from a solid waste management facility. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste that is so located, designed,  constructed, and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Saturated zone" means that part of the earth's crust  in which all voids are filled with water. 
    "Scavenging" means the unauthorized or uncontrolled  removal of waste materials from a solid waste management facility. 
    "Scrap metal" means metal parts such as bars, rods,  wire, empty containers, or metal pieces that are discarded material and can be  used, reused, or reclaimed. 
    "Secondary containment" means an enclosure into  which a container or tank is placed for the purpose of preventing discharge of  wastes to the environment. 
    "Seismic impact zone" means an area with a 10% or  greater probability that the maximum horizontal acceleration in lithified earth  material, expressed as a percentage of the earth's gravitational pull (g), will  exceed 0.10g in 250 years. 
    "Semiannual" means an interval corresponding to  approximately 180 days. For the purposes of scheduling monitoring activities,  sampling within 30 days of the 180-day interval will be considered semiannual. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Sludge" means any solid, semi-solid or liquid  waste generated from a municipal, commercial or industrial wastewater treatment  plant, water supply treatment plant, or air pollution control facility  exclusive of treated effluent from a wastewater treatment plant. 
    "Small landfill" means a landfill that disposed of  100 tons/day or less of solid waste during a representative period prior to  October 9, 1993, and did not dispose of more than an average of 100 tons/day of  solid waste each month between October 9, 1993, and April 9, 1994. 
    "Solid waste" means any of those materials defined  as "solid waste" in 9VAC20-81-95. 
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility" or  "SWMF" means a site used for planned treating, storing, or disposing  of solid waste. A facility may consist of several treatment, storage, or  disposal units. 
    "Special wastes" means solid wastes that are  difficult to handle, require special precautions because of hazardous  properties, or the nature of the waste creates waste management problems in  normal operations. (See Part VI (9VAC20-81-610 et seq.) of this chapter.) 
    "Speculatively accumulated material" means any  material that is accumulated before being used, reused, or reclaimed or in  anticipation of potential use, reuse, or reclamation. Materials are not being  accumulated speculatively when they can be used, reused, or reclaimed, have a  feasible means of use, reuse, or reclamation available and 75% of the materials  accumulated are being removed from the facility annually. 
    "State waters" means all water, on the surface and  under the ground, wholly or partially within, or bordering the Commonwealth, or  within its jurisdiction. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Structural fill" means an engineered fill with a  projected beneficial end use, constructed using soil or fossil fuel combustion  products spread and compacted with proper equipment and covered with a  vegetated soil cap. 
    "Sudden event" means a one-time, single event such  as a sudden collapse or a sudden, quick release of contaminants to the  environment. An example would be the sudden loss of leachate from an impoundment  into a surface stream caused by failure of a containment structure. 
    "Surface impoundment or impoundment" means a  facility or part of a facility that is a natural topographic depression,  manmade excavation, or diked area formed primarily of earthen materials  (although it may be lined with manmade materials), that is designed to hold an  accumulation of liquid wastes or wastes containing free liquids and that is not  an injection well. 
    "Surface waters" means all state waters that are  not groundwater as defined in § 62.1-255 of the Code of Virginia.
    "SW-846" means Test Methods for Evaluating Solid  Waste, Physical/Chemical Methods, EPA Publication SW-846, Second Edition, 1982  as amended by Update I (April, 1984), and Update II (April, 1985) and the third  edition, November, 1986, as amended. 
    "Tank" means a stationary device, designed to  contain an accumulation of liquid or semi-liquid components of solid waste that  is constructed primarily of nonearthen materials that provide structural  support. 
    "TEF" or "Toxicity Equivalency Factor"  means a factor developed to account for different toxicities of structural  isomers of polychlorinated dibenzodioxins and dibenzofurans and to relate them  to the toxicity of 2,3,7,8-tetrachloro dibenzo-p-dioxin. 
    "Terminal" means the location of transportation  facilities such as classification yards, docks, airports, management offices,  storage sheds, and freight or passenger stations, where solid waste that is  being transported may be loaded, unloaded, transferred, or temporarily stored. 
    "Thermal treatment" means the treatment of solid  waste in a device that uses elevated temperature as the primary means to change  the chemical, physical, or biological character, or composition of the solid  waste. 
    "Tire chip" means a material processed from waste  tires that is a nominal two square inches in size, and ranges from 1/4 inch to  four inches in any dimension. Tire chips contain no wire protruding more than  1/4 inch. 
    "Tire shred" means a material processed from waste  tires that is a nominal 40 square inches in size, and ranges from 4 inches to  10 inches in any dimension. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration, or resource recovery. 
    "Trash" means combustible and noncombustible  discarded materials and is used interchangeably with the term rubbish. 
    "Treatment" means, for the purpose of this chapter,  any method, technique, or process, including but not limited to incineration,  designed to change the physical, chemical, or biological character or  composition of any waste to render it more stable, safer for transport, or more  amenable to use, reuse, reclamation, recovery, or disposal. 
    "Underground source of drinking water" means an  aquifer or its portion:
    1. Which contains water suitable for human consumption; or
    2. In which the groundwater contains less than 10,000 mg/liter  total dissolved solids. 
    "Unit" means a discrete area of land used for the  disposal of solid waste. 
    "Unstable area" means a location that is  susceptible to natural or human-induced events or forces capable of impairing  the integrity of some or all of the landfill structural components responsible  for preventing releases from a landfill. Unstable areas can include poor  foundation conditions, areas susceptible to mass movements, and karst terranes.  
    "Uppermost aquifer" means the geologic formation  nearest the natural ground surface that is an aquifer, as well as, lower  aquifers that are hydraulically interconnected with this aquifer within the  facility boundary. 
    "Used or reused material" means a material that is  either: 
    1. Employed as an ingredient (including use as an  intermediate) in a process to make a product, excepting those materials  possessing distinct components that are recovered as separate end products; or 
    2. Employed in a particular function or application as an  effective substitute for a commercial product or natural resources. 
    "Vector" means a living animal, insect, or other  arthropod that transmits an infectious disease from one organism to another. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, woody wastes such as shrub and tree  prunings, bark, limbs, roots, and stumps. 
    "Vermicomposting" means the controlled and managed  process by which live worms convert organic residues into fertile excrement.
    "Vertical design capacity" means the maximum design  elevation specified in the facility's permit or if none is specified in the  permit, the maximum elevation based on a 3:1 slope from the waste disposal unit  boundary. 
    "VPDES" (Virginia Pollutant Discharge Elimination  System) means the Virginia system for the issuance of permits pursuant to the  Permit Regulation (9VAC25-31), the State Water Control Law (§ 62.1-44.2 et  seq. of the Code of Virginia), and § 402 of the Clean Water Act (33 USC  § 1251 et seq.). 
    "Washout" means carrying away of solid waste by  waters of the base flood. 
    "Waste-derived fuel product" means a solid waste or  combination of solid wastes that have been treated (altered physically,  chemically, or biologically) to produce a fuel product with a minimum heating  value of 5,000 BTU/lb. Solid wastes used to produce a waste-derived fuel  product must have a heating value, or act as binders, and may not be added to  the fuel for the purpose of disposal. Waste ingredients may not be listed or  characteristic hazardous wastes. The fuel product must be stable at ambient  temperature, and not degraded by exposure to the elements. This material may  not be "refuse derived fuel (RDF)" as defined in 9VAC5-40-890. 
    "Waste management boundary" means the vertical  plane located at the boundary line of the area approved in the Part A  application for the disposal of solid waste and storage of leachate. This  vertical plane extends down into the uppermost aquifer and is within the  facility boundary.
    "Waste pile" means any noncontainerized  accumulation of nonflowing, solid waste that is used for treatment or storage. 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. (See 9VAC20-150 for other definitions dealing with the  waste tire program.) 
    "Wastewaters" means, for the purpose of this  chapter, wastes that contain less than 1.0% by weight total organic carbon  (TOC) and less than 1.0% by weight total suspended solids (TSS). 
    "Water pollution" means such alteration of the  physical, chemical, or biological properties of any state water as will or is  likely to create a nuisance or render such waters: 
    1. Harmful or detrimental or injurious to the public health,  safety, or welfare, or to the health of animals, fish, or aquatic life or  plants; 
    2. Unsuitable, with reasonable treatment, for use as present  or possible future sources of public water supply; or
    3. Unsuitable for recreational, commercial, industrial, agricultural,  or other reasonable uses, provided that:
    a. An alteration of the physical, chemical, or biological  properties of state waters or a discharge or deposit of sewage, industrial  wastes, or other wastes to state waters by any owner that by itself is not  sufficient to cause pollution but which in combination with such alteration or  discharge or deposit to state waters by other persons is sufficient to cause  pollution;
    b. The discharge of untreated sewage by any person into state  waters; and 
    c. The contribution to the degradation of water quality  standards duly established by the State Water Control Board, are  "pollution" for the terms and purposes of this chapter. 
    "Water table" means the upper surface of the zone  of saturation in groundwaters in which the hydrostatic pressure is equal to the  atmospheric pressure. 
    "Waters of the United States" or "waters of  the U.S." means:
    1. All waters that are currently used, were used in the past,  or may be susceptible to use in interstate or foreign commerce, including all  waters that are subject to the ebb and flow of the tide;
    2. All interstate waters, including interstate  "wetlands";
    3. All other waters such as intrastate lakes, rivers, streams  (including intermittent streams), mud flats, sand flats, "wetlands,"  sloughs, prairie potholes, wet meadows, playa lakes, or natural ponds the use,  degradation, or destruction of which would affect or could affect interstate or  foreign commerce including:
    a. Any such waters that are or could be used by interstate or  foreign travelers for recreational or other purposes;
    b. Any such waters from which fish or shellfish are or could  be taken and sold in interstate or foreign commerce;
    c. Any such waters that are used or could be used for  industrial purposes by industries in interstate commerce;
    d. All impoundments of waters otherwise defined as waters of  the United States under this definition; 
    e. Tributaries of waters identified in subdivisions 3 a  through d of this definition;
    f. The territorial sea; and 
    g. Wetlands adjacent to waters (other than waters that are  themselves wetlands) identified in subdivisions 3 a through f of this  definition. 
    "Wetlands" means those areas that are defined by  the federal regulations under 33 CFR Part 328, as amended. 
    "White goods" means any stoves, washers, hot water  heaters, and other large appliances. 
    "Working face" means that area within a landfill  that is actively receiving solid waste for compaction and cover. 
    "Yard waste" means a subset of vegetative waste and  means decomposable waste materials generated by yard and lawn care and includes  leaves, grass trimmings, brush, wood chips, and shrub and tree trimmings. Yard  waste shall not include roots or stumps that exceed 12 inches in diameter. 
    9VAC20-81-35. Applicability of chapter.
    A. This chapter applies to all persons who treat, store,  dispose, or otherwise manage solid wastes as defined in Part III  (9VAC20-81-100 et seq.) of this chapter 9VAC20-81-95. 
    B. All facilities that were permitted prior to March 15,  1993, and upon which solid waste has been disposed of prior to October 9, 1993,  may continue to receive solid waste until they have reached their vertical  design capacity or until the closure date established pursuant to § 10.1-1413.2  of the Code of Virginia, in Table 2.1 provided: 
    1. The facility is in compliance with the requirements for  liners and leachate control in effect at the time of permit issuance. 
    2. On or before October 9, 1993, the owner or operator of the  solid waste management facility submitted to the director: 
    a. An acknowledgment that the owner or operator is familiar  with state and federal law and regulations pertaining to solid waste management  facilities operating after October 9, 1993, including postclosure care,  corrective action, and financial responsibility requirements; 
    b. A statement signed by a professional engineer that he has  reviewed the regulations established by the department for solid waste  management facilities, including the open dump criteria contained therein, that  he has inspected the facility and examined the monitoring data compiled for the  facility in accordance with applicable regulations and that, on the basis of  his inspection and review, he has concluded: 
    (1) That the facility is not an open dump; 
    (2) That the facility does not pose a substantial present or  potential hazard to human health and the environment; and 
    (3) That the leachate or residues from the facility do not  pose a threat of contamination or pollution of the air, surface water, or  groundwater in a manner constituting an open dump or resulting in a substantial  present or potential hazard to human health or the environment; and 
    c. A statement signed by the owner or operator: 
    (1) That the facility complies with applicable financial  assurance regulations; and 
    (2) Estimating when the facility will reach its vertical  design capacity. 
    3. Enlargement or closure of these facilities shall conform  with the following subconditions:
    a. The facility may not be enlarged prematurely to avoid  compliance with this chapter when such enlargement is not consistent with past  operating practices, the permit, or modified operating practices to ensure good  management.
    b. The facility shall not dispose of solid waste in any  portion of a landfill disposal area that has received final cover or has not  received waste for a period of one year, in accordance with 9VAC20-81-160 C.  The facility shall notify the department, in writing, within 30 days, when an  area has received final cover or has not received waste for a one-year period,  in accordance with 9VAC20-81-160 C. However, a facility may apply for a permit,  and if approved, can construct and operate a new cell that overlays  ("piggybacks") over a closed area in accordance with the permit  requirements of this chapter.
    c. The facilities subject to the restrictions in this  subsection are listed in Table 2.1. The closure dates were established in:  Final Prioritization and Closure Schedule for HB 1205 Disposal Areas (DEQ,  September 2001). The publication of these tables is for the convenience of the  regulated community and does not change established dates. Any facility,  including, but not limited to those listed in Table 2.1, must cease operation  if that facility meets any of the open dump criteria listed in 9VAC20-81-45 A  1.
    d. Those facilities assigned a closure date in accordance with  § 10.1-1413.2 of the Code of Virginia shall designate on a map, plat, diagram,  or other engineered drawing, areas in which waste will be disposed of in  accordance with Table 2.1 until the latest cessation of waste acceptance date  as listed in Table 2.1 is achieved. This map or plat shall be placed in the  operating record and a copy shall be submitted upon request to the department  in order to track the progress of closure of these facilities. If the facility  already has provided this information under 9VAC20-81-160, then the facility  may refer to that information.
           |      TABLE 2.1      Final Prioritization and Closure Schedule For House Bill (HB) 1205 Disposal    Areas       |    
       |      Solid Waste Permit Number and    Site Name      |          Location      |          Department Regional Office1      |          Latest Cessation of Waste    Acceptance Date2      |    
       |      429 - Fluvanna County Sanitary    Landfill      |          Fluvanna County      |          VRO      |          12/31/2007      |    
       |      92 - Halifax County Sanitary    Landfill3      |          Halifax County      |          BRRO      |          12/31/2007      |    
       |      49 - Martinsville Landfill      |          City of Martinsville      |          BRRO      |          12/31/2007      |    
       |      14 - Mecklenburg County    Landfill      |          Mecklenburg County      |          BRRO      |          12/31/2007      |    
       |      228 - Petersburg City Landfill3      |          City of Petersburg      |          PRO      |          12/31/2007      |    
       |      31 - South Boston Sanitary    Landfill      |          Town of South Boston      |          BRRO      |          12/31/2007      |    
       |      204 - Waynesboro City Landfill      |          City of Waynesboro      |          VRO      |          12/31/2007      |    
       |      91 - Accomack County Landfill    – Bobtown South      |          Accomack County      |          TRO      |          12/31/2012      |    
       |      580 – Bethel Landfill3       |          City of Hampton      |          TRO      |          12/31/2012      |    
       |      182 - Caroline County Landfill      |          Caroline County      |          NVRO      |          12/31/2012      |    
       |      149 - Fauquier County Landfill      |          Fauquier County      |          NVRO      |          12/31/2012      |    
       |      405 - Greensville County    Landfill      |          Greensville County      |          PRO      |          12/31/2012      |    
       |      29 - Independent Hill Landfill3      |          Prince William County      |          NVRO      |          12/31/2012      |    
       |      1 - Loudoun County Sanitary    Landfill      |          Loudoun County      |          NVRO      |          12/31/2012      |    
       |      194 - Louisa County Sanitary    Landfill      |          Louisa County      |          NVRO      |          12/31/2012      |    
       |      227 - Lunenburg County    Sanitary Landfill      |          Lunenburg County      |          BRRO      |          12/31/2012      |    
       |      507 - Northampton County    Landfill      |          Northampton County      |          TRO      |          12/31/2012      |    
       |      90 - Orange County Landfill      |          Orange County      |          NVRO      |          12/31/2012      |    
       |      75 - Rockbridge County    Sanitary Landfill      |          Rockbridge County      |          VRO      |          12/31/2012      |    
       |      23 - Scott County Landfill      |          Scott County      |          SWRO      |          12/31/2012      |    
       |      587 - Shoosmith Sanitary    Landfill3      |          Chesterfield County      |          PRO      |          12/31/2012      |    
       |      417 - Southeastern Public    Service Authority Landfill3       |          City of Suffolk      |          TRO      |          12/31/2012      |    
       |      461 - Accomack County Landfill    #2      |          Accomack County      |          TRO      |          12/31/2020      |    
       |      86    - Appomattox County Sanitary Landfill      |          Appomattox    County      |          BRRO      |          12/31/2020      |    
       |      582 - Botetourt County    Landfill3      |          Botetourt County      |          BRRO      |          12/31/2020      |    
       |      498 - Bristol City Landfill      |          City of Bristol      |          SWRO      |          12/31/2020      |    
       |      72 - Franklin County Landfill      |          Franklin County      |          BRRO      |          12/31/2020      |    
       |      398 - Virginia Beach Landfill    #2 – Mount Trashmore II3      |          City of Virginia Beach      |          TRO      |          12/31/2020      |    
       |      Notes:       |                 |                 |                 |    
       |      1Department of Environmental Quality Regional Offices:      |    
       |      BRRO      |          Blue Ridge Regional Office      |    
       |      NVRO      |          Northern Virginia Regional    Office      |    
       |      PRO      |          Piedmont Regional Office       |    
       |      SWRO      |          Southwest Regional    Office       |    
       |      TRO      |          Tidewater Regional    Office       |    
       |      VRO      |          Valley Regional Office       |    
       |      2This date means the latest date that the disposal    area must cease accepting waste.       |    
       |      3A portion of these facilities operated under HB 1205    and another portion currently is compliant with Subtitle D    requirements.       |    
        |      |      |      |      |    
  
    C. Facilities are authorized to expand beyond the waste  boundaries existing on October 9, 1993, as follows: 
    1. Existing captive industrial landfills. 
    a. Existing nonhazardous industrial waste facilities that are  located on property owned or controlled by the generator of the waste disposed  of in the facility shall comply with all the provisions of this chapter except  as shown in subdivision 1 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a captive industrial landfill  beyond the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements in effect at  the time of permit issuance. 
    c. Owners or operators of facilities that are authorized under  subdivision 1 of this subsection to accept waste for disposal beyond the waste  boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120. 
    d. Facilities authorized for expansion in accordance with  subdivision 1 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    2. Other existing industrial waste landfills. 
    a. Existing nonhazardous industrial waste facilities that are  not located on property owned or controlled by the generator of the waste  disposed of in the facility shall comply with all the provisions of this  chapter except as shown in subdivision 2 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand an industrial landfill beyond  the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements of  9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 2 of this subsection to accept waste for disposal beyond the  waste boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120 and 9VAC20-81-130.
    e. Facilities authorized for expansion in accordance with  subdivision 2 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    3. Existing construction/demolition/debris landfills. 
    a. Existing facilities that accept only  construction/demolition/debris waste shall comply with all the provisions of  this chapter except as shown in subdivision 3 of this subsection.
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a  construction/demolition/debris landfill beyond the waste boundaries existing on  October 9, 1993. Liners and leachate collection systems constructed beyond the  waste boundaries existing on October 9, 1993, shall be constructed in  accordance with the requirements of 9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 3 of this subsection to accept waste for disposal beyond the  active portion of the landfill existing on October 9, 1993, shall ensure that  such expanded disposal areas maintain setback distances applicable to such  facilities in 9VAC20-81-120 and 9VAC20-81-130. 
    e. Facilities, or portions thereof, which have reached their  vertical design capacity shall be closed in compliance with 9VAC20-81-160. 
    f. Facilities authorized for expansion in accordance with  subdivision 3 of this subsection are limited to expansion to the permitted  disposal area existing on October 9, 1993, or the facility boundary existing on  October 9, 1993, if no discrete disposal area is defined in the facility  permit. 
    4. Facilities or units undergoing expansion in accordance with  the partial exemptions created by subdivision 1 b, 2 b, or 3 b of this  subsection may not receive hazardous wastes generated by the exempt small  quantity generators, as defined by the Virginia Hazardous Waste Management  Regulations ( 9VAC20-60), for disposal on the expanded portions of the  facility. Other wastes that require special handling in accordance with the  requirements of Part VI (9VAC20-81-610 et seq.) of this chapter or that contain  hazardous constituents that would pose a risk to health or environment, may  only be accepted with specific approval by the director. 
    5. Nothing in subdivisions 1 b, 2 b, and 3 b of this  subsection shall alter any requirement for ground water monitoring, financial  responsibility, operator certification, closure, postclosure care, operation,  maintenance, or corrective action imposed under this chapter, or impair the  powers of the director to revoke or modify a permit pursuant to § 10.1-1409  of the Virginia Waste Management Act or Part V (9VAC20-81-400 et seq.) of this  chapter. 
    D. An owner or operator of a previously unpermitted facility  or unpermitted activity that managed materials previously exempt or excluded  from this chapter shall submit a complete application for a solid waste  management facility permit, permit by rule or a permit modification, as  applicable, in accordance with Part V (9VAC20-81-430 et seq.) of this chapter  within six months after these materials have been defined or identified as  solid wastes. If the director finds that the application is complete, the owner  or operator may continue to manage the newly defined or identified waste until  a permit or permit modification decision has been rendered or until a date two  years after the change in definition whichever occurs sooner, provided however,  that in so doing he shall not operate or maintain an open dump, a hazard, or a  nuisance. 
    Owners or operators of solid waste management facilities in  existence prior to September 24, 2003, shall now be in compliance with this  chapter. Where conflicts exist between the existing facility permit and the new  requirements of the regulations, the regulations shall supersede the permit  except where the standards in the permit are more stringent than the  regulation. Language in an existing permit shall not act as a shield to  compliance with the regulation, unless a variance to the regulations has been  approved by the director in accordance with the provisions of Part VII  (9VAC20-81-700 et seq.) of this chapter. Existing facility permits will not be  required to be updated to eliminate requirements conflicting with the  regulation, except at the request of the director or if a permit is modified  for another reason. However, all sanitary landfills and incinerators that  accept waste from jurisdictions outside of Virginia must have submitted the  materials required under 9VAC20-81-100 E 4 by March 22, 2004. 
    E. This chapter is not applicable to landfill units closed in  accordance with regulations or permits in effect prior to December 21, 1988,  unless releases from these closed landfills meet the open dump criteria found  in 9VAC20-81-45, or the closed landfills are found to be a hazard or a nuisance  under subdivision 21 of § 10.1-1402 of the Code of Virginia, or a site  where improper waste management has occurred under subdivision 19 of  § 10.1-1402 of the Code of Virginia.
    9VAC20-81-95. Identification of solid waste.
    A. Wastes identified in this part section  are solid wastes that are subject to this chapter unless regulated  pursuant to other applicable regulations issued by the department. 
    B. Except as otherwise provided, the definition of solid  waste per 40 CFR 261.2 as incorporated by 9VAC20-60-261, as amended, is also  hereby incorporated as part of this chapter. Except as otherwise provided, all  material definitions, reference materials and other ancillaries that are a part  of 9VAC20-60-261, as amended, are also hereby incorporated as part of this  chapter as well.
    C. Except as otherwise modified or excepted by 9VAC20-60, the  materials listed in the regulations of the United States Environmental  Protection Agency set forth in 40 CFR 261.4 (a) are considered a solid waste  for the purposes of this chapter. However, these materials are not regulated  under the provisions of this chapter if all conditions specified therein are  met. This list and all material definitions, reference materials and other  ancillaries that are part of 40 CFR Part 261.4 (a), as incorporated, modified  and/or accepted by 9VAC20-60 are incorporated as part of this chapter. In  addition, the following materials are not solid wastes for the purpose of this  chapter:
    1. Materials generated by any of the following, which are  returned to the soil as fertilizers: 
    a. The growing and harvesting of agricultural crops. 
    b. The raising and husbanding of animals, including animal  manures and used animal bedding. 
    2. Mining overburden returned to the mine site. 
    3. Recyclable materials used in manner constituting disposal  per 9VAC20-60-266. 
    4. Wood wastes burned for energy recovery. 
    5. Materials that are:
    a. Used or reused, or prepared for use or reuse, as an  ingredient in an industrial process to make a product, or as effective  substitutes for commercial products or natural resources provided the materials  are not being reclaimed or accumulated speculatively; or 
    b. Returned to the original process from which they are  generated. 
    6. Materials that are beneficially used as determined by the  department under this subsection. The department may consider other waste  materials and uses to be beneficial in accordance with the provisions of  9VAC20-81-97. 
    7. The following materials and uses listed in this part are  exempt from this chapter as long as they are managed so they do not create an  open dump, hazard, or public nuisance. These materials and the designated use  are considered a beneficial use of waste materials: 
    a. Clean wood, wood chips, or bark from land clearing, logging  operations, utility line clearing and maintenance operations, pulp and paper  production, and wood products manufacturing, when these materials are placed in  commerce for service as mulch, landscaping, animal bedding, erosion control,  habitat mitigation, wetlands restoration, or bulking agent at a compost  facility operated in compliance with Part IV (9VAC20-81-300 et seq.) of this  chapter;
    b. Clean wood combustion residues when used for pH adjustment  in compost, liquid absorbent in compost, or as a soil amendment or fertilizer,  provided the application rate of the wood ash is limited to the nutrient need  of the crop grown on the land on which the wood combustion residues will be  applied and provided that such application meets the requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    c. Compost that satisfies the applicable requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    d. Nonhazardous, contaminated soil that has been excavated as  part of a construction project and that is used as backfill for the same  excavation or excavations containing similar contaminants at the same site, at  concentrations at the same level or higher. Excess contaminated soil from these  projects is subject to the requirements of this chapter; 
    e. Nonhazardous petroleum contaminated soil that has been  treated to the satisfaction of the department in accordance with 9VAC20-81-660;  
    f. Nonhazardous petroleum contaminated soil when incorporated  into asphalt pavement products; 
    g. Solid wastes that are approved in advance of the placement,  in writing, by the department or that are specifically mentioned in the  facility permit for use as alternate daily cover material or other protective  materials for landfill liner or final cover system components; 
    h. Fossil fuel combustion products when used as a material in  the manufacturing of another product (e.g., concrete, concrete products,  lightweight aggregate, roofing materials, plastics, paint, flowable fill) or as  a substitute for a product or material resource (e.g., blasting grit, roofing  granules, filter cloth pre-coat for sludge dewatering, pipe bedding); 
    i. Tire chips and tire shred when used as a sub base fill for  road base materials or asphalt pavements when approved by the Virginia  Department of Transportation or by a local governing body; 
    j. Tire chips, tire shred, and ground rubber used in the  production of commercial products such as mats, pavement sealers, playground  surfaces, brake pads, blasting mats, and other rubberized commercial products; 
    k. Tire chips and tire shred when used as backfill in landfill  gas or leachate collection pipes, recirculation lines, and drainage material in  landfill liner and cover systems, and gas interception or remediation  applications; 
    l. Waste tires, tire chips or tire shred when burned for  energy recovery or when used in pyrolysis, gasification, or similar treatment  process to produce fuel; 
    m. "Waste -derived fuel product,"  as defined in 9VAC20-81-10, derived from nonhazardous solid waste; 
    n. Uncontaminated concrete and concrete products, asphalt  pavement, brick, glass, soil, and rock placed in commerce for service as a  substitute for conventional aggregate; and
    o. Clean, ground gypsum wallboard when used as a soil  amendment or fertilizer, provided the following conditions are met:
    (1) No components of the gypsum wallboard have been glued,  painted, or otherwise contaminated from manufacture or use (e.g., waterproof or  fireproof drywall) unless otherwise processed to remove contaminants. 
    (2) The gypsum wallboard shall be processed so that 95% of the  gypsum wallboard is less than 1/4 inch by 1/4 inch in size, unless an alternate  size is approved by the department.
    (3) The gypsum wallboard shall be applied only to  agricultural, silvicultural, landscaped, or mined lands or roadway construction  sites that need fertilization.
    (4) The application rate for the ground gypsum wallboard shall  not exceed the following rates.
           |      Region      |          Rate      |    
       |      Piedmont, Mountains, and Ridge and Valley      |          250 lbs/1,000 ft2      |    
       |      Coastal Plain      |          50 lbs/1,000 ft2      |    
       |      Note: These weights are for dry ground gypsum wallboard.      |    
  
    D. The following activities are conditionally exempt from  this chapter provided no open dump, hazard, or public nuisance is created: 
    1. Composting of sewage sludge at the sewage treatment plant  of generation without addition of other types of solid wastes.
    2. Composting of household waste generated at a residence and  composted at the site of generation. 
    3. Composting activities performed for educational purposes as  long as no more than 100 cubic yards of materials are on site at any time.  Greater quantities will be allowed with suitable justification presented to the  department. For quantities greater than 100 cubic yards, approval from the  department will be required prior to composting.
    4. Composting of animal carcasses onsite at the farm of  generation.
    5. Composting of vegetative waste and/or yard waste generated  onsite by owners or operators of agricultural operations or owners of the real  property or those authorized by the owners of the real property provided:
    a. All decomposed vegetative waste and compost produced is  utilized on said property;
    b. No vegetative waste or other waste material generated from  other sources other than said property is received;
    c. All applicable standards of local ordinances that govern or  concern vegetative waste handling, composting, storage or disposal are  satisfied; and 
    d. They pose no nuisance or present no potential threat to  human health or the environment. 
    6. Composting of yard waste by owners or operators who accept  yard waste generated offsite shall be exempt from all other provisions of this  chapter as applied to the composting activities provided the requirements of  9VAC20-81-397 B are met.
    7. Composting of preconsumer food waste and kitchen culls  generated onsite and composted in containers designed to prohibit vector  attraction and prevent nuisance odor generation. 
    8. Vermicomposting, when used to process Category I, Category  II, or Category III feedstocks in containers designed to prohibit vector  attraction and prevent nuisance odor generation. If offsite feedstocks are  received no more than 100 cubic yards of materials may be onsite at any one  time. For quantities greater than 100 cubic yards, approval from the department  will be required prior to composting.
    9. Composting of sewage sludge or combinations of sewage  sludge with nonhazardous solid waste provided the composting facility is  permitted under the requirements of a Virginia Pollution Abatement (VPA) or  VPDES permit.
    10. Management of solid waste in appropriate containers at the  site of its generation, provided that: 
    a. Putrescible waste is not stored more than seven days  between time of collection and time of removal for disposal; 
    b. Nonputrescible wastes are not stored more than 90 days  between time of collection and time of removal for proper management; and
    c. Treatment of waste is conducted in accordance with the  following:
    (1) In accordance with a waste analysis plan that:
    (a) Contains a detailed chemical and physical analysis of a  representative sample of the waste being treated, and contains all records  necessary to treat the waste in accordance with the requirements of this part,  including the selected testing frequency; and
    (b) Is kept in the facility's onsite file and made available  to the department upon request.
    (2) Notification is made to the receiving waste management  facility that the waste has been treated.
    11. Using rocks, brick, block, dirt, broken concrete, crushed  glass, porcelain, and road pavement as clean fill. 
    12. Storage of less than 100 waste tires at the site of  generation provided that no waste tires are accepted from offsite and that the  storage will not present a hazard or a nuisance.
    13. Storage in piles of land-clearing debris including stumps  and brush, clean wood wastes, log yard scrapings consisting of a mixture of  soil and wood, cotton gin trash, peanut hulls, and similar organic wastes that  do not readily decompose, are exempt from this chapter if they meet the  following conditions at a minimum: 
    a. The wastes are managed in the following manner: 
    (1) They do not cause discharges of leachate, or attract  vectors. 
    (2) They cannot be dispersed by wind and rain. 
    (3) Fire is prevented. 
    (4) They do not become putrescent. 
    b. Any facility storing waste materials under the provisions  of this subsection shall obtain a storm water discharge permit if they are  considered a significant source under the provisions of 9VAC25-31-120 A 1 c. 
    c. No more than a total of 1/3 acre of waste material is  stored onsite and the waste pile does not exceed 15 feet in height above base  grade. 
    d. Siting provisions. 
    (1) All log yard scrapings consisting of a mixture of soil and  wood, cotton gin trash, peanut hulls, and similar organic wastes that do not  readily decompose are stored at the site of the industrial activity that  produces them; 
    (2) A 50-foot fire break is maintained between the waste pile  and any structure or tree line; 
    (3) The slope of the ground within the area of the pile and  within 50 feet of the pile does not exceed 4:1; 
    (4) No waste material may be stored closer than 50 feet to any  regularly flowing surface water body or river, floodplain, or wetland; and
    (5) No stored waste materials shall extend closer than 50 feet  to any property line. 
    e. If activities at the site cease, any waste stored at the  site must be properly managed in accordance with these regulations within 90  days. The director can approve longer time frames with appropriate  justification. Justification must be provided in writing no more than 30 days  after ceasing activity at the site. 
    f. Waste piles that do not meet these provisions are required  to obtain a permit in accordance with the permitting provisions in Part V  (9VAC20-81-400 et seq.) of this chapter and meet all of the applicable waste  pile requirements in Part IV (9VAC20-81-300 et seq.) of this chapter.  Facilities that do not comply with the provisions of this subsection and fail  to obtain a permit are subject to the provisions of 9VAC20-81-40.
    14. Storage of nonhazardous solid wastes and hazardous wastes,  or hazardous wastes from conditionally exempt small quantity generators as  defined in Virginia Hazardous Waste Management Regulations (9VAC20-60) at a  transportation terminal or transfer station in closed containers meeting the  U.S. Department of Transportation specifications is exempt from this section  and the permitting provisions of Part V (9VAC20-81-400 et seq.) of this chapter  provided such wastes are removed to a permitted storage or disposal facility  within 10 days from the initial receipt from the waste generator. To be  eligible for this exemption, each shipment must be properly documented to show  the name of the generator, the date of receipt by the transporter, and the date  and location of the final destination of the shipment. The documentation shall  be kept at the terminal or transfer station for at least three years after the  shipment has been completed and shall be made available to the department upon  request. All such activities shall comply with any local ordinances.
    15. Open burning in accordance with the requirements of  9VAC5-130-40. 
    16. Open burning of vegetative waste is allowed at a closed  landfill that has not been released from postclosure care. The activity shall  be included in the text of the postclosure plan and conducted in accordance  with § 10.1-1410.3 of the Code of Virginia.
    17. Placement of trees, brush, or other vegetation from land  used for agricultural or silvicultural purposes on the same property or other  property of the same landowner. 
    18. Using fossil fuel combustion products in one or more of  the following applications or when handled, processed, transported, or  stockpiled for the following uses: 
    a. As a base, sub-base or fill material under a paved road,  the footprint of a structure, a paved parking lot, sidewalk, walkway or similar  structure, or in the embankment of a road. In the case of roadway embankments,  materials will be placed in accordance with VDOT specifications, and exposed  slopes not directly under the surface of the pavement must have a minimum of 18  inches of soil cover over the fossil fuel combustion products, the top six  inches of which must be capable of sustaining the growth of indigenous plant  species or plant species adapted to the area. The use, reuse, or reclamation of  unamended coal combustion byproduct shall not be placed in an area designated  as a 100-year flood plain;
    b. Processed with a cementitious binder to produce a  stabilized structural fill product that is spread and compacted with proper  equipment for the construction of a project with a specified end use; or
    c. For the extraction or recovery of materials and compounds  contained within the fossil fuel combustion products.
    E. The following solid wastes are exempt from this chapter  provided that they are managed in accordance with the requirements promulgated  by other applicable state or federal agencies: 
    1. Management of wastes regulated by the State Board of  Health, the State Water Control Board, the Air Pollution Control Board, the  Department of Mines, Minerals and Energy, Department of Agriculture and  Consumer Services, or any other state or federal agency with such authority.
    2. Drilling fluids, produced waters, and other wastes  associated with the exploration, development, or production of crude oil,  natural gas, or geothermal energy. 
    3. Solid waste from the extraction, beneficiation, and  processing of ores and minerals, including coal. 
    4. Fossil fuel combustion products used for mine reclamation,  mine subsidence, or mine refuse disposal on a mine site permitted by the  Virginia Department of Mines, Minerals and Energy (DMME) when used in  accordance with the standards.
    5. Solid waste management practices that involve only the  onsite placing of solid waste from mineral mining activities at the site of  those activities and in compliance with a permit issued by the DMME, that do  not include any municipal solid waste, are accomplished in an environmentally  sound manner, and do not create an open dump, hazard or public nuisance are  exempt from all requirements of this chapter.
    6. Waste or byproduct derived from an industrial process that  meets the definition of fertilizer, soil amendment, soil conditioner, or  horticultural growing medium as defined in § 3.2-3600 of the Code of Virginia,  or whose intended purpose is to neutralize soil acidity (see § 3.2-3700 of the  Code of Virginia), and that is regulated under the authority of the Virginia  Department of Agriculture and Consumer Services. 
    7. Fossil fuel combustion products bottom ash or boiler slag  used as a traction control material or road surface material if the use is  consistent with Virginia Department of Transportation practices.
    8. Waste tires generated by and stored at salvage yards  licensed by the Department of Motor Vehicles provided that such storage  complies with requirements set forth in § 10.1-1418.2 and such storage  does not pose a hazard or nuisance. 
    9. Tire chips used as the drainage material in construction of  septage drain fields regulated under the authority of the Virginia Department  of Health.
    F. The following solid wastes are exempt from this chapter  provided that they are reclaimed or temporarily stored incidentally to  reclamation, are not accumulated speculatively, and are managed without  creating an open dump, hazard, or a public nuisance: 
    1. Paper and paper products; 
    2. Clean wood waste that is to undergo size reduction in order  to produce a saleable product, such as mulch;
    3. Cloth;
    4. Glass;
    5. Plastics;
    6. Tire chips, tire shred, ground rubber; and
    7. Mixtures of above materials only. Such mixtures may include  scrap metals excluded from regulation in accordance with the provisions of  subsection C of this section.
    9VAC20-81-140. Operation requirements.
    The operation of all sanitary, CDD, and industrial landfills  shall be governed by the standards set forth in this section. Landfill  operations will be detailed in an operations manual that shall be maintained in  the operating record in accordance with 9VAC20-81-485. This operations manual  will include an operations plan, an inspection plan, a health and safety plan,  an unauthorized waste control plan, an emergency contingency plan, and a  landscaping plan meeting the requirements of this section and 9VAC20-81-485.  This manual shall be made available to the department when requested. If the  applicable standards of this chapter and the landfill's Operations Manual  conflict, this chapter shall take precedence.
    A. Landfill operational performance standards.
    1. Safety hazards to operating personnel shall be controlled  through an active safety program consistent with the requirements of 29 CFR  Part 1910, as amended. 
    2. A groundwater monitoring program meeting the requirements  of 9VAC20-81-250 shall be implemented, as applicable. 
    3. A corrective action program meeting the requirements of  9VAC20-81-260 is required whenever the groundwater protection standard is  exceeded at statistically significant levels.
    4. Open burning at active landfills. 
    a. Owners or operators shall ensure that the units do not  violate any applicable requirements developed by the State Air Pollution  Control Board or promulgated by the EPA administrator pursuant to § 110 of the  Clean Air Act, as amended (42 USC §§ 7401 to 7671q). 
    b. Open burning of solid waste, except for infrequent burning  of agricultural wastes, silvicultural wastes, land-clearing debris, diseased  trees, or debris from emergency cleanup operations is prohibited. There shall  be no open burning permitted on areas where solid waste has been disposed of or  is being used for active disposal.
    c. The owner or operator shall be responsible for extinguishing  any fires that may occur at the facility. A fire control plan will be developed  that outlines the response of facility personnel to fires. The fire control  plan will be provided as an attachment to the emergency contingency plan  required under the provisions of 9VAC20-81-485. The fire control plan will be  available for review upon request by the public. There shall be no open burning  permitted on areas where solid waste has been disposed or is being used for  active disposal.
    5. Except as provided in 9VAC20-81-130 K, owners or operators  shall implement a gas management plan in accordance with 9VAC20-81-200  to  control landfill gas such that: 
    a. The concentration of methane gas generated by the landfill  does not exceed 25% of the lower explosive limit for methane in landfill  structures (excluding gas control or recovery system components); and 
    b. The concentration of methane gas does not exceed the lower  explosive limit for methane at the facility boundary. 
    6. Landfills shall not: 
    a. Allow leachate from the landfill to drain or discharge into  surface waters except when treated onsite and discharged into surface water as  authorized under a VPDES Permit (9VAC25-31). 
    b. Cause a discharge of pollutants into waters of the United  States, including wetlands, that violates any requirements of the Clean Water  Act (33 USC § 1251 et seq.), including, but not limited to, the VPDES  requirements and Virginia Water Quality Standards (9VAC25-260). 
    c. Cause the discharge of a nonpoint source of pollution to  waters of the United States, including wetlands, that violates any requirement  of an areawide or statewide water quality management plan that has been  approved under § 208 or 319 of the Clean Water Act (33 USC § 1251 et  seq.), as amended or violates any requirement of the Virginia Water Quality  Standards (9VAC25-260). 
    d. Allow solid waste to be deposited in or to enter any  surface waters or groundwaters.
    7. Owners or operators shall maintain the run-on/runoff  control systems designed and constructed in accordance with 9VAC20-81-130 H. 
    8. Access to sanitary, CDD, or noncaptive industrial landfills  shall be permitted only when an attendant is on duty and only during daylight  hours, unless otherwise specified in the landfill permit. 
    9. Fencing or other suitable control means shall be used to  control litter migration. All litter blown from the landfill operations shall  be collected on a weekly basis.
    10. Odors and vectors shall be effectively controlled so they  do not constitute nuisances or hazards. Odor hazard or nuisances shall be  controlled in accordance with 9VAC20-81-200 D. Disease vectors shall be  controlled using techniques for the protection of human health and the  environment. 
    11. If salvaging is allowed by a landfill, it shall not  interfere with operation of the landfill and shall not create hazards or  nuisances. 
    12. Fugitive dust and mud deposits on main offsite roads and  access roads shall be minimized at all times to limit nuisances. Dust shall be  controlled to meet the requirements of Article 1 (9VAC5-40-60 et seq.) of Part  II of 9VAC5-40.
    13. Internal roads in the landfill shall be maintained to be  passable in all weather by ordinary vehicles. All operation areas and units  shall be accessible.
    14. All landfill appurtenances listed in 9VAC20-81-130 shall be  properly maintained and operated as designed and approved in the facility's  permit. 
    15. Adequate numbers and types of properly maintained  equipment shall be available to a landfill for operation. Provision shall be  made for substitute equipment to be available or alternate means implemented to  achieve compliance with subdivision B 1, C 1, or D 1 of this section, as  applicable, within 24 hours should the former become inoperable or unavailable.  Operators with training appropriate to the tasks they are expected to perform  and in sufficient numbers for the complexity of the site shall be on the site  whenever it is in operation.
    16. Self-Inspection. Each landfill shall implement an  inspection routine including a schedule for inspecting all applicable major aspects  of facility operations necessary to ensure compliance with the requirements of  this chapter. Records of these inspections must be maintained in the operating  record and available for review. At a minimum, the following aspects of the  facility shall be inspected on a monthly basis: erosion and sediment controls,  storm water conveyance system, leachate collection system, safety and emergency  equipment, internal roads, and operating equipment. The groundwater monitoring  system and gas management system shall be inspected at a rate consistent with  the system's monitoring frequency.
    17. Records to include, at a minimum, date of receipt,  quantity by weight or volume, and origin shall be maintained on solid waste  received and processed to fulfill the applicable requirements of the Solid  Waste Information and Assessment Program under 9VAC20-81-80 and the Control  Program for Unauthorized Waste under 9VAC20-81-100 E. Such records shall be  made available to the department for examination or use when requested.
    B. In addition to the standards in subsection A of this  section, sanitary landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread into two-foot layers or less and compacted at the working face, which  shall be confined to the smallest area practicable. 
    b. Lift heights shall be sized in accordance with daily waste  volumes. Lift height is not recommended to exceed 10 feet. 
    c. Daily cover consisting of at least six inches of  compacted soil or other approved material shall be placed upon and maintained  on all exposed solid waste prior to the end of each operating day, or at more  frequent intervals if necessary, to control disease vectors, fires, odors,  blowing litter, and scavenging. Alternate materials of an alternate thickness  may be approved by the department if it has been demonstrated that the  alternate material and thickness control disease vectors, fires, odors, blowing  litter, and scavenging without presenting a threat to human health and the  environment. At least three days of acceptable cover soil or approved material  at the average usage rate shall be maintained at the landfill or readily  available at all times. 
    d. Intermediate cover of at least six inches of additional  compacted soil shall be applied and maintained whenever an additional lift of  refuse is not to be applied within 30 days. Further, all areas with  intermediate cover exposed shall be inspected as needed, but not less than  weekly. Additional cover material shall be placed on all cracked, eroded, and  uneven areas as required to maintain the integrity of the intermediate cover  system. 
    e. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    g. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33% unless steeper slopes are approved in the  permit. 
    2. The active working face of a sanitary landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    3. A sanitary landfill that is located within 10,000 feet of  any airport runway used for turbojet aircraft or 5,000 feet of any airport  runway used by only piston type aircraft, shall operate in such a manner that  the landfill does not increase or pose additional bird hazards to aircraft. 
    4. Sanitary landfills shall not dispose of the following  wastes, except as specifically authorized by the landfill permit or by the  department: 
    a. Free liquids. 
    (1) Bulk or noncontainerized liquid waste, unless: 
    (a) The waste is household waste; or 
    (b) The waste is gas condensate derived from that landfill;
    (c) The waste is leachate derived from that landfill and the landfill  is designed with a composite liner and leachate collection system as described  in 9VAC20-81-130 J 1 a and 9VAC20-81-130 L; or 
    (2) Containers holding liquid waste, unless: 
    (a) The container is a small container similar in size to that  normally found in household waste; 
    (b) The container is designed to hold liquids for use other  than storage; or 
    (c) The waste is household waste. 
    b. Regulated hazardous wastes as defined by the Virginia  Hazardous Waste Management Regulations (9VAC20-60).
    c. Solid wastes, residues, or soils containing more than 1.0  ppb (parts per billion) TEF (dioxins). 
    d. Solid wastes, residues, or soils containing 50.0 ppm (parts  per million) or more of PCB's except as allowed under the provisions of  9VAC20-81-630. 
    e. Sludges that have not been dewatered. 
    f. Contaminated soil unless approved by the department in  accordance with the requirements of 9VAC20-81-610 or 9VAC20-81-660. 
    g. Regulated medical waste as specified in the Regulated  Medical Waste Management Regulations (9VAC20-120).
    5. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    C. In addition to the standards in subsection A of this  section, Construction/demolition/debris landfills shall also comply with the  following:
    1. Compaction and cover requirements. 
    a. Waste materials shall be compacted in shallow layers during  the placement of disposal lifts to minimize differential settlement. 
    b. Compacted soil cover shall be applied as needed for safety  and aesthetic purposes. A minimum one-foot thick progressive cover shall be  maintained weekly such that the top of the lift is fully covered at the end of  the work week. If the landfill accepts Category I or II nonfriable  asbestos-containing material for disposal, daily soil cover shall be placed  upon all exposed Category I or II nonfriable asbestos-containing material prior  to the end of each operating day. The open working face of a landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    c. When waste deposits have reached final elevations, or  disposal activities are interrupted for 15 days or more, waste deposits shall  receive a one-foot thick intermediate cover unless soil has already been  applied in accordance with subdivision 1 b of this subsection and be graded to  prevent ponding and to accelerate surface run-off. 
    d. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    e. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    f. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33%. 
    2. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    D. In addition to the standards in subsection A of this  section, Industrial Landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread and compacted at the working face, which shall be confined to the  smallest area practicable. 
    b. Lift heights shall be sized according to the volume of  waste received daily and the nature of the industrial waste. A lift height is  not required for materials such as fly ash that are not compactable. 
    c. Where it is necessary for the specific waste, such as  Category I or II nonfriable asbestos-containing material, daily soil cover, or  other suitable material shall be placed upon all exposed solid waste prior to  the end of each operating day. For wastes such as fly ash and bottom ash from  burning of fossil fuels, periodic cover to minimize exposure to precipitation  and control dust or dust control measures such as surface wetting or crusting  agents shall be applied. At least three days of acceptable cover soil or  approved material at the average usage rate shall be maintained at the fill at  all times at facilities where daily cover is required unless an offsite supply  is readily available on a daily basis.
    d. Intermediate cover of at least one foot of compacted soil  shall be applied whenever an additional lift of refuse is not to be applied  within 30 days unless the owner or operator demonstrates to the satisfaction of  the director that an alternate cover material or an alternate schedule will be  protective of public health and the environment. In the case of facilities  where fossil fuel combustion products are removed for beneficial use,  intermediate cover must be applied in any area where ash has not been placed or  removed for 30 days or more. Further, all areas with intermediate cover exposed  shall be inspected as needed but not less than weekly and additional cover  material shall be placed on all cracked, eroded, and uneven areas as required  to maintain the integrity of the intermediate cover system. 
    e. Final cover construction will be initiated in accordance  with the requirements of 9VAC20-81-160 D 2 when the following pertain: 
    (1) When an additional lift of solid waste is not to be  applied within two years or a longer period as required by the facility's  phased development. 
    (2) When any area of a landfill attains final elevation and  within 90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) When a landfill's permit is terminated within 90 days of  such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  otherwise specified by the department when seasonal conditions do not otherwise  permit. Mowing will be conducted a minimum of once a year or at a frequency  suitable for the vegetation and climate.
    2. Incinerator and air pollution control residues containing  no free liquids shall be incorporated into the working face and covered at such  intervals as necessary to minimize them from becoming airborne. 
    9VAC20-81-160. Closure requirements.
    The closure of all sanitary, CDD and industrial landfills  shall be governed by the standards set forth in this section.
    A. Closure purpose. The owner or operator shall close the  landfill in a manner that minimizes the need for further maintenance and  provides for the protection of human health and the environment. Closure shall  eliminate the postclosure escape of uncontrolled leachate or of waste  decomposition products to the groundwater or surface water to the extent  necessary to protect human health and the environment. Closure shall also  control and/or minimize surface runoff and the escape of waste decomposition  products to the atmosphere. 
    B. Closure plan and modification of plan.
    1. The owner or operator of a solid waste disposal facility  shall have a written closure plan. This plan shall identify the steps necessary  to completely close the landfill at the time when the operation will be the  most extensive and at the end of its intended life. The closure plan shall  include, at least: 
    a. A schedule for final closure that shall include, as a  minimum, the anticipated date when wastes will no longer be received, the date  when completion of final closure is anticipated, and intervening milestone  dates that will allow tracking of the progress of closure. 
    b. An estimate of waste disposed onsite over the active life  of the landfill; 
    c. An estimate of the largest area ever requiring a final  cover as required at any time during the active life; 
    d. Description of Final Cover System design in accordance with  subsection D of this section;
    e. Description of storm water management to include design,  construction, and maintenance controls;
    f. Closure cost estimate for purpose of financial assurance. 
    2. The owner or operator may amend the closure plan at any  time during the active life of the landfill. The owner or operator shall so  amend his plan any time changes in operating plans or landfill design affect  the closure plan. The amended closure plan shall be placed in the operating  record and a copy provided to the department. 
    3. Closure plans and amended closure plans not previously  approved by the director shall be submitted to the department at least 180 days  before the date the owner or operator expects to begin construction activities  related to closure. The director will approve or disapprove the plan within 90  days of receipt. 
    4. If the owner or operator intends to use an alternate final  cover design, he shall submit a proposed design meeting the requirements of  subdivision D 2 e f of this section to the department at least  180 days before the date he expects to begin closure. The department will  approve or disapprove the plan within 90 days of receipt. 
    5. At least 180 days prior to beginning closure of each solid  waste disposal unit, the owner or operator shall notify the department and the  solid waste planning unit of the intent to close. 
    C. Time allowed for closure. 
    1. The owner or operator shall begin closure activities of  each unit no later than 30 days after the date on which the unit receives the  known final receipt of wastes or, if the unit has remaining capacity and there  is a reasonable likelihood that the unit will receive additional wastes, no  later than one year after the most recent receipt of wastes. Extensions beyond  the one-year deadline for beginning closure may be granted by the director if  the owner or operator demonstrates that the unit has the capacity to receive  additional wastes and the owner or operator has taken and will continue to take  all steps necessary to prevent threats to human health and the environment from  the unclosed unit. 
    2. The owner or operator shall complete closure activities of  each unit in accordance with the closure plan and within six months after  receiving the final volume of wastes. The director may approve a longer closure  period if the owner or operator can demonstrate that the required or planned  closure activities will, of necessity, take longer than six months to complete;  and that he has taken all steps to eliminate any significant threat to human  health and the environment from the unclosed but inactive landfill.
    D. Closure implementation. 
    1. The owner or operator shall close each unit with a final  cover as specified in subdivision 2 of this subsection, grade the fill area to  prevent ponding, and provide a suitable vegetative cover. Vegetation shall be  deemed properly established when there are no large areas void of vegetation  and it is sufficient to control erosion. 
    2. Final cover system.
    a. The owner or operator shall install a final cover system  that is designed to achieve the performance requirements of this section. 
    b. Owners or operators of CDD landfill units used for the  disposal of wastes consisting only of stumps, wood, brush, and leaves from  landclearing operations may apply two feet of compacted soil as final cover  material in lieu of the final cover system specified in this section. The  provisions of this section shall not be applicable to any landfill with respect  to which the director has made a finding that continued operation of the  landfill constitutes a threat to the public health or the environment. 
    c. The final cover system shall be designed and constructed  to: 
    (1) Minimize infiltration through the closed disposal unit by  the use of an infiltration layer that is constructed of at least 18 inches of  earthen material; and which has a hydraulic conductivity less than or equal to  the hydraulic conductivity of any bottom liner system or natural subsoils  present, or a hydraulic conductivity no greater than 1x10-5 cm/sec,  whichever is less; and 
    (2) Minimize erosion of the final cover by the use of an  erosion layer that contains a minimum of six inches of earthen material that is  capable of sustaining native plant growth, and provide for protection of the  infiltration layer from the effects of erosion, frost, and wind. 
    d. The owner or operator of a sanitary landfill may choose to  use this alternate final cover system, which shall consist of at least the  following components:
    (1) An 18-inch soil infiltration layer with a hydraulic  conductivity no greater than 1x10-5 cm/sec or a geosynthetic clay  liner installed over the intermediate cover;
    (2) A barrier layer consisting of a geosynthetic membrane  having a minimum thickness of 40-mils;
    (3) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (4) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    e. The owner or operator of a CDD or industrial landfill may  choose to use this alternate final cover system, which shall consist of at  least the following components: 
    (1) A barrier layer consisting of a geosynthetic clay liner or  a geosynthetic membrane having a minimum thickness of 40 mils;
    (2) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (3) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    f. The director may approve an alternate final cover design  that includes: 
    (1) An infiltration layer that achieves an equivalent  reduction in infiltration as the infiltration layer specified in subdivision 2  c (1) of this subsection; and 
    (2) A minimum 24-inch erosion layer that is capable of  sustaining native plant growth and provide for protection of the infiltration  layer from the effects of erosion, frost, and wind.
    3. Finished side slopes shall be stable and be configured to  adequately control erosion and runoff. Slopes of 33% will be allowed provided  that adequate runoff controls are established. Steeper slopes may be considered  if supported by necessary stability calculations and appropriate erosion and  runoff control features. All finished slopes and runoff management facilities  shall be supported by necessary calculations and included in the design manual.  To prevent ponding of water, the top slope shall be at least 2.0% after  allowance for settlement. 
    4. Following construction of the final cover system for each  unit, the owner or operator shall submit to the department a certification,  signed by a professional engineer verifying that closure has been completed in  accordance with the closure plan requirements of this part. This certification  shall include the results of the CQA/QC requirements under 9VAC20-81-130 Q 1 b  (6). 
    5. Following the closure of all units the owner or operator  shall: 
    a. Post one sign at the entrance of the landfill notifying all  persons of the closing, and the prohibition against further receipt of waste  materials. Further, suitable barriers shall be installed at former accesses to  prevent new waste from being deposited.
    b. Within 90 days after closure is completed, submit to the  local land recording authority a survey plat prepared by a professional land  surveyor registered by the Commonwealth or a person qualified in accordance  with Title 54.1 of the Code of Virginia indicating the location and dimensions  of landfills. Groundwater monitoring well and landfill gas monitoring  probe locations shall be included and identified by the number on the survey  plat. The plat filed with the local land recording authority shall contain a  note, prominently displayed, which states the owner's or operator's future  obligation to restrict disturbance of the site as specified.
    c. Record a notation on the deed to the landfill property, or  on some other instrument which is normally examined during title searches,  notifying any potential purchaser of the property that the land has been used  to manage solid waste and its use is restricted under 9VAC20-81-170 A 2 c. A  copy of the deed notation as recorded shall be submitted to the department. 
    d. Submit to the department a certification, signed by a  professional engineer, verifying that closure has been completed in accordance  with the requirements of subdivisions 5 a, b, and c of this subsection and the  landfill closure plan. 
    6. The department shall inspect all solid waste management  facilities at the time of closure to confirm that the closing is complete and  adequate. It shall notify the owner or operator of a closed landfill, in  writing, if the closure is satisfactory, and shall require any construction or  such other steps necessary to bring unsatisfactory sites into compliance with  these regulations. Notification by the department that the closure is  satisfactory does not relieve the owner or operator of responsibility for  corrective action to prevent or abate problems caused by the landfill. 
    9VAC20-81-250. Groundwater monitoring program.
    A. General requirements. 
    1. Applicability. 
    a. Existing landfills. Owners or operators of all existing  landfills shall be in compliance with the groundwater monitoring requirements  specified in this section, except as provided for in subdivision 1 c of this  subsection. Owners or operators of landfills that were permitted prior to  December 21, 1988, but were closed in accordance with the requirements of their  permit or existing regulation prior to December 21, 1988, are not required to  be in compliance with the groundwater monitoring requirements specified in this  section, unless conditions are recognized that classify the landfill as an Open  Dump as defined under 9VAC20-81-45. 
    b. New landfills. Owners or operators of new facilities shall  be in compliance with the groundwater monitoring requirements specified in this  section before waste can be placed in the landfill except as provided for in  subdivision 1 c of this subsection.
    c. No migration potential exemption. Groundwater monitoring  requirements under this section may be suspended by the director if the owner  or operator can demonstrate that there is no potential for migration of any  Table 3.1 constituents to the uppermost aquifer during the active life and the  postclosure care period of the landfill. This demonstration shall be certified  by a qualified groundwater scientist and shall be based upon: 
    (1) Site-specific field collected measurements including  sampling and analysis of physical, chemical, and biological processes affecting  contaminant fate and transport; and 
    (2) Contaminant fate and transport predictions that maximize  contaminant migration and consider impacts on human health and the environment.  
    2. General requirements. 
    a. Purpose. Owners or operators shall install, operate, and  maintain a groundwater monitoring system that is capable of determining the  landfill's impact on the quality of groundwater in the uppermost aquifer at the  disposal unit boundary during the active life and postclosure care period of  the landfill. 
    b. Program requirements. The groundwater monitoring program  shall meet the requirements of subdivision 3 of this subsection and comply with  all other applicable requirements of this section. 
    c. Director authority. The groundwater monitoring and  reporting requirements set forth here are minimum requirements. The director  may require, by amending modifying the permit as allowed under  9VAC20-81-600 E, any owner or operator to install, operate, and maintain a  groundwater monitoring system and conduct a monitoring program that contains  requirements more stringent than this chapter imposes whenever it is determined  that such requirements are necessary to protect human health and the  environment. 
    3. Groundwater monitoring system. 
    a. System requirements. A groundwater monitoring system shall  be installed consisting of a sufficient number of monitoring wells, at  appropriate locations and depths, capable of yielding sufficient quantities of  groundwater for sampling and analysis purposes from the uppermost aquifer that:  
    (1) Represent the quality of background groundwater that has  not been affected by a release from the landfill; and 
    (2) Represent the quality of groundwater at the disposal unit  boundary. The downgradient monitoring system shall be installed at the disposal  unit boundary in a manner that ensures detection of groundwater contamination  in the uppermost aquifer unless a variance has been granted by the director  under 9VAC20-81-740. 
    (3) When physical obstacles preclude installation of  groundwater monitoring wells at the disposal unit boundary, the downgradient  monitoring wells may be installed at the closest practicable distance  hydraulically downgradient from the boundary in locations that ensure detection  of groundwater contamination in the uppermost aquifer. 
    b. Multiunit systems. The director may approve a groundwater  monitoring system that covers multiple waste disposal units instead of  requiring separate groundwater monitoring systems for each unit when the  landfill has several units, provided the multiunit groundwater monitoring  system meets the requirement of subdivision 3 of this subsection and can be  demonstrated to be equally protective of human health and the environment as  individual monitoring systems. The system for each waste disposal unit would be  based on the following factors: 
    (1) Number, spacing, and orientation of the waste disposal  units; 
    (2) Hydrogeologic setting; 
    (3) Site history; 
    (4) Engineering design of the waste disposal units; and 
    (5) Type of waste accepted at the waste disposal units. 
    c. Well construction. All monitoring wells shall be of a size  adequate for sampling and shall be cased and grouted in a manner that maintains  the integrity of the monitoring well bore hole. This casing shall be screened  or perforated, and packed with gravel or sand where necessary, to enable sample  collection at depths where appropriate aquifer flow zones exist. The annular  space above the sampling depth shall be sealed with a suitable material to  prevent contamination of samples and the groundwater. 
    d. Boring logs. A log shall be made of each newly installed  monitoring well describing the soils or rock encountered, and the hydraulic  conductivity of the geologic units (formations) encountered. A copy of the  final log(s) with appropriate maps, including at a minimum a site plan showing  the location of all monitoring wells, the total depth of monitoring well, the  location of the screened interval, the top and bottom of sand or gravel pack,  and the top and bottom of the seal shall be sent to the department with the  certification required under subdivision 3 g of this subsection. 
    e. Well maintenance. The monitoring wells, piezometers, and  other groundwater measurement, sampling, and analytical devices shall be  operated and maintained in a manner that allows them to perform to design  specifications throughout the duration of the groundwater monitoring program.  Nonfunctioning monitoring wells must be replaced or repaired upon recognition  of damage or nonperformance. Well repair or replacement shall be coordinated  with the department for approval prior to initiating the action. 
    f. Network specifics. The network shall include at least  one upgradient monitoring well and at least three downgradient monitoring  wells. The number, spacing, and depths of monitoring wells included in a  landfill's network shall be determined based on: 
    (1) Site-specific technical information that shall include  thorough characterization by the owner or operator of: 
    (a) The thickness of any unsaturated geologic units or fill  materials that may overlay the uppermost aquifer; 
    (b) The thickness and description of materials comprising the  uppermost aquifer;
    (c) Materials comprising the confining unit defining the lower  boundary of the uppermost aquifer, including, but not limited to, thicknesses,  stratigraphy, lithology, hydraulic conductivities, porosities, and effective  porosities; and
    (d) the calculated groundwater flow rate and direction within  the uppermost aquifer including any seasonal and temporal fluctuations in  groundwater flow. 
    (2) At least one upgradient and at least three downgradient  monitoring wells. 
    (3) A The lateral spacing between downgradient  monitoring wells based on site-specific information supplied under subdivision  3 f (1) of this subsection. 
    g. Monitoring well certification. The groundwater monitoring  well(s) shall, within 30 days of well(s) installation, be certified by a  qualified groundwater scientist noting that all wells have been installed in  accordance with the documentation submitted under subdivision 3 d of this  subsection. Within 14 days of completing this certification, the owner or  operator shall transmit the certification to the department. 
    4. The groundwater sampling and analysis requirements for the  groundwater monitoring system are as follows: 
    a. Quality assurance and control. The groundwater monitoring  program shall include consistent field sampling and laboratory analysis  procedures that are designed to ensure monitoring results that provide an  accurate representation of the groundwater quality at the background and  downgradient wells. At a minimum the program shall include procedures and  techniques for: 
    (1) Sample collection; 
    (2) Sample preservation and shipment; 
    (3) Analytical procedures; 
    (4) Chain of custody control; and 
    (5) Quality assurance and quality control. 
    b. Analytical methods. The groundwater monitoring program  shall include sampling and analytical methods that are appropriate for  groundwater sampling and that accurately measure solid waste constituents in  groundwater samples. Groundwater samples obtained pursuant to 9VAC20-81-250 B  or C shall not be filtered prior to laboratory analysis. The sampling, analysis  and quality control/quality assurance methods set forth in EPA document SW-846,  as amended, shall be used. The department may require re-sampling if it  believes the samples were not properly sampled or analyzed. 
    c. Groundwater rate and flow. Groundwater elevations at each  monitoring well shall be determined immediately prior to purging each time a  sample is obtained. The owner or operator shall determine the rate and  direction of groundwater flow each time groundwater is sampled pursuant to  subsection B or C of this section or 9VAC20-81-260. Groundwater  elevations in wells that monitor the same waste management area disposal  unit or units shall be measured within a period of time short enough to  avoid temporal variations in groundwater flow, which could preclude  accurate determination of groundwater flow rate and direction. 
    d. Background data. The owner or operator shall establish  background groundwater quality in a hydraulically upgradient or background  well, or wells, for each of the monitoring parameters or constituents required  in the particular groundwater monitoring program that applies to the landfill.  Background groundwater quality may be established at wells that are not located  hydraulically upgradient from the landfill if they meet the requirements of  subdivision 4 e of this subsection. 
    e. Alternate well provision. A determination of background  quality may be based on sampling of wells that are not upgradient from the  waste management area disposal unit or units where: 
    (1) Hydrogeologic conditions do not allow the owner or  operator to determine what wells are upgradient; and 
    (2) Sampling at these wells will provide an indication of  background groundwater quality that is as representative or more representative  than that provided by the upgradient wells. 
    f. Sampling and statistics. The number of samples collected to  establish groundwater quality data shall be consistent with the appropriate  statistical procedures determined pursuant to subdivision 4 g of this  subsection. 
    g. Statistical methods. The owner or operator shall specify in  the Groundwater Monitoring Plan the statistical method(s) listed in subsection  D of this section that will be used in evaluating groundwater monitoring data  for each monitoring constituent. The statistical test(s) chosen shall be  applied separately for each groundwater constituent in each well after each  individual sampling event required under subdivision B 2 or 3, C 2 or 3, or as  required under 9VAC20-81-260 E 1.
    h. Evaluation and response. After each sampling event required  under subsection B or C of this section, the owner or operator shall determine  whether or not there is a statistically significant increase over background  values for each groundwater constituent required in the particular groundwater  monitoring program by comparing the groundwater quality of each constituent at  each monitoring well installed pursuant to subdivision 3 a of this subsection  to the background value of that constituent. In determining whether a  statistically significant increase has occurred, the owner or operator shall:
    (1) Ensure the sampling result comparisons are made according  to the statistical procedures and performance standards specified in subsection  D of this section; 
    (2) Ensure that within 30 days of completion of sampling and  laboratory analysis actions, the determination of whether there has been a  statistically significant increase over background at each monitoring well has  been completed; and
    (3) If identified, the statistically significant increase  shall be reported to the department within the notification timeframes  identified in subsection B or C of this section and discussed in the quarterly  or semi-annual report submission described under subdivision E 2 c of this  section. Notifications qualified as being "preliminary,"  "suspect," "unverified," or otherwise not a final  determination of a statistical exceedance will not be accepted. 
    i. Verification sampling. The owner or operator may at any  time within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this section, obtain verification  samples if the initial review of analytical data suggests results that might  not be an accurate reflection of groundwater quality at the disposal unit  boundary. Undertaking verification sampling is a voluntary action on the part  of the owner or operator and shall not alter the timeframes associated with  determining or reporting a statistically significant increase as otherwise  defined under subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    j. Data validation. The owner or operator may at any time  within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this subsection, undertake third-party  data validation of the analytical data received from the laboratory.  Undertaking such validation efforts is a voluntary action on the part of the  owner or operator and shall not alter the timeframes associated with determining  or reporting a statistically significant increase as otherwise defined under  subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    5. Alternate source demonstration allowance. 
    a. Allowance. As a result of any statistically significant  increase identified while monitoring groundwater under subdivision B 2 or 3, or  C 2 or 3 of this section, or at anytime within the Corrective Action process  under 9VAC20-81-260, the owner or operator has the option of submitting an  Alternate Source Demonstration report, certified by a qualified groundwater  scientist, demonstrating:
    (1) A source other than the landfill caused the statistical  exceedance; 
    (2) The exceedance resulted from error in sampling, analysis,  or evaluation; or
    (3) The exceedance resulted from a natural variation in  groundwater quality. 
    b. Timeframes. A successful demonstration must be made within  90 days of noting a statistically significant increase. The director may  approve a longer timeframe for submittal and approval of the Alternate Source  Demonstration with appropriate justification. 
    c. Evaluation and response. Based on the information submitted  in accordance with subdivision 5 a of this subsection, the director will: 
    (1) In the case of the successful demonstration of an error in  sampling, analysis, or evaluation, allow the owner or operator to continue  monitoring groundwater in accordance with the monitoring program in place at  the time of the statistical exceedance. 
    (2) In the case of a successful demonstration of an alternate  source for the release or natural variability in the aquifer matrix:
    (a) Require changes in the groundwater monitoring system as  needed to accurately reflect the groundwater conditions and allow the owner or  operator to continue monitoring groundwater in accordance with the monitoring  program in place at the time of the statistical exceedance; 
    (b) Require any changes to the monitoring system be completed  prior to the next regularly scheduled groundwater monitoring event or within 90  days (whichever is greater); and
    (c) Require any changes to the monitoring system be approved  via the amendment modification process under 9VAC20-81-600 within  90 days of the approval of the alternate source demonstration. 
    (3) In the case of an unsuccessful Alternate Source Demonstration,  require the owner or operator to initiate the actions that would otherwise be  required as a result of the statistically significant increase noted under  subdivision B 2 or 3, or C 2 or 3 of this section as appropriate. 
    6. Establishment of groundwater protection standards. 
    a. Requirement. Upon recognition of a statistically  significant increase over background and while monitoring in the Assessment or  Phase II monitoring programs defined under subdivision B 3 or C 3 of this  section, the owner or operator shall propose a groundwater protection standard  for all detected Table 3.1 Column B constituents. The proposed standards shall  be submitted to the department by a qualified groundwater scientist and be  accompanied by relevant historical groundwater sampling data to justify the  proposed concentration levels. 
    b. Establishment process. The groundwater protection standards  shall be established in the following manner: 
    (1) For constituents for which a maximum contaminant level  (MCL) has been promulgated under § 1412 of the Safe Drinking Water Act (40 CFR  Part 141), the MCL for that constituent shall be automatically established as  the groundwater protection standard upon submission of the proposed standards. 
    (2) If the owner or operator determines that a site-specific  background concentration is greater than the MCL associated with that  constituent under subdivision 6 b (1) of this subsection, the background value  may be substituted for use as the groundwater protection standard in lieu of  the MCL for that constituent upon receiving written department approval. 
    (3) For constituents for which no MCL has been promulgated,  site-specific background concentration value(s) may be used upon receiving  written department approval. 
    (4) For constituents for which no MCL has been promulgated, a  risk-based alternate concentration levels may be used if approved by the  director as long as: 
    (a) The owner or operator submits a request to the department  asking for approval to use risk-based alternate concentration levels for a  specific list of constituents and identifies that these constituents lack an  MCL. In the request the owner or operator shall specify whether site-specific,  independently calculated, risk-based alternate concentration levels will be  applied, or if the facility will accept the default department-provided limits.  
    (b) Both the The alternate concentration levels  that may be provided as default values by the department and those  independently calculated by the owner or operator are demonstrated to meet the  following criteria or factors before they can be used as groundwater protection  standards: 
    (i) Groundwater quality - The potential for adverse quality  effects considering the physical and chemical characteristics of the waste in  the landfill, its potential for migration in the aquifer; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the proximity and withdrawal rates of groundwater users; the  current and future uses of groundwater in the area; the existing quality of  groundwater, including other sources of contamination and their cumulative  impact on the groundwater quality. 
    (ii) Human exposure - Potential for health risks caused by  exposure to waste constituents released from the landfill using federal  guidelines for assessing the health risks of environmental pollutants;  scientifically valid studies conducted in accordance with the Toxic Substances  Control Act Good Laboratory Practice Standards (40 CFR Part 792); or equivalent  standards. For carcinogens, the alternate concentration levels must be set  based on a lifetime cancer risk level due to continuous lifetime exposure  within the 1x10-4 to 1x10-6 range. For systemic  toxicants, alternate concentration levels must be demonstrated to be levels to  which the human population (including sensitive subgroups) could be exposed to  on a daily basis without the likelihood of appreciable risk of deleterious  effects during a lifetime.
    (iii) Surface water - The potential adverse effect on  hydraulically connected surface water quality based on the volume, physical and  chemical characteristics of the waste in the landfill; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the patterns of rainfall in the region; the proximity of the  landfill to surface waters; the current and future uses of surface waters in  the area and any water quality standards established for those surface waters;  the existing quality of surface water, including other sources of contamination  and the cumulative impact on surface water quality. 
    (iv) Other adverse effects - Potential damage to wildlife,  crops, vegetation, and physical structures caused by exposure to waste  constituents; the persistence and permanence of the potential adverse effects;  and the potential for health risks caused by human exposure to waste  constituents using factors shown in subdivision b (4) (b) (ii) of this  subsection. 
    (5) In making any determination regarding the use of alternate  concentration levels under this section, the director will:
    (a) Consider any identification of underground sources of  drinking water as identified by EPA under 40 CFR 144.7,
    (b) Consider additional or modified monitoring requirements or  control measures, 
    (c) Include a schedule for the periodic review of the  alternate concentration levels, or
    (d) Approve the alternate concentration levels as proposed or  issue modified alternate concentration levels.
    c. Implementation. Groundwater protection standards shall be  considered established for the facility upon completion of the actions  described under either subdivision A 6 b (1), (2), (3) or if necessary (4) and  shall be placed in the facility Operating Record and shall be used during  subsequent comparisons of groundwater sampling data consistent with the  requirements of subdivision B 3 f or C 3 e of this section. 
    d. MCL and background revisions. After establishment of  groundwater protection standards under subdivision B 6 b, if the standards are  modified as a result of revisions to any MCL or department-approved background,  the facility shall update its listing of groundwater protection standards and  shall place the new list in the Operating Record and shall use the new values  during subsequent comparisons of sampling data consistent with the requirements  of subdivision B 3 f or C 3 e of this section. 
    e. Alternate concentration levels revisions. After  establishment of groundwater protection standards under subdivision B 6 b of  this section, if the department-approved alternate concentration levels change  based on information released by EPA, to the extent practical, the department  will issue revisions to the alternate concentration levels for facility use no  more often than an annual basis. The facility shall use the alternate  concentration levels listing in effect at the time the sampling event takes  place when comparing the results against the groundwater protection standards  under subdivision B 3 f or C 3 e of this section. 
    B. Monitoring for sanitary landfills. 
    1. Applicability. 
    a. Existing facilities. Except for those sanitary landfills  identified in subdivision C 1 of this section, existing sanitary landfill  facilities and closed facilities that have accepted waste on or after October  9, 1993, and in the case of 'small' landfills on or after April 9, 1994, shall  be in compliance with the detection monitoring requirements specified in  subdivision 2 of this subsection unless existing sampling data requires a move  to assessment monitoring described under subdivision 3 of this subsection. 
    b. New facilities. Facilities placed in operation to receive  waste after October 9, 1993, shall be in compliance with the detection  monitoring requirements specified in subdivision 2 of this section before waste  can be placed in the landfill unless existing sampling data requires a move to  assessment monitoring described under subdivision 3 of this subsection. 
    c. Closed facilities. Unless an extension to the deadline  above has been granted by the director, closed facilities that have ceased to  accept any waste on or before October 9, 1993, and in the case of a  "small" landfill, before April 9, 1994, may comply with the  "State Monitoring Program" monitoring requirements specified in  subdivision C 2 or 3 of this section. 
    d. Other facilities. Owners or operators of disposal  facilities not subject to the federal groundwater monitoring requirements  prescribed under 40 CFR Parts 257 and 258 must perform the groundwater  monitoring described in subdivision C 2 or 3 of this section. 
    e. Proximity to wetlands. Owners or operators of sanitary  landfills that accepted waste after June 30, 1999, must:
    (1) Perform quarterly groundwater monitoring unless the  director determines that less frequent monitoring is necessary consistent with  the requirements of the special provisions regarding wetlands in  § 10.1-1408.5 of the Code of Virginia.
    (2) The quarterly monitoring frequency shall remain in effect  until the department is notified waste is no longer being accepted at the  sanitary landfill. 
    (3) This requirement will not limit the authority of the Waste  Management Board or the director to require more frequent groundwater  monitoring if required to protect human health and the environment. 
    (4) For purposes of this subdivision "proximity to  wetlands" shall be defined as landfills that were constructed on a  wetland, have a potential hydrologic connection to such a wetland in the event  of an escape of liquids from the facility, or are within a mile of such a  wetland.
    2. Detection monitoring program.
    a. Sampling requirements. All sanitary landfills shall  implement detection monitoring except as otherwise provided in subdivision 1 of  this subsection. The monitoring frequency for all constituents listed in Table  3.1 Column A shall be as follows: 
    (1) Initial sampling period. 
    (a) For facilities that monitor groundwater on a semi-annual  basis, a minimum of four independent samples from each well (background and  downgradient) shall be collected and analyzed for the Table 3.1 Column A  constituents during the first semi-annual sampling period. A semi-annual period  is defined under 9VAC20-81-10. 
    (b) For facilities that monitor groundwater on a quarterly  basis as a result of subdivision 1 e of this subsection, a minimum of four  samples from each well (background and downgradient) shall be collected and  analyzed for the Table 3.1 Column A constituents. The samples shall be  collected within the first quarterly period, using a schedule that ensures, to  the greatest extent possible, an accurate calculation of background concentrations.  
    (2) Subsequent sampling events. At least one sample from each  well (background and downgradient) shall be collected and analyzed during  subsequent semi-annual or quarterly events during the active life and  postclosure period. Data from subsequent background sampling events may be  added to the previously calculated background data so that the facility  maintains the most accurate representation of background groundwater quality  with which to carry out statistical analysis required under subdivision A 4 h  of this section. 
    (3) Alternate sampling events. The director may specify an  appropriate alternate frequency for repeated sampling and analysis during the  active life (including closure) and the postclosure care period. The alternate  frequency during the active life (including closure) and the postclosure period  shall be no less than annual. The alternate frequency shall be based on  consideration of the following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); and 
    (e) Resource value of the aquifer. 
    b. Evaluation and response. If the owner or operator  determines under subdivision A 4 h of this section, that there is:
    (1) A statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this section,  for one or more of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event, the owner or operator shall: 
    (a) Within 14 days of this finding, notify the department of  this fact, indicating which constituents have shown statistically significant  increases over background levels; and 
    (b) Within 90 days, (i) establish an assessment monitoring  program meeting the requirements of subdivision 3 of this subsection, or (ii)  submit an Alternate Source Demonstration as specified in subdivision A 5 of  this section. If, after 90 days, a successful demonstration has not been made,  the owner or operator shall initiate an assessment monitoring program as  otherwise required in subdivision 3 of this subsection. The 90-day Alternate  Source Demonstration period may be extended by the director for good cause. 
    (2) No statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this  section, for any of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event; the owner or operator may remain in detection monitoring and  include a discussion of the sampling results and statistical analysis in the  semi-annual or quarterly report required under subdivision E 2 c of this  section. 
    3. Assessment monitoring program. The owner or operator shall  implement the assessment monitoring program whenever a statistically  significant increase over background has been detected during monitoring  conducted under the detection monitoring program.
    a. Sampling requirements. Within 90 days of recognizing a  statistically significant increase over background for one or more of the  constituents listed in Table 3.1 Column A, the owner or operator shall, unless  in receipt of an approval to an Alternate Source Demonstration under  subdivision A 5 of this section or a director-approved extension, conduct the initial  assessment monitoring sampling event for the constituents found in Table 3.1  Column B. A minimum of one sample from each well installed under subdivision A  3 a of this section shall be collected and analyzed during the initial and all  subsequent annual Table 3.1 Column B sampling events.
    b. Director provisions: 
    (1) The owner or operator may request that the director  approve an appropriate subset of monitoring wells that may remain in detection  monitoring defined under subdivision 2 of this subsection, based on the results  of the initial, or subsequent annual Table 3.1 Column B sampling events.  Monitoring wells may be considered for the subset if:
    (a) They show no detections of Table 3.1 Column B constituents  other than those already previously detected in detection monitoring defined  under subdivision 2 of this subsection; and 
    (b) They display no statistically significant increases over  background for any constituents on the Table 3.1 Column A list. If an increase  is subsequently recognized in a well approved for the subset, the well shall no  longer be considered part of the detection monitoring subset. 
    (2) The owner or operator may request the director delete any  of the Table 3.1 Column B monitoring constituents from the assessment  monitoring program if the owner or operator demonstrates that the deleted  constituents are not reasonably expected to be in or derived from the waste. 
    (3) The director may specify an appropriate alternate  frequency for repeated sampling and analysis for the full set of Table 3.1  Column B constituents required by subdivision 3 a of this subsection during the  active life and postclosure care period based on the consideration of the  following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); 
    (e) Resource value of the aquifer; and 
    (f) Nature (fate and transport) of any constituents detected  in response to subdivision 3 f of this subsection. 
    c. Development of background. After obtaining the results from  the initial or subsequent annual sampling events required in subdivision 3 a of  this subsection, the owner or operator shall: 
    (1) Within 14 days, notify the department identifying the  Table 3.1 Column B constituents that have been detected; 
    (2) Within 90 days, and on at least a semi-annual basis  thereafter, resample all wells installed under subdivision A 3 a of this  section, conduct analyses for all constituents in Table 3.1 Column A as well as  those constituents in Column B that are detected in response to subdivision 3 a  of this subsection and subsequent Table 3.1 Column B sampling events as may be  required of this section, and report this data in the semi-annual or quarterly  report defined under subdivision E 2 c of this section;
    (3) Within 180 days of the initial sampling event, establish  background concentrations for any Table 3.1 Column B constituents detected  pursuant to subdivision B 3 a of this subsection. A minimum of four independent  samples from each well (background and downgradient) shall be collected and  analyzed to establish background for the detected constituents. 
    d. Establishment of groundwater protection standards. Within  30 days of establishing background under subdivision 3 c (3) of this  subsection, submit proposed groundwater protection standards for all  constituents detected under Assessment monitoring. The groundwater protection  standards shall be approved by the director in accordance with the provisions  of subdivision A 6 of this section. 
    e. Groundwater monitoring plan. No later than 60 days after  approval of the groundwater protection standard standards in  accordance with subdivision A 6 of this section, the owner or operator shall  submit an updated Groundwater Monitoring Plan that details the site monitoring  well network and sampling and analysis procedures undertaken during groundwater  monitoring events. The owner or operator shall additionally: 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, request a permit amendment modification  to incorporate the plan and related groundwater monitoring modules into the  landfill's permit in accordance with 9VAC20-81-600. The department may waive  the requirement for a permit amendment modification if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (2) If the 30-day timeframe specified in subdivision 3 e (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    f. Evaluation and response. 
    (1) If the concentrations of all Table 3.1 Column B constituents  are shown to be at or below background values, using the statistical procedures  in subsection D of this section, for two consecutive Table 3.1 Column B  sampling events, the owner or operator shall notify the director of this  finding in the semi-annual or quarterly monitoring report and may return to  detection monitoring defined under subdivision 2 of this subsection. 
    (2) If the concentrations of any Table 3.1 Column B  constituents are found to be above background values, but below the groundwater  protection standards established under subdivision A 6 of this section using  the statistical procedures in subsection D of this section, the owner or  operator shall continue in assessment monitoring in accordance with this  section and present the findings to the department in the semi-annual or  quarterly report. 
    (3) If one or more Table 3.1 Column B constituents are  detected at statistically significant levels above the groundwater protection  standard established under subdivision A 6 of this section using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Within 14 days of this finding, notify the department  identifying the Table 3.1 Column B constituents that have exceeded the  groundwater protection standard. The notification will include a statement that  within 90 days the owner or operator will either: 
    (i) Undertake characterization and assessment actions required  under 9VAC20-81-260 C 1; or 
    (ii) Submit an Alternate Source Demonstration as specified in  subdivision A 5 of this section. If a successful demonstration is made within  90 days, the owner or operator may continue monitoring in accordance with the  assessment monitoring program pursuant to subdivision 3 of this subsection. If  the 90-day period passes without demonstration approval, the owner or operator  shall comply with the actions under 9VAC20-81-260 C within the timeframes  specified unless the director has granted an extension to those timeframes. 
    (b) Describe the results in the semi-annual or quarterly report.  
    C. Monitoring for CDD, industrial, and State Monitoring  Program sanitary landfills. 
    1. Applicability. 
    a. Sanitary landfills. Owners or operators of sanitary  disposal facilities that have ceased to accept solid waste prior to the  federally imposed deadline of October 9, 1993, and or in the case  of a "small landfill" before April 9, 1994, are eligible, with the  director's approval, to conduct the state groundwater monitoring program  described in this section in lieu of the groundwater monitoring program  required under subdivision B 2 or 3 of this section. 
    b. CDD and industrial landfills. Owners or operators of CDD  and industrial landfills not subject to the federal groundwater monitoring  requirements prescribed under 40 CFR Parts 257 and 258 will shall  perform the groundwater monitoring described in this section. 
    c. Other landfills. All other landfills excluding sanitary  landfills, including those that accepted hazardous waste from conditionally  exempt small quantity generators after July 1, 1998, will shall  perform the groundwater monitoring described in this section. 
    2. First determination monitoring program. 
    a. Sampling requirements. A first determination monitoring  program shall consist of a background-establishing period followed by  semi-annual sampling and analysis for the constituents shown in Table 3.1  Column A at all wells installed under subdivision A 3 a of this section. Within  14 days of each event during first determination monitoring, notify the  department identifying the Table 3.1 Column A constituents that have been  detected. 
    b. Development of background. Within 360 days of the initial  first determination sampling event: 
    (1) Establish background concentrations for any constituents  detected pursuant to subdivision 2 a of this subsection. 
    (a) A minimum of four independent samples from each well  (background and downgradient) shall be collected and analyzed to establish  background concentrations for the detected constituents using the procedures in  subsection D of this section. 
    (b) In those cases where new wells are installed downgradient  of waste disposal units that already have received waste, but these wells have  not yet undergone their initial sampling event, collection of four independent  samples for background development will not be required. 
    (2) Within 30 days of completing the background calculations  required under subdivision 2 b (1) (a) of this subsection, submit a first  determination report, signed by a qualified groundwater scientist, to the  department which must include a summary of the background concentration data  developed during the background sampling efforts as well as the statistical  calculations for each constituent detected in the groundwater during the  background sampling events. 
    c. Semi-annual sampling and analysis. Within 90 days of the  last sampling event during the background-establishing period and at least  semi-annually thereafter, sample each monitoring well in the compliance network  for analysis of the constituents in Table 3.1 Column A. 
    d. Evaluation and response. Upon determination of site  background under subdivision 2 b (1) (a) of this subsection, the results of all  subsequent first determination monitoring events shall be assessed as follows: 
    (1) If no Table 3.1 Column A constituents are found to have entered  the groundwater at statistically significant levels over background, the owner  or operator shall:
    (a) Remain in first determination monitoring; and 
    (b) May request the director delete any Table 3.1 Column A  constituents from the semi-annual sampling list if the owner or operator  demonstrates that the proposed deleted constituents are not reasonably expected  to be in or derived from the waste. 
    (2) If the owner or operator recognizes a statistically  significant increase over background for any Table 3.1 Column A constituent,  within 14 days of this finding, the owner or operator shall notify the  department identifying the Table 3.1 Column A constituents that have exceeded  background levels. The notification will include a statement that within 90 days  the owner or operator will shall:
    (a) Initiate a Phase II sampling program; or 
    (b) Submit an Alternate Source Demonstration under subdivision  A 5 of this section. 
    (3) If a successful demonstration is made and approved within  the timeframes established under subdivision A 5 of this section, the owner or  operator may remain in First Determination monitoring. 
    (4) If a successful demonstration is not made and approved  within the timeframes established under subdivision A 5 of this section, the  owner or operator shall initiate Phase II monitoring in accordance with the  timeframes in subdivision C 3 of this section. The director may approve a  longer timeframe with appropriate justification. 
    3. Phase II monitoring. 
    a. Sampling requirements. The owner or operator shall:
    (1) Within 90 days of noting the exceedance over background  determined under subdivision C 2 d of this section, sample the groundwater in  all monitoring wells installed under subdivision A 3 a of this section for all  Table 3.1 Column B constituents; 
    (2) After completing the initial Phase II sampling event,  continue to sample and analyze groundwater on a semi-annual basis within the  Phase II monitoring program; 
    b. Background development. If no additional Table 3.1 Column B  constituents are detected other than those previously detected under Column A,  which already have established their background levels, the owner or operator  shall follow the requirements under subdivision 3 c of this subsection  regarding groundwater protection standard establishment while continuing to  sample for the Table 3.1 Column A list on a semi-annual basis. If one or more  additional Table 3.1 Column B constituents are detected during the initial  Phase II sampling event:
    (1) Within 360 days, establish a background value for each  additional detected Table 3.1 Column B constituent. 
    (2) Submit a Phase II Background report within 30 days of  completing the background calculations including a summary of the background  concentration data for each constituent detected in the groundwater during the  Table 3.1 Column B background sampling events.
    (3) If any detected Table 3.1 Column B constituent is  subsequently not detected for a period of two years, the owner or operator may  petition the director to delete the constituent from the list of detected Table  3.1 Column B constituents that must be sampled semi-annually. 
    c. Establishment of groundwater protection standards. No later  than:
    (1) Thirty days after submitting the Phase II Background  report required under the provisions of subdivision 3 b (2) of this subsection,  or within 30 days of obtaining the results from the initial Table 3.1 Column B  sampling event indicating no further sampling for background determination is  necessary, the owner or operator shall propose a groundwater protection  standard for all detected Table 3.1 constituents. 
    (2) The groundwater protection standard proposed shall be  established in a manner consistent with the provisions in subdivision A 6 of  this section. 
    d. Groundwater monitoring plan. No later than 60 days after  establishment of groundwater protection standards in accordance with  subdivision A 6 of this section, the owner or operator shall submit an updated  Groundwater Monitoring Plan that details the site monitoring well network and  sampling and analysis procedures undertaken during groundwater monitoring  events. The department may waive the requirement for an updated plan if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, the owner or operator shall request a permit amendment  modification to incorporate the updated plan and related groundwater  monitoring modules into the landfill's permit in accordance with 9VAC20-81-600.  
    (2) If the 30-day timeframe specified in subdivision 3 d (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    e. Evaluation and response. After each subsequent Phase II  monitoring event following establishment of groundwater protection standards,  the concentration of Table 3.1 Column B constituents found in the groundwater  at each monitoring well installed pursuant to subdivision A 3 a of this section  will be evaluated against the groundwater protection standards. The evaluation  will be presented to the department in a semi-annual Phase II report. The  evaluation will be as follows: 
    (1) If all Table 3.1 constituents are shown to be at or below  background values, using the statistical procedures in subsection D of this  section, for two consecutive Table 3.1 Column B sampling events, the owner or  operator shall notify the director of this finding in the semi-annual report  and may return to first determination monitoring; 
    (2) If any Table 3.1 Column B constituents are found to be  above background values, but are below the established groundwater protection  standard using the statistical procedures in subsection D of this section, the  owner or operator shall continue semi-annual Phase II monitoring and present  the findings in a semi-annual report; 
    (3) If one or more Table 3.1 Column B constituents are above  the established groundwater protection standard using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Notify the department within 14 days of this finding. The  notification will include a statement that within 90 days the owner or operator  will either: (i) undertake the characterization and assessment actions required  under 9VAC20-81-260 C 1; or (ii) submit an alternate source demonstration as  specified in subdivision A 5 of this section. If a successful demonstration is  made within 90 days, the owner or operator may continue monitoring in  accordance with Phase II monitoring program. If the 90-day period is exceeded,  the owner or operator shall comply with the timeframes of 9VAC20-81-260 C  unless the director has granted an extension to those timeframes; and
    (b) Present the findings in the semi-annual report. 
    D. Statistical methods and constituent lists. 
    1. Acceptable test methods. The following statistical test  methods may be used to evaluate groundwater monitoring data: 
    a. A parametric analysis of variance (ANOVA) followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's mean and the background mean levels  for each constituent. 
    b. An analysis of variance (ANOVA) based on ranks followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's median and the background median  levels for each constituent. 
    c. A tolerance or prediction interval procedure in which an  interval for each constituent is established from the distribution of the  background data, and the level of each constituent in each compliance well is  compared to the upper tolerance or prediction limit. 
    d. A control chart approach that gives control limits for each  constituent. 
    e. Another statistical test method that meets the performance  standards specified below. Based on the justification submitted to the  department, the director may approve the use of an alternative test. The  justification must demonstrate that the alternative method meets the  performance standards in subdivision 2 of this subsection. 
    2. Performance standards. Any statistical method chosen by the  owner or operator shall comply with the following performance standards, as  appropriate: 
    a. The statistical method used to evaluate groundwater  monitoring data shall be appropriate for the distribution of monitoring  parameters or constituents. If the distribution is shown by the owner or  operator to be inappropriate for a normal theory test, then the data shall be  transformed or a distribution-free theory test shall be used. If the  distributions for the constituents differ, more than one statistical method may  be needed. 
    b. If an individual well comparison procedure is used to  compare an individual compliance well constituent concentration with background  constituent concentrations or a groundwater protection standard, the test shall  be done at a Type I error level no less than 0.01 for each testing period. If a  multiple comparisons procedure is used, the Type I experiment-wise error rate  for each testing period shall be no less than 0.05; however, the Type I error  of no less than 0.01 for individual well comparisons must be maintained. 
    c. If a control chart approach is used to evaluate groundwater  monitoring data, the specific type of control chart and its associated  parameter values shall be protective of human health and the environment. The  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    d. If a tolerance interval or a predictional interval is used  to evaluate groundwater monitoring data, the levels of confidence and, for  tolerance intervals, the percentage of the population that the interval must  contain, shall be protective of human health and the environment. These  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    e. The statistical method shall account for data below the  limit of detection with one or more statistical procedures that are protective  of human health and the environment. Any estimated quantitation limit (EQL)  that is used in the statistical method shall be the lowest concentration level  that can be reliably achieved within specified limits of precision and accuracy  during routine laboratory operating conditions that are available to the  landfill. 
    f. If necessary, the statistical method shall include  procedures to control or correct for seasonal and spatial variability as well  as temporal correlation in the data.
    E. Recordkeeping and reporting. 
    1. Records pertaining to groundwater monitoring activities on  site shall be retained at a specified location by the owner or operator  throughout the active life and postclosure care period of the landfill, and  shall include at a minimum: 
    a. All historical groundwater surface elevation data obtained  from wells installed pursuant to subdivision A 3 a of this section; 
    b. All historical laboratory analytical results for  groundwater sampling events required under the groundwater monitoring programs  as described in this section; 
    c. All records of well installation, repair, or abandonment  actions; 
    d. All department correspondence to the landfill; and 
    e. All approved variances, well subsets, wetlands, or other  such director/department approvals. 
    2. Reporting requirements. 
    a. Annual report. 
    (1) An Annual Groundwater Monitoring Report shall be submitted  by the owner or operator to the department no later than 120 days from the  completion of sampling and analysis conducted under subdivision A 4 h of this  section for the second semi-annual event or fourth quarterly event during each  calendar year and shall by accompanied by:
    (a) A signature page; and 
    (b) A completed QA/QC DEQ Form ARSC-01.
    (2) The technical content of the annual report shall at a  minimum, contain the following topical content: 
    (a) The landfill's name, type, permit number, current owner or  operator, and location keyed to a USGS topographic map; 
    (b) Summary of the design type (i.e., lined versus unlined),  operational history (i.e., trench fill versus area fill), and size (acres) of  the landfill including key dates such as beginning and termination of waste  disposal actions and dates different groundwater monitoring phases were  entered;
    (c) Description of the surrounding land use noting whether any  adjoining land owners utilize private wells as a potable water source;
    (d) A discussion of the topographic, geologic, and hydrologic  setting of the landfill including a discussion on the nature of the uppermost  aquifer (i.e., confined versus unconfined) and proximity to surface waters;
    (e) A discussion of the monitoring wells network noting any  modifications that were made to the network during the year or any  nonperformance issues and a statement noting that the monitoring well network  meets (or did not meet) the requirements of subdivision A 3 of this section; 
    (f) A listing of the groundwater sampling events undertaken  during the previous calendar year; 
    (g) A historical table listing the detected constituents, and  their concentrations identified in each well during the sampling period; and
    (h) Evaluations of and appropriate responses to the  groundwater elevation data; groundwater flow rate as calculated using the prior  years elevation data; groundwater flow direction (as illustrated on a  potentiometric surface map); and sampling and analytical data obtained during  the past calendar year. 
    b. Semi-annual or quarterly report. 
    (1) After each sampling event has been completed for the 1st  semi-annual or first, second and third quarterly groundwater sampling events, a  semi-annual or quarterly monitoring report shall be submitted under separate  cover by the owner or operator to the department no later than 120 days from  the completion of sampling and analysis conducted under subdivision A 4 h of  this section, unless as allowed under a director-approved extension. The report  shall at a minimum contain the following items: 
    (a) Signature page signed by a professional geologist or  qualified groundwater scientist; 
    (b) Landfill name and permit number;
    (c) Statement noting whether or not all monitoring points  within the permitted network installed to meet the requirements of subdivision  A 3 a of this section were sampled as required under subdivision B 2 or 3 or C  2 or 3 during the event;
    (d) Calculated rate of groundwater flow during the sampling  period as required under subdivision A 4 c of this section;
    (e) The groundwater flow direction as determined during the  sampling period as required under subdivision A 4 c of this section presented  as either plain text or graphically as a potentiometric surface map;
    (f) Statement noting whether or not there were statistically  significant increases over background or groundwater protection standards  during the sampling period, the supporting statistical calculations, and  reference to the date the director was notified of the increase pursuant to  timeframes in subdivision B 2 or 3 or C 2 or 3, if applicable; 
    (g) Copy of the full Laboratory Analytical Report including  dated signature page (laboratory manager or representative) to demonstrate  compliance with the timeframes of subdivision A 4 h of this section. The  department will accept the lab report in CD-ROM format. 
    (2) In order to reduce the reporting burden on the owner or  operator and potential redundancy within the operating record, a discussion of  the second semi-annual or fourth quarterly sampling event results may be  presented in the Annual Report submission.
    c. Other submissions. Statistically significant increase  notifications, well certifications, the first determination report, alternate  source demonstration, nature and extent study, assessment of corrective  measures, presumptive remedy proposal, corrective action plan or monitoring  plan, or other such report or notification types as may be required under  9VAC20-81-250 or 9VAC20-81-260, shall be submitted in a manner which achieves  the timeframe requirements as listed in 9VAC20-81-250 or 9VAC20-81-260. 
         
                 |      TABLE 3.1      GroundWater Solid Waste Constituent Monitoring List       |    
       |      Column A – Common Name1, 2      |          Column B – Common Name1, 2      |          CAS RN3      |    
       |             |          Acenaphthene      |          83-32-9      |    
       |             |          Acenaphthylene      |          208-96-8      |    
       |      Acetone      |          Acetone      |          67-64-1      |    
       |             |          Acetonitrile; Methyl cyanide      |          75-05-8      |    
       |             |          Acetophenone      |          98-86-2      |    
       |             |          2-Acetylaminofluorene; 2-AAF      |          53-96-3      |    
       |             |          Acrolein      |          107-02-8      |    
       |      Acrylonitrile      |          Acrylonitrile      |          107-13-1      |    
       |             |          Aldrin      |          309-00-2      |    
       |             |          Allyl chloride      |          107-05-1      |    
       |             |          4-Aminobiphenyl      |          92-67-1      |    
       |             |          Anthracene      |          120-12-7      |    
       |      Antimony      |          Antimony      |          (Total)      |    
       |      Arsenic      |          Arsenic      |          (Total)      |    
       |      Barium      |          Barium      |          (Total)      |    
       |      Benzene      |          Benzene      |          71-43-2      |    
       |             |          Benzo[a]anthracene; Benzanthracene      |          56-55-3      |    
       |             |          Benzo[b]fluoranthene      |          205-99-2      |    
       |             |          Benzo[k]fluoranthene      |          207-08-9      |    
       |             |          Benzo[ghi]perylene      |          191-24-2      |    
       |             |          Benzo[a]pyrene      |          50-32-8      |    
       |             |          Benzyl alcohol      |          100-51-6      |    
       |      Beryllium      |          Beryllium      |          (Total)      |    
       |             |          alpha-BHC      |          319-84-6      |    
       |             |          beta-BHC      |          319-85-7      |    
       |             |          delta-BHC      |          319-86-8      |    
       |             |          gamma-BHC; Lindane      |          58-89-9      |    
       |             |          Bis(2-chloroethoxy)methane      |          111-91-1      |    
       |             |          Bis(2-chloroethyl) ether; Dichloroethyl ether      |          111-44-4      |    
       |             |          Bis(2-chloro-1-methylethyl) ether; 2, 2'-Dichlorodiisopropyl    ether; DCIP      |          108-60-1, See note 4      |    
       |             |          Bis(2-ethylhexyl)phthalate      |          117-81-7      |    
       |      Bromochloromethane;.Chlorobromomethane      |          Bromochloromethane;.Chlorobromomethane      |          74-97-5      |    
       |      Bromodichloromethane;.Dibromochloromethane      |          Bromodichloromethane;.Dibromochloromethane      |          75-27-4      |    
       |      Bromoform; Tribromomethane      |          Bromoform; Tribromomethane      |          75-25-2      |    
       |             |          4-Bromophenyl phenyl ether      |          101-55-3      |    
       |             |          Butyl benzyl phthalate; Benzyl butyl phthalate      |          85-68-7      |    
       |      Cadmium      |          Cadium Cadmium      |          (Total)      |    
       |      Carbon disulfide      |          Carbon disulfide      |          75-15-0      |    
       |      Carbon tetrachloride      |          Carbon tetrachloride      |          56-23-5      |    
       |             |          Chlordane      |          Note 5      |    
       |             |          p-Chloroaniline      |          106-47-8      |    
       |      Chlorobenzene      |          Chlorobenzene      |          108-90-7      |    
       |             |          Chlorobenzilate      |          510-15-6      |    
       |             |          p-Chloro-m-cresol; 4-Chloro-3-methylphenol      |          59-50-7      |    
       |      Chloroethane; Ethyl chloride      |          Chloroethane; Ethyl chloride      |          75-00-3      |    
       |      Chloroform; Trichloromethane      |          Chloroform; Trichloromethane      |          67-66-3      |    
       |             |          2-Chloronaphthalene      |          91-58-7      |    
       |             |          2-Chlorophenol      |          95-57-8      |    
       |             |          4-Chlorophenyl phenyl ether      |          7005-72-3      |    
       |             |          Chloroprene      |          126-99-8      |    
       |      Chromium      |          Chromium      |          (Total)      |    
       |             |          Chrysene      |          218-01-9      |    
       |      Cobalt      |          Cobalt      |          (Total)      |    
       |      Copper      |          Copper      |          (Total)      |    
       |             |          m-Cresol; 3-methyphenol      |          108-39-4      |    
       |             |          o-Cresol; 2-methyphenol      |          95-48-7      |    
       |             |          p-Cresol; 4-methyphenol      |          106-44-5      |    
       |             |          Cyanide      |          57-12-5      |    
       |             |          2,4-D; 2,4-Dichlorophenoxyacetic acid      |          94-75-7      |    
       |             |          4,4'-DDD      |          72-54-8      |    
       |             |          4,4'-DDE      |          72-55-9      |    
       |             |          4,4'-DDT      |          50-29-3      |    
       |             |          Diallate      |          2303-16-4      |    
       |             |          Dibenz[a,h]anthracene      |          53-70-3      |    
       |             |          Dibenzofuran      |          132-64-9      |    
       |      Dibromochloromethane; Chlorodibromomethane      |          Dibromochloromethane; Chlorodibromomethane      |          124-48-1      |    
       |      1,2-Dibromo-3-chloropropane; DBCP      |          1,2-Dibromo-3-chloropropane; DBCP      |          96-12-8      |    
       |      1,2-Dibrimoethane; Ethylene dibromide; EDB      |          1,2-Dibrimoethane; Ethylene dibromide; EDB      |          106-93-4      |    
       |             |          Di-n-butyl phthalate      |          84-74-2      |    
       |      o-Dichlorobenzene; 1,2-Dichlorobenzene      |          o-Dichlorobenzene; 1,2-Dichlorobenzene      |          95-50-1      |    
       |             |          m-Dichlorobenzene; 1,3-Dichlorobenzene      |          541-73-1      |    
       |      p-Dichlorobenzene; 1,4-Dichlorobenzene      |          p-Dichlorobenzene; 1,4-Dichlorobenzene      |          106-46-7      |    
       |             |          3,3'-Dichlorobenzidine      |          91-94-2      |    
       |      trans-1,4-Dichloro-2-butene      |          trans-1,4-Dichloro-2-butene      |          110-57-6      |    
       |             |          Dichlorodifluoromethane; CFC 12;      |          75-71-8      |    
       |      1.1-Dichloroethane; Ethylidene chloride      |          1,1-Dichloroethane; Ethylidene chloride      |          75-34-3      |    
       |      1,2-Dichloroethane; Ethylene dichloride      |          1,2-Dichloroethane; Ethylene dichloride      |          107-06-2      |    
       |      1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          75-35-4      |    
       |      cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          156-59-2      |    
       |      trans-1,2-Dichloroethylene      |          trans-1,2-Dichloroethylene; trans-1,2-Dichroroethene      |          156-60-5      |    
       |             |          2,4-Dichlorophenol      |          120-83-2      |    
       |             |          2,6-Dichlorophenol      |          87-65-0      |    
       |      1,2-Dichloropropane; Propylene dichloride      |          1,2-Dichloropropane; Propylene dichloride      |          78-87-5      |    
       |             |          1,3-Dichloropropane; Trimethylene dichloride      |          142-28-9      |    
       |             |          2, 2-Dichloropropane; isopropylidene chloride      |          594-20-7      |    
       |             |          1,1-Dichloropropene      |          563-58-6      |    
       |      cis-1,3-Dichloropropene      |          cis-1,3-Dichloropropene      |          10061-01-5      |    
       |      trans-1,3-Dichloropropene      |          trans-1,3-Dichloropropene      |          10061-02-6      |    
       |             |          Dieldrin      |          60-57-1      |    
       |             |          Diethyl phthalate      |          84-66-2      |    
       |             |          O,O-Diethyl O-2-pyrazinyl phosphorothioate; Thionazin      |          297-97-2      |    
       |             |          Dimethoate      |          60-51-5      |    
       |             |          p-(Dimethylamino)azobenzene      |          60-11-7      |    
       |             |          7,12-Dimethylbenz[a]anthracene      |          57-97-6      |    
       |             |          3,3'-Dimethylbenzidine      |          119-93-7      |    
       |             |          2,4-Dimethylphenol; m-Xylenol      |          105-67-9      |    
       |             |          Dimethyl phthalate      |          131-11-3      |    
       |             |          m-Dinitrobenzene      |          99-65-0      |    
       |             |          4,6-Dinitro-o-cresol; 4,6-Dinitro-2-methylphenol      |          534-52-1      |    
       |             |          2,4-Dinitrophenol      |          51-28-5      |    
       |             |          2,4-Dinitrotoluene      |          121-14-2      |    
       |             |          2,6-Dinitrotoluene      |          606-20-2      |    
       |             |          Dinoseb; DNBP; 2-sec-Butyl-4,6-dinitrophenol      |          88-85-7      |    
       |             |          Di-n-octyl phthalate      |          117-84-0      |    
       |             |          Diphenylamine      |          122-39-4      |    
       |             |          Disulfoton      |          298-04-4      |    
       |             |          Endosulfan I      |          959-96-8      |    
       |             |          Endosulfan II      |          33213-65-9      |    
       |             |          Endosulfan sulfate      |          1031-07-8      |    
       |             |          Endrin      |          72-20-8      |    
       |             |          Endrin aldehyde      |          7421-93-4      |    
       |      Ethylbenzene      |          Ethylbenzene      |          100-41-4      |    
       |             |          Ethyl methacrylate      |          97-63-2      |    
       |             |          Ethylmethanesulfonate      |          62-50-0      |    
       |             |          Famphur      |          52-85-7      |    
       |             |          Fluoranthene      |          206-44-0      |    
       |             |          Fluorene      |          86-73-7      |    
       |             |          Heptachlor      |          76-44-8      |    
       |             |          Heptachlor epoxide      |          1024-57-3      |    
       |             |          Hexachlorobenzene      |          118-74-1      |    
       |             |          Hexachlorobutadiene      |          87-68-3      |    
       |             |          Hexachlorocyclopentadiene      |          77-47-4      |    
       |             |          Hexachloroethane      |          67-72-1      |    
       |             |          Hexachloropropene      |          1888-71-7      |    
       |      2-Hexanone; Methyl butyl ketone      |          2-Hexanone; Methyl butyl ketone      |          591-78-6      |    
       |             |          Indeno[1,2,3-cd]pyrene      |          193-39-5      |    
       |             |          Isobutyl alcohol      |          78-83-1      |    
       |             |          Isodrin      |          465-73-6      |    
       |             |          Isophorone      |          78-59-1      |    
       |             |          Isosafrole      |          120-58-1      |    
       |             |          Kepone      |          143-50-0      |    
       |      Lead      |          Lead      |          (Total)      |    
       |             |          Mercury      |          (Total)      |    
       |             |          Methacrylonitrile      |          126-98-7      |    
       |             |          Methapyrilene      |          91-80-5      |    
       |             |          Methoxychlor      |          72-43-5      |    
       |      Methyl bromide; Bromomethane      |          Methyl bromide; Bromomethane      |          74-83-9      |    
       |      Methyl chloride; Chloromethane      |          Methyl chloride; Chloromethane      |          74-87-3      |    
       |             |          3-Methylcholanthrene      |          56-49-5      |    
       |      Methyl ethyl ketone; MEK; 2-Butanone      |          Methyl ethyl ketone; MEK; 2-Butanone      |          78-93-3      |    
       |      Methyl iodide; Iodomethane      |          Methyl iodide; Iodomethane      |          74-88-4      |    
       |             |          Methyl methacrylate      |          80-62-6      |    
       |             |          Methyl methanesulfonate      |          66-27-3      |    
       |             |          2-Methylnaphthalene      |          91-57-6      |    
       |             |          Methyl parathion; Parathion methyl methyl      |          298-00-0      |    
       |      4-Methyl-2-pentanone; Methyl isobutyl ketone      |          4-Methyl-2-pentanone; Methyl isobutyl ketone      |          108-10-1      |    
       |      Methylene bromide; Dibromomethane      |          Methylene bromide; Dibromomethane      |          74-95-3      |    
       |      Methylene chloride; Dichloromethane      |          Methylene chloride; Dichloromethane      |          75-09-2      |    
       |             |          Naphthalene      |          91-20-3      |    
       |             |          1,4-Naphthoquinone      |          130-15-4      |    
       |             |          1- Naphthylamine      |          134-32-7      |    
       |             |          2-Napthylamine      |          91-59-8      |    
       |      Nickel      |          Nickel      |          (Total)      |    
       |             |          o-Nitroaniline; 2-Nitroaniline      |          88-74-4      |    
       |             |          m-Nitroaniline; 3-Nitroaniline      |          99-09-2      |    
       |             |          p-Nitroaniline; 4-Nitroaniline      |          100-01-6      |    
       |             |          Nitrobenzene      |          98-95-3      |    
       |             |          o-Nitrophenol; 2-Nitrophenol      |          88-75-5      |    
       |             |          p-Nitrophenol; 4-Nitrophenol      |          100-02-7      |    
       |             |          N-Nitrosodi-n-butylamine      |          924-16-3      |    
       |             |          N-Nitrosodiethylamine      |          55-18-5      |    
       |             |          N-Nitrosodimethylamine      |          62-75-9      |    
       |             |          N-Nitrosodiphenylamine      |          86-30-6      |    
       |             |          N-Nitrosodipropylamine; N-Nitroso-N-dipropylamine;    Di-n-propylnitrosamine      |          621-64-7      |    
       |             |          N-Nitrosomethylethalamine      |          10595-95-6      |    
       |             |          N-Nitrosopiperidine      |          100-75-4      |    
       |             |          N-Nitrosopyrrolidine      |          930-55-2      |    
       |             |          5-Nitro-o-toluidine      |          99-55-8      |    
       |             |          Parathion      |          56-38-2      |    
       |             |          Pentachlorobenzene      |          608-93-5      |    
       |             |          Pentachloronitrobenzene      |          82-68-8      |    
       |             |          Pentachlorophenol      |          87-86-5      |    
       |             |          Phenacetin      |          62-44-2      |    
       |             |          Phenanthrene      |          85-01-8      |    
       |             |          Phenol      |          108-95-2      |    
       |             |          p-Phenylenediamine      |          106-50-3      |    
       |             |          Phorate      |          298-02-2      |    
       |             |          Polychlorinated biphenyls; PCBS; Aroclors      |          Note 6      |    
       |             |          Pronamide      |          23950-58-5      |    
       |             |          Propionitrile; Ethyl cyanide      |          107-12-0      |    
       |             |          Pyrene      |          129-00-0      |    
       |             |          Safrole      |          94-59-7      |    
       |      Selenium      |          Selenium      |          (Total)      |    
       |      Silver      |          Silver      |          (Total)      |    
       |             |          Silvex; 2,4,5-TP      |          93-72-1      |    
       |      Styrene      |          Styrene      |          100-42-5      |    
       |             |          Sulfide      |          18496-25-8      |    
       |             |          2,4,5-T; 2,4,5-Trichlorophenoxyacetic acid      |          93-76-5      |    
       |             |          1,2,4,5-Tetrachlorobenzene      |          95-94-3      |    
       |      1,1,1,2-Tetrachloroethane      |          1,1,1,2-Tetrachloroethane      |          630-20-6      |    
       |      1,1,2,2-Tetrachloroethane      |          1,1,2,2-Tetrachloroethane      |          79-34-5      |    
       |      Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          127-18-4      |    
       |             |          2,3,4,6-Tetrachlorophenol      |          58-90-2      |    
       |      Thallium      |          Thallium      |          (Total)      |    
       |             |          Tin      |          (Total)      |    
       |      Toluene      |          Toluene      |          108-88-3      |    
       |             |          o-Toluidine      |          95-53-4      |    
       |             |          Toxaphene      |          Note 7      |    
       |             |          1,2,4-Trichlorobenzene      |          120-82-1      |    
       |      1,1,1-Trichloroethane; Methychloroform      |          1,1,1-Trichloroethane; Methychloroform      |          71-55-6      |    
       |      1,1,2-Trichloroethane      |          1,1,2-Trichloroethane      |          79-00-5      |    
       |      Trichloroethylene; Trichloroethene ethene      |          Trichloroethylene; Trichloroethene ethane      |          79-01-6      |    
       |      Trichlorofluoromethane; CFC-11      |          Trichlorofluoromethane; CFC-11      |          75-69-4      |    
       |             |          2,4,5-Trichlorophenol      |          95-95-4      |    
       |             |          2,4,6-Trichlorophenol      |          88-06-2      |    
       |      1,2,3-Trichloropropane      |          1,2,3-Trichloropropane      |          96-18-4      |    
       |             |          O,O,O-Triethyl phosphorothioate      |          126-68-1      |    
       |             |          sym-Trinitrobenzene      |          99-35-4      |    
       |      Vanadium      |          Vanadium      |          (Total)      |    
       |      Vinyl acetate      |          Vinyl acetate      |          108-05-4      |    
       |      Vinyl chloride; Chloroethene      |          Vinyl chloride; Chloroethene      |          75-01-4      |    
       |      Xylene(total)      |          Xylene(total)      |          Note 8      |    
       |      Zinc      |          Zinc      |          (Total)      |    
  
    NOTES:
    1Common names are those widely used in government  regulations, scientific publications, and commerce; synonyms exist for many  chemicals.
    2The corresponding Chemical Abstracts Service Index  name as used in the 9th Collective Index, may be found in Appendix II of 40 CFR  258.
    3Chemical Abstracts Service Registry Number. Where  "Total" is entered, all species in the groundwater that contains this  element are included.
    4This substance is often called  Bis(2-chloroisopropyl) ether, the name Chemical Abstracts Service applies to  its noncommercial isomer, Propane, 2.2'-oxybis2-chloro (CAS RN 39638-32-9).
    5Chlordane: This entry includes alpha-chlordane (CAS  RN 5103-71-9), beta-chlordane (CAS RN 5103-74-2), gamma-chlordane (CAS RN  5566-34-7), and constituents of chlordane (CAS RN 57-74-9 and CAS RN  12739-03-6).
    6Polychlorinated biphenyls (CAS RN 1336-36-3); this  category contains congener chemicals, including constituents of Aroclor 1016  (CAS RN 12674-11-2), Aroclor 1221 (CAS RN 11104-28-2), Aroclor 1232 (CAS RN  11141-16-5), Aroclor 1242 (CAS RN 53469-21-9), Aroclor 1248 (CAS RN  12672-29-6), Aroclor 1254 (CAS RN 11097-69-1), and Arclor 1260 (CAS RN  11096-82-5).
    7Toxaphene: This entry includes congener chemicals  contained in technical toxaphene (CAS RN 8001-35-2), i.e., chlorinated  camphene.
    8Xylene (total): This entry includes o-xylene (CAS  RN 96-47-6), m-xylene (CAS RN 108-38-3), p-xylene (CAS RN 106-42-3), and  unspecified xylenes (dimethylbenzenes) (CAS RN 1330-20-7).
         
          9VAC20-81-260. Corrective action program.
    A. Corrective action is required whenever one or more  groundwater protection standard is exceeded at statistically significant  levels. An owner or operator of a landfill may elect to initiate corrective  action at any time; however, prior to such initiation, the appropriate  groundwater protection standards for all Table 3.1 constituents shall be  established consistent with 9VAC20-81-250 A 6. At any time during the  corrective action process, the owner or operator may elect to pursue, or the  director can determine that, interim measures as defined under subsection F of  this section are required in accordance with subdivision E 3 of this section.
    B. The director may require periodic progress reports when a  corrective action program is required but not yet implemented. At any time  during the corrective action process, the owner or operate may elect to pursue,  or the director can determine that, interim measures as defined under  subsection F of this section are required in accordance with subdivision E 3 of  this section. 
    C. Characterization and assessment requirements. 
    1. Upon notifying the department that one or more of the  constituents listed in Table 3.1 Column B has been detected at a statistically  significant level exceeding the groundwater protection standards, the owner or  operator shall, unless department approval of an Alternate Source Demonstration  has been received as noted under 9VAC20-81-250 B 3 f (3) (a) (ii) or  9VAC20-81-250 C 3 c (3) (a) (ii):
    a. Characterization. Within 90 days, install additional  monitoring wells as necessary including the installation of at least one  additional monitoring well at the facility boundary in the direction of  contaminant migration sufficient to define the vertical and horizontal  extent of the release of constituents at statistically significant levels  exceeding the groundwater protection standards including the installation of  at least one additional monitoring well at the facility boundary in the  direction of contaminant migration. 
    b. Notification. Notify all persons who own the land or reside  on the land that directly overlies any part of the release if contaminants have  migrated offsite as indicated by the results of sampling of the  characterization wells installed under subdivision 1 a of this subsection  within 15 days of completion of the characterization sampling and analysis  efforts. 
    c. Assessment. Within 90 days, initiate an assessment of  corrective measures or a proposal for presumptive remedy. 
    d. Financial assurance. Within 120 days, provide additional  financial assurance in the amount of $1 million to the department using the  mechanisms required in 9VAC20-70-140 of the Financial Assurance Requirements  for Solid Waste Disposal, Transfer, and Treatment Facilities. 
    e. Public meeting. Prior to submitting the document required  under subdivision 1 f of this subsection, schedule and hold a public meeting to  discuss the draft results of the corrective measures assessment or the proposal  for presumptive remedy, prior to the final selection of remedy. The meeting  shall be held to the extent practicable in the vicinity of the landfill. The  process to be followed for scheduling and holding the public hearing is  described under subdivision 4 of this subsection. 
    f. Submission requirements. Within 180 days, submit the  completed assessment of corrective measures defined under subdivision 3 of this  subsection, or the proposal for presumptive remedies defined under subdivision  2 of this subsection, including any responses to public comments received. 
    g. Director allowance. The submission timeframe noted in  subdivision 1 f of this subsection may be extended by the director for good cause  upon request of the owner or operator. 
    2. Presumptive remedy  allowance. 
    a. Applicability. To expedite corrective action, in lieu of an  analysis meeting the requirements of subdivision 3 of this subsection, the  owner or operator of any facility monitoring groundwater in accordance with  9VAC20-81-250 C may propose a presumptive remedy for the landfill. 
    b. Options. The presumptive remedy for solid waste landfills  shall be limited to one or more of the following: 
    (1) Containment of the landfill mass, including an impermeable  cap; 
    (2) Control of the landfill leachate; 
    (3) Control of the migration of contaminated groundwater; 
    (4) Collection and treatment of landfill gas; and 
    (5) Reduction of saturation of the landfill mass. 
    Containment may be selected as a sole or partial remedy until  a determination is made under subdivision F 1 of this section that another  remedy shall be employed to meet the requirements of subdivision G 1 of this  section concerning remediation completion. Upon recognition that presumptive  remedies may not be able to achieve the groundwater protection standards, an  assessment of corrective measures shall be initiated within 90 days.
    c. Restrictions. Presumptive remedies are not applicable to:
    (1) Landfills monitoring groundwater under the Federal  Subtitle D equivalent program defined under 9VAC20-81-250 B when the use of the  presumptive remedy will be the sole remedy applied to the groundwater release;  or
    (2) Landfills that may monitor groundwater under 9VAC20-81-250  C but that exhibit contamination beyond facility boundaries unless the proposed  presumptive remedy option under subdivision 2 b of this subsection can be  demonstrated to show it will address the reduction of contamination already  present beyond the facility boundary, and the demonstration is approved by the  department. 
    d. Submission requirements. Owner or operators who wish to  propose use of the presumptive remedy allowance shall submit with the proposal,  signed by a qualified groundwater professional, an: 
    (1) Assessment of risks resulting from the contamination at  the disposal unit boundary and at the facility boundary; 
    (2) Evaluation of the current trends in groundwater quality  data with respect to the established groundwater protection standards; and
    (3) Anticipated schedule for initiating and completing  presumptive remedy-based remedial activities. 
    e. Implementation. Upon conducting a public meeting as  required under subdivision 4 of this subsection, submitting a corrective action  monitoring plan meeting subdivision D 1 of this section, and amending modifying  the landfill permit in accordance with 9VAC20-81-600 F 2, the owner or operator  may proceed with the implementation of the remedy in accordance with  subdivision E 1 of this section. 
    f. Evaluation and response. The owner or operator shall  provide an evaluation of the performance of the implemented presumptive remedy  every three years, unless an alternate schedule is approved by the director, in  a Corrective Action Site Evaluation report containing, at a minimum, the  following information: 
    (a) A description of how the presumptive remedy is performing  with respect to the conditions in subdivision H 1 of this section;
    (b) Current and historical groundwater data and analysis; 
    (c) An evaluation of the changes seen in groundwater  contamination after the implementation of the remedy and a projection of when  the conditions in subdivision H 1 of this section will be achieved; and 
    (d) The progress toward achieving the schedule required in  subdivision C 2 d (3) of this section. 
    3. Assessment of corrective measures. 
    a. Purpose. The assessment shall include an analysis of the  effectiveness of several potential corrective measures in meeting all of the  requirements and objectives of the remedy as described under this subsection,  addressing at least the following: 
    (1) The performance, reliability, implementation ease, and  potential impacts of appropriate potential remedies, including safety impacts,  cross-media impacts, and control of exposure to any residual contamination; 
    (2) The time required to begin and complete the remedy; 
    (3) The costs of remedy implementation; and 
    (4) The institutional requirements such as state or local  permit requirements or other environmental or public health requirements that  may substantially affect implementation of the remedies. 
    b. Requirements. As part of the assessment of corrective  measures submitted to the department for review, the owner or operator must  demonstrate that one or more possible groundwater remedy has been evaluated for  potential application on site. These remedies may include a specific technology  or combination of technologies that achieve or may achieve the standards for  remedies specified in subdivision 3 c (1) of this subsection given appropriate  consideration of the factors specified in subdivision D 1 a of this section. 
    c. Selection of remedy. As part of submission of the  assessment of corrective measures document, the owner or operator shall select  a remedy that, at a minimum, meets the standards listed in subdivision H 1 of  this section. 
    (1) The selected remedies to be included in the corrective  action plan shall: 
    (a) Be protective of human health and the environment; 
    (b) Attain the groundwater protection standard as specified  pursuant to 9VAC20-81-250 A 6; 
    (c) Control the sources of releases so as to reduce or  eliminate, to the maximum extent practicable, further releases of solid waste  constituents into the environment that may pose a threat to human health or the  environment; and 
    (d) Comply with standards for management of wastes. 
    d. Evaluation and response. The department shall review the  assessment of corrective measures to evaluate the proposed remedy and may  require revisions to the assessment. If the assessment is approved without  revision, the department will notify the owner or operator to prepare a written  corrective action plan based on the proposed remedy and such plan will be  submitted within 180 days of the department's notification of approval of the  assessment of corrective measures. 
    4. Public meeting process. As part of the public meeting  process completed prior to the submission of a proposal for presumptive remedy  or assessment of corrective measures: 
    a. Newspaper notice. The owner or operator must publish a  notice once a week for two consecutive weeks in a major local newspaper of  general circulation inviting public comment on the results of the corrective  measures assessment or proposal for presumptive remedy as applicable. The  notice shall include: 
    (1) The name of the landfill, its location, and the date,  time, and place for the public meeting, and the beginning and ending dates for  the 30-day comment period. The public meeting shall be held at a time  convenient to the public. The comment period will begin on the date the owner  or operator publishes the notice in the local newspaper;
    (2) The name, telephone, and address of the owner's or  operator's representative who can be contacted by the interested persons to  answer questions or where comments shall be sent; 
    (3) Location where copies of the documentation to be submitted  to the department in support of the corrective measures assessment or proposal  of presumptive remedy can be viewed and copied prior to the meeting; 
    (4) A statement indicating that the need to perform the  corrective measures assessment or presumptive remedy is a result of a  statistically significant increase in one or more groundwater protection  standards; and 
    (5) A statement that the purpose of the public meeting is to  acquaint the public with the technical aspects of the proposal, describe how  the requirements of these regulations will be met, identify issues of concern,  facilitate communication, and establish a dialogue between the permittee and  persons who may be affected by the landfill.
    b. Document review. The owner or operator shall place a copy  of the report and supporting documentation in a location accessible to the  public during the public comment period in the vicinity of the proposed  landfill. 
    c. Meeting timeframe. The owner or operator shall hold a  public meeting within a timeframe that allows for the submission of a completed  assessment of corrective measures or presumptive remedy within 180 days of  notifying the department of a groundwater protection standard exceedance or as  granted under subdivision 1 g of this subsection. The meeting must be scheduled  and held:
    (1) No earlier than 15 days after the publication of the  notice; and
    (2) No later than seven days before the close of the 30-day  comment period.
    D. Corrective action plan and monitoring plan. 
    1. The owner or operator shall submit to the department a  Corrective Action Plan (CAP) and related Corrective Action Monitoring Plan  (CAMP) consistent with the findings as presented in the assessment of  corrective measures required under subdivision C 3 of this section, or proposal  for presumptive remedy described under subdivision C 2 of this section.
    a. Requirements. In preparing a proposed corrective action  plan, the owner or operator will consider the following evaluation factors: 
    (1) The long-term and short-term effectiveness and  protectiveness of the potential remedies, along with the degree of certainty  that the remedy will prove successful based on consideration of the following: 
    (a) Magnitude of reduction of existing risks; 
    (b) Magnitude of residual risks in terms of likelihood of  further releases due to waste remaining following implementation of a remedy; 
    (c) The type and degree of long-term management required,  including monitoring, operation, and maintenance; 
    (d) Short-term risks that might be posed to the community,  workers, or the environment during implementation of such a remedy, including  potential threats to human health and the environment associated with  excavation, transportation, and redisposal or containment; 
    (e) Time until full protection is achieved; 
    (f) Potential for exposure of humans and environmental  receptors to remaining wastes, considering the potential threat to human health  and the environment associated with excavation, transportation, re-disposal, or  containment; 
    (g) Long-term reliability of the engineering and institutional  controls; and 
    (h) Potential need for replacement of the remedy. 
    (2) The effectiveness of the remedy in controlling the source  to reduce further releases based on consideration of the following factors: 
    (a) The extent to which containment practices will reduce  further releases; 
    (b) The extent to which treatment technologies may be used; 
    (c) Magnitude of reduction of existing risks; and 
    (d) Time until full protection is achieved. 
    (3) The ease or difficulty of implementing a potential remedy  based on consideration of the following types of factors: 
    (a) Degree of difficulty associated with constructing the  technology; 
    (b) Expected operational reliability of the technologies; 
    (c) Need to coordinate with and obtain necessary approvals and  permits from other agencies; 
    (d) Availability of necessary equipment and specialists; and 
    (e) Available capacity and location of needed treatment,  storage, and disposal services. 
    (4) Practicable capability of the owner or operator, including  a consideration of the technical and economic capability. At a minimum the  owner or operator must consider capital costs, operation and maintenance costs,  net present value of capital and operation and maintenance costs, and potential  future remediation costs. 
    (5) Ensure that all solid wastes that are managed while  undergoing corrective action or an interim measure shall be managed in a  manner: 
    (a) That is protective of human health and the environment;  and 
    (b) That complies with all applicable federal and Virginia  requirements. 
    (6) The degree to which community concerns raised as the  result of the public meeting required by subdivision C 4 of this section are  addressed by the potential remedy. 
    b. Implementation and completion timeframes. The owner or  operator shall specify as part of the selected remedy a schedule for initiating  and completing remedial activities. Such a schedule shall require the  initiation of remedial activities within a reasonable period of time taking into  consideration the factors set forth in this section. The owner or operator  shall consider the following factors in determining the schedule of remedial  activities: 
    (1) Extent and nature Nature and extent of  contamination; 
    (2) Practical capabilities of remedial technologies in  achieving compliance with groundwater protection standards established under  9VAC20-81-250 A 6 and other objectives of the remedy; 
    (3) Availability of treatment or disposal capacity for wastes  managed during implementation of the remedy; 
    (4) Desirability of utilizing technologies that are not  currently available, but which may offer significant advantages over already  available technologies in terms of effectiveness, reliability, safety, or  ability to achieve remedial objectives; 
    (5) Potential risks to human health and the environment from  exposure to contamination prior to completion of the remedy; 
    (6) Resource value of the aquifer including: 
    (a) Current and future uses; 
    (b) Proximity and withdrawal rates of users; 
    (c) Groundwater quantity and quality; 
    (d) The potential damage to wildlife, crops, vegetation, and  physical structures caused by exposure to the waste constituents; 
    (e) The hydrological characteristics of the landfill and  surrounding land; 
    (f) Groundwater removal and treatment costs; and 
    (g) The cost and availability of alternate water supplies; 
    (7) Practical capability of the owner or operator; 
    (8) Timeframes for periodic progress reports during design,  construction, operation, and maintenance. Items to consider when preparing the  reports include but are not limited to: 
    (a) Progress of remedy implementation; 
    (b) Results of monitoring and sampling activities; 
    (c) Progress in meeting cleanup standards; 
    (d) Descriptions of remediation activities; 
    (e) Problems encountered during the reporting period and  actions taken to resolve problems; 
    (f) Work for next reporting period;
    (g) Copies of laboratory reports including drilling logs,  QA/QC documentation, and field data; and
    (9) Other relevant factors. 
    c. Corrective action monitoring program. Any groundwater  monitoring program to be employed during the corrective action process: 
    (1) Shall at a minimum, meet the requirements of the  applicable groundwater monitoring program described under 9VAC20-81-250 B 3 or  C 3; 
    (2) Shall determine the horizontal and vertical extent of the  plume of contamination for constituents at statistically significant levels  exceeding background concentrations; 
    (3) Can be used to demonstrate the effectiveness of the  implemented corrective action remedy; and 
    (4) Shall demonstrate compliance with the groundwater  protection standard established under 9VAC20-81-250 A 6. 
    2. The proposed corrective action plan shall be submitted to  the director for approval. Prior to rendering his approval, the director may: 
    a. Request an evaluation of one or more alternative remedies; 
    b Request technical modification of the monitoring program; 
    c. Request a change in the time schedule; or 
    d. Determine that the remediation of the release of Table 3.1  constituents is not necessary if the owner or operator demonstrates to the  satisfaction of the director that: 
    (1) The groundwater is additionally contaminated by substances  that have originated from a source other than the landfill in a demonstration  meeting the requirements of 9VAC20-81-250 A 5 and those substances are present  in concentrations such that cleanup of the release from the landfill would  provide no significant reduction in risk to actual or potential receptors;
    (2) The constituent is present in groundwater that is not  currently or reasonably expected to be a source of drinking water and not  hydraulically connected with waters to which the constituents are migrating or  are likely to migrate in a concentration that would exceed the groundwater  protection standards established;
    (3) Remediation of the release is technically impracticable;  or 
    (4) Remediation results in unacceptable cross-media impacts. 
    3. A determination by the director pursuant to subdivision 2 d  of this subsection shall not affect the authority of the state to require the  owner or operator to undertake source control measures or other measures that  may be necessary to eliminate or minimize further releases to the groundwater,  to prevent exposure to the groundwater, or to remediate the groundwater to  concentrations that are technically practicable and significantly reduce  threats to human health or the environment. 
    4. After an evaluation of the proposed or revised plan, the  director will: 
    a. Approve the proposed corrective action plan as written;
    b. Approve the proposed corrective action plan as modified by  the owner or operator;
    c. Proceed with the permit amendment modification  process in accordance with 9VAC20-81-600 F 2; or 
    d. Disapprove the proposed corrective action plan and undertake  appropriate containment or clean up actions in accordance with § 10.1-1402  (18) of the Virginia Waste Management Act. 
    E. Remedy implementation. Upon completion of the permit amendment  modification action described under subdivision D 4 c of this section,  the owner or operator shall: 
    1. Monitoring program. Implement a corrective action  groundwater monitoring program meeting the requirements of subdivision D 1 c of  this section;
    2. Remedy. Implement the remedy described in the Corrective  Action Plan and the Permit as amended under subdivision D 4 c of this section;  and 
    3. Interim measures. Take any interim measures necessary to  ensure the protection of human health and the environment as described in  subsection F of this section.
    F. Interim measures. 
    1. To the greatest extent practicable, interim measures shall  be consistent with the objectives of and contribute to the performance of any  remedy that may be required pursuant to meeting the groundwater protection  standard. 
    2. Should the director require interim measures pursuant to  this section, the director will notify the owner or operator of the necessary  actions required. Such actions will be implemented as soon as practicable in  accordance with a schedule as specified by the director. 
    3. The following factors shall be considered in determining  whether interim measures are necessary: 
    a. Timeframes. Time required to develop or implement a final  remedy; 
    b. Exposure. Actual or potential exposure of nearby  populations or environmental receptors to hazardous constituents; 
    c. Drinking water. Actual or potential contamination of  drinking water supplies; 
    d. Resource degradation. Further degradation of the  groundwater that may occur if remedial action is not initiated expeditiously; 
    e. Migration potential. Weather conditions that may cause the  constituents to migrate or be released; 
    f. Accident. Risks of fire or explosion, or potential for  exposure to constituents as a result of an accident or failure of a container  or handling system; and 
    g. Other. Situations including the presence of wastes or other  contaminants that may pose threats to human health, sensitive ecosystems, and  the environment. 
    G. Remedy performance. 
    1. The owner or operator shall provide an evaluation of the  performance of the remedy consistent with the timeframes established in the  permit and present the findings in a Corrective Action Site Evaluation report.  The evaluation shall describe the progress toward achieving the groundwater  protection standards since implementation of the remedy. 
    2. An owner or operator or the director may determine, based  on information developed after implementation of the remedy or other  information contained in the evaluation, that compliance with requirements of  subdivision H 1 of this section are not being achieved through the remedy  selected. In such cases, the owner or operator shall implement other methods or  techniques that could practicably achieve compliance with the requirements,  unless the owner or operator makes the determination under subdivision G 3 of  this section. 
    3. If the owner or operator determines that groundwater  protection standards cannot be practically achieved with any currently  available methods, the owner or operator shall, within 90 days of recognizing  that condition: 
    a. Submit a report, certified by a qualified groundwater  scientist, for director approval, that demonstrates that compliance with  groundwater protection standards established under 9VAC20-81-250 A 6 cannot be  practically achieved with any currently available groundwater remedial methods;  
    b. Upon receiving director approval under subdivision 2 a  3 a of this subsection, implement alternate measures to control exposure  of humans or the environment to residual contamination that will remain as a  result of termination of remedial actions, as necessary to protect human health  and the environment;
    c. Implement alternate measures for removal or decontamination  of any remediation-related equipment, units, devices, or structures that are: 
    (1) Technically practicable; and 
    (2) Consistent with the overall objective of the remedy; and
    d. At least 14 days prior to implementing the alternate  measures, Submit submit a request for approval to the director  describing and justifying the alternate measures to be applied. 
    H. Remedy completion.
    1. The groundwater remedy implemented under corrective action  shall be considered complete when: 
    a. The owner or operator complies with the groundwater  protection standards at all points within the plume of contamination that lie  at or beyond the disposal unit boundary by demonstrating that no Table 3.1  Column B constituents have exceeded groundwater protection standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards as described under 9VAC20-81-250 D; and
    b. All other actions required as part of the remedy have been  satisfied or completed, and the owner or operator obtains the certification  required under subdivision H 2 of this section. 
    2. Upon completion of the remedy, the owner or operator shall  notify the director within 14 days by submitting a certification that the  remedy has been completed in compliance with the requirements of the Corrective  Action Plan and the permit as amended modified under subdivision  D 4 c of this section. 
    3. The certification shall be signed by the owner or operator  and by a qualified groundwater scientist, and shall include all data relevant  to the demonstration of a successful remedy completion. 
    4. If the director, based on the review of information presented  under subdivision H 3 of this section, determines that:
    a. The corrective action remedy has been completed in  accordance with the requirements of the Corrective Action Plan, the permit as  amended, and subdivision H 1 of this section, the director will release the  owner or operator from the requirements for financial assurance for corrective  action under 9VAC20-70; or
    b. The remedy has not yet achieved completion, the owner or  operator shall remain in corrective action and meet the financial assurance requirements  until such time as a successful demonstration and certification can be made. 
    Part IV 
  Other Solid Waste Management Facility Standards: 
  Compost Facilities; Solid Waste Transfer Stations; Centralized Waste Treatment  Facilities; Materials Recovery Facilities; Waste to Energy; Incineration  Facilities; Surface Impoundments and Lagoons; Waste Piles; Remediation Waste  Management Units; Landfill Mining; Miscellaneous Units; and Exempt Management  Facilities
    9VAC20-81-300. General.
    A. Any person who designs, constructs, or operates any solid  waste treatment or storage facility not otherwise exempt under 9VAC20-81-35  D 9VAC20-81-95 shall comply with the requirements of this part. In  addition, this part sets forth conditions that yard waste composting facilities  must meet to maintain their exempt status, where applicable, under 9VAC20-81-95  D 6. Further, all applications pursuant to these standards shall demonstrate  specific means proposed for compliance with requirements set forth in this  part.
    B. All facilities, except exempted facilities, shall be  maintained and operated in accordance with the permit issued or permit-by-rule  status pursuant to this regulation. All facilities shall be maintained and  operated in accordance with the approved design and intended use of the  facility. 
    C. Hazardous wastes shall not be disposed or managed in  facilities subject to this regulation unless specified in the permit or by  specific approval of the executive director. 
    D. Solid waste management facilities regulated under this  part that place solid wastes or residues on site for disposal, or leave such  wastes or residues in place after closure, are subject to the provisions of  Part III (9VAC20-81-100 et seq.) of this chapter, including:
    1. Groundwater monitoring requirements in 9VAC20-81-250;
    2. Closure and postclosure care requirements in 9VAC20-81-160  and 9VAC20-81-170; and
    3. Permitting requirements of Part V (9VAC20-81-400 et seq.)  of this chapter.
    E. All other facilities shall close in accordance with the  closure plan prepared per the requirements described in this part and  9VAC20-81-480, as applicable.
    F. Control program for unauthorized waste. Facilities  managing solid waste per activities exempted under the provisions of  9VAC20-81-95 are not required to implement the control program for unauthorized  waste as provided in this section.
    1. Solid waste treatment or storage facilities regulated under  this part shall implement a control program for unauthorized waste in  accordance with the following provisions. The owner or operator of the facility  shall:
    a. Place a written description of the control program for  unauthorized waste in the facility's operating manual; 
    b. Institute a control program (including measures such as  signs at all maintained access points indicating hours of operation and the  types of solid waste accepted and not accepted, monitoring, alternate  collection programs, passage of local laws, etc.) to assure that only solid  waste authorized by the department to be managed at the solid waste management  facility is being managed there; and
    c. Develop and implement a program to teach the solid waste  management facility's staff to recognize, remove, and report receipt of solid  waste not authorized by the department to be managed at the solid waste  management facilities.
    2. If unauthorized waste is observed in the waste delivered to  the facility prior to unloading, the owner or operator may refuse to accept the  waste. If the unauthorized waste is observed in the waste delivered to the  facility, the owner or operator shall segregate it, notify the generator,  document the incident in the operating record, make necessary arrangements to  have the material managed in accordance with applicable federal and state laws,  and notify the department of the incident to include the means of proper  handling. If the unauthorized waste is accepted, the owner or operator shall  remove it, segregate it, and provide to the department a record identifying  that waste and its final disposition. Any unauthorized waste accepted by the  owner or operator shall be managed in accordance with applicable federal or  state laws and regulations. Unauthorized waste that has been segregated shall  be adequately secured and contained to prevent leakage or contamination to the  environment. The solid waste management facility owner or operator shall have  the unauthorized waste removed or properly managed as soon as practicable, but  not to exceed 90 days after discovery. Removal shall be by a person authorized  to transport such waste to a waste management facility approved to receive it  for treatment, disposal, or transfer.
    3. Owners or operators of waste to energy or incinerator  facilities receiving waste generated outside of Virginia shall also comply with  the increased random inspection provisions in 9VAC20-81-340 E 3.
    G. Solid waste management facilities regulated under this  part that store waste tires shall also adhere to the requirements of  9VAC20-81-640 for the waste tire storage. 
    9VAC20-81-397. Exempt yard waste composting facilities.
    A. Applicability.
    1. The standards in subsection B of this section apply to  persons who compost vegetative waste in a manner described in the conditional  exemption set forth at 9VAC20-81-95 D.
    2. The standards in subsection C of this section apply to  persons who operate small vegetative waste disposal units on their property.
    B. Composting of yard waste. Additional requirements for  managing conditionally exempt yard waste compost facilities, described under  9VAC20-81-95 D 6, are as follows: 
    1. Owners or operators of agricultural operational activities  that accept only yard waste generated offsite are exempt from all other  provisions of this chapter as applied to the composting activities provided  that:
    a. The total time for composting process and storage of  material that is being composted shall not exceed 18 months prior to its field  application or sale as a horticultural or agricultural product;
    b. No waste material other than yard waste is received;
    c. The total amount of yard waste received from offsite never  exceeds 6,000 cubic yards in any consecutive 12-month period;
    d. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;
    e. They pose no nuisance or present or potential threat to  human health or the environment; and
    f. Before receiving any waste, the owner submits a complete  DEQ Form YW-3:
    2. Owners or operators of agricultural operations that accept  only Category I yard waste feedstocks and manures from herbivorous  animals generated offsite are exempt from all other provisions of this chapter  as applied to the composting activities provided that:
    a. The composting area is located not less 300 feet from a  property boundary of a parcel owned or controlled by another person, is located  not less than 1,000 feet from an occupied dwelling not located on the same  property as the composting area, and is not located within an area designated  as a flood plain;
    b. The agricultural operation has at least one acre of ground  suitable to receive yard waste for each 150 cubic yards of finished compost;
    c. The total time for the composting process and storage of  material that is being composted or has been composted shall not exceed 18  months prior to the field application or sale as horticultural or agricultural  product;
    d. The owner or operator of any agricultural operation that  receives in any 12-month period (consecutive) more than 6,000 cubic yards of  waste generated from property not within the control of the owner or the  operator shall submit by April 1 each year to the director an annual report in  accordance with subdivision 4 of this subsection describing the volume and  types of yard waste received for composting by the operation between January 1  and December 31 of the preceding consecutive 12 months and shall certify that  the yard waste composting facility complies with local ordinances; 
    e. No waste material other than yard waste and manures from  herbivorous animals are received;
    f. The quantities of offsite manures from herbivorous animals  brought onsite are limited to achieve a carbon to nitrogen ratio of 25:1 to  40:1. All manures must be incorporated into the compost within 24 hours of  delivery. No offsite manures may be stored onsite; and
    g. Prior to the receipt of solid waste generated offsite, the  owner or operator of the agricultural operation intending to operate under this  exemption shall submit a complete DEQ Form YW-4.
    3. Owners or other persons authorized by the owner of real  property who receive only yard waste generated offsite for the purpose of  producing compost on said property shall be exempt from all requirements of  this chapter as applied to the composting activity provided that: 
    a. Not more than 500 cubic yards of yard waste generated  offsite is received at the owner's said property in any consecutive 12-month  period; 
    b. No compensation will be received, either directly or  indirectly, by the owner or other persons authorized by the owner of said  property from parties providing yard waste generated off said property; 
    c. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;  and 
    d. They pose no nuisance or present or potential threat to  human health or the environment.
    4. Owners or operators of an agricultural composting operation  in accordance with subdivision 2 of this subsection, who are exempt from the  permitting requirements in accordance with 9VAC20-81-95 D and who may receive  more than 6,000 cubic yards of yard waste generated from property not within  the control of the owner or operator in any 12-month period shall submit an  annual report on DEQ Form YW-2. The report shall describe the volume and  types of yard waste received for composting. Completion and filing of the form  by July 15 April 1 for activities in the preceding 12 months  (January 1 through December 31) constitutes compliance with the requirements.  The annual report shall be submitted on DEQ Form YW-2.
    C. Small disposal units for vegetative wastes from land  clearing. Additional requirements for managing small disposal units for  vegetative waste from land clearing as exempted under 9VAC20-81-95 D 17 are as  follows:
    Owners of real property who operate small waste disposal  units that qualify under all the conditions of this subsection shall be exempt  from other provisions, including permitting, of this chapter as applied to  those units provided:
    1. No person other than the owner of the real property shall  be exempt under this section.
    2. All owners of the real property who hold title to property  at the time the disposal unit is initially opened or during the time the unit  remains open (limited to two calendar years below) shall, in the exercise of  this exemption, accept responsibility for maintaining compliance of the unit  with all requirements of this chapter as set out in this exemption.
    3. The owner agrees that he shall not sell, give, or otherwise  transfer the responsibility for the unit's compliance to any other party  throughout its active life, the postclosure care period, and the corrective  action period, and that he shall remain the principal party responsible for the  compliance of the unit with this chapter. 
    4. Only units that are in compliance with all requirements of  this section shall qualify, and units that are not in compliance with all  requirements of this section shall not qualify or shall cease to qualify. Units  that qualify for this exemption shall comply with the following requirements:
    a. Only vegetative waste or yard waste shall be placed in the  disposal unit; however, grass trimmings or bulk leaves shall not be placed in  the disposal unit.
    b. The waste disposal unit shall not be larger than 0.50 acres  in size.
    c. The waste disposal unit shall not be located within 1,000  feet of any other waste disposal unit of any type, including other disposal  units exempted by this chapter.
    d. The waste disposal unit shall not be located within 150  feet of any existing building or planned building. The waste disposal unit  shall not be located within 50 feet of any existing or planned subdivision lot  that may be used for the erection of a building.
    e. The waste disposal unit shall not be located within 100  feet of a flowing stream; body of water; any well, spring, sinkhole, or  unstable geologic feature. Also, it shall not be located within 200 feet of any  groundwater source of drinking water.
    f. The waste disposal unit shall be constructed to separate  all waste by at least two feet vertically from the seasonal high water table.
    g. The waste disposal unit should not obstruct the scenic view  from any public road and should be graded to present a good appearance.
    h. Mounding of the waste disposal unit shall not reach an  elevation more than 20 feet above the original elevation of the terrain before  the disposal began. The elevation of the original terrain should be based on  the general area and not the bottom of ravines and small depressions in the  disposal area.
    i. The waste received by the waste disposal unit shall be  limited to the following:
    (1) Waste generated onsite;
    (2) Waste generated by clearing the path of a roadway or  appurtenances to the roadway when buried within the right-of-way of the roadway  (waste shall not be buried in the structural roadway prism) or adjacent land  under a permanent easement and the terms of the easement incorporate the  construction of the disposal unit; and
    (3) Waste from property that is owned by the owner of the  disposal unit, within the same construction project, and generated not more  than two miles from the unit.
    j. The waste disposal unit shall be closed two calendar years  from the date it first receives waste. The closure shall include cover with two  feet of compacted soil, grading for good appearance with slopes that prevent  erosion, and seeding or revegetation. During the life of the unit, earthen material  should be applied periodically to prevent excessive subsidence of the waste  disposal unit when closed. Sides of the finished unit shall be sloped to  prevent erosion, and slopes shall not be steeper than one vertical foot to  three horizontal feet.
    k. The location plat and legal description, as set out in  subdivision 4 p of this subsection, of all units that are not located wholly  within the bed or right-of-way of a public road shall be recorded in the deed  book for the property in the court of record prior to the first receipt of  waste. Waste disposal shall not be allowed within the structural roadway prism.
    l. The owner shall maintain continuous control of access to  all disposal units from the time they are opened until they are closed in  accordance with this section. The owner shall prevent fires and provide standby  equipment and supplies sufficient to easily suppress a fire. Brush and small  limbs that might provide tinder for a fire shall be covered at the end of the  work day with one foot of soil.
    m. The owner shall not be exempt from the CDD landfill  groundwater monitoring and corrective action requirements of 9VAC20-81-250 and  9VAC20-81-260, respectively, to include required monitoring during the  postclosure period.
    n. The owner shall not be exempt from the decomposition gas  monitoring and venting requirements of 9VAC20-81-210. The owner of a small  waste disposal unit shall comply in all respects with the decomposition gas  monitoring and venting requirements as established in this chapter.
    o. The owner shall not be exempt from any requirement of the  Financial Assurance Regulations For Solid Waste Disposal Facilities,  (9VAC20-70), and shall comply with all financial assurance requirements.
    p. At least six weeks before beginning construction of a  vegetative waste disposal unit, the owner of the real property shall notify in  writing the director, the governing board of the city, county, or town wherein  the property lies, and all property owners whose parcel will abut the area of  the proposed disposal unit. The notice shall give the names and legal addresses  of the owners, the type of unit to be developed, and the projected date of  initial construction of the unit. The owner shall include a plat and legal  description of the disposal unit's metes and bounds prepared and stamped by a  Virginia licensed land surveyor. The plat and description shall follow all  standard practice such as inclusion of the nearest existing intersection of  state roads and existing fixed survey markers in the vicinity.
    q. Unless otherwise designated, all monitoring and reporting  requirements shall begin at the initiation of the disposal operations and all  reports shall be sent to the department and the chief executive of the local  government. 
    9VAC20-81-470. Part B permit application for solid waste l  disposal facilities.
    Part B permit application requirements for all solid waste  disposal facilities regulated under Part III (9VAC20-81-100 et seq.) are  contained in this section. The Part B applications shall include the following  requirements and documentation: 
    A. Plans submitted as part of the Part B application shall  include the following: 
    1. Design plans. Design plans shall be certified by a  professional engineer and shall consist of, at least, the following: 
    a. A title sheet indicating the project title, who prepared  the plans, the person for whom the plans were prepared, a table of contents,  and a location map showing the location of the site and the area to be served. 
    b. An existing site conditions plans sheet indicating site  conditions prior to development. 
    c. A base grade plan sheet indicating site base grades or the  appearance of the site if it were excavated in its entirety to the base  elevation, before installation of any engineering modifications or the  beginning of any filing. 
    d. An engineering modification plan sheet indicating the  appearance of the site after installation of engineering modifications. More  than one plan sheet may be required for complicated sites. This plan is  required only for those sites with engineering modifications. 
    e. A final site topography plan sheet indicating the  appearance of the site, and final contours of the site at closing including the  details necessary to prepare the site for long-term care. 
    f. A series of phasing plan sheets showing the progression of  site development through time. At a minimum, a separate plan shall be provided  for initial site preparations and for each subsequent major phase or new area  where substantial site preparation must be performed. Each such plan shall  include a list of construction items and quantities necessary to prepare the  phase indicated. 
    g. A site monitoring plan showing the location of all devices  for the monitoring of leachate production, groundwater quality, and gas  production and venting. This plan shall include a table indicating the  parameters to be monitored for the frequency of monitoring before and during  site development. The groundwater monitoring plan shall include information as  applicable under 9VAC20-81-250 or 9VAC20-81-260. 
    h. A series of site cross-sections shall be drawn  perpendicular and parallel to the site base line at a maximum distance of 500  feet between cross-sections and at points of grade break and important  construction features. The location of the cross-sections shall be shown on the  plan sheets and the section labeled using the site grid system. Where  applicable, each cross-section shall show existing, proposed base and final  grades; soil borings and monitoring wells that the section passes through or is  adjacent to; soil types, bedrock and water table; leachate control, collection,  and monitoring systems; limits of filling for each major waste type; drainage  control structures; access roads and ramps on the site parameter perimeter  and within the active fill area; the filling sequence or phases; and other site  features. 
    i. Detailed drawings and typical sections for drainage control  structures, access roads, fencing, leachate and gas control systems, and  monitoring devices, buildings, signs, and other construction details. 
    j. Plan sheets shall include: 
    (1) A survey grid with base lines and bench marks to be used  for field control. 
    (2) Limits of filling for each major waste type or fill area. 
    (3) All drainage patterns and surface water drainage control  structures both within the actual fill area and at the site perimeter. Such  structures may include berms, ditches, sedimentation basins, pumps, sumps,  culverts, pipes, inlets, velocity breaks, sodding, erosion matting, or other  methods of erosion control. 
    (4) Ground surface contours at the time represented by the  drawing. Spot elevations shall be indicated for key features. 
    (5) Areas to be cleared and grubbed and stripped of topsoil. 
    (6) Borrow areas for liner materials, gas venting materials,  berms, roadway construction, daily cover, and final cover. 
    (7) All soil stockpiles including daily and final cover,  topsoil, liner materials, gas venting materials, and other excavation. 
    (8) Access roads and traffic flow patterns to and within the  active fill area. 
    (9) All temporary and permanent fencing. 
    (10) The methods of screening such as berms, vegetation, or  special fencing. 
    (11) Leachate collection, control, storage, and treatment  systems that may include pipes, manholes, trenches, berms, collection sumps,  storage units, pumps, risers, liners, and liner splices. 
    (12) Gas, leachate, and groundwater monitoring devices and  systems. 
    (13) Severe weather solid waste disposal areas. 
    (14) Support buildings, scale, utilities, gates, and signs. 
    (15) Special waste handling areas. 
    (16) Construction notes and references to details. 
    (17) Other site features. 
    2. Closure plan. A detailed closure plan be prepared and  submitted. Such a plan shall be prepared in two parts, one reflecting those  measures to be accomplished at the midpoint of the permit period, and the other  when the useful life of the landfill is reached. The plan shall show how the  facility will be closed to meet the requirements of 9VAC20-81-160 and  9VAC20-81-170. The plan shall include the procedures to be followed in closing  the site, sequence of closure, time schedules, final plans of completion of  closure to include final contours, and long-term care plan sheets showing the  site at the completion of closing and indicating those items anticipated to be  performed during the period of long-term care for the site. The plans shall  include a table listing the items and the anticipated schedule for monitoring  and maintenance. In many instances this information can be presented on the  final site topography sheet. 
    3. Postclosure plan. A postclosure care plan containing  long-term care information including a discussion of the procedures to be  utilized for the inspection and maintenance of: run-off control structures;  settlement; erosion damage; gas and leachate control facilities; monitoring for  gas, leachate, and groundwater; and other long-term care needs. 
    B. A design report shall be submitted, which shall include  supplemental discussions and design calculations, to facilitate department  review and provide supplemental information including the following  information: 
    1. The design report shall identify the project title;  engineering consultants; site owner, permittee and operator; proposed permitted  acreage; hours of operation; wastes to be accepted; site life; design capacity;  and the daily disposal limit. It shall also identify any variances desired by  the applicant.
    2. A discussion of the basis for the design of the major  features of the site, such as traffic routing, base grade and relationships to  subsurface conditions, anticipated waste types and characteristics, phases  development, liner design, leachate management system design, facility  monitoring, and similar design features shall be provided. A list of the  conditions of site development as stated in the department determination of  site feasibility and the measures taken to meet the conditions shall be  included. A discussion of all calculations, such as refuse-cover balance  computations, stockpile sizing estimates, estimate of site life, and run-off  and leachate volume estimates shall be included. The calculations shall be  summarized with the detailed equations presented in an appendix.
    3. Specifications, including detailed instructions to the site  operator for all aspects of site construction.
    a. Initial site preparations including specifications for  clearing and grubbing, topsoil stripping, other excavations, berm construction,  drainage control structures, leachate collection system, access roads and  entrance, screening, fencing, groundwater monitoring, and other special design  features.
    b. A plan for initial site preparation including a discussion  of the field measurements, photographs to be taken, sampling and testing  procedures to be utilized to verify that the in-field conditions encountered  were the same as those defined in the feasibility report, and to document that  the site was constructed according to the engineering plans and specifications  submitted for department approval.
    C. Financial assurance documentation. When required by the  Financial Assurance Regulations of Solid Waste Disposal, Transfer, and  Treatment Facilities (9VAC20-70), the applicant shall provide the completed  documentation to demonstrate compliance with those regulations; proof of  financial responsibility must be for the entity identified in accordance with  9VAC20-81-450 B 10.
    D. DEQ Form SW PTB (Part B Permit Application Form). The  applicant shall submit a completed DEQ Form SW PTB.
    9VAC20-81-485. Operations manual requirements for solid waste  management facilities.
    A. Solid waste disposal facilities. An operations manual  shall be prepared and maintained in the operating record. The operations manual  shall include a certification page signed by a responsible official. This  signature shall certify the manual meets the requirements of this chapter. This  manual shall be reviewed and recertified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements, and shall be made available for review by the department upon  request. The operations manual for disposal facility operation shall contain at  least the following plans: 
    1. An operations plan that at a minimum includes:
    a. Explanation of how the design and construction plans will  be implemented from the initial phase of operation until closure;
    b. Municipalities, industries, and collection and  transportation agencies served; 
    c. Waste types and quantities to be disposed; 
    d. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the operational requirements  of Part III (9VAC20-81-100 et seq.) of this chapter are achieved. References to  specifications on the plan sheet shall be pointed out as well as additional  instructions included, where appropriate. At a minimum, the plan specifications  shall include: 
    (1) Daily operations including a discussion of the timetable  for development, waste types accepted or excluded, inspection of incoming  waste, typical waste handling techniques, hours of operation, traffic routing,  drainage and erosion control, windy, wet and cold weather operations, fire  protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, direction of  filling, salvaging, recordkeeping, parking for visitors and employees,  monitoring, maintenance, closure of filled areas, gas and leachate control  methods, backup equipment with names and telephone numbers where equipment may  be obtained, and other special design features; 
    (2) Development of subsequent phases; and 
    (3) Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan. 
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part III (9VAC20-81-100 et seq.) of this chapter. 
    b. The frequency of inspection based on the rate of potential  equipment deterioration or malfunction and the probability of an adverse  incident occurring if the deterioration or malfunction goes undetected between  inspections. The plan shall establish the minimum frequencies for inspections  required in 9VAC20-81-140. This plan shall identify areas of the facility  subject to spills such as loading and unloading areas and areas in which  significant adverse environmental or health consequences may result if  breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the requirements of  9VAC20-81-140.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses, and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates. 
    6. A landscaping plan that shall:
    a. Delineate existing site vegetation to be retained;
    b. Discuss methods to be employed in order to ensure protection  of vegetation to be retained during the clearing, grading and construction  phases of the project and the supplemental vegetation to be planted; and 
    c. Information relating to vegetation type, location and  purpose, such as for buffer, screening or aesthetics, and schedules for  planting, shall accompany the plan. 
    B. Other solid waste management facilities. An operations  manual shall be prepared and maintained in the operating record. The Operations  Manual shall include a certification page signed by a responsible official.  This signature shall certify the manual meets the requirements of this chapter.  This manual shall be reviewed and re-certified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements and shall be made available to the department upon request. The  manual for facility operation shall contain at least the following plans:
    1. An operations plan that at a minimum includes:
    a. An explanation of how the design and construction plans  will be implemented from the initial phase of operation until closure.
    b. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the applicable operational  requirements of Part IV (9VAC20-81-300 et seq.) are achieved. Daily operations  including a discussion of the timetable for development, waste types accepted  or excluded, typical waste handling techniques, hours of operation, traffic  routing, drainage and erosion control, windy, wet and cold weather operations,  fire protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, salvaging,  record keeping, parking for visitors and employees, monitoring, backup equipment  with names and telephone numbers where equipment may be obtained, and other  special design features. The daily operations section of the operations manual  may be developed as a removable section to improve accessibility for the site  operator. 
    c. Development of subsequent phases of the facility, if  applicable.
    d. Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan.
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part IV (9VAC20-81-300 et seq.) of this chapter. 
    b. The frequency of inspection shall be based on the rate of  potential equipment deterioration or malfunction and the probability of an  adverse incident occurring if the deterioration or malfunction goes undetected  between inspections. The plan shall establish the minimum frequencies for  inspections required in 9VAC20-81-140 9VAC20-81-340. This plan  shall identify areas of the facility subject to spills such as loading and  unloading areas and areas in which significant adverse environmental or health  consequences may result if breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the applicable  requirements of 9VAC20-81-340.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates.
    9VAC20-81-490. Effect of the permit.
    A. A completed permit for a solid waste management facility  shall be prepared at the conclusion of the procedures outlined in  9VAC20-81-450. The permit shall be prepared in detail to establish the  construction requirements, monitoring requirements, operating limitations or  guides, waste limitations if any, and any other details essential to the  operation and maintenance of the facility and its closure. Before receipt of  waste by the facility, the applicant must: 
    1. Notify the department, in writing, that construction has been  completed; and submit to the department a letter from a professional engineer  certifying that the facilities have been completed in accordance with the  approved plans and specifications and is ready to begin operation. This  certification letter is in addition to the CQA certification required in  9VAC20-81-130 Q 3 and must be provided by a different individual than the CQA  certification. This certification letter is typically provided by the design  engineer. 
    2. Arrange for a department representative to inspect the site  and confirm that the site is ready for operation. 
    B. Certificate-to-Operate (CTO). Following review of a  complete CQA certification and site inspection the department shall issue a CTO  authorizing the facility to begin receiving waste. The facility shall not  receive waste until a CTO has been issued by the department. 
    C. Inspections. Each facility permitted to accept solid waste  requires periodic inspection and review of records and reports. Such  requirements shall be set forth in the final permit issued by the department.  The permit applicant by accepting the permit, agrees to the specified periodic  inspections. 
    D. Compliance with a valid permit during its term constitutes  compliance, for purposes of enforcement, with the Virginia Waste Management  Act. However, a permit may be modified, revoked and reissued, or revoked for  cause as set forth in 9VAC20-81-570 and 9VAC20-81-600. 
    E. The issuance of a permit does not convey any property  rights of any sort, or any exclusive privilege. 
    F. The issuance of a permit does not authorize any injury to  persons or property or invasion of other private rights, or any infringement of  federal, Commonwealth, or local law or regulations. 
    G. A permit may be transferred by the permittee to a new  owner or operator only if the permit has been revoked and reissued, or a minor  modification made to identify the new permittee and incorporate such other  requirements as may be necessary. Upon presentation of the financial assurance  proof required by 9VAC20-70 by the new owner, the department will release the  old owner from his closure and financial responsibilities and acknowledge  existence of the new or modified permit in the name of the new owner. 
    H. This section provides for the approval of permits or  permit modifications that include a time allowance for the permittee to achieve  the new standards contained in the approved permit or permit modification.
    1. The permit may specify a schedule of compliance leading to  compliance with this chapter. 
    a. Any schedules of compliance under this subsection shall  require compliance as soon as possible. 
    b. Except as otherwise provided, if a permit establishes a  schedule of compliance that exceeds one year from the date of permit issuance,  the schedule shall set forth interim requirements and the dates for their  achievement. 
    (1) The time between interim dates shall not exceed one year;  and 
    (2) If the time necessary for completion of any interim  requirement is more than one year and is not readily divisible into stages of  completion, the permit shall specify interim dates for the submission of  reports of progress toward completion of the interim requirements and indicate  a projected completion date. 
    c. The permit shall be written to require that no later than  14 days following each interim date and the final date of compliance, a  permittee shall notify the department, in writing, of his compliance or  noncompliance with the interim or final requirements. 
    2. A permit applicant or permittee may cease conducting  regulated activities (by receiving a terminal volume of solid waste, and, in  case of treatment or storage facilities, closing pursuant to applicable  requirements, or, in case of disposal facilities, closing and conducting  postclosure care pursuant to applicable requirements) rather than continue to  operate and meet permit requirements as follows: 
    a. If the permittee decides to cease conducting regulated  activities at a specified time for a permit that has already been issued: 
    (1) The permit may be modified to contain a new or additional  schedule leading to timely cessation of activities; or 
    (2) The permittee shall cease conducting permitted activities  before noncompliance with any interim or final compliance schedule requirement  already specified in the permit. 
    b. If the decision to cease conducting regulated activities is  made before the issuance of a permit whose terms will include the termination  date, the permit shall contain a schedule leading to termination that will  ensure timely compliance with applicable requirements. 
    c. If the permittee is undecided whether to cease conducting  regulated activities, the director may issue or modify a permit to continue two  schedules as follows: 
    (1) Both schedules shall contain an identical interim deadline  requiring a final decision on whether to cease conducting regulated activities  no later than a date that ensures sufficient time to comply with applicable  requirements in a timely manner if the decision is to continue conducting  regulated activities; 
    (2) One schedule shall lead to timely compliance with  applicable requirements; 
    (3) The second schedule shall lead to cessation of regulated  activities by a date that will ensure timely compliance with applicable  requirements; and
    (4) Each permit containing two schedules shall include a  requirement that, after the permittee has made a final decision, he shall  follow the schedule leading to compliance if the decision is to continue  conducting regulated activities, and follow the schedule leading to termination  if the decision is to cease conducting regulated activities. 
    d. The applicant's decisions to cease conducting regulated  activities shall be evidenced by a firm public commitment satisfactory to the  department, such as a resolution of the board of directors of a corporation.
    9VAC20-81-530. Recording and reporting required of a permitee  permittee.
    A. A permit shall specify: 
    1. Required monitoring, including type, intervals and  frequency, sufficient to yield data that are representative of the monitored  activity; 
    2. Requirements concerning the proper use, maintenance, and  installation of monitoring equipment or methods, including biological  monitoring methods when appropriate; and
    3. Applicable reporting requirements based upon the impact of  the regulated activity and as specified in this chapter. 
    B. A permittee shall be subject to the following whenever  monitoring is required by the permit: 
    1. The permittee shall retain records at the permitted  facility or another location approved by the department. Records shall include  all records required by the facility permit, these regulations, or other  applicable regulations. Records of all required monitoring information,  including all calibration and maintenance records will be maintained for at  least three years from the sample or measurement date. The director may request  that this period be extended. For operating landfills, records of the most  recent gas and groundwater monitoring event will be maintained at the facility.  
    2. Records of monitoring information shall include: 
    a. The date, exact place, and time of sampling or  measurements; 
    b. The individuals who performed the sampling or measurements;  
    c. The dates analyses were performed; 
    d. The individuals who performed the analyses; 
    e. The analytical techniques or methods used; and 
    f. The results of such analyses. 
    3. Required monitoring results shall be maintained on file for  inspection by the department. 
    C. A permittee shall be subject to the following reporting  requirements: 
    1. Written notice of any planned physical alterations to the  permitted facility shall be submitted to the department and approved before  such alterations are to occur, unless such items were included in the plans and  specifications approved by the department.
    2. Reports of compliance or noncompliance with, or any  progress reports on, interim and final requirements contained in any compliance  schedule of the permit, shall be submitted no later than 14 days following each  schedule date. 
    3. The permittee shall report to the department any  noncompliance or unusual condition that may endanger health or environment. Any  information shall be provided orally within 24 hours from the time the  permittee becomes aware of the circumstances. A written submission shall also  be provided within five days of the time the permittee becomes aware of the  circumstances. The written submission shall contain a description of the  circumstances and its cause; the period of occurrence, including exact dates  and times, and, if the circumstance has not been corrected, the anticipated time  it is expected to continue. It shall also contain steps taken or planned to  reduce, eliminate, and prevent reoccurrence of the circumstances resulting in  an unusual condition or noncompliance. 
    D. Copies of all reports required by the permit, and records  of all data used to complete the permit application must be retained by the  permittee for at least three years from the date of the report or application.  The director may request that this period be extended. 
    E. When the permittee becomes aware that he failed to submit  any relevant facts or submitted incorrect information in a permit application  or in any report to the director, he shall promptly submit such omitted facts  or the correct information with an explanation.
    9VAC20-81-600. Modification of permits.
    A. Permits may be modified at the request of any interested  person or upon the director's initiative. However, permits may only be modified  for the reasons specified in subsections E and F of this section. All requests  shall be in writing and shall contain facts or reasons supporting the request.  Any permit modification authorizing expansion of an existing sanitary landfill  shall incorporate the conditions required for a disposal capacity guarantee in  § 10.1-1408.1 P of the Code of Virginia. This provision does not apply to  permit applications from one or more political subdivisions that will only  accept waste from within those political subdivisions' jurisdiction or  municipal solid waste generated within other political subdivisions pursuant to  an interjurisdictional agreement. 
    B. If the director decides the request is not justified, he  shall send the requester a response providing justification for the decision. 
    C. If the director tentatively decides to modify, he shall  prepare a draft permit incorporating the proposed changes. The director may  request additional information and may require the submission of an updated  permit application. In a permit modification under subsection E of this  section, only those conditions to be modified shall be reopened when a new  draft permit is prepared. All other aspects of the existing permit shall remain  in effect. During any modification proceeding the permittee shall comply with  all conditions of the existing permit until the modified permit is issued. 
    D. When the director receives any information, he may  determine whether or not one or more of the causes listed for modification  exist. If cause exists, the director may modify the permit on his own  initiative subject to the limitations of subsection E of this section and may  request an updated application if necessary. If a permit modification satisfies  the criteria in subsection F of this section for minor modifications, the  permit may be modified without a draft permit or public review. Otherwise, a  draft permit shall be prepared and other appropriate procedures followed. 
    E. Causes for modification. The director may modify a permit  upon his own initiative or at the request of a third party: 
    1. When there are material and substantial alterations or  additions to the permitted facility or activity that occurred after permit  issuance that justify the application of permit conditions that are different  or absent in the existing permit; 
    2. When there is found to be a possibility of pollution  causing significant adverse effects on the air, land, surface water, or  groundwater; 
    3. When an investigation has shown the need for additional  equipment, construction, procedures and testing to ensure the protection of the  public health and the environment from adverse effects; 
    4. If the director has received information pertaining to  circumstances or conditions existing at the time the permit was issued that was  not included in the administrative record and would have justified the  application of different permit conditions, the permit may be modified  accordingly if in the judgment of the director such modification is necessary  to prevent significant adverse effects on public health or the environment; 
    5. When the standards or regulations on which the permit was  based have been changed by promulgation of amended standards or regulations or  by judicial decision after the permit was issued; 
    6. When the director determines good cause exists for  modification of a compliance schedule, such as an act of God, strike, flood, or  material shortage or other events over which the permittee has little or no  control and for which there is no reasonably available remedy; 
    7. When a modification of a closure plan is required under  9VAC20-81-160 or 9VAC20-81-360 and the permittee has failed to submit a permit  modification request within the specified period; 
    8. When the corrective action program specified in the permit  under 9VAC20-81-260 has not brought the facility into compliance with the  groundwater protection standard within a reasonable period of time; or 
    9. When cause exists for revocation under 9VAC20-81-570 and  the director determines that a modification is more appropriate. 
    F. Permit modification at the request of the permittee. 
           |      TABLE 5.2     PERMIT MODIFICATIONS      |    
       |      MAJOR      |          1. Implementation of a groundwater corrective action program    as required by 9VAC20-81-260      |    
       |      2. Change in the remedy applied as part of the groundwater    corrective action program      |    
       |      3. Groundwater monitoring plan for an existing facility    where no written plan has previously been provided      |    
       |      4. Changes to the design of final closure cover      |    
       |      5. Landfill mining      |    
       |      6. Reduction in the postclosure care period      |    
       |      7. Changes in postclosure use of the property with    disturbance of cover      |    
       |      8. All new or modifications of a leachate collection tank or    a leachate collection surface impoundment      |    
       |      9. Addition of new landfill units      |    
       |      10. Expansion or increase in capacity      |    
       |      11. Increase in daily disposal limit      |    
       |      12. Addition or modification of a liner, leachate collection    system, leachate detection system      |    
       |      13. Incorporation or modification of a Research,    Development, and Demonstration Plan       |    
       |      MINOR      |          Any change not specified as    major modification (above) or a permittee change (below)      |    
       |      PERMITTEE CHANGE      |          1. Correction of typographical errors      |    
       |      2. Equipment replacement or upgrade with functionally    equivalent components      |    
       |      3. Replacement of an existing leachate tank with a tank that    meets the same design standards and has a capacity within +/-10% of the    replaced tank      |    
       |      4. Replacement with functionally equivalent, upgrade, or    relocation of emergency equipment      |    
       |      5. Changes in name, address, or phone number of contact    personnel      |    
       |      6. Replacement of an existing well that has been damaged or    rendered nonoperable, without change to location, design, or depth of the    well      |    
       |      7. Changes to the expected year of final closure, where    other permit conditions are not changed      |    
       |      8. Changes in postclosure use of the property, without    disturbance of the cover      |    
       |      9. Modification of a leachate tank management practice      |    
  
    1. Permittee change. Items listed under Permittee Change in  Table 5.2 may be implemented without approval of the department. If a permittee  changes such an item, the permittee shall: 
    a. Notify the department of the change at least 14 calendar  days before the change is put into effect, indicating the affected permit  conditions; and
    b. Notify the governing body of the county, city, or town in  which the facility is located, within 90 calendar days after the change is put  into effect.
    2. Minor modifications. 
    a. Minor modifications apply to minor changes that keep the  permit current with routine changes to the facility or its operation. These  changes do not substantially alter the permit conditions or reduce the capacity  of the facility to protect human health or the environment.
    b. Minor modifications may be requested for changes that will  result in a facility being more protective of human health and the environment  or equivalent to the standards contained in this chapter, unless otherwise  noted in Table 5.2. The request for such a minor permit modification will be  accompanied by a description of the desired change and an explanation of the  manner in which the health and environment will be protected in a greater  degree than required by the chapter.
    c. Minor permit modifications may be made only with the prior  written approval of the department. The permittee shall notify the department  that a minor modification is being requested. Notification of the department  shall be provided by certified mail or other means that establish proof of  delivery. This notice shall specify the changes being made to permit conditions  or supporting documents referenced by the permit and shall  include an  explanation of why they are necessary. Along with the notice, the permittee  shall provide the applicable information required by 9VAC20-81-460 and  9VAC20-81-470 or as required by 9VAC20-81-480.
    d. The permittee shall send a notice of the modification to  the governing body of the county, city or town in which the facility is  located. This notification shall be made within 90 days after the department  approves the request. 
    3. Major modifications. 
    a. Major modifications substantially alter the facility or its  operation. Major modifications are listed in Table 5.2. 
    b. The permittee shall submit a modification request to the  department that: 
    (1) Describes the exact change to be made to the permit  conditions and supporting documents referenced by the permit; 
    (2) Identifies that the alteration is a major modification; 
    (3) Contains an explanation of why the modification is needed;  and
    (4) Provides the applicable information required by  9VAC20-81-460 and 9VAC20-81-470 or as required by 9VAC20-81-480. 
    c. No later than 90 days after receipt of the notification  request, the director will determine whether the information submitted under  subdivision  3 b (4) of this subsection is adequate to formulate a  decision. If found to be inadequate, the permittee will be requested to furnish  additional information within 30 days of the request by the director to complete  the modification request record. The 30-day period may be extended at the  request of the applicant. After the completion of the record, the director will  either: 
    (1) Approve the modification request, with or without changes,  and draft a permit modification accordingly;
    (2) Deny the request; or 
    (3) Approve the request, with or without changes, as a  temporary authorization having a term of up to 180 days in accordance with  subdivision 3 of this subsection. 
    d. If the director proposes to approve the permit  modification, he will proceed with the permit issuance in accordance with  9VAC20-81-450 E. 
    e. The director may deny or change the terms of a major permit  modification request under subdivision  F 3 b of this section for the  following reasons: 
    (1) The modification request is incomplete; 
    (2) The requested modification does not comply with the  appropriate requirements of Part III (9VAC20-81-100 et seq.) or Part IV  (9VAC20-81-300 et seq.) of this chapter or other applicable requirements; or 
    (3) The conditions of the modification fail to protect human  health and the environment. 
    4. Temporary authorizations. 
    a. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of subdivision  4 of this subsection.  Temporary authorizations shall have a term of not more than 180 days. 
    b. (1) The permittee may request a temporary authorization for  any major modification that meets the criteria in subdivision 4 c (2) (a) or  (b) of this subsection; or that meets the criteria in subdivision 4 c (2) (c)  and (d) of this subsection and provides improved management or treatment of a  solid waste already listed in the facility permit. 
    (2) The temporary authorization request shall include: 
    (a) A description of the activities to be conducted under the  temporary authorization; 
    (b) An explanation of why the temporary authorization is  necessary; and 
    (c) Sufficient information to ensure compliance with Part III  (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et seq.) standards. 
    (3) The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven days of submission of the authorization  request. 
    c. The director shall approve or deny the temporary  authorization as quickly as practical. To issue a temporary authorization, the  director shall find: 
    (1) The authorized activities are in compliance with the  standards of Part III (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et  seq.) of this chapter. 
    (2) The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an modification  request: 
    (a) To facilitate timely implementation of closure or  corrective action activities; 
    (b) To prevent disruption of ongoing waste management  activities; 
    (c) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (d) To facilitate other changes to protect human health and  the environment. 
    d. A temporary authorization may be reissued for one  additional term of up to 180 days provided that the permittee has requested a  major permit modification for the activity covered in the temporary  authorization, and the director determines that the reissued temporary  authorization involving a major permit modification request is warranted to  allow the authorized activities to continue while the modification procedures  of subdivision 2 3 of this subsection are conducted. 
    5. The director's decision to grant or deny a permit  modification request under subdivision of this subsection may be appealed under  the case decision provisions of the Virginia Administrative Process Act  (§ 2.2-4000 et seq. of the Code of Virginia). 
    6. Newly defined or identified wastes. The permitted facility  is authorized to continue to manage wastes defined or identified as solid waste  under 9VAC20-81-95 if: 
    a. It was in existence as a solid waste management facility  with respect to the newly defined or identified solid waste on the effective  date of the final rule defining or identifying the waste; and 
    b. It is in compliance with the standards of Part III  (9VAC20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, submits a minor modification request  on or before the date on which the waste becomes subject to the new  requirements; or 
    c. It is not in compliance with the standards of Part III  (9VAC 20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, also submits a complete permit  modification request within 180 days after the effective date of the definition  or identifying the waste. 
    7. Research, development and demonstration plans. Research,  development and demonstration (RDD) plans may be submitted for sanitary  landfills that meet the applicability requirements. These plans shall be  submitted as a major permit modification application for existing sanitary  landfills or as a part of the Part B application for new sanitary landfills.
    a. Applicability.
    (1) RDD shall be restricted to permitted sanitary landfills  designed with a composite liner system, as required by 9VAC20-81-130 J 1. The  effectiveness of the liner system and leachate collection system shall be  demonstrated in the plan and shall be assessed at the end of the testing period  in order to compare the effectiveness of the systems to the start of the RDD  testing period.
    (2) Operating permitted sanitary landfills that have exceeded  groundwater protection standards at statistically significant levels in  accordance with 9VAC20-81-250 B, from any waste unit on site shall have  implemented a remedy in accordance with 9VAC20-81-260 C prior to the RDD plan  submittal. Operating permitted sanitary landfills that have an exceedance in  the concentration of methane gas migrating from the landfill in accordance with  9VAC20-81-200 shall have a gas control system in place per 9VAC20-81-200 B  prior to the RDD plan submittal. 
    (3) An owner or operator of a sanitary landfill that disposes  of 20 tons of municipal solid waste per day or less, based on annual average,  may not apply for a modification to include a RDD plan.
    (4) The sanitary landfill shall have a leachate collection  system designed and constructed to maintain less than a 30 cm depth of leachate  on the liner.
    b. Requirements.
    (1) RDD Plans may be submitted for activities such as:
    (a) The addition of liquids in addition to leachate and gas  condensate from the same landfill for accelerated decomposition of the waste  mass; prior to the RDD Plan submittal.
    (b) Allowing run-on water to flow into the landfill waste  mass; and
    (c) Allowing testing of the construction and infiltration  performance of alternative final cover systems. An RDD plan may be proposed  for; and
    (d) For other measures to be taken to enhance  stabilization of the waste mass.
    (2) No landfill owner or operator may continue to implement an  RDD plan beyond any time limit placed in the initial plan approval or any  renewal without issuance of written prior approval by the department.  Justification for renewals shall be based upon information in annual and final  reports as well as research and findings in technical literature.
    (3) RDD plans may not include changes to the approved design  and construction of subgrade preparation, liner system, leachate collection and  removal systems, final cover system, gas and leachate systems outside the  limits of waste, run-off controls, run-on controls, or environmental monitoring  systems exterior to the waste mass.
    (4) Implementation of an approved RDD plan shall comply with  the specific conditions of the RDD Plan as approved in the permit for the  initial testing period and any renewal.
    (5) Structures and features exterior to the waste mass or  waste final grades shall be removed at the end of the testing period, unless  otherwise approved by the department in writing.
    (6) The RDD plan may propose an alternate final cover  installation schedule.
    c. An RDD plan shall include the following details and  specifications. Processes other than adding liquids to the waste mass and  leachate recirculation may be practiced in conjunction with the RDD plan.
    (1) Initial applications for RDD plans shall be submitted for  review and approval prior to the initiation of the process to be tested. These  plans shall specify the process that will be tested, describe preparation and  operation of the process, describe waste types and characteristics that the  process will affect, describe desired changes and end points that the process  is intended to achieve, define testing methods and observations of the process  or waste mass that are necessary to assess effectiveness of the process, and  include technical literature references and research that support use of the  process. The plans shall specify the time period for which the process will be  tested. The plans shall specify the additional information, operating  experience, data generation, or technical developments that the process to be  tested is expected to generate. 
    (2) The test period for the initial application shall be  limited to a maximum of three years.
    (3) Renewals of testing periods shall be limited to a maximum  of three years each. The maximum number of renewals shall be limited to three.
    (4) Renewals shall require department review and approval of  reports of performance and progress on achievement of goals specified in the  RDD plan.
    (5) RDD Plans for addition of liquids, in addition to leachate  and gas condensate from the same landfill, for accelerated decomposition of the  waste mass and/or for allowing run-on water to flow into the landfill waste  mass shall demonstrate that there is no increased risk to human health and the  environment. The following minimum performance criteria shall be demonstrated.
    (a) Risk of contamination to groundwater or surface water will  not be greater than the risk without an approved RDD plan.
    (b) Stability analysis demonstrating the physical stability of  the landfill.
    (c) Landfill gas collection and control in accordance with  applicable Clean Air Act requirements (i.e., Title V, NSPS or EG rule, etc.).
    (d) For RDD plans that include the addition of offsite  nonhazardous waste liquids to the landfill, the following information shall be  submitted with the RDD plan: 
    (i) Demonstration of adequate facility liquid storage volume  to receive the offsite liquid;
    (ii) A list of proposed characteristics for screening the  accepted liquids is developed; and
    (iii) The quantity and quality of the liquids are compatible  with the RDD plan. 
    If offsite nonhazardous liquids are certified by the offsite  generator as stormwater uncontaminated by solid waste, screening is not  required for this liquid.
    (6) RDD plans for testing of the construction and infiltration  performance of alternative final cover systems shall demonstrate that there is  no increased risk to human health and the environment. The proposed final cover  system shall be as protective as the final cover system required by  9VAC20-81-160 D. The following minimum performance criteria shall be  demonstrated:
    (a) No build up of excess liquid in the waste and on the  landfill liner;
    (b) Stability analysis demonstrating the physical stability of  the landfill; 
    (c) No moisture will escape from the landfill to the surface  water or groundwater; and
    (d) Sufficient reduction in infiltration so that there will be  no leakage of leachate from the landfill.
    (7) RDD plans that evaluate introduction of liquids in  addition to leachate or gas condensate from the same landfill shall propose  measures to be integrated with any approved leachate recirculation plan and  compliance with requirements for leachate recirculation.
    (8) RDD plans shall include a description of warning symptoms  and failure thresholds that will be used to initiate investigation, stand-by,  termination, and changes to the process and any other landfill systems that  might be affected by the process, such as gas extraction and leachate  recirculation. Warning symptoms shall result in a reduction or suspension of liquids  addition, leachate recirculation, investigation, and changes to be implemented  before resuming the process being tested. Failure thresholds shall result in  termination of the process being tested, investigation, and changes that will  be submitted to the department for review and approval in writing prior to  resumption of the process being tested.
    (9) RDD plans shall include an assessment of the manner in  which the process to be tested might alter the impact that the landfill may  have on human health or environmental quality. The assessment shall include  both beneficial and deleterious effects that could result from the process.
    (10) RDD plans shall include a geotechnical stability analysis  of the waste mass and an assessment of the changes that the implementation of  the plan are expected to achieve. The geotechnical stability analysis and  assessment shall be repeated at the end of testing period, with alteration as  needed to include parameters and parameter values derived from field  measurements. The plan shall define relevant parameters and techniques for  field measurement.
    (11) RDD plans shall propose monitoring parameters,  frequencies, test methods, instrumentation, recordkeeping and reporting to the  department for purposes of tracking and verifying goals of the process selected  for testing.
    (12) RDD plans shall propose monitoring techniques and  instrumentation for potential movements of waste mass and settlement of waste  mass, including proposed time intervals and instrumentation, pertinent to the  process selected for testing. 
    (13) RDD plans shall propose construction documentation,  construction quality control and construction quality assurance measures, and  recordkeeping for construction and equipment installation that is part of the  process selected for testing. 
    (14) RDD plans shall propose operating practices and controls,  staffing, monitoring parameters, and equipment needed to support operations of  the process selected for testing. 
    (15) RDD plans that include aeration of the waste mass shall  include a temperature monitoring plan, a fire drill and safety program,  instructions for use of liquids for control of temperature and fires in the  waste mass, and instructions for investigation and repair of damage to the  liner and leachate collection system. 
    (16) RDD plans may include an alternate interim cover system  and final cover installation schedule. The interim cover system shall be  designed to account for weather conditions, slope stability, and leachate and  gas generation. The interim cover shall also control, at a minimum, disease  vectors, fires, odors, blowing litter, and scavenging.
    d. Reporting. An annual report shall be prepared for each year  of the RDD testing period, including any renewal periods, and a final report  shall be prepared for the end of the testing period. These reports shall assess  the attainment of goals proposed for the process selected for testing,  recommend changes, recommend further work, and summarize problems and their  resolution. Reports shall include a summary of all monitoring data, testing  data and observations of process or effects and shall include recommendations  for continuance or termination of the process selected for testing. Annual  reports shall be submitted to the department within three months after the  anniversary date of the approved permit or permit modification. Final reports  shall be submitted at least 90 days prior to the end of the testing period for  evaluation by the department. The department shall review this report within 90  days. If the department's evaluation indicates that the goals of the project  have been met, are reliable and predictable, the department will provide a  minor permit modification to incorporate the continued operation of the project  with the appropriate monitoring.
    e. Termination. The department may require modifications to or  immediate termination of the RDD process being tested if any of the following  conditions occur:
    (1) Significant and persistent odors;
    (2) Significant leachate seeps or surface exposure of  leachate;
    (3) Significant leachate head on the liner;
    (4) Excessively acidic leachate chemistry or gas production  rates or other monitoring data indicate poor waste decomposition conditions;
    (5) Instability in the waste mass; or 
    (6) Other persistent and deleterious effects.
    The RDD program is an optional participation program, by  accepting the modification or new permit, the applicant acknowledges that the  program is optional; and that they are aware the department may provide  suspension or termination of the RDD program for any reasonable cause, without  a public hearing. Notice of suspension or termination will be by letter for a  cause related to a technical problem, nuisance problem, or for protection of  human health or the environment as determined by the department.
    G. Facility siting. The suitability of the facility location  will not be considered at the time of permit modification unless new  information or standards indicate that an endangerment to human health or the  environment exists which was unknown at the time of permit issuance or the  modification is for an expansion or increase in capacity. 
    Part I 
  Definitions 
    9VAC20-85-10. Definitions as established in Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.). 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations 9VAC20-80-10 et seq., 9VAC20-81,  are incorporated by reference. 
    9VAC20-85-40. Applicability. 
    A. This chapter applies to all persons who use, reuse, or  reclaim fossil fuel combustion products by applying them to or placing them on  land in a manner other than addressed in 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations, 9VAC20-80-150 and 9VAC20-80-160. 9VAC20-80-150  9VAC20-81-95 provides for the beneficial use of waste materials such as  fossil fuel combustion products, and 9VAC20-80-160 provides for  conditional exemptions from regulation for fossil fuel combustion products. 
    B. This chapter establishes minimum standards for the owners  or operators of coal mining facilities that accept CCB for mine reclamation or  mine refuse disposal on a mine site permitted by the Virginia Department of  Mines, Minerals and Energy (DMME) unless otherwise exempt under 9VAC20-80-160  B 9VAC20-81-95 D 18 of the Solid Waste Management Regulations. If  the permit issued by the DMME in accordance with the Virginia Surface Mining  Regulations, 4VAC25-130-700.1 et seq., specifies the applicable conditions set  forth in Parts III and IV of this chapter, the permittee is exempt from this  chapter. 
    C. Conditions of applicability are as follows: 
    1. Persons using fossil fuel combustion products other than in  a manner prescribed under this chapter, or managing fossil fuel combustion  products containing any constituent at a level exceeding levels set forth in  Table 1 in Part IV of this chapter, shall manage their waste in accordance with  all applicable provisions of the Virginia Solid Waste Management  Regulations, 9VAC20-80 9VAC20-81; 
    2. Materials which are accumulated speculatively, materials  which are not utilized in a manner described in the operation plan required by  9VAC20-85-90 of this chapter, and off-specification materials which cannot be  utilized or reprocessed to make them usable shall be managed in accordance with  all appropriate provisions of the Virginia Solid Waste Management Regulations,  9VAC20-80 9VAC20-81; and 
    3. Storage, stockpiling, and other processing or handling of  fossil fuel combustion products, which may need to occur prior to their final  placement or use, reuse, or reclamation, shall be in a manner necessary to protect  human health and safety and the environment. For projects permitted by the  DMME, the storage, stockpiling, or handling of CCB shall be managed in  accordance with the Virginia Surface Mining Regulations, 4VAC25-130-700.1 et  seq. 
    9VAC20-85-50. Relationship to other regulations. 
    This chapter does not affect the Virginia Solid Waste  Management Regulations, 9VAC20-80-10 et seq. 9VAC20-81, or other  pertinent regulations of the department or other agencies of the Commonwealth,  except that persons subject to and in compliance with this chapter are exempt  from the Virginia Solid Waste Management Regulations and the Financial  Assurance Regulations for Solid Waste Facilities, 9VAC20-70-10 et seq. 9VAC20-70,  for those activities covered by this chapter. 
    9VAC20-85-60. Enforcement and appeals. 
    A. All administrative enforcement and appeals taken from  actions of the department relative to the provisions of this chapter shall be  governed by the Virginia Administrative Process Act (§ 2.2-4000 et seq. of the  Code of Virginia). 
    B. The owner or operator of the fossil fuel combustion  products site who violates any provision of this chapter will be considered to  be operating an unpermitted facility as provided for in 9VAC20-80-90 9VAC20-81-40  of the Solid Waste Management Regulations and shall be required to either  obtain a permit as required by Part VII V or close under Part V  III of this chapter 9VAC20-81. 
    C. The requirement to obtain a permit or to close the project  shall not preclude additional action for remediation or enforcement, including  (without limitations) the assessment of civil charges or civil penalties, as is  otherwise authorized by law. 
    Article 3 
  Operations 
    9VAC20-85-90. Operations. 
    The owner or operator of a fossil fuel combustion products  site shall prepare an operation plan. At a minimum, the plan shall address the  requirements contained in this section. 
    1. Tracking of mud or fossil fuel combustion products onto  public roads from the site shall be controlled at all times to minimize  nuisances. 
    2. The addition of any solid waste including but not limited  to hazardous, infectious, construction, debris, demolition, industrial,  petroleum-contaminated soil, or municipal solid waste to fossil fuel combustion  products is prohibited. This prohibition does not apply to solid wastes from  the extraction, beneficiation and processing of ores and minerals conditionally  exempted under 9VAC20-80-160 A 2 9VAC20-81-95 E 3 of the Solid  Waste Management Regulations. 
    3. Fugitive dust shall be controlled at the site so it does  not constitute nuisances or hazards. 
    4. After preparing the subbase, fossil fuel combustion  products shall be placed uniformly and compacted to standards, including insitu  density, compaction effort and relative density as specified by a registered  professional engineer based on the intended use of the fossil fuel combustion  products. The placement and compaction of CCB on coal mine sites shall be  subject to the applicable requirements of the Coal Surface Mining Reclamation  Regulations, 4VAC25-130-700.1 et seq. 
    5. A surface run on and runoff control program shall be  implemented to control and reduce the infiltration of surface water through the  fossil fuel combustion products and to control the runoff from the placement  area to other areas and to surface waters. 
    6. Runoff shall not be permitted to drain or discharge into  surface waters except when in accordance with 9VAC25-10-10 et seq., of the  State Water Control Board, or otherwise approved by the department. 
    7. Fossil fuel combustion products site development shall be  in accordance with the Virginia Erosion and Sediment Control Regulations,  4VAC50-30, or the Coal Surface Mining Reclamation Regulations, 4VAC25-130-700.1  et seq., as applicable. 
    Part IV 
  Administrative Requirements 
    9VAC20-85-150. General. 
    A. Notwithstanding any provisions of Part VII V  of the Virginia Solid Waste Management Regulations, 9VAC20-80 9VAC20-81,  the owner or operator of a site which manages only fossil fuel combustion  products allowed under 9VAC20-85-40 shall not be required to have a solid waste  management facility permit, neither must a fossil fuel combustion products  facility operator certified by the Board for Waste Management Facility  Operators directly supervise operations at the site, if the owner or operator at  least 30 days prior to initial placement of fossil fuel combustion products  provides to the appropriate department regional office and verifies receipt of:  
    1. A certification that it has legal control over the fossil  fuel combustion products site for the project life and the closure period. For  the purposes of this section, on a coal mine site permitted by the DMME,  demonstration of legal right to enter and begin surface coal mining and  reclamation operations shall constitute compliance with the provisions of this  section. 
    2. A certification from the governing body of the county,  city, or town in which the fossil fuel combustion products site is to be  located that the location and operation of the fossil fuel combustion products  site are consistent with all applicable ordinances, with the exception of  projects permitted by the DMME. 
    3. A general description of the intended use, reuse, or  reclamation of fossil fuel combustion products. Such description will include: 
    a. A description of the nature, purpose and location of the  fossil fuel combustion products site, including a topographic map showing the  site area and available soils, and geological maps. The description shall  include an explanation of how fossil fuel combustion products will be stored  prior to use, reuse or reclamation, if applicable; 
    b. The estimated beginning and ending dates for the operation;  
    c. An estimate of the volume of the fossil fuel combustion  products to be utilized; and 
    d. A description of the proposed type of fossil fuel combustion  products to be used, reused or reclaimed, including physical and chemical  characteristics of the fossil fuel combustion products. The chemical  description shall contain the results of TCLP analyses for the constituents  shown in Table 1. The description shall also contain a statement that the  project will not manage fossil fuel combustion products that contain any  constituent at a level exceeding those shown in the table. 
           |      TABLE 1.      LIST OF CONSTITUENTS AND MAXIMUM LEVELS.      |    
       |      Constituent      |          Level, mg/lit      |    
       |      Arsenic      |          5.0      |    
       |      Barium      |          100      |    
       |      Cadmium      |          1.0      |    
       |      Chromium      |          5.0      |    
       |      Lead      |          5.0      |    
       |      Mercury      |          0.2      |    
       |      Selenium      |          1.0      |    
       |      Silver      |          5.0      |    
  
    4. A certification by a professional engineer licensed to  practice by the Commonwealth that the project meets the locational restrictions  of 9VAC20-85-70. Such certificate shall contain no qualifications or exemptions  from the requirements. 
    5. A certificate signed by a professional engineer licensed to  practice by the Commonwealth that the project has been designed in accordance  with the standards of 9VAC20-85-80 if applicable. Such certificate shall  contain no qualifications or exceptions from the requirements and plans. 
    6. An operational plan describing how the standards of  9VAC20-85-90 will be met. 
    7. A closure plan describing how the standards of Article 4 of  Part III of this chapter will be met, if applicable. 
    8. A signed statement that the owner or operator shall allow  authorized representatives of the Commonwealth, upon presentation of  appropriate credentials, to have access to areas in which the activities  covered by this chapter will be, are being, or have been conducted to ensure  compliance. 
    B. The materials submitted under the provisions of subsection  A of this section will be evaluated for completeness within 30 days of receipt  by the appropriate department regional office. If the department notifies the  applicant of deficiencies within 30 days, the applicant shall postpone any  construction or activities proposed in the application for the department's  approval until the department's approval has been received. If the applicant  has not received a notice of deficiency within 30 days, the applicant can  proceed. 
    9VAC20-85-180. Administrative procedures. 
    The administrative procedures associated with the submission  of the variance petition, its processing and resolution will be accomplished in  accordance with the requirements of 9VAC20-80-790 Part VII  (9VAC20-81-700 et seq.) of the Solid Waste Management Regulations. 
    Part I 
  Definitions 
    9VAC20-120-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise.  Chapter 14 (§ 10.1-1400 et seq.) of Title 10.1 of the Code of Virginia defines  words and terms that supplement those in this chapter. The Virginia  Solid Waste Management Regulations, 9VAC20-80 9VAC20-81, define  additional words and terms that supplement those in the statutes and this  chapter. When the statutes, as cited, and the solid waste management  regulations, as cited, conflict, the definitions of the statutes are  controlling. 
    "Act" or "regulations" means the federal  or state law or regulation last cited in the context, unless otherwise  indicated. 
    "Alternative treatment method" means a method for  the treatment of regulated medical waste that is not incineration or steam  sterilization (autoclaving). 
    "Approved sanitary sewer system" means a network of  sewers serving a facility that has been approved in writing by the Virginia  Department of Health, including affiliated local health departments. Such sewer  systems may be approved septic tank/drainfield systems and on-site treatment  systems, or they may be a part of a collection system served by an NPDES  permitted treatment works. 
    "Associated" means two or more firms that share  staff members, management, directors, and assets or engage in joint ventures.  Holding companies and part owners are associated parties. 
    "Ash" means the residual waste material produced  from an incineration process or any combustion. 
    "ASTM" means the American Society For Testing and  Materials. 
    "Autoclave tape" means tape that changes color or  becomes striped when subjected to temperatures that will provide sterilization  of materials during treatment in an autoclave or similar device. 
    "Blood" means human blood, human blood components,  and products made from human blood. 
    "Board" means the Virginia Waste Management Board. 
    "Body fluids" means liquid emanating or derived  from humans including blood; cerebrospinal, synovial, pleural, peritoneal and  pericardial fluids; semen and vaginal secretions; amniotic fluid; urine; saliva  in dental procedures; and any other body fluids that are contaminated with  blood, and any other liquids emanating from humans that may be mixed or  combined with body fluids. 
    "Closure" means the act of securing a regulated  medical waste management facility pursuant to the requirements of these  regulations. 
    "Closure plan" means the plan for closure prepared  in accordance with the requirements of this chapter. 
    "Commonwealth" means the Commonwealth of Virginia. 
    "Container" means any portable enclosure in which a  material is stored, transported, treated, or otherwise handled. 
    "Contaminated" means the presence or the reasonably  anticipated presence of blood or other body fluids on an item or surface. 
    "Contingency plan" means a document setting out an  organized, planned and coordinated course of action to be followed in the event  of a fire, explosion, or release of regulated medical waste or regulated  medical waste constituents that could threaten human health or the environment.  
    "CWA" means the Clean Water Act (formerly referred  to as the Federal Water Pollution Control Act), 33 USC § 1251 et seq.; PL  92-500, PL 93-207, PL 93-243, PL 93-592, PL 94-238, PL 94-273, PL 94-558, PL  95-217, PL 95-576, PL 96-148, PL 96-478, PL 96-483, PL 96-510, PL 96-561, PL  97-35, PL 97-117, PL 97-164, PL 97-216, PL 97-272, PL 97-440, PL 98-45, PL  100-4, PL 100-202, PL 100-404, and PL 100-668. 
    "Decontamination" means the use of physical or  chemical means to remove, inactivate, or destroy human pathogens on a surface  or item to the point where they are no longer capable of transmitting disease  and the surface or item is rendered safe for handling, use, or disposal. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. 
    "Discard" means to throw away or reject. When a  material is soiled, contaminated or no longer usable and it is placed in a  waste receptacle for disposal or treatment prior to disposal, it is considered  discarded. 
    "Discharge" or "waste discharge" means  the accidental or intentional spilling, leaking, pumping, pouring, emitting,  emptying, or dumping of regulated medical waste into or on any land or state  waters. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters, including  ground waters. 
    "Disposal facility" means a facility or part of a  facility at which solid waste is intentionally placed into or on any land or  water, and at which the solid waste will remain after closure. 
    "Domestic sewage" means untreated sanitary wastes  that pass through a sewer system. 
    "Empty" means wastes have been removed from a  container using the practices commonly employed to remove materials of that  type. 
    "EPA" means the U.S. Environmental Protection  Agency. 
    "Etiologic agents" means the specific organisms  defined to be etiologic agents in 42 CFR 72.3. In general, etiologic agents as  defined in 42 CFR 72.1 means a viable microorganism or its toxin which causes  or may cause human disease. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Generate" means to cause waste to become subject  to regulation. When regulated medical waste is first discarded, it must be  appropriately packaged in accordance with this regulation. At the point a  regulated medical waste is discarded it has been generated. 
    Note: Timeframes associated with storage and refrigeration  are no longer linked to the "date of generation." 
    "Generator" means any person, by site location,  whose act or process produces regulated medical waste identified or listed in  Part III (9VAC20-120-80 et seq.) of this chapter or whose act first causes a  regulated medical waste to become subject to this chapter. 
    "Hazardous material" means a substance or material  that has been so designated under 49 Parts CFR 171 and 173. 
    "Hazardous waste" means any solid waste defined as  a "hazardous waste" by the Virginia Hazardous Waste Management  Regulations. 
    "Health Care Professional" means a medical doctor  or nurse practicing under a license issued by the Department of Health  Professions. 
    "Highly leak resistant" means that leaks will not  occur in the container even if the container receives severe abuse and stress,  but remains substantially intact. 
    "Highly puncture resistant" means that punctures  will not penetrate the container even if the container receives severe abuse  and stress, but remains substantially intact. 
    "Motor vehicle" means a vehicle, machine, roll off  container, tractor, trailer, or semi-trailer, or any combination of them,  propelled or drawn by mechanical power and used in transportation or designed  for such use. 
    "Nonstationary health care providers" means those  persons who routinely provide health care at locations that change each day or  frequently. This term includes traveling doctors, nurses, midwives, and others  providing care in patients' homes, first aid providers operating from emergency  vehicles, and mobile blood service collection stations. 
    "NPDES" or "National Pollutant Discharge  Elimination System" means the national program for issuing, modifying,  revoking, reissuing, terminating, monitoring, and enforcing permits pursuant to  §§ 307, 402, 318, and 405 of the Clean Water Act. The term includes any state  or interstate program that has been approved by the Administrator of the United  States Environmental Protection Agency. 
    "Off-site" means any site that does not meet the  definition of on-site as defined in this part, including areas of a facility  that are not on geographically contiguous property or outside of the boundary  of the site. 
    "On-site" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same person  but connected by a right-of-way that he controls and to which the public does  not have access are also considered on-site property. 
    "Owner" means the person or persons who own a  regulated medical waste management facility or part of a regulated medical  waste management facility. 
    "Package" or "outside package" means a  package plus its contents. 
    "Packaging" means the assembly of one or more  containers and any other components necessary to assure compliance with minimum  packaging requirements under VRGTHM or this chapter. 
    "Permit by rule" means provisions of this chapter  stating that a facility or activity is deemed to have a permit if it meets the  requirements of the provision. 
    "Permitted waste management facility" or  "permitted facility" means a regulated medical waste treatment or  storage facility that has received a permit in accordance with the requirements  of the chapter. 
    "Physical construction" means excavation, movement  of earth, erection of forms or structures, the purchase of equipment, or any  other activity involving the actual preparation of the regulated medical waste management  facility. 
    "Processing" means preparation, treatment, or  conversion of regulated medical waste by a series of actions, changes, or  functions that bring about a decided result. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act (42 USC § 6901 et  seq.), the Hazardous and Solid Waste Amendments of 1984, and any other  applicable amendments to these laws. 
    "Regulated medical waste" means solid wastes  defined to be regulated medical wastes in Part III (9VAC20-120-80 et seq.) of  this chapter. 
    "Regulated medical waste management" means the  systematic administration of activities that provide for the collection, source  separation, storage, transportation, transfer, processing, treatment, and  disposal of regulated medical wastes whether or not such facility is associated  with facilities generating such wastes or otherwise. 
    "Regulated medical waste management facility" means  a solid waste management facility that manages regulated medical waste. 
    "Safe sharps program" means a program supported by  a city, county, town or public authority that is intended to enhance the safe  disposal of sharps discarded by private individuals. 
    "Sanitary sewer system" means a system for the  collection and transport of sewage, the construction of which was approved by  the Department of Health or other appropriate authority. 
    "Secondary container" means a storage device into  which a container can be placed for the purpose of containing any leakage from  the original container. 
    "Section" means a subpart of this chapter and when  referred to all portions of that part apply. 
    "Sharps" means needles, scalpels, knives, syringes  with attached needles, pasteur pipettes and similar items having a point or  sharp edge or that are likely to break during transportation and result in a  point or sharp edge. 
    "Shipment" means the movement or quantity conveyed  by a transporter of a regulated medical waste between a generator and a  designated facility or a subsequent transporter. 
    "Site" means the land or water area upon which a  facility or activity is physically located or conducted, including but not  limited to adjacent land used for utility systems such as repair, storage,  shipping, or processing areas, or other areas incident to the controlled facility  or activity. 
    "Solid waste" means any garbage, refuse, sludge and  other discarded material, including solid, liquid, semisolid or contained  gaseous material, resulting from industrial, commercial, mining and agriculture  operations, or community activities, but does not include (i) solid or  dissolved material in domestic sewage, (ii) solid or dissolved material in  irrigation return flows or in industrial discharges which are sources subject  to a permit from the State Water Control Board, or (iii) source, special  nuclear, or by-product material as defined by the Federal Atomic Energy Act of  1954, as amended 42 USC §§ 2011-2284. The definition of solid waste is further  clarified in the Virginia Solid Waste Management Regulations (9VAC20-80-140)  (9VAC20-81-95). 
    "Solid waste management" means the collection,  source separation, storage, transportation, transfer, processing, treatment,  and disposal of solid wastes or resource recovery. 
    "Spill" means any accidental or unpermitted  discharge, leaking, pumping, pouring, emitting, or dumping of wastes or  materials that, when spilled, become wastes. 
    "Start-up" or "cold start-up" means the  beginning of a combustion operation from a condition where the combustor unit  is not operating and less than 140°F in all areas. 
    "Storage" means the holding, including during  transportation, of more than 200 gallons of waste, at the end of which the  regulated medical waste is treated or stored elsewhere. 
    "Training" means formal instruction, supplementing  an employee's existing job knowledge, designed to protect human health and the  environment via attendance and successful completion of a course of instruction  in regulated medical waste management procedures, including contingency plan  implementation, relevant to those operations connected with the employee's  position at the facility. 
    "Transfer facility" means any transportation  related facility including loading docks, parking areas, storage areas, and  other similar areas where shipments of regulated medical waste are held during  the normal course of transportation. 
    "Transportation" or "transport" means the  movement of regulated medical waste by air, rail, highway, or water. 
    "Transport vehicle" means any vehicle used for the  transportation of cargo. 
    "Vector" means a living animal, insect or other  arthropod that may transmits an infectious disease from one organism to  another. 
    "VRGTHM" means Virginia Regulations Governing the  Transportation of Hazardous Materials promulgated by the Virginia Waste  Management Board as authorized by §§ 10.1-1450 through 10.1-1454 of the Code of  Virginia. 
    "Waste management facility" means all contiguous  land and structures, other appurtenances, and improvements on them used for  treating, storing, or disposing of waste. 
    "Waste management unit" means any unit at a  treatment or storage facility that possesses a permit, or that has received  regulated medical waste (as defined in this chapter) at any time, including  units that are not currently active. 
    9VAC20-120-70. Relationship to other bodies of regulation. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  address other requirements for regulated medical waste management. Any  regulated medical waste management facility must also conform to any applicable  sections of the solid waste management regulations issued by the board and any  special solid waste management regulations such as those defining financial  assurance requirements. If there is a conflict between the details of  regulations here and the others, this chapter is controlling. 
    B. Regulated medical waste management facility must also  comply with any applicable sections of the Hazardous Waste Management  Regulations (9VAC20-60) issued by the department. If there is a conflict  between the details of regulations here and the hazardous waste management  regulations, the latter regulations are controlling. 
    C. Intrastate shipment of hazardous materials is subject to  the Regulations Governing the Transportation of Hazardous Materials  (9VAC20-110) of the department. If there is a conflict between the details of  regulations here and the hazardous materials transportation regulations, the  latter are controlling. 
    D. Generators of regulated medical waste and regulated  medical waste management facilities may be subject to the general industry  standard for occupational exposure to bloodborne pathogens in  16VAC25-90-1910.1030 (29 CFR 1910.1030). 
    E. Persons transporting regulated medical waste are subject  to the federal hazardous material transportation requirements in 49 CFR 171  through 178. 
    F. If there is a conflict between the regulations here and  adopted regulations of another agency of the Commonwealth, the provisions of  these regulations are set aside to the extent necessary to allow compliance  with the regulations of the other agency. If neither regulation controls, the  more stringent standard applies. 
    G. Nothing here either precludes or enables a local governing  body to adopt ordinances. Compliance with one body of regulation does not  insure compliance with the other, and, normally, both bodies of regulation must  be complied with fully. 
    9VAC20-120-100. Recycled materials. 
    A. Untreated regulated medical wastes shall not be used,  reused, or reclaimed. 
    B. Wastes that have been treated in accord with these  regulations are no longer regulated medical waste and may be used, reused, or  reclaimed in accordance with the provisions of the Virginia Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81). 
    C. Bed linen, instruments, medical care equipment and other  materials that are routinely reused for their original purpose are not subject  to these regulations until they are discarded and are a solid waste. These  items do not include reusable carts or other devices used in the management of  regulated medical waste (see 9VAC20-120-260). 
    Article 6 
  Treatment and Disposal 
    9VAC20-120-300. Methods of treatment and disposal. 
    A. All regulated medical waste must be incinerated,  sterilized by steam, or treated by a method as described in Part VII  (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.), or IX (9VAC20-120-630  et seq.) of this chapter. 
    B. No regulated medical waste shall be disposed of in a solid  waste landfill or other solid waste management facility. Upon authorized  treatment and management in accord with this chapter, the solid waste or its  ash is not regulated medical waste and may be disposed of at any landfill or  other solid waste management facility permitted to receive municipal solid  waste or garbage, provided the disposal is in accordance with the Solid Waste  Management Regulations, 9VAC20-80 9VAC20-81, and other applicable  regulations and standards. 
    C. Regulated medical waste in closed bags or containers shall  not be compacted or subjected to violent mechanical stress; however, after it  is fully treated and it is no longer regulated medical waste, it may be  compacted in a closed container. Nothing in this section shall prevent the  puncturing of containers or packaging immediately prior to permitted treatment  in which grinding, shredding, or puncturing is integral to the process units;  however, all grinding, shredding and puncturing shall be done with safe and  sanitary methods. Nothing in this section shall prevent the use of devices that  grind, shred or compact to reduce volume at the point of generation. Devices  will be constructed in a manner that prevents employee exposure to the waste,  contains any aerosol or mist that may be caused by the process, and treats or  filters any air evacuated from the chamber during processing. These devices may  be employed at the point of generation and prior to enclosing the regulated  medical waste in plastic bags and other required packaging; however, the waste  remains regulated medical waste. Appropriate means must be employed to  appropriately protect workers and contain the waste when unloading regulated  medical wastes from such a device. 
    9VAC20-120-540. Analysis and management of the ash product;  procedure; results and records; disposition of ash; ash storage. 
    A. Once every eight hours of operation of a continuously fed  incinerator and once every batch or 24 hours of operation of a batch fed  incinerator, a representative sample of 250 milliliters of the bottom ash shall  be collected from the ash discharge or the ash discharge conveyer. Samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous Waste  Management Regulations for determining if a solid waste is a hazardous waste.  Also, the sample shall be tested for total organic carbon content. 
    At incinerators equipped with air pollution control devices  that remove and collect incinerator emissions control ash or dust, this ash  shall be held separately and not mixed with bottom ash. Once every eight hours  of operation of a continuously fed incinerator and once every batch or 24 hours  of operation of a batch fed incinerator, a representative sample of 250  milliliters of the air pollution control ash or dust shall be collected from  the pollution control ash discharge. Air pollution control ash or dust samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous  Waste Management Regulations for determining if a waste is a hazardous waste. 
    B. A log shall document the ash sampling, to include the date  and time of each sample collected; the date, time and identification number of  each composite sample; and the results of the analyses, including laboratory  identification. Results of analyses must be returned from the laboratory and  recorded within four weeks following collection of the composite sample. The  results and records described in this part shall be maintained for a period of  three years, and shall be available for review. 
    C. If a waste ash is found to be hazardous waste (based on a  sample and a confirmation sample) the waste ash shall be disposed of as a  hazardous waste in accord with the Virginia Hazardous Waste Management  Regulations. If ash is found not to be hazardous waste by analysis, it may be  disposed of in a solid waste landfill that is permitted to receive garbage,  municipal solid waste or incinerator ash, provided the disposal is in  accordance with the Solid Waste Management Regulations, 9VAC20-80 9VAC20-81.  If the ash is found to be hazardous waste, the operator shall notify the  Director of the Department of Environmental Quality within 24 hours. No later  than 15 calendar days following, the permittee shall submit a plan for treating  and disposing of the waste on hand at the facility and all unsatisfactorily  treated waste that has left the facility. The permittee may include with the  plan a description of the corrective actions to be taken to prevent further  unsatisfactory performance. No ash subsequently generated from the incinerator  waste stream that was found to be hazardous waste shall be sent to a  nonhazardous solid waste management facility in the Commonwealth without the  express written approval of the director. 
    D. Air pollution control ash and bottom ash shall be held  separately and not mixed; however, once both are determined not to be hazardous  waste, they may be combined and disposed of as other solid waste. Throughout  the storage of the untested material it shall be kept in covered highly leak  resistant containers. It should be held until the generator determines whether  the ash waste is hazardous waste. Areas where untested material containers are  placed must be constructed with a berm to prevent runoff from that area. 
    E. Regulated medical waste treated in compliance with Part  VII (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.) or IX  (9VAC20-120-630 et seq.) of this chapter shall be deemed to be treated in  accordance with this chapter. Regulated medical waste not treated in accordance  with this chapter shall not be transported, received for transport or disposal,  or disposed of in any solid waste management facility. 
    9VAC20-120-810. Amendment of permits. 
    A. Temporary authorizations. 
    1. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of this section. Temporary authorizations  shall have a term of not more than 180 calendar days. 
    2. a. The permittee may request a temporary authorization for:  
    (1) Any substantive amendment meeting the criteria in  subdivision 3 b (1) of this subsection; and 
    (2) Any major amendment that meets the criteria in subdivision  3 b (1) or (2) of this subsection; or that meets the criteria in subdivisions 3  b (3) and (4) of this subsection and provides improved management or treatment  of a regulated medical waste already listed in the facility permit. 
    b. The temporary authorization request shall include: 
    (1) A description of the activities to be conducted under the  temporary authorization; 
    (2) An explanation of why the temporary authorization is  necessary; and 
    (3) Sufficient information to ensure compliance with standards  in Part V (9VAC20-120-330 et seq.) or VI (9VAC20-120-400 et seq.) of this  chapter. 
    c. The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven calendar days of submission of the  authorization request. 
    3. The director shall approve or deny the temporary  authorization as quickly as is practical. To issue a temporary authorization,  the director shall find: 
    a. The authorized activities are in compliance with the  standards of Part V (9VAC20-120-330 et seq.), VII (9VAC20-120-520 et seq.),  VIII (9VAC20-120-580 et seq.) or IX (9VAC20-120-630 et seq.) of this chapter. 
    b. The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an amendment  request: 
    (1) To facilitate timely implementation of closure or  corrective action activities; 
    (2) To prevent disruption of ongoing waste management  activities; 
    (3) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (4) To facilitate other changes to protect human health and  the environment. 
    4. A temporary authorization may be reissued for one  additional term of up to 180 calendar days provided that the permittee has  requested a substantive or a major permit amendment for the activity covered in  the temporary authorization, and (i) the reissued temporary authorization  constitutes the director's decision on a substantive permit amendment in  accordance with the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  or (ii) the director determines that the reissued temporary authorization  involving a major permit amendment request is warranted to allow the authorized  activities to continue while the amendment procedures of the Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81) are conducted. 
    B. Newly defined or identified wastes. The permittee is  authorized to continue to manage wastes defined or identified as regulated  medical waste under Part III (9VAC20-120-80 et seq.) of this chapter if he: 
    1. Was in existence as a regulated medical waste management  facility with respect to the newly defined or identified regulated medical  waste on the effective date of the final rule defining or identifying the  waste; and 
    2. (i) Is in compliance with the standards of Part V, VII,  VIII or IX, as applicable, with respect to the new waste, submits a minor  modification request on or before the date on which the waste becomes subject  to the new requirements or (ii) is not in compliance with the standards of Part  V or VI, as applicable, with respect to the new waste, but submits a complete  permit amendment request within 180 calendar days after the effective date of  the definition or identifying the waste. 
    C. The suitability of the facility location will not be  considered at the time of permit amendment unless new information or standards  indicate that an endangerment to human health or the environment exists that  was unknown at the time of permit issuance. 
    9VAC20-130-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Board" means the Virginia Waste Management Board. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants  and shopping centers.
    "Compost" means a stabilized organic product  produced by composting in such a manner that the product can be handled,  stored, and/or applied to the land.
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes  include, but are not limited to, lumber, wire, sheetrock, broken brick,  shingles, glass, pipes, concrete, paving materials, and metal and plastics if  the metal or plastics are a part of the materials of construction or empty containers  for such materials. Paints, coatings, solvents, asbestos-containing material,  any liquid, compressed gases, or semi-liquids and garbage are not construction  wastes. 
    "Debris waste" means solid waste resulting from  land clearing operations. Debris wastes include, but are not limited to,  stumps, wood, brush, leaves, soil, and road spoils. 
    "Demolition waste" means solid waste produced by  the destruction of structures and their foundations and includes the same  materials as construction wastes. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. For purposes of submissions to the  director as specified in the Waste Management Act, submissions may be made to  the department.
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulation,  9VAC20-60. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts;  inorganic chemicals; iron and steel manufacturing; leather and leather  products; nonferrous metals manufacturing/foundries; organic chemicals;  plastics and resins manufacturing; pulp and paper industry; rubber and  miscellaneous plastic products; stone, glass, clay, and concrete products;  textile manufacturing; transportation equipment; and water treatment. This term  does not include mining waste or oil and gas waste. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Integrated waste management plan" means a  governmental plan that considers all elements of waste management during  generation, collection, transportation, treatment, storage, disposal, and  litter control and selects the appropriate methods of providing necessary  control and services for effective and efficient management of all wastes. An  "integrated waste management plan" must provide for source reduction,  reuse and recycling within the jurisdiction and the proper funding and  management of waste management programs. 
    "Jurisdiction" means a local governing body; city,  county or town; or any independent entity, such as a federal or state agency,  which join with local governing bodies to develop a waste management plan. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill (as these terms  are defined in the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    "Litter" means all waste material disposable  packages or containers, but not including the wastes of the primary processes  of mining, logging, farming, or manufacturing.
    "Market" or "markets" means interim or  end destinations for the recyclable materials, including a materials recovery  facility (MRF).
    "Market conditions" means business and system  related issues used to determine if materials can be targeted, collected, and  delivered to an interim or end market in an efficient manner. Issues may  include, but are not limited to: the cost of collection, storage and  preparation or both; the cost of transportation; accessible volumes of  materials targeted for recycling; market value of materials targeted for  collection/recycling; and distance to viable markets.
    "Materials recovery facility (MRF)" means, for the  purpose of this regulation, a facility for the collection, processing and  marketing of recyclable materials including, but not limited to: metal, paper,  plastics, and glass. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses, except composting as defined and regulated under the Solid  Waste Management Regulations (9VAC20-80) or the Vegetative Waste Management  and Yard Waste Composting Regulations (9VAC20-101) (9VAC20-81). 
    "Municipal solid waste" means waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from the combustion of these wastes. 
    "Permit" means the written permission of the  director to own, operate or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Principal recyclable materials (PRMs)" means  paper, metal, plastic, glass, commingled yard waste, wood, textiles, tires,  used oil, used oil filters, used antifreeze, batteries, electronics, or  material as may be approved by the director. Commingled materials refers to  single stream collections of recyclables where sorting is done at a materials  recovery facility.
    "Recycling" means the process of separating a given  waste material from the waste stream and processing it so that it may be used  again as a raw material for a product, which may or may not be similar to the  original product. For the purpose of this chapter, recycling shall not include  processes that only involve size reduction. 
    "Recycling residue" means the (i) nonmetallic  substances, including but not limited to plastic, rubber, and insulation, which  remain after a shredder has separated for purposes of recycling the ferrous and  nonferrous metal from a motor vehicle, appliance or other discarded metallic  item and (ii) organic waste remaining after removal of metals, glass, plastics  and paper that are to be recycled as part of a resource recovery process for  municipal solid waste resulting in the production of a refuse derived fuel.
    "Regional boundary" means the boundary defining an  area of land that will be a unit for the purpose of developing a waste  management plan, and is established in accordance with 9VAC20-130-180 through  9VAC20-130-220. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Residential waste" means any waste material,  including garbage, trash and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds and day-use recreation  areas. Residential wastes do not include sanitary waste in septic tanks  (septage), that is regulated by other state agencies. 
    "Resource recovery system" means a solid waste  management system that provides for collection, separation, recycling and  recovery of energy or solid wastes, including disposal of nonrecoverable waste  residues. 
    "Reuse" means the process of separating a given  solid waste material from the waste stream and using it, without processing or  changing its form, other than size reduction, for the same or another end use. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste, which is so located, designed,  constructed and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste.  (Note: This term includes all sites whether they are planned and managed  facilities or open dumps.) 
    "Sludge" means any solid, semisolid or liquid waste  generated from a public, municipal, commercial or industrial  wastewater treatment plant, water supply treatment plant, or air pollution  control facility. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Solid Waste Management Regulations (9VAC20-80)  (9VAC20-81).
    "Solid waste planning unit" means each region or  locality that submits a solid waste management plan. 
    "Solid waste management facility  ("SWMF")" means a site used for planned treating, storing, or  disposing of solid waste. A facility may consist of several treatment, storage,  or disposal units. 
    "Source reduction" means any action that reduces or  eliminates the generation of waste at the source, usually within a process.  Source reduction measures include process modifications, feedstock  substitutions, improvements in feedstock purity, improvements in housekeeping  and management practices, increases in the efficiency of machinery, and  recycling within a process. Source reduction minimizes the material that must  be managed by waste disposal or nondisposal options by creating less waste.  "Source reduction" is also called "waste prevention,"  "waste minimization," or "waste reduction."
    "Source separation" means separation of recyclable  materials by the waste generator of materials that are collected for use,  reuse, reclamation, or recycling. 
    "Tons" means 2,000 pounds.
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, and woody wastes such as shrub and  tree prunings, bark, limbs, roots, and stumps. For more detail see Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101) the  Solid Waste Management Regulations (9VAC20-81).
    "Waste exchange" means any system to identify  sources of wastes with potential for use reuse, recycling or reclamation and to  facilitate its acquisition by persons who reuse, recycle or reclaim it, with a  provision for maintaining confidentiality of trade secrets. 
    "White goods" means any stoves, washers, hot water  heaters or other large appliances. For the purposes of this chapter, this  definition also includes, but is not limited to, such Freon-containing appliances  as refrigerators, freezers, air conditioners, and dehumidifiers. 
    "Yard waste" means decomposable waste materials  generated by yard and lawn care and includes leaves, grass trimmings, brush,  wood chips, and shrub and tree trimmings. Yard waste shall not include roots or  stumps that exceed six inches in diameter. 
    9VAC20-130-60. Applicability of regulations. 
    A. This chapter applies to all cities, counties, towns,  designated solid waste planning units (under 9VAC20-130-180) and permitted  solid waste facilities within the solid waste planning unit, including those  facilities covered under permit by rule procedures found in 9VAC20-80 9VAC20-81.  Any city, county, and town may mutually agree to unite for the purpose of solid  waste management planning, and upon joint written notification to the director,  shall be deemed to be a solid waste planning unit for development of a solid  waste management plan. 
    B. Any cities, counties, and towns may be represented by a  planning district, public service authority, or designated region that has been  adopted under 9VAC20-130-90 B. 
    C. The plan may (subject to statutory authority) specify that  all solid waste must be recycled at the rate established by the plan regardless  of the point of origin of the solid waste. Solid wastes from both public and  private sources shall be subject to such requirement. 
    9VAC20-130-120. Planning requirements. 
    A. Basic planning elements:
    1. Objectives for solid waste management within the planning  unit;
    2. A discussion as to how the plan will be implemented and  tracked, consisting of an integrated waste management strategy to support and  promote the hierarchy set forth at 9VAC20-130-30; giving preference to  alternatives in the following order of priority: source reduction, reuse,  recycling, resource recovery, incineration, and landfilling;
    3. Definition of incremental stages of progress toward the  objectives and schedule for their implementation, including, for compliance  with 9VAC20-80-500 9VAC20-81-450, specific solid waste management  facility names, facility capacities, and life based on 20-year need;
    4. Strategy for the provision of necessary funds and  resources;
    5. Descriptions of the funding and resources necessary,  including consideration of fees dedicated to future facility development;
    6. Strategy for public education and information on source  reduction, reuse, and recycling; and
    7. Consideration of public and private sector partnerships and  private sector participation in execution of the plan. Existing private sector  recycling operations should be incorporated in the plan and the expansion of  such operations should be encouraged. 
    B. A minimum recycling rate as specified in § 10.1-1411 of  the Code of Virginia for total municipal solid waste generated annually in each  solid waste planning unit shall be met and maintained. 
    1. The plan shall describe how the minimum recycling rate  shall be met or exceeded. The department may approve the solid waste management  plans of units that do not currently meet the minimum recycling rate only if all  other requirements of these regulations have been met and the solid waste  planning unit demonstrates its commitment to implementing a strong and detailed  action plan for recycling to meet the required rate.
    2. When a solid waste planning unit's annual recycling rate  falls below the minimum rate, it shall constitute evidence of a significant  deviation from the plan. The plan may be subject to revocation by the  department under 9VAC20-130-110 E unless the solid waste planning unit submits  a recycling action plan acceptable to the department per subsection I of this  section.
    C. The solid waste management plan shall include data and  analyses of the following type(s) for each jurisdiction. Each item below shall  be in a separate section and labeled as to content:
    1. Population information and projections for 20 years of  population growth and development patterns;
    2. Urban concentrations, geographic conditions, economic  growth and development, markets for the reuse and recycling of materials,  transportation conditions, and related factors;
    3. Estimates of solid waste generation from residential,  commercial institutional, industrial, construction, demolition, debris and  other types of sources, including the amounts reused, recycled, recovered as a  resource, incinerated and landfilled. Entities engaged in the collection,  processing, and marketing of recyclable materials should provide data for  incorporation into the recycling rate calculation, when requested by the  planning unit.
    4. A listing of existing and planned solid waste collection,  storage, treatment, transportation, disposal and other management facilities,  their projected capacities, expected life and systems for their use;
    5. All milestones in the implementation of the solid waste  management plan over the 20-year projection and the parties responsible for  each milestone;
    6. A description of programs for solid waste reduction, reuse,  recycling, resource recovery, incineration, storage, treatment, disposal and  litter control;
    7. A description of outreach programs for waste exchange,  public education and public participation;
    8. The procedures for and results of evaluating solid waste  collection, including transfer stations; and
    9. The assessment of all current and predicted needs for solid  waste management for a period of 20 years and a description of the action to be  taken to meet those needs.
    D. All known solid waste disposal sites, closed, inactive and  active, within the area of the solid waste management plan shall be documented  and recorded at a centralized archive authorized to receive and record  information and a copy shall be sent to the department. All new sites shall be  recorded at the same central data source.
    E. A methodology shall be utilized to monitor the amount of  solid waste of each type produced within the area of the solid waste management  plan and to record the annual production by solid waste types at a centralized  archive and a copy shall be sent to the department. 
    F. The solid waste management plan shall include, when  developed locally, a copy of the local governing body's resolution adopting the  solid waste management plan.
    G. The solid waste management plan shall include, when  developed regionally, a copy of the resolution approving the plan adopted in  accordance with the Virginia Area Development Act, the Virginia Water and Waste  Authorities Act, the provisions of the Code of Virginia governing joint  exercise of powers by political subdivisions (§ 15.2-1300 of the Code of  Virginia), or other authority as applicable.
    H. The solid waste management plan shall clearly and  explicitly demonstrate the manner in which the goals of the planning  requirements in these regulations shall be accomplished and actions to take if  these requirements are not met.
    I. A planning unit that does not meet the requirements of  these regulations shall submit an action plan, by mail or electronic mail, for  approval by the department. Such action plans shall include:
    1. A description of the deficiency that requires the  development of the action plan.
    2. A time schedule to resolve the deficiency(ies) associated  with the planning unit's failure to meet the requirements of the approved solid  waste management plan.
    3. A reporting requirement to the department, of a minimum of  once every six months, including activities or updates documenting how the  action plan requirements are being met.
    4. Plans and all subsequent reports and submittals shall be  reviewed by the department within 30 days of receipt by the department.
    5. All the department's requests for further information or  response(s) shall be provided within 30 days of receipt at the planning unit.  The department may grant reasonable extensions to these deadlines on a  case-by-case basis. 
    Part I 
  Definitions 
    9VAC20-140-10. Definition incorporated by reference. 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  are incorporated by reference. 
    9VAC20-150-10. Definitions. 
    A. The definitions set out in Part I of the Virginia  Solid Waste Management Regulations, 9VAC20-80-10 et seq., (9VAC20-81)  are incorporated by reference. 
    B. The following words and terms, when used in this chapter,  shall have the following meanings, unless the context clearly indicates  otherwise: 
    "Applicant" means any person or persons seeking  reimbursement under this chapter. 
    "Asphalt pavement containing recycled rubber" means  any hot mix or spray applied binder in asphalt paving mixture that contains  rubber from waste tire materials which is used for asphalt pavement base,  surface course or interlayer, or other road and highway related uses. 
    "Authorized signature" means the signature of an  individual who has authority to sign on behalf of, and bind, the applicant. 
    "Available funds" means for a given fiscal year, a  maximum of 80% of the previous fiscal year's collection of the waste tire tax  plus 85% of nonobligated carryover funds at the end of the previous fiscal  year. 
    "Burning" means the controlled burning of waste  tire materials for the purpose of energy recovery. 
    "Cost of use" means the equipment, leasehold  improvements, buildings, land, engineering, transportation, operating, taxes,  interest, and depreciation or replacement costs of using waste tire materials  incurred by the end user after deducting any tipping fee received by the end  user. 
    "Daily cover" means using waste tire material as an  alternate cover placed upon exposed solid waste to control disease vectors,  fires, odors, blowing litter and scavenging without presenting a threat to  human health and the environment. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or the director's designee. 
    "Embankment" means a raised earthen structure to  carry a roadway. 
    "End user" means: 
    1. For energy recovery: the person who utilizes the heat  content or other forms of energy from the burning or pyrolysis of waste tire  materials; 
    2. For other eligible uses: the last person who uses the  waste tire materials to make a product with economic value. If the waste tire  materials are processed by more than one person in becoming a product, the end  user is the last person to use the tire as waste tire materials. A person who  produces waste tire materials and gives or sells them to another person to use  is not an end user. 
    "Energy recovery" means utilizing the heat content  or other forms of energy from the burning or pyrolysis of waste tire materials.  
    "Fill material for construction" means the material  is used as a base or sub-base under the footprint of a structure, a paved  parking lot, sidewalk, walkway or similar application. 
    "Generator" means any person whose act or process  produces waste tires or whose act first causes a tire to become a solid waste. 
    "Hauler" means a person who picks up or transports  waste tires for the purpose of removal to a permitted storage, processing or  disposal facility. 
    "Partial reimbursement" means reimbursement that  does not exceed the purchase price of waste tire materials or the cost of use  if the waste tire materials were not purchased. 
    "Passenger tire equivalent" means a measure of  passenger, truck tires, and oversize tires where: One passenger car tire equals  20 pounds or 1/100 ton. One truck tire 20-24 inch rim equals 100 pounds or  1/200 ton and a tire with over 24-inch rim equals 200 pounds or greater as  computed by the end user. 
    "Processor" means a person engaged in the  processing of waste tires including, but not limited to, stamping, stripping,  shredding, or crumbing; that operates under a permit issued by the local, state,  or federal government; or is exempt from permit requirements. 
    "Pyrolysis" means thermal treatment of waste tire  materials to separate it into other components with economic value. 
    "Retreading" means processing a waste tire by  attaching a new tread to make a usable tire. 
    "Road bed base" means the foundation of a road  prepared for surfacing. 
    "Tipping fee" means a fee charged to a person for  disposal of a waste tire. 
    "Tire" means a continuous solid or pneumatic rubber  covering encircling the wheel of a vehicle in which a person or property is  transported, or by which they may be drawn on a highway. 
    "Tire pile" means an accumulation of waste tire  materials that violates the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81). 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. 
    "Waste tire materials" means whole waste tires or  waste tires that have been size reduced by physical or chemical process. This  term includes waste tires or chips or similar materials as specified in §§ 10.1-1422.3  and 10.1-1422.4 of the Code of Virginia. 
    "Waste Tire Trust Fund" means the nonreverting fund  set up by § 10.1-1422.3 of the Code of Virginia in which proceeds from the  waste tire tax are deposited. 
    Part II
  General Information 
    9VAC20-150-20. Purpose. 
    The purpose of this chapter is to define the types of uses  eligible for partial reimbursement, to establish the procedures for application  and processing of reimbursement, and to establish the amount of reimbursement. 
    9VAC20-150-40. End uses of waste tires eligible for  reimbursement. 
    A. The following uses of waste tire materials will be  eligible for the reimbursement if the use complies with applicable local  ordinances and regulations and the Virginia Solid Waste Management  Regulations, 9VAC20-80 (9VAC20-81) or the equivalent regulations  in another state. The eligible uses are: 
    1. Civil engineering applications, which utilize waste tire  materials as a substitute for soil, sand, or aggregate in a construction  project such as land or surface applications, road bed base and embankments;  fill material for construction projects; and daily cover and other  substitutions at a permitted solid waste facility if the facility's permit is  so modified; 
    2. Burning of waste tire materials for energy recovery; 
    3. Pyrolysis; and 
    4. Products made from waste tire materials such as molded  rubber products, rubberized asphalt, soil amendments, playground and horse  arena surfacing materials, mulches, mats, sealers, etc. 
    B. Uses that are not eligible for reimbursement include: 
    1. Reuse as a vehicle tire; 
    2. Retreading; 
    3. Burning without energy recovery; and 
    4. Landfilling, except use as specified in subdivision A 1 of  this section. 
    9VAC20-160-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise. 
    "Authorized agent" means any person who is  authorized in writing to fulfill the requirements of this program. 
    "Carcinogen" means a chemical classification for  the purpose of risk assessment as an agent that is known or suspected to cause  cancer in humans, including but not limited to a known or likely human  carcinogen or a probable or possible human carcinogen under an EPA  weight-of-evidence classification system. 
    "Certificate" means a written certification of  satisfactory completion of remediation issued by the director pursuant to § 10.1-1232  of the Code of Virginia. 
    "Completion" means fulfillment of the commitment  agreed to by the participant as part of this program. 
    "Contaminant" means any man-made or man-induced  alteration of the chemical, physical or biological integrity of soils,  sediments, air and surface water or groundwater including, but not limited to,  such alterations caused by any hazardous substance (as defined in the  Comprehensive Environmental Response, Compensation and Liability Act, 42 USC  § 9601(14)), hazardous waste (as defined in 9VAC20-60), solid waste (as  defined in 9VAC20-80-10) 9VAC20-81), petroleum (as defined in  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.))  of the Virginia State Water Control Law, or natural gas. 
    "Cost of remediation" means all costs incurred by  the participant pursuant to activities necessary for completion of voluntary  remediation at the site, based on an estimate of the net present value (NPV) of  the combined costs of the site investigation, report development, remedial  system installation, operation and maintenance, and all other costs associated  with participating in the program and addressing the contaminants of concern at  the site. 
    "Department" means the Department of Environmental  Quality of the Commonwealth of Virginia or its successor agency. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Engineering controls" means physical modification  to a site or facility to reduce or eliminate potential for exposure to  contaminants. These include, but are not limited to, stormwater conveyance  systems, pump and treat systems, slurry walls, liner systems, caps, monitoring  systems, and leachate collection systems. 
    "Hazard index (HI)" means the sum of more than one  hazard quotient for multiple contaminants or multiple exposure pathways or  both. The HI is calculated separately for chronic, subchronic, and shorter  duration exposures. 
    "Hazard quotient" means the ratio of a single  contaminant exposure level over a specified time period to a reference dose for  that contaminant derived from a similar period. 
    "Incremental upper-bound lifetime cancer risk  level" means a conservative estimate of the incremental probability of an  individual developing cancer over a lifetime. Upper-bound lifetime cancer risk  level is likely to overestimate "true risk." 
    "Institutional controls" means legal or contractual  restrictions on property use that remain effective after remediation is  completed, and are used to reduce or eliminate the potential for exposure to  contaminants. The term may include, but is not limited to, deed and water use  restrictions. 
    "Land use controls" means legal or physical  restrictions on the use of, or access to, a site to reduce or eliminate  potential for exposure to contaminants, or prevent activities that could  interfere with the effectiveness of remediation. Land use controls include but  are not limited to engineering and institutional controls. 
    "Noncarcinogen" means a chemical classification for  the purposes of risk assessment as an agent for which there is either  inadequate toxicological data or is not likely to be a carcinogen based on an  EPA weight-of-evidence classification system. 
    "Operator" means the person currently responsible  for the overall operations at a site, or any person responsible for operations  at a site at the time of, or following, the release. 
    "Owner" means any person currently owning or  holding legal or equitable title or possessory interest in a property,  including the Commonwealth of Virginia, or a political subdivision thereof,  including title or control of a property conveyed due to bankruptcy,  foreclosure, tax delinquency, abandonment, or similar means. 
    "Participant" means a person who has received  confirmation of eligibility and has remitted payment of the registration fee. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Program" means the Virginia Voluntary Remediation  Program. 
    "Property" means a parcel of land defined by the  boundaries in the deed. 
    "Reference dose" means an estimate of a daily  exposure level for the human population, including sensitive subpopulations,  that is likely to be without an appreciable risk of deleterious effects during  a lifetime. 
    "Registration fee" means the fee paid to enroll in  the Voluntary Remediation Program, based on 1.0% of the total cost of  remediation at a site, not to exceed the statutory maximum. 
    "Release" means any spilling, leaking, pumping,  pouring, emitting, emptying, discharging, injecting, escaping, leaching,  dumping or disposing of any contaminant into the environment. 
    "Remediation" means actions taken to cleanup,  mitigate, correct, abate, minimize, eliminate, control and contain or prevent a  release of a contaminant into the environment in order to protect human health  and the environment, including actions to investigate, study or assess any  actual or suspected release. Remediation may include, when appropriate and  approved by the department, land use controls. 
    "Remediation level" means the concentration of a  contaminant with applicable land use controls, that is protective of human  health and the environment. 
    "Report" means the Voluntary Remediation Report  required by 9VAC20-160-70. 
    "Restricted use" means any use other than  residential. 
    "Risk" means the probability that a contaminant  will cause an adverse effect in exposed humans or to the environment. 
    "Risk assessment" means the process used to  determine the risk posed by contaminants released into the environment.  Elements include identification of the contaminants present in the  environmental media, assessment of exposure and exposure pathways, assessment  of the toxicity of the contaminants present at the site, characterization of  human health risks, and characterization of the impacts or risks to the  environment. 
    "Site" means any property or portion thereof, as  agreed to and defined by the participant and the department, which contains or  may contain contaminants being addressed under this program. 
    "Termination" means the formal discontinuation of  participation in the Voluntary Remediation Program without obtaining a  certification of satisfactory completion. 
    "Unrestricted use" means the designation of  acceptable future use for a site at which the remediation levels, based on  either background or standard residential exposure factors, have been attained  throughout the site in all media. 
    9VAC20-160-30. Eligibility criteria. 
    A. Candidate sites shall meet eligibility criteria as defined  in this section. 
    B. Any persons who own, operate, have a security interest in  or enter into a contract for the purchase or use of an eligible site who wish  to voluntarily remediate that site may participate in the program. Any person  who is an authorized agent of any of the parties identified in this subsection  may participate in the program. 
    C. Sites are eligible for participation in the program if (i)  remediation has not been clearly mandated by the United States Environmental  Protection Agency, the department or a court pursuant to the Comprehensive  Environmental Response, Compensation and Liability Act (42 USC § 9601 et  seq.), the Resource Conservation and Recovery Act (42 USC § 6901 et seq.),  the Virginia Waste Management Act (§ 10.1-1400 et seq. of the Code of  Virginia), the Virginia State Water Control Law (§ 62.1-44.2 et seq. of the  Code of Virginia), or other applicable statutory or common law; or (ii)  jurisdiction of the statutes listed in clause (i) has been waived. 
    A site on which an eligible party has completed remediation  of a release is potentially eligible for the program if the actions can be  documented in a way which are equivalent to the requirements for prospective  remediation, and provided the site meets applicable remediation levels. 
    Petroleum or oil releases not mandated for remediation under  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.) of  the Virginia State Water Control Law may be eligible for participation in the  program. 
    Where an applicant raises a genuine issue based on documented  evidence as to the applicability of regulatory programs in subsection D of this  section, the site may be eligible for the program. Such evidence may include a  demonstration that: 
    1. It is not clear whether the release involved a waste  material or a virgin material; 
    2. It is not clear that the release occurred after the  relevant regulations became effective; or 
    3. It is not clear that the release occurred at a regulated  unit. 
    D. For the purposes of this chapter, remediation has been  clearly mandated if any of the following conditions exist, unless jurisdiction  for such mandate has been waived: 
    1. Remediation of the release is the subject of a permit  issued by the U.S. Environmental Protection Agency or the department, a pending  or existing closure plan, a pending or existing administrative order, a pending  or existing court order, a pending or existing consent order, or the site is on  the National Priorities List; 
    2. The site at which the release occurred is subject to the  Virginia Hazardous Waste Management Regulations (9VAC20-60) (VHWMR), is a  permitted facility, is applying for or should have applied for a permit, is  under interim status or should have applied for interim status, or was  previously under interim status, and is thereby subject to requirements of the  VHWMR; 
    3. The site at which the release occurred constitutes an open  dump or unpermitted solid waste management facility under Part IV  (9VAC20-80-170 et seq.) 9VAC20-81-45 of the Virginia Solid  Waste Management Regulations; 
    4. The director determines that the release poses an imminent  and substantial threat to human health or the environment; or 
    5. Remediation of the release is otherwise the subject of a  response action required by local, state, or federal law or regulation. 
    E. The director may determine that a site under subdivision D  3 of this section may participate in the program provided that such  participation complies with the substantive requirements of the applicable  regulations. 
    9VAC20-170-30. Applicability. 
    A. This chapter applies to each owner and/or operator of a  vessel transporting solid wastes or regulated medical wastes for the purposes  of commercial carriage as cargo, and each owner or operator of a receiving  facility. This chapter also applies to the receiving facilities and vessels  transporting solid wastes or regulated medical wastes upon the navigable waters  of the Commonwealth to the extent allowable under state law. 
    B. This chapter does not apply to a public vessel as defined  under 9VAC20-170-10, the owner and operator of a public vessel, vessels transporting  solid wastes or regulated medical wastes incidental to their predominant  business or purposes, vessels transporting solid wastes or regulated medical  wastes generated during normal operations of the vessel, solid wastes or  regulated medical wastes generated during the normal operations of the vessel,  and solid wastes excluded pursuant to 9VAC20-80-150 or conditionally  exempted pursuant to 9VAC20-80-160 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations. 
    9VAC20-170-40. Relationship to other regulations. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  prescribe requirements for the solid waste management facilities in general.  While a facility utilized to receive solid wastes or regulated medical wastes  transported, loaded, or unloaded upon the navigable waters of the Commonwealth,  to the extent allowable under state law, by a commercial transporter is a solid  waste management facility, this chapter herein prescribes specific  requirements, including siting, design/construction, operation, and permitting,  for this type of facilities. If there is any overlapping requirement between  these two regulations, whichever is more stringent shall apply. 
    B. The Regulated Medical Waste Management Regulations  (9VAC20-120) address special needs for regulated medical waste management. A  facility utilized to receive regulated medical waste transported, loaded, or  unloaded upon the navigable waters of the Commonwealth, to the extent allowable  under state law, by a commercial transporter is a regulated medical waste  facility and it must conform to any applicable sections of the Regulated  Medical Waste Management Regulations adopted by the board. If there is any  overlapping requirement between these two regulations, whichever is more stringent  shall apply. 
    C. This chapter does not exempt any receiving facility from  obtaining a Virginia Water Protection Permit as required by the Virginia Water  Protection Permit Program Regulation (9VAC25-210), whenever it is applicable. 
    VA.R. Doc. No. R11-2731; Filed June 8, 2011, 1:15 p.m. 
TITLE 9. ENVIRONMENT
VIRGINIA WASTE MANAGEMENT BOARD
Final Regulation
        REGISTRAR'S NOTICE: The  Virginia Waste Management Board is claiming an exemption from the  Administrative Process Act in accordance with (i) § 2.2-4006 A 3 of the  Code of Virginia, which excludes regulations that consist only of changes in  style or form or corrections of technical errors and (ii) § 2.2-4006 A 4 a  of the Code of Virginia, which excludes regulations that are necessary to  conform to changes in Virginia statutory law where no agency discretion is  involved. The Virginia Waste Management Board will receive, consider, and  respond to petitions by any interested person at any time with respect to  reconsideration or revision.
         Title of Regulation: 9VAC20-90. Solid Waste  Management Permit Action Fees and Annual Fees (amending 9VAC20-90-10, 9VAC20-90-50,  9VAC20-90-65 through 9VAC20-90-115, 9VAC20-90-130; adding 9VAC20-90-113). 
    Statutory Authority: § 10.1-1402 of the Code of  Virginia.
    Effective Date: August 3, 2011. 
    Agency Contact: Melissa Porterfield, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4238, FAX (804) 698-4346, or email melissa.porterfield@deq.virginia.gov.
    Summary:
    This regulatory action implements Chapter 420 of the 2011  Acts of Assembly relating to annual fees for nonhazardous solid waste  management facilities. For sanitary landfills, noncaptive industrial landfills,  and construction and demolition debris landfills, an annual fee of $0.115 per  ton of waste deposited in the facility replaces a tiered fee schedule.  Incinerators and energy recovery facilities will be assessed an annual fee of  $0.055 per ton of waste incinerated. The annual fees for other types of solid  waste management facilities such as composting, regulated medical waste, and  transfer stations are increased in accordance with Chapter 420. The annual fees  will be adjusted annually for inflation based on the Consumer Price Index. The  amendments also update citations that have changed as a result of Amendment 7  to the Solid Waste Management Regulations (9VAC20-81).
    Part I 
  Definitions 
    9VAC20-90-10. Definitions. 
    Chapter 14 (§ 10.1-1400 et seq.) of Title 10.1 of the Code of  Virginia defines words and terms that supplement those in this chapter. The Virginia  Solid Waste Management Regulations, 9VAC20-80, 9VAC20-81, and the  Virginia Regulated Medical Waste Management Regulations, 9VAC20-120,  define additional words and terms that supplement those in the statute and this  chapter. When the statute, as cited, and the solid waste management  regulations, as cited, define a word or term differently, the definition of the  statute is controlling. The following words and terms when used in this chapter  shall have the following meanings unless the context clearly indicates  otherwise: 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the director of the Department of  Environmental Quality. 
    "Operating" means actively managing solid waste, or  conducting closure or post closure activities. A facility will begin operating  on the date of the approval of the certificate to operate (CTO) or the approval  of the permit-by-rule (PBR) as applicable. The facility will no longer be  considered operating upon certification of completion of closure activities or  in the case of a disposal facility upon release from post closure  responsibility. 
    "Permit-by-rule" means provisions of the chapter  stating that a facility or activity is deemed to have a permit if it meets the  requirements of the provision. 
    "Permitted facility" means a facility holding the  written permission of the director to conduct solid waste management  activities; this includes facilities operating under permit-by-rule. 
    9VAC20-90-50. Applicability of regulations. 
    A. These regulations apply to all persons operating or  proposing to operate a permitted facility for the management of solid waste  under the provisions of: 
    1. Part VII (9VAC20-80-480 through 9VAC20-80-620) V  (9VAC20-81-400 through 9VAC20-81-600) of the Virginia Solid Waste  Management Regulations; 
    2. Part X (9VAC20-120-680 through 9VAC20-120-830) of the  Regulated Medical Waste Management Regulations; or
    3. Part V (9VAC20-101-160 through 9VAC20-101-180) of the  Vegetative Waste Management and Yard Waste Composting Regulations; or 
    4. Part V (9VAC20-85-170 through 9VAC20-85-180) of the Regulation  Governing Management of Coal Combustion By-Products Coal Combustion  Byproduct Regulations.
    The fees shall be assessed in accordance with Part III  (9VAC20-90-70 through 9VAC20-90-120) of this chapter. 
    B. When the director finds it necessary to amend or modify  any permit in accordance with § 10.1-1408.1 E or § 10.1-1409 of the Code of  Virginia, 9VAC20-80-620 9VAC20-81-600 of the Virginia  Solid Waste Management Regulations or Part X (9VAC20-120-680 through  9VAC20-120-830) of the Regulated Medical Waste Management Regulations, as  applicable, the holder of that permit shall be assessed a fee in accordance  with 9VAC20-90-90 even if the director has initiated the amendment or  modification action. 
    C. When the director finds it necessary to revoke and reissue  any permit in accordance with § 10.1-1408.1 E or § 10.1-1409 of the Code  of Virginia, 9VAC20-80-600 B 1 9VAC20-81-570 B 1 of the Virginia  Solid Waste Management Regulations, or Part X (9VAC20-120-680 through  9VAC20-120-830) of the Regulated Medical Waste Management Regulations, as  applicable, the holder of that permit shall be assessed a fee in accordance  with 9VAC20-90-80. 
    D. If the director finds it necessary either to revoke and  reissue a permit in accordance with § 10.1-1408.1 E or § 10.1-1409 of  the Code of Virginia, or 9VAC20-80-600 B 2 9VAC20-81-570 B 2 of  the Virginia Solid Waste Management Regulations, the holder of that  permit shall be assessed a fee in accordance with 9VAC20-90-100. 
    9VAC20-90-65. Payment of annual fees. 
    A. Operators of permitted solid waste management facilities  shall pay annual fees based on the requirements of this section. An annual fee  is required for each activity occurring at a permitted facility. 
    1. Annual fees, including those that are based on annual  tonnage, shall be calculated using the procedures in 9VAC20-90-113,  9VAC20-90-114, and 9VAC20-90-115.
    2. For facilities engaged in multiple activities under the  provisions of a single permit, an operator shall pay multiple annual fees. 
    3. Annual fees assessed for single or multiple activities  conducted under a permit reflect the time and complexity of inspecting and  monitoring the different categories of facilities identified in § 10.1-1402.1:1  of the Code of Virginia.
    B. Due date.
    1. Submission date. The department may bill the operator for  amounts due or becoming due in the immediate future. Payments are due on or  before October 1 or 30 days after receipt of a bill from the department,  whichever comes later, unless the operator is using the quarter payment option.  Except as specified in subdivision 2 of this subsection, all annual fees are  submitted on a yearly basis and are due on or before October 1 (for the  preceding annual year). 
    2. Optional quarter payment. Facility operators that are  required to pay annual fees exceeding $8,000 for single or multiple permits may  submit four equal payments totaling the annual fee on or before October 1,  January 1, April 1, and June 1. The annual payment cycle for quarter payments  will begin with the October 1 payment and will end with the June 1 payment.  Those facilities opting for the quarter payment schedule shall accompany all  payments with a copy of DEQ form PF001. 
    3. Late quarter payments. If the quarter payment is not paid  by the deadline, DEQ may, in addition to seeking other remedies available under  the law, issue a notice of failure to pay. The notice shall require payment of  the entire remainder of the annual fee payment within 30 days of the date of  the notice, or inform the owner that he is ineligible to opt for the quarter  payment schedule until eligibility is reinstated by written notice from the  department, or both. 
    C. Method of payment. Fees shall be paid by check, draft, or  postal money order made payable to "Treasurer of Virginia/DEQ," and  shall be sent to the Department of Environmental Quality, Receipts Control,  P.O. Box 1104, Richmond, VA 23218. When the department is able to accept  electronic payments, payments may be submitted electronically. 
    D. Incomplete payments. All incomplete payments will be  deemed nonpayments. 
    E. Late payment of annual fee. Interest may be charged for  late payments at the underpayment rate set out by the U.S. Internal Revenue  Service established pursuant to Section 6621(a)(2) of the Internal Revenue  Code. This rate is prescribed in § 58.1-15 of the Code of Virginia and is  calculated on a monthly basis at the applicable periodic rate. A 10% late  payment fee may be charged to any delinquent (over 90 days past due) account.  The Department of Environmental Quality is entitled to all remedies available  under the Code of Virginia in collecting any past due amount and may recover  any attorney's fees and other administrative costs incurred in pursuing and  collecting any past due amount. 
    F. Annual fees received by the department shall be deposited  in the Virginia Waste Management Permit Program Fund and used exclusively for  the solid waste management program as set forth in the Code of Virginia. 
    Part III 
  Determination of Fee Amount 
    9VAC20-90-70. General. 
    A. Each application for a new permit, each application for a  modification or amendment to a permit, and each revocation and issuance of a  permit is a separate action and shall be assessed a separate fee. The amount of  such fees is determined on the basis of this Part III (9VAC20-90-70 through  9VAC20-90-120). 
    B. Right of entry, inspection and audit. Upon presentation of  appropriate credentials and upon consent of the owner or operator of the  facility, the director of the Virginia Department of Environmental Quality or  his designee, in addition to the routine inspection of the facility provided in  9VAC20-80-100, 9VAC20-81-50 or 9VAC20-120-740 shall have the  right to enter, inspect, and audit the records of the facility  consistent with § 10.1-1456 of the Code of Virginia. The director may designate  rights of entry, inspection, and audit to any department personnel or  contractors to the department. The owner of operator of the facility shall  provide complete and timely access during business hours to all equipment,  and facility records. The director shall have the right to require an audit of  the facility's records related to the payment of annual fees. 
    C. In addition to permit action fees listed in Tables 3.1-1,  3.1-2, and 3.1-3 of 9VAC20-90-120, the applicant for a permit action shall  arrange for the newspaper publication and radio broadcast and bear the cost of  the publication and broadcast if required. The department shall send  notification to the applicant that the publication and broadcast are required,  and the notification shall include the text of the notice, dates of publication  and broadcast, and the acceptable newspapers and radio stations wherein the  notice may be published. The department shall also require the petitioner for a  variance from any regulation to arrange for any newspaper publication and radio  broadcast required under the Virginia Solid Waste Management Regulations  (9VAC20-80) (9VAC20-81) or the Regulated Medical Waste Management  Regulations (9VAC20-120) and to bear the cost of such publication and  broadcast. The department may arrange for the newspaper publication and radio  broadcast listed in this subsection and require the applicant to remit the cost  of such publication and broadcast. 
    9VAC20-90-80. New facility permit issuance or action. 
    All applicants for new solid and regulated medical waste  treatment, storage, and disposal facility permits are assessed an appropriate  fee shown in Table 3.1-1 of 9VAC20-90-120 depending on the type of permit or  permit action. 
    Applicants for an emergency permit are assessed a fee shown  on Table 3.1-1 of 9VAC20-90-120 unless the director determines that a lesser  fee is appropriate at the time the permit is issued. 
    (NOTE: Certain solid waste management facility permit amendments  modifications are so extensive that they require issuance of new permits  (see 9VAC20-80-480 C 9VAC20-81-400 C of the Virginia Solid  Waste Management Regulations). Such applications will be considered to be  applications for new facilities.) 
    9VAC20-90-90. Applications for permit actions, amendment or  modification. 
    A. General. Facility permits issued by the director are  typically based on the modular concept to assure completeness and consistency  of the documents. Each facility permit may consist of several modules dealing  with the requirements addressing separate topics pertinent to the specific  facility. The modules used in the solid and regulated medical waste program  are: 
    1. The general permit conditions module (Module I) that  contains the general conditions required for all solid or regulated medical  waste facility permits and includes documents to be submitted prior to  operation, documents that must be maintained at the facility, and a compliance  schedule, if any. 
    2. The general facility requirements module (Module II) that  contains the listing of wastes that the facility may accept or a list of wastes  prohibited from acceptance, an analysis plan, security and site access information,  inspection requirements, personnel training requirements, special standards  based on particular location, a preparedness and prevention plan, a contingency  plan, closure and post-closure cost estimates, and facility-specific financial  assurance requirements. 
    3. The separate facility modules, one for each of the  different type of facility provided for in Parts V III and VI  IV of the Virginia Solid Waste Management Regulations, containing  design requirements (e.g., liners, leachate management systems, aeration  systems, wastewater collection systems), specific operating requirements (e.g.,  compaction and cover requirements, equipment, monitoring), and recordkeeping  requirements. The following modules have been developed: 
    a. Module III—Sanitary landfills; 
    b. Module IV—Construction/demolition/debris landfill; 
    c. Module V—Industrial landfill; 
    d. Module VI—Compost facility; 
    e. Module VII—Transfer station; 
    f. Module VIII—Materials recovery facility; and 
    g. Module IX—Energy recovery and incineration facility. 
    4. All gas management plans submitted for review (Module III,  IV, or V) will be assessed a fee as listed in Table 3.1-2 of 9VAC20-90-120. 
    5. The groundwater monitoring modules contain requirements for  well location, installation, and construction, listing of monitoring parameters  and constituents, sampling and analysis procedures, statistical procedures,  data evaluation, recordkeeping and reporting, and special requirements when  significant increases occur in monitoring parameters. Module X is designed  specifically for Phase I or detection monitoring and Module XI for Phase II or  assessment monitoring. If groundwater protection standards are being  established for facilities without Modules X and XI, then both Modules X and XI  will be issued for the major modification fee. However, for facilities with  Module X already included in their permit, the major modification fee will be  assessed to add Module XI. 
    6. The closure module (Module XII), included in all permits,  contains requirements for actions during the active life of the facility  (updating plan), during the closure process, and after the closure has been  performed. Facilities required to submit a closure plan in accordance with §§ 10.1-1410.1 and 10.1-1410.2 A 1 of the Code of Virginia will be assessed a fee  for Module XII as listed in Table 3.1-2 of 9VAC20-90-120. 
    7. The post-closure module (Module XIII), included in solid  waste disposal facility permits, contains requirements during the post-closure  period and for periodic updating of the post-closure plan. Facilities required  to submit a post-closure plan in accordance with § 10.1-1410.2 of the Code of  Virginia will be assessed a fee for Module XIII as listed in Table 3.1-2 of  9VAC20-90-120. 
    8. The schedule for compliance for corrective action (Module  XIV) is used when facility groundwater monitoring results indicate groundwater  protection standards have been statistically exceeded. 
    9. The leachate handling module (Module XV), included in solid  waste disposal facility permits, contains requirements for storage, treatment  and disposal of leachate generated by the facility. 
    10. The regulated medical waste storage module (Module XVI)  and regulated medical waste treatment module (Module XVII) have been developed  for facilities storing and/or treating regulated medical waste. 
    B. Applicants for a modification or amendment of an existing  permit will be assessed a fee associated with only those modules that will  require changes. In situations where the modular concept is not employed (for  example, changes incorporated directly into a nonmodular permit), fees will be  assessed as appropriate for the requirements stipulated for modules in  subsection A of this section had they been used. 
    C. Applicants for a modification or amendment or subject to revocation  and reissuance of an existing permit will be assessed a separate public  participation fee whenever the modification or amendment requires a public  hearing. 
    D. The fee schedules for major permit actions, amendments, or  modifications are shown in Table 3.1-2 of 9VAC20-90-120. 
    E. In no case will the fee for a modification, amendment or  revocation and reissuance of a permit be higher than that for a new facility of  the same type. 
    9VAC20-90-100. Minor actions, amendments or modifications. 
    Applicants for minor modifications and minor permit  amendments under the provisions of 9VAC20-80-620 F 9VAC20-81-600 F 2  shall not be assessed a permit modification fee. 
    9VAC20-90-110. Review of variance requests. 
    Applicants requesting variances from the Virginia  Solid Waste Management Regulations (9VAC20-80) (9VAC20-81), the  Regulated Medical Waste Management Regulations (9VAC20-120), or the Regulation  Governing Management of Coal Combustion By-Products Coal Combustion  Byproduct Regulations (9VAC20-85) will be assessed a fee as shown in Table  3.1-3 of 9VAC20-90-120. All variance requests are subject to base fees.  Additional fees are listed for reviews of specific types of variance requests  and are to be submitted in addition to base fees. For example, a variance request  for an alternate liner design would require submission of the base fee in  addition to the fee associated with the review of the alternate liner system  design. Variance requests are not subject to public participation fees  listed in Table 3.1-2 of 9VAC20-90-120. 
    9VAC20-90-113. Annual fee calculation for incinerators and  energy recovery facilities.
    A. General. All persons operating an incinerator or energy  recovery facility that is permitted under the regulations outlined in  9VAC20-90-50 shall submit annual fees according to the procedures provided in  9VAC20-90-65. Annual fees shall be calculated using the procedures provided in  subsection B of this section. Fees shall be rounded to the nearest dollar. The  2010 base fee rate is $0.055 per ton.
    B. Fee calculation. Annual tonnage will be determined from  the total amount of waste reported as having been incinerated on Form DEQ 50-25  for the preceding year pursuant to the Waste Information Assessment Program  (9VAC20-81-80). Annual fees shall be calculated by multiplying the number of  tons of waste incinerated by the fee rate set forth in subsection A of this  section adjusted annually by the change in the Consumer Price Index. The  Consumer Price Index is the Consumer Price Index for all-urban consumers for the  12-month period ending on April 30 of the calendar year preceding the year the  annual fee is due. The Consumer Price Index for all-urban consumers is  published by the U.S. Department of Labor, Bureau of Labor Statistics, U.S. All  items, CUUR0000SA0.
    C. Weight/volume conversions. For facilities required to  pay annual fees based on the tonnage of the waste incinerated, the annual fee  shall be based on the accurate weight of waste. If scales are unavailable, the  volume of the waste incinerated by the facility must be multiplied by 0.50 tons  per cubic yard to determine the weight of the waste incinerated. If the volume  of waste is used to determine the tonnage of waste incinerated, accurate and  complete records of the waste received and managed must be maintained in  addition to the calculated weight records described in this part. These records  must be maintained onsite throughout the life of the facility and made  available to the department upon request. 
    D. Emergency. The director may waive or reduce annual fees  assessed during a state of emergency or for waste resulting from an emergency  response action. A facility operator may request a determination if a given  volume of waste incinerated in a given calendar year qualifies for a waived or  reduced fee by submitting documentation of the emergency to the regional office  where the facility is located. The request will provide the name and permit  number of the facility, a facility contact, the nature of the emergency or  response action, a description of the waste, and an accurate accounting of the  type and tonnage of waste managed as a result of the emergency. Requests for a  determination by the director must be submitted by March 31 of the year  following the emergency coincident with the solid waste information assessment  report. A separate request shall be provided for each year if the emergency  lasts for multiple years. 
    E. Annual fee discounts for environmental excellence  program participants are set out in 9VAC20-90-117. 
    F. The operator of a facility owned by a private entity  and subject to any fee imposed pursuant to this section shall collect such fee  as a surcharge on any fee schedule established pursuant to law, ordinance,  resolution, or contract for solid waste processing or disposal operations at  the facility. 
    G. Closure. Facilities that remove all waste materials at  the time of closure and are subject only to closure requirements are subject to  payment of the annual fee if they were operating at any time during the  calendar year. 
    H. The total annual sum of annual fees and permit  application fees collected by the board from sanitary landfills and other  nonhazardous solid waste facilities shall not exceed 60% of the direct costs of  (i) processing an application to issue, reissue, amend, or modify permits; and  (ii) performing inspections and enforcement actions necessary to assure  compliance with permits issued for any sanitary landfill and other facility for  the disposal, treatment, or storage of nonhazardous solid waste. The director  shall take whatever action is necessary to ensure that this limit is not  exceeded.
    9VAC20-90-114. Annual fee calculation for sanitary  landfills, noncaptive industrial landfills, and construction and  demolition debris landfills.
    A. General. All persons operating a sanitary landfill,  noncaptive industrial landfill, or a construction and demolition debris  landfill permitted under the regulations outlined in 9VAC20-90-50 shall submit  annual fees according to the procedures provided in 9VAC20-90-65. Annual fees  shall be calculated using the procedures provided in subsection B of this  section. Fees shall be rounded to the nearest dollar. The 2010 base fee rate  is $0.115 per ton.
    B. Fee calculation. The amount of the annual fees to be  submitted for a specified year shall be calculated according to the following  formulae: 
           |      F =       |          B x C      |    
       |      C =       |          1 + ∆CPI      |    
       |      ∆CPI =      |          CPI - 215.15      |    
       |      215.15      |    
  
    where: 
    F = the annual fee amount due for the specified calendar  year, expressed in dollars.
    B = the base fee rate for the type of facility determined  as provided in subdivision 1 of this subsection, expressed in dollars. 
    ∆CPI = the difference between CPI and 215.15 (the  average of the Consumer Price Index values for all-urban consumers for the  12-month period ending on April 30, 2009), expressed as a proportion of 215.15.  
    CPI = the average of the Consumer Price Index values for  all-urban consumers for the 12-month period ending on April 30 of the calendar  year before the specified year for which the permit maintenance fee is due.  (The Consumer Price Index for all-urban consumers is published by the U.S.  Department of Labor, Bureau of Labor Statistics, U.S. All items, CUUR0000SA0).
    1. Values for B (base fee rate) in Table 4.1 of  9VAC20-90-130 for construction and demolition debris landfills and noncaptive  industrial landfills shall be calculated using the procedures in this  subdivision. Annual tonnage will be determined from the total amount of waste  reported as having been either landfilled or incinerated on Form DEQ 50-25 for  the preceding year pursuant to the Waste Information Assessment Program  (9VAC20-80-115 and 9VAC20-130-165). Base fee rates for construction and  demolition debris landfills and noncaptive industrial landfills include the  base tonnage fee rate plus an additional fee amount per ton of waste over the  base tonnage that is landfilled based on the tonnage reported on the previous  year's Solid Waste Information Reporting Table, Form DEQ 50-25. 
    a. For example, the base fee rate for a construction and  demolition debris landfill that reported 120,580 tons of waste landfilled for  the previous year is the $10,000 base tonnage fee rate for a facility  landfilling 100,001 to 250,000 tons of waste, plus an additional fee amount of  $0.09 per ton of waste landfilled over the base tonnage, as provided in Table 4.1  of 9VAC20-90-130. The base fee rate for this facility is $10,000 + [(120,580  tons - 100,001 tons) x $0.09/ton] = $11,852. The base tonnage fee rate and the  additional fee amount per ton vary with the tonnage of the waste that the  facility landfilled.
    b. Tonnage used to determine the base fee rate shall be  rounded to the nearest full ton of waste. 
    2. Calculation of the 2010 annual fee (F) for the  construction and demolition debris landfill discussed in subdivision B 1 of  this subsection is provided as an example: 
    CPI = 215.15 (the average of CPI values from May 1, 2008,  to April 30, 2009, inclusive would be used for the 2010 annual fee  calculation).
    ∆CPI = zero for the 2010 annual fee calculation  (i.e., (CPI - 215.15)/215.15 = (215.15 - 215.15)/215.15 = 0). (Note: ∆CPI  for other years would not be zero.)
    C = 1.0 for the 2010 annual fee calculation (i.e., 1 +  ∆CPI = 1 + 0 = 1.0).
    B = $11,852 (i.e., the value of the base fee rate for the  example construction and demolition debris landfill in subdivision 2 of this  subsection).
    F = $11,852 for the 2010 annual fee calculation for this  example construction and demolition debris landfill (i.e., B x C = $11,852 x  1.0 = $11,852).
    B. Fee calculation. Annual tonnage will be determined from  the total amount of waste reported as having been landfilled on Form DEQ 50-25  for the preceding year pursuant to the Waste Information Assessment Program  (9VAC20-81-80). Annual fees shall be calculated by multiplying the tons of  waste landfilled (excluding any ash landfilled that was generated by  incinerators and energy recovery facilities located in Virginia previously  assessed a fee under 9VAC20-90-113) by the fee rate set forth in subsection A  of this section adjusted annually by the change in the Consumer Price Index.  The Consumer Price Index is the Consumer Price Index values for all-urban  consumers for the 12-month period ending on April 30 of the calendar year  preceding the year the annual fee is due. The Consumer Price Index for  all-urban consumers is published by the U.S. Department of Labor, Bureau of  Labor Statistics, U.S. All items, CUUR0000SA0. Landfills receiving ash  generated by incinerators and energy recovery facilities located in Virginia  previously assessed a fee under 9VAC20-90-113 shall report to the board the amount  of ash received from individual facilities on the Solid Waste Information  Reporting Table, Form DEQ 50-25. The tonnage of ash identified as being  generated by incinerators and energy recovery facilities previously assessed a  fee under 9VAC20-90-113 shall be exempted from the annual fee assessed for  sanitary landfills, construction and demolition debris landfills, and  noncaptive industrial landfills.
    C. Weight/volume conversions. For facilities required to pay  annual fees based on the tonnage of the waste landfilled or incinerated,  the annual fee shall be based on the accurate weight of waste. If scales are  unavailable, the volume of the waste landfilled or incinerated by the  facility must be multiplied by 0.50 tons per cubic yard to determine the weight  of the waste landfilled or incinerated. If the volume of waste is used  to determine the tonnage of waste landfilled or incinerated, accurate  and complete records of the waste received and managed must be maintained in  addition to the calculated weight records described in this part. These records  must be maintained onsite throughout the life of the facility and made  available to the department upon request. 
    D. Emergency. The director may waive or reduce annual fees  assessed during a state of emergency or for waste resulting from an emergency  response action. A facility operator may request a determination if a given  volume of waste landfilled or incinerated in a given calendar year  qualifies for a waived or reduced fee by submitting documentation of the emergency  to the regional office where the facility is located. The request will provide  the name and permit number of the facility, a facility contact, the nature of  the emergency or response action, a description of the waste, and an accurate  accounting of the type and tonnage of waste managed as a result of the  emergency. Requests for a determination by the director must be submitted by  March 31 of the year following the emergency coincident with the solid waste  information assessment report. A separate request shall be provided for each  year if the emergency lasts for multiple years. 
    E. Annual fee discounts for environmental excellence program  participants are set out in 9VAC20-90-117. 
    F. The operator of a facility owned by a private entity and  subject to any fee imposed pursuant to this section shall collect such fee as a  surcharge on any fee schedule established pursuant to law, ordinance,  resolution, or contract for solid waste processing or disposal operations at  the facility. 
    G. Closure. Facilities that remove all waste materials at the  time of closure and are subject only to closure requirements are subject to  payment of the annual fee if they were operating at any time during the  calendar year. 
    H. Transition from closure to post-closure care.  Landfills entering post-closure care will pay the full annual fee for an  active facility if they were operating, inactive, or conducting closure  activities at any time during the calendar year. Landfills in post-closure care  for a full calendar year (January 1 through December 31) will pay the annual  fee for post-closure care provided in Table 4.1 of 9VAC20-90-130. The  post-closure care period will begin on the date provided in 9VAC20-80-250 E 7,  9VAC20-80-260 E 6, or 9VAC20-80-270 E 6 as applicable. an annual fee as  follows:
    1. If the landfill received waste during the previous  calendar year, the annual fee will be based on the amount of waste landfilled  for the preceding year pursuant to the Waste Information Assessment Program  (9VAC20-81-80); or 
    2. If the landfill did not receive waste during the  previous calendar year and began post-closure care during the previous calendar  year as provided in 9VAC20-81-170, the landfill shall be subject to the  post-closure care annual fee.
    I. The total annual sum of annual fees and permit application  fees collected by the board from sanitary landfills and other nonhazardous  solid waste facilities shall not exceed 60% of the direct costs of (i)  processing an application to issue, reissue, amend, or modify permits; and (ii)  performing inspections and enforcement actions necessary to assure compliance  with permits issued for any sanitary landfill and other facility for the  disposal, treatment, or storage of nonhazardous solid waste. The director shall  take whatever action is necessary to ensure that this limit is not exceeded. 
    9VAC20-90-115. Annual fee calculation for sanitary  landfills, incinerators, and other types of facilities.
    A. General. All persons operating a sanitary landfill, an  incinerator, or another type of composting facility other than a  noncaptive industrial landfill or construction and demolition debris landfill,  regulated medical waste facility, materials recovery facility, transfer  station, landfill in post-closure care, or active captive industrial landfill  that is permitted under the regulations outlined in 9VAC20-90-50 shall submit  annual fees according to the procedures provided in 9VAC20-90-65. Annual fees  shall be calculated using the procedures provided in subsection B of this  section. Fees shall be rounded to the nearest dollar. The 2010 base fee  rates are provided in Table 4.1 of 9VAC20-90-130.  Active captive  industrial landfills shall submit Form DEQ 50-25 to the department to indicate  if the landfill is a small landfill or large landfill based on the total amount  of waste landfilled during the preceding calendar year. 
    B. Fee calculation. The amount of the annual fees to be  submitted for a specified year shall be calculated according to the following  formulae: 
           |      F =       |          B x A x C      |    
       |      A =      |          1+ (P/100)      |    
       |      C =       |          1 + ∆CPI      |    
       |      ∆CPI =      |          CPI - 215.15      |    
       |      215.15      |    
  
    where: 
    F = the annual fee amount due for the specified calendar  year, expressed in dollars.
    B = the base fee rate for the type of facility determined  as provided in subdivisions 1, 2, and 3 of this subsection, expressed in  dollars. 
    A = the direct cost adjustment factor. 
    P = 79 
    ∆CPI = the difference between CPI and 215.15 (the  average of the Consumer Price Index values for all-urban consumers for the  12-month period ending on April 30, 2009), expressed as a proportion of 215.15.  
    CPI = the average of the Consumer Price Index values for  all-urban consumers for the 12-month period ending on April 30 of the calendar  year before the specified year for which the permit maintenance fee is due.  (The Consumer Price Index for all-urban consumers is published by the U.S.  Department of Labor, Bureau of Labor Statistics, U.S. All items, CUUR0000SA0).
    1. Values for B (base fee rate) are provided in Table 4.1,  Base Fee Rates for Annual Waste Management Facility Fees, in 9VAC20-90-130. 
    2. Values for B (base fee rate) in Table 4.1 of  9VAC20-90-130 that are based on tonnage shall be calculated using the  procedures in this subdivision. Annual tonnage will be determined from the  total amount of waste reported as having been either landfilled or incinerated  on Form DEQ 50-25 for the preceding year pursuant to the Waste Information  Assessment Program (9VAC20-80-115 and 9VAC20-130-165). 
    a. Base fee rates for sanitary landfills include the base  tonnage fee rate plus an additional fee amount per ton of waste over the base  tonnage that is landfilled based on the tonnage reported on the previous year's  Solid Waste Information Reporting Table, Form DEQ 50-25. For example, the base  fee rate for a sanitary landfill that reported 120,580 tons of waste landfilled  for the previous year is the $10,000 base tonnage fee rate for a facility  landfilling 100,001 to 250,000 tons of waste, plus an additional fee amount of  $0.09 per ton of waste landfilled over the base tonnage, as provided in Table  4.1 of 9VAC20-90-130. The base fee rate for this facility is $10,000 +  [(120,580 tons - 100,001 tons) x $0.09/ton] = $11,852. The base tonnage fee  rate and the additional fee amount per ton vary with the tonnage of the waste  that the facility landfilled.
    b. Base fee rates for incinerators are based only on the  amount of waste incinerated as reported on the previous year's Solid Waste  Information Reporting Table, Form DEQ 50-25. For example, the base fee rate for  an incinerator that reported 501,230 tons of waste incinerated for the previous  year is $5,000 for a facility incinerating 100,001 or more tons of waste, as  provided in Table 4.1 of 9VAC20-90-130. Incinerator fees vary with the tonnage  of waste that the facility incinerated.
    c. Tonnage used to determine the base fee rate shall be  rounded to the nearest full ton of waste. 
    3. Values for B (base fee rate) for other facilities are  based only on the facility type. For example, the base fee rate in Table 4.1 of  9VAC20-90-130 for a composting facility is $500. 
    4. Calculation of the 2010 annual fee (F) for the  composting facility discussed in subdivision B 3 of this subsection is provided  as an example: 
    CPI = 215.15 (the average of CPI values from May 1, 2008,  to April 30, 2009, inclusive would be used for the 2010 annual fee  calculation).
    ∆CPI = zero for the 2010 annual fee calculation  (i.e., (CPI - 215.15)/215.15 = (215.15 - 215.15)/215.15 = 0). (Note: ∆CPI  for other years would not be zero.)
    C = 1.0 for the 2010 annual fee calculation (i.e., 1 +  ∆ CPI = 1 + 0 = 1.0).
    B = $500 (i.e., the value of the base fee rate for the  example composting facility in subdivision 3 of this subsection).
    A = 1.79 (i.e., 1 + (P/100) = 1 + (79/100) = 1.79). 
    F = $895 for the 2010 annual fee calculation for this  example composting facility (i.e., B x A x C = $500 x 1.79 x 1.0 = $895).
    B. Fee calculation. Annual fees shall be the fee rate set  forth in subsection A of this section adjusted annually by the change in the  Consumer Price Index. The Consumer Price Index is the Consumer Price Index for  all-urban consumers for the 12-month period ending on April 30 of the calendar  year preceding the year the annual fee is due.  The Consumer Price Index  for all-urban consumers is published by the U.S. Department of Labor, Bureau of  Labor Statistics, U.S. All items, CUUR0000SA0.
    C. Weight/volume conversions. For facilities required to pay  annual fees based on the tonnage of the waste landfilled or incinerated,  the annual fee shall be based on the accurate weight of waste. If scales are  unavailable, the volume of the waste landfilled or incinerated by the  facility must be multiplied by 0.50 tons per cubic yard to determine the weight  of the waste landfilled or incinerated. If the volume of waste is used  to determine the tonnage of waste landfilled or incinerated, accurate  and complete records of the waste received and managed must be maintained in  addition to the calculated weight records described in this part. These records  must be maintained onsite throughout the life of the facility and made  available to the department upon request. 
    D. Emergency. The director may waive or reduce annual fees  assessed during a state of emergency or for waste resulting from an emergency  response action. A facility operator may request a determination if a given  volume of waste landfilled or incinerated in a given calendar year  qualifies for a waived or reduced fee by submitting documentation of the  emergency to the regional office where the facility is located. The request  will provide the name and permit number of the facility, a facility contact,  the nature of the emergency or response action, a description of the waste, and  an accurate accounting of the type and tonnage of waste managed as a result of  the emergency. Requests for a determination by the director must be submitted  by March 31 of the year following the emergency coincident with the solid waste  information assessment report. A separate request shall be provided for each  year if the emergency lasts for multiple years. 
    E. Annual fee discounts for environmental excellence program  participants are set out in 9VAC20-90-117. 
    F. The operator of a facility owned by a private entity and  subject to any fee imposed pursuant to this section shall collect such fee as a  surcharge on any fee schedule established pursuant to law, ordinance, resolution  or contract for solid waste processing or disposal operations at the facility. 
    G. Closure. Facilities that remove all waste materials at the  time of closure and are subject only to closure requirements are subject to  payment of the annual fee if they were operating at any time during the  calendar year. 
    H. Transition from closure to post-closure care.  Landfills entering post-closure care will pay the full annual fee for an  active facility if they were operating, inactive or conducting closure activities  at any time during the calendar year. Landfills in post-closure care for a full  calendar year (January 1 through December 31) will pay the annual fee for  post-closure care provided in Table 4.1 of 9VAC20-90-130. The post-closure care  period will begin on the date provided in 9VAC20-80-250 E 7, 9VAC20-80-260 E 6,  or 9VAC20-80-270 E 6 as applicable. an annual fee as follows:
    1. If the landfill received waste during the previous  calendar year, the annual fee will be based on the amount of waste landfilled for  the preceding year pursuant to the Waste Information Assessment Program  (9VAC20-81-80); or 
    2. If the landfill did not receive waste during the  previous calendar year and began post-closure care during the previous calendar  year as provided in 9VAC20-81-170, the landfill shall be subject to the  post-closure care annual fee.
    I. The total annual sum of annual fees and permit application  fees collected by the board from sanitary landfills and other nonhazardous  solid waste facilities shall not exceed 60% of the direct costs of (i)  processing an application to issue, reissue, amend, or modify permits; and (ii)  performing inspections and enforcement actions necessary to assure compliance  with permits issued for any sanitary landfill and other facility for the  disposal, treatment, or storage of nonhazardous solid waste. The director shall  take whatever action is necessary to ensure that this limit is not exceeded.
    9VAC20-90-130. Base fee rate schedules. 
           |      TABLE 4.1. BASE FEE RATES FOR ANNUAL WASTE MANAGEMENT FACILITY    FEES.      |    
       |      Category of Facility/Activity      |          Base Fee Rate (B)      |    
       |      1. Sanitary landfills, noncaptive industrial landfills, and    construction and demolition landfills are assigned a two part base fee    rate (B) based on their annual tonnage as follows:      |    
       |      Base Tonnage to Maximum Tonnage      |          Base Tonnage Fee Rate      |          Additional Fee Per Ton Over Base Tonnage      |    
       |      Up to 10,000      |          $1,000      |          none      |    
       |      10,001 to 100,000      |          $1,000      |          $0.09      |    
       |      100,001 to 250,000      |          $10,000      |          $0.09      |    
       |      250,001 to 500,000      |          $23,500      |          $0.075      |    
       |      500,001 to 1,000,000      |          $42,250      |          $0.06      |    
       |      1,000,001 to 1,500,000      |          $72,250      |          $0.05      |    
       |      Over 1,500,000      |          $97,250      |          $0.04      |    
       |      Sanitary landfill      |          $0.115 per ton of waste landfilled      |    
       |      Construction, demolition, debris landfill      |          $0.115 per ton of waste landfilled      |    
       |      Noncaptive industrial landfill      |          $0.115 per ton of waste landfilled      |    
       |      2. Incinerators and energy recovery facilities are assigned    a base fee rate based upon their annual tonnage as follows:      |    
       |      Annual Tonnage      |          Base Fee Rate (B)      |    
       |      10,000 or less      |          $2,000      |    
       |      10,001 to 50,000      |          $3,000      |    
       |      50,001 to 100,000      |          $4,000      |    
       |      100,001 or more      |          $5,000      |    
       |      Incinerators      |          $0.055 per ton of waste incinerated      |    
       |      Energy recovery facilities      |          $0.055 per ton of waste incinerated      |    
       |      3. Other types of facilities are assigned a base fee rate as    follows:      |    
       |      Type of Facility/Activity      |          Base Fee Rate (B)      |    
       |      Composting      |          $500 $1,200      |    
       |      Regulated medical waste      |          $1,000 $2,500      |    
       |      Materials recovery      |          $2,000 $4,500      |    
       |      Transfer station      |          $2,000 $5,500      |    
       |      Facilities in post-closure care      |          $500 $1,000      |    
       |      4. Active captive industrial landfills are assigned a    base fee rate as follows:      |    
       |      Type of Facility/Activity      |          Base Fee Rate      |    
       |      Small landfills (landfilling less than 100,000 tons per    year)      |          $2,500      |    
       |      Large landfills (landfilling 100,000 tons or more per    year)      |          $7,500      |    
  
        NOTICE: The following  form used in administering the regulation was filed by the agency and is  published following the listing. Online users of this issue of the Virginia  Register of Regulations may click on the name to access the form. The form is  also available through the agency contact or at the Office of the Registrar of  Regulations, General Assembly Building, 2nd Floor, Richmond, Virginia 23219.
         FORMS (9VAC20-90)
    Solid  Waste Information and Assessment Program - Reporting Table, DEQ Form 50-25  (rev. 10/10).
     
     
     
     
     
     
     
     
     
     
         
          
    VA.R. Doc. No. R11-2766; Filed June 8, 2011, 12:55 p.m. 
TITLE 9. ENVIRONMENT
VIRGINIA WASTE MANAGEMENT BOARD
Final Regulation
        REGISTRAR'S NOTICE: The  Virginia Waste Management Board is claiming an exemption from the  Administrative Process Act in accordance with § 2.2-4006 A 3,  which excludes regulations that consist only of changes in style or form or  corrections of technical errors. The Virginia Waste Management Board will  receive, consider, and respond to petitions by any interested person at any  time with respect to reconsideration or revision.
         Titles of Regulations: 9VAC20-60. Virginia Hazardous  Waste Management Regulations (amending 9VAC20-60-261).
    9VAC20-70. Financial Assurance Regulations for Solid Waste  Disposal, Transfer and Treatment Facilities (amending 9VAC20-70-10, 9VAC20-70-50,  9VAC20-70-70, 9VAC20-70-75, 9VAC20-70-90, 9VAC20-70-113, 9VAC20-70-210,  9VAC20-70-290).
    9VAC20-81. Solid Waste Management Regulations (amending 9VAC20-81-10, 9VAC20-81-35, 9VAC20-81-95,  9VAC20-81-140, 9VAC20-81-160, 9VAC20-81-250, 9VAC20-81-260, 9VAC20-81-300,  9VAC20-81-397, 9VAC20-81-470, 9VAC20-81-485, 9VAC20-81-490, 9VAC20-81-530,  9VAC20-81-600).
    9VAC20-85. Coal Combustion Byproduct Regulations (amending 9VAC20-85-10, 9VAC20-85-40,  9VAC20-85-50, 9VAC20-85-60, 9VAC20-85-90, 9VAC20-85-150, 9VAC20-85-180).
    9VAC20-120. Regulated Medical Waste Management Regulations (amending 9VAC20-120-10, 9VAC20-120-70,  9VAC20-120-100, 9VAC20-120-300, 9VAC20-120-540, 9VAC20-120-810).
    9VAC20-130. Solid Waste Planning and Recycling Regulations (amending 9VAC20-130-10, 9VAC20-130-60,  9VAC20-130-120).
    9VAC20-140. Regulations for the Certification of Recycling  Machinery and Equipment for Tax Exemption Purposes (amending 9VAC20-140-10).
    9VAC20-150. Waste Tire End User Reimbursement Regulation (amending 9VAC20-150-10, 9VAC20-150-20,  9VAC20-150-40).
    9VAC20-160. Voluntary Remediation Regulations (amending 9VAC20-160-10, 9VAC20-160-30).
    9VAC20-170. Transportation of Solid and Medical Wastes on  State Waters (amending 9VAC20-170-30, 9VAC20-170-40). 
    Statutory Authority: §§ 10.1-1232, 10.1-1402, 10.1-1410, 10.1-1411, 10.1-1422.3, 10.1-1422.4, and 58.1-3661 of the Code of  Virginia.
    Effective Date: August 3, 2011. 
    Agency Contact: Debra Miller, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4206, FAX (804) 698-4346, or email  debra.miller@deq.virginia.gov.
    Summary:
    Amendment 7 to the Solid Waste Management Regulations  amended and recodified these regulations creating 9VAC20-81, which became  effective March 16, 2011. This regulatory action makes necessary style and form  changes and technical corrections to that chapter and, as a secondary action,  makes the appropriate citations changes in other waste management regulations. 
    9VAC20-60-261. Adoption of 40 CFR Part 261 by reference. 
    A. Except as otherwise provided, the regulations of the  United States Environmental Protection Agency set forth in 40 CFR Part 261 are  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. Except as otherwise provided, all material definitions, reference  materials and other ancillaries that are a part of 40 CFR Part 261 are also  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. 
    B. In all locations in these regulations where 40 CFR Part  261 is incorporated by reference, the following additions, modifications and  exceptions shall amend the incorporated text for the purpose of its  incorporation into these regulations: 
    1. Any agreements required by 40 CFR 261.4(b)(11)(ii) shall be  sent to the United States Environmental Protection Agency at the address shown  and to the Department of Environmental Quality, P.O. Box 1105, Richmond,  Virginia 23218. 
    2. In 40 CFR 261.4(e)(3)(iii), the text "in the Region  where the sample is collected" shall be deleted. 
    3. In 40 CFR 261.4(f)(1), the term "Regional  Administrator" shall mean the regional administrator of Region III of the  United States Environmental Protection Agency or his designee. 
    4. In 40 CFR 261.6(a)(2), recyclable materials shall be  subject to the requirements of 9VAC20-60-270 and Part XII (9VAC20-60-1260 et  seq.) of this chapter. 
    5. No hazardous waste from a conditionally exempt small  quantity generator shall be managed as described in 40 CFR 261.5(g)(3)(iv) or  40 CFR 261.5(g)(3)(v) unless such waste management is in full compliance with  all requirements of the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    6. In 40 CFR 261.9 and wherever elsewhere in Title 40 of the  Code of Federal Regulations there is a listing of universal wastes or a listing  of hazardous wastes that are the subject of provisions set out in 40 CFR Part  273 as universal wastes, it shall be amended by addition of the following  sentence: "In addition to the hazardous wastes listed herein, the term  "universal waste" and all lists of universal waste or waste subject  to provisions of 40 CFR Part 273 shall include those hazardous wastes listed in  Part XVI (9VAC20-60-1495 et seq.) of the Virginia Hazardous Waste Management  Regulations as universal wastes, under such terms and requirements as shall  therein be ascribed." 
    7. In Subparts B and D of 40 CFR Part 261, the term  "Administrator" shall mean the administrator of the United States  Environmental Protection Agency, and the term "Director" shall not  supplant "Administrator" throughout Subparts B and D. 
    8. Regardless of the provisions of 9VAC20-60-18, the revisions  to 40 CFR Part 261 as promulgated by U.S. EPA on October 30, 2008, (73 FR 64757  - 64788) (definition of solid waste rule) are not adopted herein.
    Part I 
  Definitions 
    9VAC20-70-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings, unless the context clearly indicates otherwise: 
    "Abandoned facility" means any inactive solid waste  management facility that has not met closure and post-closure care  requirements. 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at the completion  of closure activities required by 9VAC20-80-10 et seq the Solid Waste  Management Regulations (9VAC20-81). Active life does not include the  post-closure care monitoring period. 
    "Anniversary date" means the date of issuance of a  financial mechanism. 
    "Assets" means all existing and all probable future  economic benefits obtained or controlled by a particular entity. 
    "Authority" means an authority created under the  provisions of the Virginia Water and Waste Authorities Act, Chapter 51 (§ 15.2-5100  et seq.) of Title 15.2 of the Code of Virginia, or, if any such authority shall  be abolished, the board, body, or commission succeeding to the principal  functions thereof or to whom the powers given by the Virginia Water and Waste  Authorities Act to such authority shall be given by law. 
    "Board" means the Virginia Waste Management Board. 
    "Cash plus marketable securities" means all the  cash plus marketable securities held on the last day of a fiscal year,  excluding cash and marketable securities designed to satisfy past obligations  such as pensions. 
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of 9VAC20-80-10  et seq., 9VAC20-101-10 et seq., 9VAC20-120-10 et seq., or 9VAC20-170-10 et seq.  the Solid Waste Management Regulations (9VAC20-81), the Regulated Medical  Waste Management Regulations (9VAC20-120), or the Transportation of Solid and  Medical Wastes on State Waters Regulations (9VAC20-170). A closed facility  may be undergoing post-closure care. 
    "Closure" means the act of securing a solid waste  management facility pursuant to the requirements of this chapter and any other  applicable solid waste management standards. 
    "Commercial transporter" means any person who  transports for the purpose of commercial carriage of solid wastes or regulated  medical wastes as cargo. 
    "Corrective action" means all actions necessary to  mitigate the public health or environmental threat from a release to the  environment of solid waste or constituents of solid waste from an operating,  abandoned, or closed solid waste management facility and to restore the  environmental conditions as required. 
    "Current annual inflation factor" means the annual  inflation factor derived from the most recent Implicit Price Deflator for Gross  National Product published by the U.S. Department of Commerce in its Survey of  Current Business. 
    "Current assets" means cash or other assets or  resources commonly identified as those which are reasonably expected to be  realized in cash or sold or consumed during the normal operating cycle of the  business. 
    "Current closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-111. 
    "Current dollars" means the figure represented by  the total of the cost estimate multiplied by the current annual inflation  factor. 
    "Current liabilities" means obligations whose  liquidation is reasonably expected to require the use of existing resources  properly classifiable as current assets or the creation of other current  liabilities. 
    "Current post-closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-112. 
    "Current year expenses for closure" means  expenditures documented by the facility during the previous fiscal year for  construction-related activities associated with closing the facility. Expenses  for closure must be detailed and identified in an approved closure plan. 
    "Debt service" means the amount of principal and  interest due on a loan in a given time period, typically the current year. 
    "Deficit" means total annual revenues less total  annual expenditures. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent thereof may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means any solid waste management facility  unless the context clearly indicates otherwise. The term "facility"  includes transfer stations. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Governmental unit" means any department,  institution or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.  
    "Groundwater" means any water, except capillary  moisture or unsaturated zone moisture, beneath the land surface in the zone of  saturation or beneath the bed of any stream, lake, reservoir or other body of  surface water within the boundaries of this Commonwealth, whatever may be the  subsurface geologic structure in which such water stands, flows, percolates or  otherwise occurs. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60). 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill as defined by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Leachate" means a liquid that has passed through  or emerged from solid waste and that contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation for disposal in an off-site facility is regulated as septage,  and leachate discharged into a wastewater collection system is regulated as  industrial wastewater. 
    "Liabilities" means probable future sacrifices of  economic benefits arising from present obligations to transfer assets or  provide services to other entities in the future as a result of past  transactions or events. 
    "Local government" means a county, city or town or  any authority, commission, or district created by one or more counties, cities  or towns. 
    "Net working capital" means current assets minus  current liabilities. 
    "Net worth" means total assets minus total  liabilities and is equivalent to owner's equity. 
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means a person who owns a solid waste  management facility or part of a solid waste management facility. For the  purposes of this chapter, all individuals, corporations, companies, partnerships,  societies or associations, and any federal agency or governmental unit of the  Commonwealth having any title or interest in any solid waste management  facility or the services or facilities to be rendered thereby shall be  considered an owner. 
    "Parent corporation" means a corporation that  directly owns at least 50% of the voting stock of the corporation that is the  facility owner or operator; the latter corporation is deemed a  "subsidiary" of the parent corporation. 
    "Permit" means the written permission of the  director to own, operate, modify, or construct a solid waste management  facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Post-closure care" means the requirements placed  upon an owner or operator of a solid waste disposal facility after closure to  ensure environmental and public health and safety are protected for a specified  number of years after closure. 
    "Receiving facility" means a facility, vessel or  operation that receives solid wastes or regulated medical wastes transported,  loaded or unloaded upon the navigable waters of the Commonwealth, to the extent  allowable under state law, by a commercial transporter. A receiving facility is  considered as a solid waste management facility. A facility that receives solid  waste from a ship, barge or other vessel and is regulated under § 10.1-1454.1  of the Code of Virginia shall be considered a transfer facility for purposes of  this chapter. 
    "Regulated medical waste" means solid waste so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120) as promulgated by the Virginia Waste  Management Board. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of solid waste which is so located, designed,  constructed and operated to contain and isolate the solid waste so that it does  not pose a substantial present or potential hazard to human health or the  environment. 
    "Signature" means the name of a person written with  his own hand. 
    "Site" means all land and structures, other  appurtenances, and improvements thereon used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the property  boundary used for utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Virginia Waste Management Act and the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility (SWMF)" means a  site used for planned treating, storing, or disposing of solid waste. A  facility may consist of several treatment, storage, or disposal units. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Substantial business relationship" means the  extent of a business relationship necessary under applicable Virginia law to  make a guarantee contract incident to that relationship valid and enforceable.  A "substantial business relationship" shall arise from a pattern of recent  and on-going business transactions, in addition to the guarantee itself, such  that a currently existing business relationship between the guarantor and the  owner or operator is demonstrated to the satisfaction of the director. 
    "Tangible net worth" means the tangible assets that  remain after deducting liabilities; such assets would not include intangibles  such as goodwill and rights to patents or royalties. 
    "Total expenditures" means all expenditures  excluding capital outlays and debt repayment. 
    "Total revenue" means revenue from all taxes and  fees but does not include the proceeds from borrowing or asset sales, excluding  revenue from funds managed on behalf of a specific third party. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Treatment" means any method, technique, or  process, including incineration or neutralization, designed to change the  physical, chemical, or biological character or composition of any waste to  neutralize it or render it less hazardous or nonhazardous, safer for transport,  or more amenable to use, reuse, reclamation or recovery. 
    "Unit" means a discrete area of land used for the  management of solid waste. 
    9VAC20-70-50. Applicability of chapter. 
    A. This chapter applies to all persons who own, operate, or  allow the following permitted or unpermitted facilities to be operated on their  property: 
    1. Solid waste treatment, transfer and disposal facilities  regulated under the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81);
    2. Facilities Vegetative waste management facilities  regulated under the Vegetative Waste Management and Yard Waste Composting  Regulations (9VAC20-101-10 et seq.) Solid Waste Management Regulations  (9VAC20-81);
    3. Medical waste treatment, transfer or disposal facilities  regulated under the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120); or 
    4. Receiving facilities as defined herein.
    B. Exemptions. 
    1. Owners or operators of facilities who are federal or state  government entities whose debts and liabilities are the debts or liabilities of  the United States or the Commonwealth, are exempt from this chapter; 
    2. Owners and operators of facilities conditionally exempt  under 9VAC20-80-60 D 9VAC20-81-95 of the Virginia Solid  Waste Management Regulations are exempt from this chapter so long as they meet  the conditions of the exemption; 
    3. Owners and operators of facilities that manage solely  wastes excluded under 9VAC20-80-150 or conditionally exempt under 9VAC20-80-160  9VAC20-81-95 of the Virginia Solid Waste Management Regulations  are exempt from this chapter; 
    4. Owners or operators of facilities exempt under  9VAC20-120-120 or excluded under 9VAC20-120-130 of the Virginia  Regulated Medical Waste Management Regulations (9VAC20-120-10 et seq.) (9VAC20-120)  are exempt from this chapter; 
    5. Owners and operators of yard waste composting facilities  exempt under 9VAC20-101-60 and 9VAC20-101-70 of the Vegetative Waste  Management and Yard Waste Composting Regulations 9VAC20-81-95 of the  Solid Waste Management Regulations are exempt from this chapter; and 
    6. Owners and operators of hazardous waste management units  regulated under the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60) are exempt from this chapter as far as such  units are concerned. 
    C. Owners and operators of facilities or units that treat or  dispose of wastes which are exempted from the Virginia Hazardous Waste  Management Regulations (9VAC20-60-12 et seq.) (9VAC20-60) are  subject to these regulations unless also exempted herein. 
    D. Facilities with separate ownership and operation. If  separate, nonexempt persons own and operate a facility subject to this chapter,  the owner and operator shall be jointly and severally liable for meeting the  requirements of this chapter. If either the owner or operator is exempt, as  provided in 9VAC20-70-50 B, then the other person shall be liable for meeting  the requirements of this chapter. If both the owner and the operator are  exempt, as provided in 9VAC20-70-50 B, then the requirements of this chapter  are not applicable to that facility. 
    E. Exemptions for facilities owned and operated by local  governments. 
    1. Closed facilities. Owners and operators of facilities who  are local governmental entities or regional authorities that have completed  closure by October 9, 1994, are exempt from all the requirements of this  chapter, provided they: 
    a. Have (i) disposed of less than 100 tons per day of solid  waste during a representative period prior to October 9, 1993; (ii) disposed of  less than 100 tons per day of solid waste each month between October 9, 1993,  and April 9, 1994; (iii) ceased to accept solid waste prior to April 9, 1994;  and (iv) whose units are not on the National Priority List as found in Appendix  B to 40 CFR Part 300; or 
    b. Have (i) disposed of more than 100 tons per day of solid  waste prior to October 9, 1993, and (ii) ceased to accept solid waste prior to  that date. 
    2. All other facilities. Owners and operators of facilities  who are local governmental entities or regional authorities that are not exempt  under subdivision 1 of this subsection are subject to the requirements of this  chapter. 
    9VAC20-70-70. Suspensions and revocations. 
    The director may revoke, suspend, or amend any permit for  cause as set in § 10.1-1409 of the Code of Virginia and as provided for in  9VAC20-80-600 9VAC20-81-570 and 9VAC20-80-620 9VAC20-81-600  of the Virginia Solid Waste Management Regulations, 9VAC20-120-790 and  9VAC20-120-810 of the Regulated Medical Waste Management Regulations, 9VAC20-101-200  of the Vegetative Waste Management and Yard Waste Composting Regulations,  and any other applicable regulations. Failure to provide or maintain adequate  financial assurance in accordance with these regulations shall be a basis for  revocation of such facility permit. Failure to provide or maintain adequate  financial assurance in accordance with this chapter, taken with other relevant  facts and circumstances, may be a basis for summary suspension of such facility  permit pending a hearing to amend or revoke the permit, or to issue any other appropriate  order. 
    9VAC20-70-75. Forfeitures. 
    Forfeiture of any financial obligation imposed pursuant to  this chapter shall not relieve any owner or operator of a solid waste  management facility from any obligations to comply with provisions of the Solid  Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  or the Regulated Medical Waste Management Regulations (9VAC20-120-10 et  seq.), the Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.) (9VAC20-120), and any other applicable  regulations or any other legal obligations for the consequences of abandonment  of any facility. 
    Article 2 
  Closure, Post-Closure Care and Corrective Action Requirements 
    9VAC20-70-90. Closure, post-closure care and corrective action  requirements. 
    A. The owner or operator shall close his facility in a manner  that minimizes the need for further maintenance; and controls, minimizes or  eliminates, to the extent necessary to protect human health and the  environment, the post-closure escape of uncontrolled leachate, surface runoff,  or waste decomposition products to the groundwater, surface water, or to the  atmosphere. The owner or operator shall close his facility in accordance with  all applicable regulations. 
    The closure standards applicable to the solid waste  management facilities are described in 9VAC20-80-210 B, 9VAC20-80-210 B 2,  9VAC20-80-250 E, 9VAC20-80-260 E, 9VAC20-80-270 E, 9VAC20-80-330 E,  9VAC20-80-340 E, 9VAC20-80-360 E, 9VAC20-80-370 E, 9VAC20-80-380 B, and  9VAC20-80-470 E 9VAC20-81-160, 9VAC20-81-360, and 9VAC20-81-370 of  the Solid Waste Management Regulations. The closure requirements applicable to  the regulated medical waste facilities are specified in 9VAC20-120-290 of the  Regulated Medical Waste Management Regulations. The closure requirements for  vegetative waste management and yard waste composting facilities are specified  in 9VAC20-101-150 of the Vegetative Waste Management and Yard Waste Composting  Regulations. 
    B. Following closure of each solid waste disposal unit, the  owner or operator shall conduct post-closure care in accordance with the  requirements of 9VAC20-80-250 F, 9VAC20-80-260 F, or 9VAC20-80-270 F 9VAC20-81-170  of the Solid Waste Management Regulations, as applicable. 
    C. The owner or operator shall institute a corrective action  program when required to do so by 9VAC20-80-190, 9VAC20-80-210 B 2, or  9VAC20-80-310 9VAC20-81-45 or 9VAC20-81-260 of the Solid Waste  Management Regulations, as applicable. 
    D. During any re-examination of a determination of the amount  of financial assurance required, the owner or operator of a landfill facility  not closed in accordance with 9VAC20-80-10 et seq. 9VAC20-81  shall demonstrate financial assurance by using one or more of the approved  mechanisms listed in Article 4 (9VAC20-70-140 et seq.) of this part for the  lesser of the following: 
    1. The amount requested by the director; or 
    2. The following default amounts: 
    a. $200,000 per acre of fill for sanitary landfills; or 
    b. $150,000 per acre of fill for construction demolition  debris landfills and industrial landfills. 
    9VAC20-70-113. Financial assurance for corrective action. 
    A. Within 120 days of a facility's finding or the director's  determining (whichever first occurs) that Groundwater Protection Standards  established as required by 9VAC20-80-250 D 6, or Appendix 5.6 D of  9VAC20-80-10 et seq. as applicable 9VAC20-81-250 have been  statistically exceeded, an owner or operator of a landfill or other unit  subject to groundwater monitoring shall provide additional financial assurance  in the amount of $1 million to the department using the mechanisms listed under  Article 4 (9VAC20-70-140 et seq.) of this part. The director shall release the  owner or operator from this requirement after the director has determined: 
    1. The owner or operator is providing financial assurance for  a corrective action program using one or more mechanisms listed under Article 4  (9VAC20-70-140 et seq.) of this part, as required under 9VAC20-70-90 C and  subsections B and C of this section; or 
    2. The owner of operator has achieved compliance with  Groundwater Protection Standards by demonstrating that concentrations of APPENDIX  5.1 constituents of 9VAC20-80-10 et seq. Table 3.1, Column B of  9VAC20-81-250 have not exceeded the Groundwater Protection Standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards. 
    B. An owner or operator of a solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  prepare and submit to the director a detailed written estimate, in current  dollars, of the cost of hiring a third party to perform the corrective action.  The corrective action cost estimate shall account for the total costs of  corrective action activities as described in the corrective action plan for the  entire corrective action period. The owner or operator shall notify the  director that the estimate has been placed in the operating record unless  corrective action is proceeding under Part IV of the Solid Waste Management  Regulations (9VAC20-80-10 et seq.) 9VAC20-81-45. In the latter case,  the new corrective action cost estimate shall be submitted to the director  within 30 days of its preparation. The corrective action cost estimate shall be  approved by the director. 
    1. The owner or operator shall adjust the estimate annually  for inflation within 60 days prior to the anniversary date of the establishment  of the financial mechanism used to comply with this part until the corrective  action program is completed. For owners or operators using the financial test  or guarantee, the corrective action cost estimate shall be updated for  inflation within 30 days after the close of the owner's or operator's fiscal  year. The adjustment process to be used is described in 9VAC20-70-111 B. 
    2. The owner or operator shall increase the corrective action  cost estimate and the amount of financial assurance provided under this  subsection no later than 30 days after revisions to the corrective action  program or where a change in the solid waste management unit conditions  increase the maximum costs of corrective action. 
    3. The owner or operator may request a reduction in the amount  of the corrective action cost estimate and the amount of financial assurance  provided under this subsection if the cost estimate exceeds the maximum  remaining costs of corrective action. The owner or operator shall submit a  revised cost estimate with the justification for the reduction to the director  when requesting a reduction in the amount of the corrective action cost  estimate and the amount of financial assurance provided. The justification  shall include an itemization of all corrective action costs. No reduction  request shall be reviewed until a complete cost estimate acceptable to the  department has been submitted. A request for a reduction in the corrective  action cost estimate shall be reviewed in a timely manner. 
    C. The owner or operator of each solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  establish financial assurance in the amount specified by the most recently  approved cost estimate for the selected remedy in accordance with  9VAC20-70-140. The owner or operator shall provide continuous coverage for  corrective action until released from financial assurance requirements for  corrective action by the director. 
    9VAC20-70-210. Local government financial test. 
    An owner or operator that satisfies the requirements of  subdivisions 1 through 3 of this section may demonstrate financial assurance  using the local government financial test up to the amount specified in  subdivision 4 of this section. 
    1. Financial component. 
    a. The owner or operator shall satisfy the provisions of  subdivision 1 a of this section, as applicable: 
    (1) If the owner or operator has outstanding, rated, general  obligation bonds that are not secured by insurance, a letter of credit, or  other collateral or guarantee, he shall supply the director with documentation  demonstrating that the owner or operator has a current rating of Aaa, Aa, A, or  Baa, as issued by Moody's, or AAA, AA, A, or BBB, as issued by Standard and  Poor's on all such general obligation bonds; or 
    (2) If the owner or operator does not have outstanding, rated  general obligation bonds, he shall satisfy each of the following financial  ratios based on the owner's or operator's most recent audited annual financial  statement: 
    (a) A ratio of cash plus marketable securities to total  expenditures greater than or equal to 0.05; and 
    (b) A ratio of annual debt service to total expenditures less  than or equal to 0.20. 
    b. The owner or operator shall prepare his financial  statements in conformity with Generally Accepted Accounting Principles for  governments and have its financial statements audited by an independent  certified public accountant or by the Auditor of Public Accounts. 
    c. An owner or operator is not eligible to assure its  obligations under this section if he: 
    (1) Is currently in default on any outstanding general  obligation bonds; 
    (2) Has any outstanding general obligation bonds rated lower  than Baa as issued by Moody's or BBB as issued by Standard and Poor's; 
    (3) Operated at a deficit equal to 5.0% or more of total  annual revenue in each of the past two fiscal years; or 
    (4) Receives an adverse opinion, disclaimer of opinion, or  other qualified opinion from the independent certified public accountant or  Auditor of Public Accounts auditing its financial statement as required under  subdivision 1 b of this section. However, the director may evaluate qualified  opinions on a case-by-case basis and allow use of the financial test in cases  where the director deems the qualification insufficient to warrant disallowance  of the test. 
    2. Public notice component. The local government owner or  operator shall place a reference to the closure, post-closure care, or  corrective action costs assured through the financial test into the next  comprehensive annual financial report (CAFR) after January 7, 1998, or prior to  the initial receipt of waste at the facility, whichever is later. Disclosure  shall include the nature and source of closure and post-closure requirements,  the reported liability at the balance sheet date, the estimated total closure  and post-closure care cost remaining to be recognized, the percentage of  landfill capacity used to date, and the estimated landfill life in years. A  reference to corrective action cost shall be placed in CAFR no later than 120  days after the corrective action remedy has been selected in accordance with 9VAC20-80-310  9VAC20-81-260. For the first year the financial test is used to assure  costs at a particular facility, the reference may instead be placed in the  operating record until issuance of the next available CAFR if timing does not  permit the reference to be incorporated into the most recently issued CAFR or  budget. For closure and post-closure care costs, conformance with Government  Accounting Standards Board Statement 18 assures compliance with this public  notice component. 
    3. Recordkeeping and reporting requirements. 
    a. The local government owner or operator must submit to the  department the following items and place copies of the items in the facility's  operating record: 
    (1) An original letter signed by the local government's chief  financial officer worded as specified in 9VAC20-70-290 G; 
    (2) The local government's independently audited year-end  financial statements for the latest fiscal year, including the unqualified  opinion of the auditor who must be an independent, certified public accountant  or an appropriate state agency that conducts equivalent comprehensive audits; 
    (3) A report to the local government from the local  government's independent certified public accountant (CPA) or the Auditor of  Public Accounts based on performing an agreed upon procedures engagement  relative to the financial ratios required by subdivision 1 a (3) of this  section, if applicable, and the requirements of subdivisions 1 b, 1 c (3) and 1  c (4) of this section. The CPA or state agency's report shall state the  procedures performed and the CPA or state agency's findings; 
    (4) A copy of the comprehensive annual financial report (CAFR)  used to comply with subdivision 2 of this section or certification that the  requirements of General Accounting Standards Board Statement 18 have been met; 
    (5) A certification from the local government's chief  executive officer stating in detail the method selected by the local government  for funding closure and post-closure costs. If the method selected by the local  government is a trust fund, escrow account or similar mechanism, there shall be  included a certification from the local government's chief financial officer  indicating the current reserve obligated to closure and post-closure care cost.  If the method selected by local governments is the use of annual operating  budget and Capital Investment Funds, there shall be a certification from the  local government's chief financial officer so indicating. Nothing herein shall  be construed to prohibit the local government from revising its plan for  funding closure and post-closure care costs if such revision provides economic  benefit to the local government and if such revision provides adequate means  for funding closure and post-closure care cost. This certification shall be  worded as specified in 9VAC20-70-290 H; and 
    (6) If the local government is required under this section to  fund a restricted sinking fund, escrow account, or to obtain an irrevocable  letter of credit, an original letter signed by the local government's chief  financial officer and worded as specified in 9VAC20-70-290 I must be submitted.  
    b. The items required in subdivision 3 a of this section shall  be submitted to the department and placed in the facility operating record as  follows: 
    (1) In the case of closure and post-closure care, either  before January 7, 1998, or prior to the initial receipt of waste at the  facility, whichever is later; or 
    (2) In the case of corrective action, not later than 120 days  after the corrective action remedy is selected in accordance with the  requirements of 9VAC20-80-310 9VAC20-81-260. 
    c. After the initial submission of the items, the local  government owner or operator must update the information, place a copy of the  updated information in the operating record, and submit the updated  documentation described in subdivisions 3 a (1) through (6) of this section to  the department within 180 days following the close of the owner or operator's  fiscal year. 
    d. The local government owner or operator is no longer  required to meet the requirements of subdivision 3 of this section when: 
    (1) The owner or operator substitutes alternate financial  assurance as specified in this section; or 
    (2) The owner or operator is released from the requirements of  this section in accordance with 9VAC20-70-111 E, 9VAC20-70-112 B, or  9VAC20-70-113 C. 
    e. A local government shall satisfy the requirements of the  financial test at the close of each fiscal year. If the local government owner  or operator no longer meets the requirements of the local government financial  test it must, within 210 days following the close of the owner or operator's  fiscal year, obtain alternative financial assurance that meets the requirements  of this section, place a copy of the financial assurance mechanism in the  operating record, and submit the original financial assurance mechanism to the  director. 
    f. The director, based on a reasonable belief that the local  government owner or operator may no longer meet the requirements of the local  government financial test, may require additional reports of financial  condition from the local government at any time. If the director finds, on the  basis of such reports or other information, that the owner or operator no  longer meets the requirements of the local government financial test, the local  government shall provide alternate financial assurance in accordance with this  article. 
    4. Calculation of costs to be assured. The portion of the  closure, post-closure, and corrective action costs for which an owner or  operator can assure under subdivision 1 of this section is determined as  follows: 
    a. If the local government owner or operator does not assure  other environmental obligations through a financial test, it may assure  closure, post-closure, and corrective action costs that equal up to 43% of the  local government's total annual revenue or the sum of total revenues of  constituent governments in the case of regional authorities. If the local  government assures closure, post-closure, and corrective action costs that  exceed 20% (but do not exceed 43%) of the local government's total annual  revenue or the sum of the revenue of constituent governments in the case of  regional authorities, the locality must also establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    b. If the local government assures other environmental obligations  through a financial test, including those associated with UIC facilities under  40 CFR 144.62, petroleum underground storage tank facilities under  9VAC25-590-10 et seq., PCB storage facilities under 40 CFR Part 761, and  hazardous waste treatment, storage, and disposal facilities under Part IX or X  of the Virginia Hazardous Waste Management Regulations (9VAC20-60-12 et  seq.) (9VAC20-60), it shall add those costs to the closure,  post-closure, and corrective action costs it seeks to assure under subdivision  1 of this section. The total shall not exceed 43% of the local government's  total annual revenue. If the local government's total environmental liabilities  assured through financial tests exceed 20% (but do not exceed 43%) of the local  government's total annual revenue or the sum of the revenue of constituent  governments in the case of regional authorities, the locality must also  establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    c. The owner or operator shall obtain an alternate financial  assurance mechanism for those costs that exceed the limits set in subdivisions  4 a and 4 b of this section. 
    9VAC20-70-290. Wording of financial mechanisms. 
    A. Wording of trust agreements. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    TRUST AGREEMENT 
    Trust agreement, the "Agreement," entered into as  of (date) by and between (name of the owner or operator), a (State)  (corporation, partnership, association, proprietorship), the  "Grantor," and (name of corporate trustee), a (State corporation)  (national bank), the "Trustee." 
    Whereas, the Virginia Waste Management Board has established  certain regulations applicable to the Grantor, requiring that the owner or operator  of a (solid) (regulated medical) (yard) waste (transfer station) (receiving)  (management) facility must provide assurance that funds will be available when  needed for (closure, post-closure care, or corrective action) of the facility, 
    Whereas, the Grantor has elected to establish a trust to  provide (all or part of) such financial assurance for the facility identified  herein, 
    Whereas, the Grantor, acting through its duly authorized  officers, has selected the Trustee to be the trustee under this agreement, and  the Trustee is willing to act as trustee, 
    Now, therefore, the Grantor and the Trustee agree as follows:  
    Section 1. Definitions. As used in this Agreement: 
    A. The term "fiduciary" means any person who  exercises any power of control, management, or disposition or renders  investment advice for a fee or other compensation, direct or indirect, with  respect to any moneys or other property of this trust fund, or has any  authority or responsibility to do so, or who has any authority or  responsibility in the administration of this trust fund. 
    B. The term "Grantor" means the owner or operator  who enters into this Agreement and any successors or assigns of the Grantor. 
    C. The term "Trustee" means the Trustee who enters  into this Agreement and any successor Trustee. 
    Section 2. Identification of Facility and Cost Estimates.  This Agreement pertains to facility(ies) and cost estimates identified on  attached Schedule A. 
    (NOTE: On Schedule A, for each facility list, as applicable,  the permit number, name, address, and the current closure, post-closure,  corrective action cost estimates, or portions thereof, for which financial  assurance is demonstrated by this Agreement.) 
    Section 3. Establishment of Fund. The Grantor and the Trustee  hereby establish a trust fund, the "Fund," for the benefit of the  Department of Environmental Quality, Commonwealth of Virginia. The Grantor and  the Trustee intend that no third party have access to the Fund except as herein  provided. The Fund is established initially as property consisting of cash or  securities, which are acceptable to the Trustee, described in Schedule B  attached hereto. Such property and any other property subsequently transferred  to the Trustee is referred to as the fund, together with all earnings and  profits thereon, less any payments or distributions made by the Trustee  pursuant to this Agreement. The Fund will be held by the Trustee, IN TRUST, as  hereinafter provided. The Trustee undertakes no responsibility for the amount  or adequacy of, nor any duty to collect from the Grantor, any payments to  discharge any liabilities of the Grantor established by the Commonwealth of  Virginia's Department of Environmental Quality. 
    Section 4. Payment for (Closure, Post-Closure Care, or  Corrective Action). The Trustee will make such payments from the Fund as the  Department of Environmental Quality, Commonwealth of Virginia will direct, in  writing, to provide for the payment of the costs of (closure, post-closure  care, corrective action) of the facility covered by this Agreement. The Trustee  will reimburse the Grantor or other persons as specified by the Department of  Environmental Quality, Commonwealth of Virginia, from the Fund for (closure,  post-closure care, corrective action) expenditures in such amounts as the  Department of Environmental Quality will direct, in writing. In addition, the  Trustee will refund to the Grantor such amounts as the Department of  Environmental Quality specifies in writing. Upon refund, such funds will no  longer constitute part of the Fund as defined herein. 
    Section 5. Payments Comprising the Fund. Payments made to the  Trustee for the fund will consist of cash or securities acceptable to the  Trustee. 
    Section 6. Trustee Management. The Trustee will invest and  reinvest the principal and income of the Fund and keep the Fund invested as a  single fund, without distinction between principal and income, in accordance  with investment guidelines and objectives communicated in writing to the  Trustee from time to time by the Grantor, subject, however, to the provisions  of this Section. In investing, reinvesting, exchanging, selling and managing  the Fund, the Trustee or any other fiduciary will discharge his duties with  respect to the trust fund solely in the interest of the beneficiary and with  the care, skill, prudence, and diligence under the circumstances then  prevailing which persons of prudence, acting in a like capacity and familiar  with such matters, would use in the conduct of any enterprise of a like  character and with like aims; except that: 
    A. Securities or other obligations of the Grantor, or any  other owner or operator of the facility, or any of their affiliates as defined  in the Investment Company Act of 1940, as amended, 15 USC § 80a-2(a), will not  be acquired or held, unless they are securities or other obligations of the  federal or a state government; 
    B. The Trustee is authorized to invest the Fund in time or  demand deposits of the Trustee, to the extent insured by an agency of the  federal or state government; and 
    C. The Trustee is authorized to hold cash awaiting investment  or distribution uninvested for a reasonable time and without liability for the  payment of interest thereon. 
    Section 7. Commingling and Investment. The Trustee is  expressly authorized in its discretion: 
    A. To transfer from time to time any or all of the assets of  the Fund to any common, commingled or collective trust fund created by the  Trustee in which the Fund is eligible to participate subject to all of the  provisions thereof, to be commingled with the assets of other trusts  participating herein. To the extent of the equitable share of the Fund in any  such commingled trust, such commingled trust will be part of the Fund; and 
    B. To purchase shares in any investment company registered  under the Investment Company Act of 1940, 15 USC § 80a-1 et seq., of one which  may be created, managed, underwritten, or to which investment advice is  rendered or the shares of which are sold by the Trustee. The Trustees may vote  such shares in its discretion. 
    Section 8. Express Powers of Trustee. Without in any way  limiting the powers and discretions conferred upon the Trustee by the other  provisions of this Agreement or by law, the Trustee is expressly authorized and  empowered: 
    A. To sell, exchange, convey, transfer or otherwise dispose of  any property held by it, by private contract or at public auction. No person  dealing with the Trustee will be bound to see to the application of the  purchase money or to inquire into the validity or expediency of any such sale  or other dispositions; 
    B. To make, execute, acknowledge and deliver any and all  documents of transfer and conveyance and any and all other instruments that may  be necessary or appropriate to carry out the powers herein granted; 
    C. To register any securities held in the fund in its own name  or in the name of a nominee and to hold any security in bearer form or in book  entry, or to combine certificates representing such securities with  certificates of the same issue held by the Trustee in other fiduciary  capacities, or to deposit or arrange for the deposit of such securities in a  qualified central depository even though, when so deposited, such securities  may be merged and held in bulk in the name of the nominee of such depository  with other securities deposited therein by another person, or to deposit or  arrange for the deposit of any securities issued by the United State  government, or any agency or instrumentality thereof with a Federal Reserve  Bank, but the books and records of the Trustee will at all times show that all  such securities are part of the Fund; 
    D. To deposit any cash in the fund in interest-bearing  accounts maintained or savings certificates issued by the Trustee, in its  separate corporate capacity, or in any other banking institution affiliated  with the Trustee, to the extent insured by an agency of the Federal or State  government; and 
    E. To compromise or otherwise adjust all claims in favor of or  against the Fund. 
    Section 9. Taxes and Expenses. All taxes of any kind that may  be assessed or levied against or in respect of the Fund and all brokerage  commissions incurred by the Fund will be paid from the Fund. All other expenses  incurred by the Trustee in connection with the administration of this Trust,  including fees for legal services rendered to the Trustee, the compensation of  the Trustee to the extent not paid directly by the Grantor, and all other  proper charges and disbursements of the Trustee will be paid from the Fund. 
    Section 10. Annual Valuation. The Trustee will annually, at  the end of the month coincident with or preceding the anniversary date of  establishment of the Fund, furnish the Grantor and to the director of the  Department of Environmental Quality, Commonwealth of Virginia, a statement  confirming the value of the Trust. Any securities in the Fund will be valued at  market value as of no more than 30 days prior to the date of the statement. The  failure of the Grantor to object in writing to the Trustee within 90 days after  the statement has been furnished to the Grantor and the director of the  Department of Environmental Quality, Commonwealth of Virginia will constitute a  conclusively binding assent by the Grantor, barring the Grantor from asserting  any claim or liability against the Trustee with respect to matters disclosed in  the statement. 
    Section 11. Advice of Counsel. The Trustee may from time to  time consult with counsel, who may be counsel to the Grantor, with respect to  any question arising as to the construction of this Agreement or any action to  be taken hereunder. The Trustee will be fully protected, to the extent  permitted by law, in acting upon the advice of counsel. 
    Section 12. Trustee Compensation. The Trustee will be  entitled to reasonable compensation for its services as agreed upon in writing  from time to time with the Grantor. 
    Section 13. Successor Trustee. The Trustee may resign or the  Grantor may replace the Trustee, but such resignation or replacement shall not  be effective until the Grantor has appointed a successor trustee and this  successor accepts the appointment. The successor trustee shall have the same  powers and duties as those conferred upon the Trustee hereunder. Upon  acceptance of the appointment by the successor trustee, the Trustee will  assign, transfer and pay over to the successor trustee the funds and properties  then constituting the Fund. If for any reason the grantor cannot or does not  act in the event of the resignation of the Trustee, the Trustee may apply to a  court of competent jurisdiction for the appointment of a successor trustee or  for instructions. The successor trustee and the date on which he assumes  administration of the trust will be specified in writing and sent to the  Grantor, the director of the Department of Environmental Quality, Commonwealth  of Virginia, and the present trustees by certified mail 10 days before such  change becomes effective. Any expenses incurred by the Trustee as a result of  any of the acts contemplated by this section will be paid as provided in Part  IX. 
    Section 14. Instructions to the Trustee. All orders, requests  and instructions by the Grantor to the Trustee will be in writing, signed by  such persons as are designated in the attached Exhibit A or such other  designees as the grantor may designate by amendment to Exhibit A. The Trustee  will be fully protected in acting without inquiry in accordance with the  Grantor's orders, requests and instructions. All orders, requests, and  instructions by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, to the Trustee will be in writing, signed by the  Director and the Trustee will act and will be fully protected in acting in  accordance with such orders, requests and instructions. The Trustee will have  the right to assume, in the absence of written notice to the contrary, that no  event constituting a change or a termination of the authority of any person to  act on behalf of the Grantor or the Commonwealth of Virginia's Department of  Environmental Quality hereunder has occurred. The Trustee will have no duty to  act in the absence of such orders, requests and instructions from the Grantor  and/or the Commonwealth of Virginia's Department of Environmental Quality,  except as provided for herein. 
    Section 15. Notice of Nonpayment. The Trustee will notify the  Grantor and the Director of the Department of Environmental Quality,  Commonwealth of Virginia, by certified mail within 10 days following the  expiration of the 30-day period after the anniversary of the establishment of  the Trust, if no payment is received from the Grantor during that period. After  the pay-in period is completed, the Trustee is not required to send a notice of  nonpayment. 
    Section 16. Amendment of Agreement. This Agreement may be  amended by an instrument in writing executed by the Grantor, the Trustee, and  the Director of the Department of Environmental Quality, Commonwealth of  Virginia, or by the Trustee and the Director of the Department of Environmental  Quality, Commonwealth of Virginia, if the Grantor ceases to exist. 
    Section 17. Irrevocability and Termination. Subject to the  right of the parties to amend this Agreement as provided in Section 16, this  Trust will be irrevocable and will continue until terminated at the written  agreement of the Grantor, the Trustee, and the Director of the Department of  Environmental Quality, Commonwealth of Virginia, or by the Trustee and the  Director if the Grantor ceases to exist. Upon termination of the Trust, all  remaining trust property, less final trust administration expenses, will be  delivered to the Grantor. 
    Section 18. Immunity and Indemnification. The Trustee will  not incur personal liability of any nature in connection with any act or  omission, made in good faith, in the administration of this Trust, or in  carrying out any directions by the Grantor or the Director of the Department of  Environmental Quality, Commonwealth of Virginia, issued in accordance with this  Agreement. The Trustee will be indemnified and saved harmless by the Grantor or  from the Trust Fund, or both, from and against any personal liability to which  the Trustee may be subjected by reason of any act or conduct in its official  capacity, including all expenses reasonably incurred in its defense in the  event the Grantor fails to provide such defense. 
    Section 19. Choice of Law. This Agreement will be  administered, construed and enforced according to the laws of the Commonwealth  of Virginia. 
    Section 20. Interpretation. As used in the Agreement, words  in the singular include the plural and words in the plural include the  singular. The descriptive headings for each section of this Agreement will not  affect the interpretation of the legal efficacy of this Agreement. 
    In witness whereof the parties have caused this Agreement to  be executed by their respective officers duly authorized and their corporate  seals to be hereunto affixed and attested as of the date first above written.  The parties below certify that the wording of this Agreement is identical to  the wording specified in 9VAC20-70-290 A of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer and Treatment Facilities, as such regulations  were constituted on the date shown immediately below. 
           |      (Signature of Grantor)      |                 |    
       |      By: (Title)      |          (Date)      |    
       |      Attest:      |                 |    
       |      (Title)      |          (Date)      |    
       |      (Seal)      |                 |    
       |      (Signature of Trustee)      |                 |    
       |      By      |                 |    
       |      Attest:      |                 |    
       |      (Title)      |                 |    
       |      (Seal)      |          (Date)      |    
  
    Certification of Acknowledgment: 
    COMMONWEALTH OF VIRGINIA 
    STATE OF __________ 
    CITY/COUNTY OF __________ 
    On this date, before me personally came (owner or operator)  to me known, who being by me duly sworn, did depose and say that she/he resides  at (address), that she/he is (title) of (corporation), the corporation  described in and which executed the above instrument; that she/he knows the  seal of said corporation; that the seal affixed to such instrument is such  corporate seal; that it was so affixed by order of the Board of Directors of said  corporation, and that she/he signed her/his name thereto by like order. 
    (Signature of Notary Public) 
    B. Wording of surety bond guaranteeing performance or  payment. 
    (NOTE: instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    PERFORMANCE OR PAYMENT BOND 
    Date bond executed: __________ 
    Effective date: __________ 
    Principal: (legal name and business address) _____________ 
    Type of organization: (insert "individual,"  "joint venture," "partnership," or "corporation")  _____________ 
    State of incorporation: __________ 
    Surety: (name and business address) _____________ 
    Name, address, permit number, if any, and (closure,  post-closure care, or corrective action) cost estimate for the facility:  _____________ 
    Penal sum of bond: $________ 
    Surety's bond number: __________ 
    Know all men by these present, That we, the Principal and  Surety hereto are firmly bound to the Department of Environmental Quality,  Commonwealth of Virginia, (hereinafter called the Department) in the above  penal sum for the payment of which we bind ourselves, our heirs, executors,  administrators, successors and assigns, jointly and severally; provided that,  where the Surety(ies) are corporations acting as co-sureties, we, the Sureties,  bind ourselves in such sum "jointly and severally" only for the  purpose of allowing a joint action or actions against any or all of us, and for  all other purposes each Surety binds itself, jointly and severally with the  Principal, for the payment of each sum only as is set forth opposite the name  of such Surety, but if no limit of liability is indicated, the limit of  liability shall be the full amount of the penal sum. 
    Whereas, said Principal is required to have a permit from the  Department of Environmental Quality, Commonwealth of Virginia, in order to own  or operate the (solid, regulated medical, yard) waste management facility  identified above, and 
    Whereas, said Principal is required to provide financial  assurance for (closure, post-closure care, corrective action) of the facility  as a condition of the permit or an order issued by the department, 
    Now, therefore the conditions of this obligation are such  that if the Principal shall faithfully perform (closure, post-closure care,  corrective action), whenever required to do so, of the facility identified  above in accordance with the order or the (closure, post-closure care,  corrective action) plan submitted to receive said permit and other requirements  of said permit as such plan and permit may be amended or renewed pursuant to  all applicable laws, statutes, rules, and regulations, as such laws, statutes,  rules, and regulations may be amended, 
    Or, if the Principal shall faithfully perform (closure,  post-closure care, corrective action) following an order to begin (closure,  post-closure care, corrective action) issued by the Commonwealth of Virginia's  Department of Environmental Quality or by a court, or following a notice of  termination of the permit, 
    Or, if the Principal shall provide alternate financial assurance  as specified in the Department's regulations and obtain the director's written  approval of such assurance, within 90 days of the date notice of cancellation  is received by the Director of the Department of Environmental Quality from the  Surety, then this obligation will be null and void, otherwise it is to remain  in full force and effect for the life of the management facility identified  above. 
    The Surety shall become liable on this bond obligation only  when the Principal has failed to fulfill the conditions described above. Upon  notification by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, that the Principal has been found in violation of the  requirements of the Department's regulations, the Surety must either perform  (closure, post-closure care, corrective action) in accordance with the approved  plan and other permit requirements or forfeit the (closure, post-closure care,  corrective action) amount guaranteed for the facility to the Commonwealth of  Virginia. 
    Upon notification by the Director of the Department of  Environmental Quality, Commonwealth of Virginia, that the Principal has been  found in violation of an order to begin (closure, post-closure care, corrective  action), the Surety must either perform (closure, post-closure care, corrective  action) in accordance with the order or forfeit the amount of the (closure,  post-closure care, corrective action) guaranteed for the facility to the  Commonwealth of Virginia. 
    The Surety hereby waives notification of amendments to the  (closure, post-closure care, corrective action) plans, orders, permit,  applicable laws, statutes, rules, and regulations and agrees that such  amendments shall in no way alleviate its obligation on this bond. 
    For purposes of this bond, (closure, post-closure care,  corrective action) shall be deemed to have been completed when the Director of  the Department of Environmental Quality, Commonwealth of Virginia, determines  that the conditions of the approved plan have been met. 
    The liability of the Surety shall not be discharged by any  payment or succession of payments hereunder, unless and until such payment or  payments shall amount in the aggregate to the penal sum of the bond, but the  obligation of the Surety hereunder shall not exceed the amount of said penal  sum unless the Director of the Department of Environmental Quality,  Commonwealth of Virginia, should prevail in an action to enforce the terms of  this bond. In this event, the Surety shall pay, in addition to the penal sum  due under the terms of the bond, all interest accrued from the date the  Director of the Department of Environmental Quality, Commonwealth of Virginia,  first ordered the Surety to perform. The accrued interest shall be calculated  at the judgment rate of interest pursuant to § 6.1-330.54 6.2-302  of the Code of Virginia. 
    The Surety may cancel the bond by sending written notice of  cancellation to the owner or operator and to the Director of the Department of  Environmental Quality, Commonwealth of Virginia, provided, however, that cancellation  cannot occur (1) during the 120 days beginning on the date of receipt of the  notice of cancellation by the director as shown on the signed return receipt;  or (2) while an enforcement action is pending. 
    The Principal may terminate this bond by sending written  notice to the Surety, provided, however, that no such notice shall become  effective until the Surety receives written authorization for termination of  the bond by the Director of the Department of Environmental Quality,  Commonwealth of Virginia. 
    In witness whereof, the Principal and Surety have executed  this Performance Bond and have affixed their seals on the date set forth above.  
    The persons whose signatures appear below hereby certify that  they are authorized to execute this surety bond on behalf of the Principal and  Surety and I hereby certify that the wording of this surety bond is identical  to the wording specified in 9VAC20-70-290 B of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    Principal 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Surety 
    Name and Address: __________ 
    State of Incorporation: __________ 
    Liability Limit: $___ 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Seal: 
    C. Wording of irrevocable standby letter of credit. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    IRREVOCABLE STANDBY LETTER OF CREDIT 
    Director 
    Department of Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia 23240-0009 
    Dear (Sir or Madam): 
    We hereby establish our Irrevocable Letter of Credit No......  in your favor at the request and for the account of (owner's or operator's name  and address) up to the aggregate amount of (in words) U.S. dollars $____,  available upon presentation of 
    1. Your sight draft, bearing reference to this letter of  credit No ____ together with 
    2. Your signed statement declaring that the amount of the  draft is payable pursuant to regulations issued under the authority of the  Department of Environmental Quality, Commonwealth of Virginia. 
    The following amounts are included in the amount of this  letter of credit: (Insert the facility permit number, if any, name and address,  and the closure, post-closure care, corrective action cost estimate, or  portions thereof, for which financial assurance is demonstrated by this letter  of credit.) 
    This letter of credit is effective as of (date) and will  expire on (date at least one year later), but such expiration date will be  automatically extended for a period of (at least one year) on (date) and on  each successive expiration date, unless, at least 120 days before the current  expiration date, we notify you and (owner or operator's name) by certified mail  that we decide not to extend the Letter of Credit beyond the current expiration  date. In the event you are so notified, unused portion of the credit will be  available upon presentation of your sight draft for 120 days after the date of  receipt by you as shown on the signed return receipt or while a compliance  procedure is pending, whichever is later. 
    Whenever this letter of credit is drawn on under and in  compliance with the terms of this credit, we will duly honor such draft upon  presentation to us, and we will pay to you the amount of the draft promptly and  directly. 
    I hereby certify that I am authorized to execute this letter  of credit on behalf of (issuing institution) and I hereby certify that the  wording of this letter of credit is identical to the wording specified in  9VAC20-70-290 C of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities as such regulations were  constituted on the date shown immediately below. 
    Attest: 
    (Print name and title of official of issuing institution)  (Date) 
        This credit is subject to (insert "the most recent  edition of the Uniform Customs and Practice for Documentary Credits, published by  the International Chamber of Commerce," of "the Uniform Commercial  Code.") 
    D. Assignment of certificate of deposit account. 
    City _______________________ ____________, 20___ 
    FOR VALUE RECEIVED, the undersigned assigns all right, title  and interest to the Virginia Department of Environmental Quality, Commonwealth  of Virginia, and its successors and assigns the Virginia Department of  Environmental Quality the principal amount of the instrument, including all  monies deposited now or in the future to that instrument, indicated below: 
    ( ) If checked here, this assignment includes all interest  now and hereafter accrued. 
    Certificate of Deposit Account No. _____________________ 
    This assignment is given as security to the Virginia  Department of Environmental Quality in the amount of _______________________  Dollars ($_____________). 
    Continuing Assignment. This assignment shall continue to  remain in effect for all subsequent terms of the automatically renewable  certificate of deposit. 
    Assignment of Document. The undersigned also assigns any  certificate or other document evidencing ownership to the Virginia Department  of Environmental Quality. 
    Additional Security. This assignment shall secure the payment  of any financial obligation of the (name of owner/operator) to the Virginia  Department of Environmental Quality for ("closure" "post closure  care" "corrective action") at the (facility name and permit  number) located (physical address) 
    Application of Funds. The undersigned agrees that all or any  part of the funds of the indicated account or instrument may be applied to the  payment of any and all financial assurance obligations of (name of  owner/operator) to the Virginia Department of Environmental Quality for  ("closure" "post closure care" "corrective  action") at the (facility name and address). The undersigned authorizes  the Virginia Department of Environmental Quality to withdraw any principal  amount on deposit in the indicated account or instrument including any  interest, if indicated, and to apply it in the Virginia Department of  Environmental Quality's discretion to fund ("closure" "post  closure care" "corrective action") at the (facility name) or in  the event of (owner or operator's) failure to comply with the Virginia Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities, 9VAC20-70-10 et seq 9VAC20-70. The undersigned agrees  that the Virginia Department of Environmental Quality may withdraw any  principal and/or interest from the indicated account or instrument without demand  or notice. (The undersigned) agrees to assume any and all loss of penalty due  to federal regulations concerning the early withdrawal of funds. Any partial  withdrawal of principal or interest shall not release this assignment. 
    The party or parties to this Assignment set their hand or  seals, or if corporate, has caused this assignment to be signed in its  corporate name by its duly authorized officers and its seal to be affixed by  authority of its Board of Directors the day and year above written. 
           |             |                 |          SEAL       |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
       |             |                 |          SEAL      |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
  
    THE FOLLOWING SECTION IS TO BE COMPLETED BY THE BRANCH OR  LENDING OFFICE: 
    The signature(s) as shown above compare correctly with the  name(s) as shown on record as owner(s) of the Certificate of Deposit indicated  above. The above assignment has been properly recorded by placing a hold in the  amount of $ _______________________ for the benefit of the Department of  Environmental Quality. 
    ( ) If checked here, the accrued interest on the Certificate  of Deposit indicated above has been maintained to capitalize versus being  mailed by check or transferred to a deposit account. 
           |             |                 |                 |    
       |      (Signature)      |                 |          (Date)      |    
       |             |                 |                 |    
       |      (print name)      |                 |                 |    
       |             |                 |                 |    
       |      (Title)      |                 |                 |    
  
    E. Wording of certificate of insurance. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    CERTIFICATE OF INSURANCE 
    Name and Address of Insurer (herein called the  "Insurer"): 
    _____________ 
    _____________
    Name and Address of Insured (herein called the  "Insured"): 
    _____________ 
    _____________ 
    _____________
    Facilities Covered: (List for each facility: Permit number  (if applicable), name, address and the amount of insurance for closure,  post-closure care, or corrective action. (These amounts for all facilities  covered shall total the face amount shown below.)) 
    Face Amount: $___ 
    Policy Number: __________ 
    Effective Date: __________ 
    The Insurer hereby certifies that it has issued to the  Insured the policy of insurance identified above to provide financial assurance  for (insert "closure," "post-closure care,"  "corrective action") for the facilities identified above. The Insurer  further warrants that such policy conforms in all respects with the requirements  of 9VAC20-70-190 of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities ("Regulations") (9VAC20-70-10  et seq.) (9VAC20-70), as such regulations were constituted on the  date shown immediately below. It is agreed that any provision of the policy  inconsistent with such regulations is hereby amended to eliminate such  inconsistency. 
    Whenever requested by the Director, the Insurer agrees to  furnish to the Director a duplicate original of the policy listed above,  including all endorsements thereon. 
    I hereby certify that the wording of this certificate is  identical to the wording specified in 9VAC20-70-290 E of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Authorized signature for Insurer) 
    (Name of person signing) 
    (Title of person signing) 
    Signature of witness or notary: 
    (Date) 
    F. Wording of letter from chief financial officer. 
    (NOTE: Instructions in  parentheses are to be replaced with the relevant information and the  parentheses removed.) 
    Director 
    Department of  Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia  23240-0009 
    Dear (Sir, Madam): 
    I am the chief financial officer of (name and address of  firm). This letter is in support of this firm's use of the financial test to  demonstrate financial assurance, as specified in 9VAC20-70-200 of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities (9VAC20-70-10 et seq.) (9VAC20-70)  ("Regulations"). 
    (Fill out the following four paragraphs regarding solid  waste, regulated medical waste, yard waste composting, hazardous waste,  underground injection (regulated under the federal program in 40 CFR Part 144,  or its equivalent in other states), petroleum underground storage (9VAC25-590-10  et seq.) (9VAC25-590), above ground storage facilities (9VAC25-640-10  et seq.) (9VAC25-640) and PCB storage (regulated under 40 CFR Part  761) facilities and associated cost estimates. If your firm has no facilities  that belong in a particular paragraph, write "None" in the space  indicated. For each facility, include its name, address, permit number, if any,  and current closure, post-closure care, corrective action or any other  environmental obligation cost estimates. Identify each cost estimate as to  whether it is for closure, post-closure care, corrective action or other  environmental obligation.) 
    1. This firm is the owner or operator of the following  facilities for which financial assurance is demonstrated through the corporate  test specified in 9VAC20-70-200 or its equivalent in other applicable  regulations. The current cost estimates covered by the test are shown for each  facility: 
    2. This firm guarantees, through the corporate guarantee  specified in 9VAC20-70-220, the financial assurance for the following  facilities owned or operated by subsidiaries of this firm. The current cost  estimates so guaranteed are shown for each facility: 
    3. This firm, as owner or operator or guarantor, is  demonstrating financial assurance for the following facilities through the use  of a financial test. The current cost estimates covered by such a test are  shown for each facility: 
    4. This firm is the owner or operator of the following waste  management facilities for which financial assurance is not demonstrated through  the financial test or any other financial assurance mechanism. The current cost  estimates for the facilities which are not covered by such financial assurance  are shown for each facility: 
    This firm (insert "is required" or "is not  required") to file a Form 10K with the Securities and Exchange Commission  (SEC) for the latest fiscal year. 
    The fiscal year of this firm ends on (month, day). The  figures for the following items marked with an asterisk are derived from this  firm's independently audited, year-end financial statements for the latest  completed fiscal year, ended (date). 
           |      1) Sum of current closure, post-closure care, corrective    action or other environmental obligations cost estimates (total of all cost    estimates shown in the four paragraphs above.)       |          $__________      |    
       |      2) Tangible net worth*       |          $__________      |    
       |      3) Total assets located in the United States*       |          $__________      |    
       |             |           YES      |          NO      |    
       |      Line 2 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
       |      Line 3 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
        |      |      |      |    
  
    (Fill in Alternative I if the criteria of 9VAC20-70-200 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-200 1 a (2)  are used. Fill in Alternative III if the criteria of 9VAC20-70-200 1 a (3) are  used.) 
    ALTERNATIVE I 
    Current bond rating of this firm's senior unsubordinated debt  and name of rating service 
    Date of issuance of bond 
    Date of maturity of bond 
           |      ALTERNATIVE II       |    
       |      4) Total liabilities* (if any portion of the closure,    post-closure care, corrective action or other environmental obligations cost    estimates is included in total liabilities, you may deduct the amount of that    portion from this line and add that amount to line 5.)       |          $___________      |    
       |      5) Net worth*       |          $___________      |    
       |      Is line 4 divided by line 5 less than 1.5?      |          YES      |          NO      |    
        |      |      |      |    
  
     
     
                    ALTERNATIVE III       |    
       |      6) Total liabilities*        |          $___________      |    
       |      7) The sum of net income plus depreciation, depletion, and    amortization minus $10 million*      |                 |          $___________      |    
       |      Is line 7 divided by line 6 less than 0.1?      |           YES      |          NO      |                 |    
        |      |      |      |    
  
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 F of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name) 
    (Title) 
    (Date) 
    G. Wording of the local government letter from chief  financial officer. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    LETTER FROM CHIEF FINANCIAL OFFICER 
    I am the chief financial officer of (insert: name and address  of local government owner or operator, or guarantor). This letter is in support  of the use of the financial test to demonstrate financial responsibility for  ("closure care" "post-closure care" "corrective action  costs") arising from operating a solid waste management facility. 
    The following facilities are assured by this financial test:  (List for each facility: the name and address of the facility, the permit  number, the closure, post-closure and/or corrective action costs, whichever  applicable, for each facility covered by this instrument). 
    This owner's or operator's financial statements were prepared  in conformity with Generally Accepted Accounting Principles for governments and  have been audited by ("an independent certified public accountant"  "Auditor of Public Accounts"). The owner or operator has not received  an adverse opinion or a disclaimer of opinion from ("an independent  certified public accountant" "Auditor of Public Accounts") on  its financial statements for the latest completed fiscal year. 
    This owner or operator is not currently in default on any  outstanding general obligation bond. Any outstanding issues of general  obligation, if rated, have a Moody's rating of Aaa, Aa, A, or Baa or a Standard  and Poor's rating of AAA, AA, A or BBB; if rated by both firms, the bonds have  a Moody's rating of Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA,  AA, A, or BBB. 
    The fiscal year of this owner or operator ends on (month,  day). The figures for the following items marked with the asterisk are derived  from this owner's or operator's independently audited, year-end financial  statements for the latest completed fiscal year ended (date). 
    (Please complete Alternative I or Alternative II.) 
    (Fill in Alternative I if the criteria in 9VAC20-70-210 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-210 1 a (2)  are used.) 
    ALTERNATIVE I—BOND RATING TEST 
    The details of the issue date, maturity, outstanding amount,  bond rating, and bond rating agency of all outstanding general obligation bond  issues that are being used by (name of local government owner or operator, or  guarantor) to demonstrate financial responsibility are as follows: (complete  table): 
           |      Issue Date      |          Maturity Date      |          Outstanding Amount      |          Bond Rating      |          Rating Agency      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
  
    Any outstanding issues of general obligation bonds, if rated,  have a Moody's rating of Aaa, Aa, A, or Baa or a Standard and Poor's rating of  AAA, AA, A or BBB; if rated by both firms, the bonds have a Moody's rating of  Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA, AA, A or BBB. 
           |      1) Sum of current closure,    post-closure and corrective action cost estimates (total of all cost    estimates listed above)      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |             |           YES      |          NO      |                 |    
       |      5) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |                 |    
       |      6) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |                 |    
       |      7) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |                 |    
       |      8) Is (line 1 + line 4e) <= (line 3a x 0.20)?      |          ____      |          ____      |                 |    
        |      |      |      |      |      |    
  
    If the answer to line 7 is yes and the answer to line 8 is  no, please attach documentation from the agent/trustee /issuing institution  stating the current balance of the account/fund /irrevocable letter of credit  as of the latest fiscal reporting year to this form as required by  9VAC20-70-210. 
    ALTERNATIVE II—FINANCIAL RATIO  TEST 
           |      1) Sum of current closure, post-closure and corrective    action cost estimates      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |      *5) Cash plus marketable securities      |          $_______________      |    
       |      *6) Total Expenditures      |          $_______________      |    
       |      *7) Annual Debt Service      |          $_______________      |    
       |             |          YES      |          NO      |    
       |      8) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |    
       |      9) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |    
       |      10) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |    
       |      11) Is (line 5 / line 6) >= 0.05?      |          ____      |          ____      |    
       |      12) Is (line 7 / line 6) <= 0.20?      |          ____      |          ____      |    
       |      13) Is (line 1 + line 4e) <= (line 3a x.20)      |          ____      |          ____      |    
  
    If the answer to line 13 is no, please attach documentation  from the agent/trustee/issuing institution stating the current balance of the  account/fund/irrevocable letter of credit as of the latest fiscal reporting  year to this form as required by 9VAC20-70-210. 
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 G of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    H. Certification of funding. 
    CERTIFICATION OF FUNDING 
    I certify the following information details the current plan  for funding closure and post closure at the solid waste management facilities  listed below. 
           |       Facility Permit #       |                 |          Source for funding closure and post closure       |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |      Name of Locality or Corporation:    _______________________________________      |    
       |             |                 |                 |                 |                 |    
       |      Signature      |                 |          Printed Name      |                 |          Date      |    
       |             |                 |                 |                 |                 |    
       |      Title      |                 |                 |                 |                 |    
        |      |      |      |      |      |      |      |    
  
    I. Certification of escrow/sinking fund /irrevocable letter  of credit balance. 
    CERTIFICATION OF ESCROW/SINKING FUND BALANCE OR AMOUNT OF  IRREVOCABLE LETTER OF CREDIT 
    I am the Chief Financial Officer of (name of locality) and  hereby certify that as of (date) the current balance in the restricted sinking  (type of fund) fund or the escrow account or the amount of the irrevocable  letter of credit restricted to landfill closure costs is $_____________ 
    The calculation used to determine the amount required to be  funded is as follows: 
    (Show the values that were used in the following formula: 
    (CE * CD) - E 
    Where CE is the current closure cost estimate, CD is the  percentage of landfill capacity used to date, and E is current year expenses  for closure.) 
    Therefore, this account has been funded or an irrevocable  letter of credit has been obtained in accordance with the Financial Assurance  Regulations for Solid Waste Disposal, Transfer and Treatment Facilities, 9VAC20-70-10  et seq 9VAC20-70. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    J. Wording of corporate guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    CORPORATE GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a business corporation organized under the laws of the state of (insert name of  state), herein referred to as guarantor. This guarantee is made on behalf of  the (owner or operator) of (business address), which is (one of the following:  "our subsidiary"; "a subsidiary of (name and address of common  parent corporation) of which guarantor is a subsidiary"; or "an  entity with which the guarantor has a substantial business relationship, as  defined in Part I of the Virginia Financial Assurance Regulations for Solid  Waste Disposal, Transfer, and Treatment Facilities (9VAC20-70-10 et seq.)  (9VAC20-70)") to the Virginia Department of Environmental Quality  ("Department"), obligee, on behalf of our subsidiary (owner or  operator) of (business address). 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-200 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-220 of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer, and Treatment Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care, corrective  action or other environmental obligations.) 
    3. "Closure plans", "post-closure care  plans" and "corrective action plans" as used below refer to the  plans maintained as required by the Solid Waste Management Regulations (9VAC20-80-10  et seq.), (9VAC20-81), or the Regulated Medical Waste Management  Regulations (9VAC20-120-10 et seq.), (9VAC20-120) or  Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.). 
    4. For value received from (owner or operator), guarantor guarantees  to the Department that in the event that (owner or operator) fails to perform  (insert "closure," "post-closure care," or "corrective  action") of the above facility(ies) in accordance with the closure or  post-closure care plans and other (requirements of the) permit or (the order)  whenever required to do so, the guarantor shall do so or establish a trust fund  as specified in 9VAC20-70-140 in the name of (owner or operator) in the amount  of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (Bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure, post-closure or corrective action plan, amendment or modification of  the permit, amendment or modification of the order, the extension or reduction  of the time of performance of closure, post-closure, or corrective action or  any other modification or alteration of an obligation of the owner or operator  pursuant to the (Virginia Solid or Regulated Medical Waste Management or  Vegetative Waste Management and Yard Waste Composting Regulations or § 10.1-1454.1 of the Code of Virginia) (Solid Waste Management Regulations  or Regulated Medical Waste Management Regulations or § 10.1-1454.1 of the  Code of Virginia). 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. (Insert the following language if the guarantor is (a) a  direct or higher-tier corporate parent, or (b) a firm whose parent corporation  is also the parent corporation of the owner or operator:) Guarantor may  terminate this guarantee by sending notice by certified mail to the Director of  the Department of Environmental Quality and to the (owner or operator),  provided that this guarantee may not be terminated unless and until (the owner  or operator) obtains and the director approves, alternate (closure,  post-closure, corrective action) coverage complying with the requirements of 9VAC20-70-10  et seq 9VAC20-70. (Insert the following language if the guarantor is  a firm qualifying as a guarantor due to its "substantial business  relationship" with the owner or operator:) Guarantor may terminate this  guarantee 120 days following the receipt of notification, through certified  mail, by the director and by (the owner or operator). 
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of the  Regulations, and obtain written approval of such assurance from the director  within 90 days after a notice of cancellation by the guarantor is received by  the director from guarantor, guarantor shall provide such alternate financial  assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording in 9VAC20-70-290 J of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    (Name of guarantor) 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    K. Wording of local government guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    LOCAL GOVERNMENT GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a local government created under the laws of the state of Virginia, herein  referred to as guarantor. This guarantee is made on behalf of the (owner or  operator) of (address), to the Virginia Department of Environmental Quality  ("Department"), obligee. 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-210 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-230 of the Financial Assurance Regulations  for Solid Waste Disposal, Treatment and Transfer Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care,  corrective action or other environmental obligations.) 
    3. "Closure plans" and "post-closure care  plans" as used below refer to the plans maintained as required by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.), or Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101-10 et seq.)  (9VAC20-81).
    4. For value received from (owner or operator), guarantor  guarantees to the Department that in the event that (owner or operator) fails  to perform (insert "closure," "post-closure care," or  "corrective action") of the above facility(ies) in accordance with  the closure or post-closure care plans and other (requirements of the) permit  or (the order) whenever required to do so, the guarantor shall do so or  establish a trust fund as specified in 9VAC20-70-150 in the name of (owner or  operator) in the amount of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations in  the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure or post-closure plan, amendment or modification of the closure or  post-closure plan, amendment or modification of the permit, amendment or  modification of the order, the extension or reduction of the time of performance  of the closure or post-closure, or any other modification or alteration of an  obligation of the owner or operator pursuant to the Virginia (Solid Waste  Management or Regulated Medical Waste Management) or Vegetative  Waste Management and Yard Waste Composting) Regulations. 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. Guarantor may terminate this guarantee by sending notice  by certified mail to the Director of the Department of Environmental Quality  and to the (owner or operator), provided that this guarantee may not be  terminated unless and until (the owner or operator) obtains and the director  approves, alternate (closure, post-closure, corrective action,) coverage  complying with the requirements of 9VAC20-70-10 et seq 9VAC20-70.  
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of  the Regulations, and obtain written approval of such assurance from the  director with 90 days after a notice of cancellation by the guarantor is  received by the director from guarantor, guarantor shall provide such alternate  financial assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording specified in 9VAC20-70-290 K of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Name of guarantor) __________ 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    Part I 
  Definitions 
    9VAC20-81-10. Definitions.
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at completion of  closure activities required by this chapter. 
    "Active portion" means that part of a facility or  unit that has received or is receiving wastes and that has not been closed in  accordance with this chapter. 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Airport" means, for the purpose of this chapter, a  military airfield or a public-use airport open to the public without prior  permission and without restrictions within the physical capacities of available  facilities.
    "Aquifer" means a geologic formation, group of  formations, or a portion of a formation capable of yielding significant  quantities of groundwater to wells or springs.
    "Ash" means the fly ash or bottom ash residual  waste material produced from incineration or burning of solid waste or from any  fuel combustion. 
    "Base flood" see "Hundred-year flood."
    "Bedrock" means the rock that underlies soil or  other unconsolidated, superficial material at a site. 
    "Benchmark" means a permanent monument constructed  of concrete and set in the ground surface below the frostline with identifying  information clearly affixed to it. Identifying information will include the  designation of the benchmark as well as the elevation and coordinates on the  local or Virginia state grid system. 
    "Beneficial use" means a use that is of benefit as  a substitute for natural or commercial products and does not contribute to  adverse effects on health or environment. 
    "Bioremediation" means remediation of contaminated  media by the manipulation of biological organisms to enhance the degradation of  contaminants. 
    "Bird hazard" means an increase in the likelihood  of bird/aircraft collisions that may cause damage to the aircraft or injury to  its occupants. 
    "Board" means the Virginia Waste Management Board. 
    "Bottom ash" means ash or slag that has been  discharged from the bottom of the combustion unit after combustion. 
    "Capacity" means the maximum permitted volume of  solid waste, inclusive of daily and intermediate cover, that can be disposed in  a landfill. This volume is measured in cubic yards.
    "Captive industrial landfill" means an industrial  landfill that is located on property owned or controlled by the generator of  the waste disposed of in that landfill.
    "Clean wood" means solid waste consisting of  untreated wood pieces and particles that do not contain paint, laminate,  bonding agents, or chemical preservatives or are otherwise unadulterated.
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of  this chapter. 
    "Closure" means that point in time when a permitted  landfill has been capped, certified as properly closed by a professional  engineer, inspected by the department, and closure notification is performed by  the department in accordance with 9VAC20-81-160 D. 
    "Coal combustion byproducts" or "CCB"  means residuals, including fly ash, bottom ash, boiler slag, and flue gas  emission control waste produced by burning coal. 
    "Combustion unit" means an incinerator, waste heat  recovery unit, or boiler. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants,  and shopping centers. 
    "Compliance schedule" means a time schedule for  measures to be employed on a solid waste management facility that will  ultimately upgrade it to conform to this chapter. 
    "Compost" means a stabilized organic product  produced by a controlled aerobic decomposition process in such a manner that  the product can be handled, stored, and/or applied to the land without  adversely affecting public health or the environment. 
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Conditionally exempt small quantity generator"  means a generator of hazardous waste who has been so defined in 40 CFR 261.5,  as amended. That section applies to the persons who generate in that calendar  month no more than 100 kilograms of hazardous waste or one kilogram of acutely  hazardous waste. 
    "Construction" means the initiation of permanent  physical change at a property with the intent of establishing a solid waste  management unit. This does not include land-clearing activities, excavation for  borrow purposes, activities intended for infrastructure purposes, or activities  necessary to obtain Part A siting approval (i.e., advancing of exploratory  borings, digging of test pits, groundwater monitoring well installation, etc.).
    "Construction/demolition/debris landfill" or  "CDD landfill" means a land burial facility engineered, constructed  and operated to contain and isolate construction waste, demolition waste,  debris waste, split tires, and white goods or combinations of the above solid  wastes. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes include,  but are not limited to lumber, wire, sheetrock, broken brick, shingles, glass,  pipes, concrete, paving materials, and metal and plastics if the metal or  plastics are a part of the materials of construction or empty containers for  such materials. Paints, coatings, solvents, asbestos, any liquid, compressed  gases or semi-liquids and garbage are not construction wastes. 
    "Contaminated soil" means, for the purposes of this  chapter, a soil that, as a result of a release or human usage, has absorbed or  adsorbed physical, chemical, or radiological substances at concentrations above  those consistent with nearby undisturbed soil or natural earth materials. 
    "Container" means any portable device in which a  material is stored, transported, treated, or otherwise handled and includes  transport vehicles that are containers themselves (e.g., tank trucks) and  containers placed on or in a transport vehicle. 
    "Containment structure" means a closed vessel such  as a tank or cylinder. 
    "Convenience center" means a collection point for  the temporary storage of solid waste provided for individual solid waste  generators who choose to transport solid waste generated on their own premises  to an established centralized point, rather than directly to a disposal  facility. To be classified as a convenience center, the collection point may  not receive waste from collection vehicles that have collected waste from more  than one real property owner. A convenience center shall be on a system of  regularly scheduled collections.
    "Cover material" means compactable soil or other  approved material that is used to blanket solid waste in a landfill.
    "Daily disposal limit" means the amount of solid  waste that is permitted to be disposed at the facility and shall be computed on  the amount of waste disposed during any operating day.
    "Debris waste" means wastes resulting from  land-clearing operations. Debris wastes include, but are not limited to stumps,  wood, brush, leaves, soil, and road spoils. 
    "Decomposed vegetative waste" means a stabilized organic  product produced from vegetative waste by a controlled natural decay process in  such a manner that the product can be handled, stored, or applied to the land  without adversely affecting public health or the environment.
    "Demolition waste" means that solid waste that is  produced by the destruction of structures and their foundations and includes  the same materials as construction wastes. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. For purposes of submissions to the director as specified  in the Waste Management Act, submissions may be made to the department. 
    "Discard" means to abandon, dispose of, burn,  incinerate, accumulate, store, or treat before or instead of being abandoned,  disposed of, burned, or incinerated. 
    "Discarded material" means a material that is: 
    1. Abandoned by being: 
    a. Disposed of; 
    b. Burned or incinerated; or 
    c. Accumulated, stored, or treated (but not used, reused, or  reclaimed) before or in lieu of being abandoned by being disposed of, burned,  or incinerated; or
    2. Recycled used, reused, or reclaimed material as defined in  this part.
    "Disclosure statement" means a sworn statement or  affirmation as required by § 10.1-1400 of the Code of Virginia. (see DEQ  Form DISC-01 and 02 (Disclosure Statement)).
    "Displacement" means the relative movement of any  two sides of a fault measured in any direction. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Disposal unit boundary" or "DUB" means  the vertical plane located at the edge of the waste disposal unit. This  vertical plane extends down into the uppermost aquifer. The DUB must be  positioned within or coincident to the waste management boundary.
    "EPA" means the United States Environmental  Protection Agency. 
    "Exempt management facility" means a site used for  activities that are conditionally exempt from management as a solid waste under  this chapter. The facility remains exempt from solid waste management  requirements provided it complies with the applicable conditions set forth in  Parts II (9VAC20-81-20 et seq.) and IV (9VAC20-81-300 et seq.) of this chapter.
    "Expansion" means a horizontal expansion of the  waste management boundary as identified in the Part A application. If a  facility's permit was issued prior to the establishment of the Part A process,  an expansion is a horizontal expansion of the disposal unit boundary. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Facility boundary" means the boundary of the solid  waste management facility. For landfills, this boundary encompasses the waste  management boundary and all ancillary activities including, but not limited to  scales, groundwater monitoring wells, gas monitoring probes, and maintenance  facilities as identified in the facility's permit application. For facilities  with a permit-by-rule (PBR) the facility boundary is the boundary of the  property where the permit-by-rule activity occurs. For unpermitted solid waste  management facilities, the facility boundary is the boundary of the property  line where the solid waste is located.
    "Facility structure" means any building, shed, or  utility or drainage line on the facility. 
    "Fault" means a fracture or a zone of fractures in  any material along which strata on one side have been displaced with respect to  that on the other side. 
    "Floodplain" means the lowland and relatively flat  areas adjoining inland and coastal waters, including low-lying areas of  offshore islands where flooding occurs. 
    "Fly ash" means ash particulate collected from air  pollution attenuation devices on combustion units. 
    "Food-chain crops" means crops grown for human  consumption, tobacco, and crops grown for pasture and forage or feed for  animals whose products are consumed by humans. 
    "Fossil fuel combustion products" means coal  combustion byproducts as defined in this regulation, coal combustion byproducts  generated at facilities with fluidized bed combustion technology, petroleum  coke combustion byproducts, byproducts from the combustion of oil, byproducts  from the combustion of natural gas, and byproducts from the combustion of  mixtures of coal and "other fuels" (i.e., co-burning of coal with  "other fuels" where coal is at least 50% of the total fuel). For  purposes of this definition, "other fuels" means waste-derived fuel  product, auto shredder fluff, wood wastes, coal mill rejects, peat, tall oil,  tire-derived fuel, deionizer resins, and used oil. 
    "Free liquids" means liquids that readily separate  from the solid portion of a waste under ambient temperature and pressure as  determined by the Paint Filter Liquids Test, Method 9095, U.S. Environmental  Protection Agency, Publication SW-846. 
    "Garbage" means readily putrescible discarded  materials composed of animal, vegetable or other organic matter. 
    "Gas condensate" means the liquid generated as a  result of gas control or recovery processes at the solid waste management  facility. 
    "Governmental unit" means any department,  institution, or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.
    "Ground rubber" means material processed from waste  tires that is no larger than 1/4 inch in any dimension. This includes crumb  rubber that is measured in mesh sizes. 
    "Groundwater" means water below the land surface in  a zone of saturation. 
    "Hazardous constituent" means a constituent of  solid waste found listed in Appendix VIII of 9VAC20-60-261.
    "Hazardous waste" means a "hazardous  waste" as described by the Virginia Hazardous Waste Management Regulations  (9VAC20-60).
    "Holocene" means the most recent epoch of the  Quaternary period, extending from the end of the Pleistocene Epoch to the  present. 
    "Home use" means the use of compost for growing  plants that is produced and used on a privately owned residential site. 
    "Host agreement" means any lease, contract,  agreement, or land use permit entered into or issued by the locality in which  the landfill is situated that includes terms or conditions governing the  operation of the landfill. 
    "Household hazardous waste" means any waste  material derived from households (including single and multiple residences,  hotels, motels, bunkhouses, ranger stations, crew quarters, campgrounds, picnic  grounds, and day-use recreation areas) which, except for the fact that it is  derived from a household, would otherwise be classified as a hazardous waste in  accordance with 9VAC20-60.
    "Household waste" means any waste material,  including garbage, trash, and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds, and day-use recreation  areas. Household wastes do not include sanitary waste in septic tanks (septage)  that is regulated by other state agencies. 
    "Hundred-year flood" means a flood that has a 1.0%  or greater chance of recurring in any given year or a flood of magnitude  equaled or exceeded on the average only once in a hundred years on the average  over a significantly long period. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Incinerator" means a facility or device designed  for the treatment of solid waste by combustion. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts; inorganic  chemicals; iron and steel manufacturing; leather and leather products;  nonferrous metals manufacturing/foundries; organic chemicals; plastics and  resins manufacturing; pulp and paper industry; rubber and miscellaneous plastic  products; stone, glass, clay, and concrete products; textile manufacturing;  transportation equipment; and water treatment. This term does not include  mining waste or oil and gas waste. 
    "Industrial waste landfill" means a solid waste  landfill used primarily for the disposal of a specific industrial waste or a  waste that is a byproduct of a production process. 
    "Injection well" means, for the purposes of this  chapter, a well or bore hole into which fluids are injected into selected  geological horizons. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Interim cover systems" means temporary cover  systems applied to a landfill area when landfilling operations will be  temporarily suspended for an extended period (typically, longer than one year).  At the conclusion of the interim period, the interim cover system may be  removed and landfilling operations resume or final cover is installed.
    "Karst topography" means areas where karst terrane,  with its characteristic surface and subterranean features, is developed as the  result of dissolution of limestone, dolomite, or other soluble rock.  Characteristic physiographic features present in karst terranes include, but  are not limited to, sinkholes, sinking streams, caves, large springs, and blind  valleys. 
    "Key personnel" means the applicant itself and any  person employed by the applicant in a managerial capacity, or empowered to make  discretionary decisions, with respect to the solid waste or hazardous waste  operations of the applicant in Virginia, but shall not include employees  exclusively engaged in the physical or mechanical collection, transportation,  treatment, storage, or disposal of solid or hazardous waste and such other  employees as the director may designate by regulation. If the applicant has not  previously conducted solid waste or hazardous waste operations in Virginia, the  term also includes any officer, director, partner of the applicant, or any  holder of 5.0% or more of the equity or debt of the applicant. If any holder of  5.0% or more of the equity or debt of the applicant or of any key personnel is  not a natural person, the term includes all key personnel of that entity,  provided that where such entity is a chartered lending institution or a  reporting company under the Federal Security and Exchange Act of 1934, the term  does not include key personnel of such entity. Provided further that the term  means the chief executive officer of any agency of the United States or of any  agency or political subdivision of the Commonwealth, and all key personnel of  any person, other than a natural person, that operates a landfill or other  facility for the disposal, treatment, or storage of nonhazardous solid waste  under contract with or for one of those governmental entities. 
    "Lagoon" means a body of water or surface  impoundment designed to manage or treat waste water. 
    "Land-clearing activities" means the removal of  flora from a parcel of land.
    "Land-clearing debris" means vegetative waste  resulting from land-clearing activities. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill. 
    "Landfill gas" means gas generated as a byproduct  of the decomposition of organic materials in a landfill. Landfill gas consists  primarily of methane and carbon dioxide. 
    "Landfill mining" means the process of excavating  solid waste from an existing landfill. 
    "Leachate" means a liquid that has passed through  or emerged from solid waste and contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation to disposal in an off-site facility is regulated as septage,  leachate discharged into a waste water collection system is regulated as  industrial waste water and leachate that has contaminated groundwater is  regulated as contaminated groundwater. 
    "Lead acid battery" means, for the purposes of this  chapter, any wet cell battery. 
    "Lift" means the daily landfill layer of compacted  solid waste plus the cover material. 
    "Liquid waste" means any waste material that is  determined to contain "free liquids" as defined by this chapter. 
    "Lithified earth material" means all rock,  including all naturally occurring and naturally formed aggregates or masses of  minerals or small particles of older rock, that formed by crystallization of  magma or by induration of loose sediments. This term does not include manmade  materials, such as fill, concrete, and asphalt, or unconsolidated earth  materials, soil, or regolith lying at or near the earth's surface. 
    "Litter" means, for purposes of this chapter, any  solid waste that is discarded or scattered about a solid waste management  facility outside the immediate working area. 
    "Lower explosive limit" means the lowest  concentration by volume of a mixture of explosive gases in air that will  propagate a flame at 25°C and at atmospheric pressure. 
    "Materials recovery facility" means a solid waste  management facility for the collection, processing, and recovery of material  such as metals from solid waste or for the production of a fuel from solid  waste. This does not include the production of a waste-derived fuel product. 
    "Maximum horizontal acceleration in lithified earth  material" means the maximum expected horizontal acceleration depicted on a  seismic hazard map, with a 90% or greater probability that the acceleration  will not be exceeded in 250 years, or the maximum expected horizontal  acceleration based on a site-specific seismic risk assessment. 
    "Monitoring" means all methods, procedures, and  techniques used to systematically analyze, inspect, and collect data on  operational parameters of the facility or on the quality of air, groundwater,  surface water, and soils. 
    "Monitoring well" means a well point below the  ground surface for the purpose of obtaining periodic water samples from  groundwater for quantitative and qualitative analysis. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses except composting as defined and regulated under this  chapter. 
    "Municipal solid waste" means that waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from combustion of these wastes. 
    "New solid waste management facility" means a  facility or a portion of a facility that was not included in a previous  determination of site suitability (Part A approval). 
    "Nuisance" means an activity that unreasonably  interferes with an individual's or the public's comfort, convenience or  enjoyment such that it interferes with the rights of others by causing damage,  annoyance, or inconvenience. 
    "Offsite" means any site that does not meet the  definition of onsite as defined in this part. 
    "Onsite" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same  person, but connected by a right-of-way that he controls and to which the  public does not have access, are also considered onsite property. 
    "Open burning" means the combustion of solid waste  without:
    1. Control of combustion air to maintain adequate temperature  for efficient combustion;
    2. Containment of the combustion reaction in an enclosed  device to provide sufficient residence time and mixing for complete combustion;  and
    3. Control of the combustion products' emission. 
    "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.
    "Operating record" means records required to be  maintained in accordance with the facility permit or this part (see  9VAC20-81-530). 
    "Operation" means all waste management activities  at a solid waste management facility beginning with the initial receipt of  solid waste for treatment, storage, disposal, or transfer and ceasing with the  initiation of final closure activities at the solid waste management facility  subsequent to the final receipt of waste.
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means the person who owns a solid waste  management facility or part of a solid waste management facility.
    "PCB" means any chemical substance that is limited  to the biphenyl molecule that has been chlorinated to varying degrees or any  combination of substances that contain such substance (see 40 CFR 761.3, as  amended).
    "Perennial stream" means a well-defined channel  that contains water year round during a year of normal rainfall. Generally, the  water table is located above the streambed for most of the year and groundwater  is the primary source for stream flow. A perennial stream exhibits the typical  biological, hydrological, and physical characteristics commonly associated with  the continuous conveyance of water.
    "Permit" means the written permission of the  director to own, operate, or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation, or any  other legal entity. 
    "Point source" means any discernible, confined, and  discrete conveyance, including but not limited to any pipe, ditch, channel,  tunnel, conduit, well, discrete fissure, container, rolling stock, vessel, or  other floating craft, from which pollutants are or may be discharged. Return  flows from irrigated agriculture are not included. 
    "Pollutant" means any substance that causes or  contributes to, or may cause or contribute to, environmental degradation when  discharged into the environment. 
    "Poor foundation conditions" means those areas  where features exist that indicate that a natural or man-induced event may  result in inadequate foundation support for the structural components of a  solid waste management facility. 
    "Postclosure" means the requirements placed upon  solid waste disposal facilities after closure to ensure environmental and  public health safety for a specified number of years after closure. 
    "Process rate" means the maximum rate of waste  acceptance that a solid waste management facility can process for a  treatment and/or storage. This rate is limited by the capabilities of  equipment, personnel, and infrastructure. 
    "Processing" means preparation, treatment, or  conversion of waste by a series of actions, changes, or functions that bring  about a desired end result. 
    "Professional engineer" means an engineer licensed  to practice engineering in the Commonwealth as defined by the rules and  regulations set forth by the Board of Architects, Professional Engineers, Land  Surveyors, and Landscape Architects (18VAC10-20).
    "Professional geologist" means a geologist licensed  to practice geology in the Commonwealth as defined by the rules and regulations  set forth by the Board for Geology (18VAC70-20).
    "Progressive cover" means cover material placed  over the working face of a solid waste disposal facility advancing over the  deposited waste as new wastes are added keeping the exposed area to a minimum. 
    "Putrescible waste" means solid waste that contains  organic material capable of being decomposed by micro-organisms and cause  odors. 
    "Qualified groundwater scientist" means a scientist  or engineer who has received a baccalaureate or postgraduate degree in the  natural sciences or engineering and has sufficient training and experience in  groundwater hydrology and related fields as may be demonstrated by professional  certifications, or completion of accredited university programs that enable  that individual to make sound professional judgments regarding groundwater  monitoring, contaminant fate and transport, and corrective action. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act of 1976 (42 USC  § 6901 et seq.), the Hazardous and Solid Waste Amendments of 1984, and any  other applicable amendments to these laws. 
    "Reclaimed material" means a material that is  processed or reprocessed to recover a usable product or is regenerated to a  usable form. 
    "Refuse" means all solid waste products having the  character of solids rather than liquids and that are composed wholly or  partially of materials such as garbage, trash, rubbish, litter, residues from  clean up of spills or contamination, or other discarded materials. 
    "Refuse-derived fuel (RDF)" means a type of  municipal solid waste produced by processing municipal solid waste through  shredding and size classification. This includes all classes of refuse-derived  fuel including low-density fluff refuse-derived fuel through densified  refuse-derived fuel and pelletized refuse-derived fuel.
    "Regulated hazardous waste" means a solid waste  that is a hazardous waste, as defined in the Virginia Hazardous Waste  Management Regulations (9VAC20-60), that is not excluded from those regulations  as a hazardous waste. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Release" means, for the purpose of this chapter,  any spilling, leaking, pumping, pouring, emitting, emptying, discharging,  injection, escaping, leaching, dumping, or disposing into the environment solid  wastes or hazardous constituents of solid wastes (including the abandonment or  discarding of barrels, containers, and other closed receptacles containing  solid waste). This definition does not include any release that results in  exposure to persons solely within a workplace; release of source, byproduct, or  special nuclear material from a nuclear incident, as those terms are defined in  the Atomic Energy Act of 1954 (68 Stat. 923); and the normal application of  fertilizer. For the purpose of this chapter, release also means substantial  threat of release. 
    "Remediation waste" means all solid waste,  including all media (groundwater, surface water, soils, and sediments) and  debris, that are managed for the purpose of remediating a site in accordance  with 9VAC20-81-45 or Part III (9VAC20-81-100 et seq.) of this chapter or under  the Voluntary Remediation Regulations (9VAC20-160) or other regulated  remediation program under DEQ oversight. For a given facility, remediation  wastes may originate only from within the boundary of that facility, and may  include wastes managed as a result of remediation beyond the boundary of the  facility. Hazardous wastes as defined in 9VAC20-60, as well as "new"  or "as generated" wastes, are excluded from this definition. 
    "Remediation waste management unit" or  "RWMU" means an area within a facility that is designated by the  director for the purpose of implementing remedial activities required under  this chapter or otherwise approved by the director. An RWMU shall only be used  for the management of remediation wastes pursuant to implementing such remedial  activities at the facility. 
    "Responsible official" means one of the following:
    1. For a business entity, such as a corporation, association,  limited liability company, or cooperative: a duly authorized representative of  such business entity if the representative is responsible for the overall  operation of one or more operating facilities applying for or subject to a  permit. The authority to sign documents must be assigned or delegated to such  representative in accordance with procedures of the business entity;
    2. For a partnership or sole proprietorship: a general partner  or the proprietor, respectively; or
    3. For a municipality, state, federal, or other public agency:  a duly authorized representative of the locality if the representative is responsible  for the overall operation of one or more operating facilities applying for or  subject to a permit. The authority to sign documents must be assigned or  delegated to such representative in accordance with procedures of the locality.
    "Rubbish" means combustible or slowly putrescible  discarded materials that include but are not limited to trees, wood, leaves,  trimmings from shrubs or trees, printed matter, plastic and paper products,  grass, rags and other combustible or slowly putrescible materials not included  under the term "garbage." 
    "Runoff" means any rainwater, leachate, or other  liquid that drains over land from any part of a solid waste management  facility. 
    "Run-on" means any rainwater, wastewater, leachate,  or other liquid that drains over land onto any part of the solid waste  management facility. 
    "Salvage" means the authorized, controlled removal  of waste materials from a solid waste management facility. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste that is so located, designed,  constructed, and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Saturated zone" means that part of the earth's crust  in which all voids are filled with water. 
    "Scavenging" means the unauthorized or uncontrolled  removal of waste materials from a solid waste management facility. 
    "Scrap metal" means metal parts such as bars, rods,  wire, empty containers, or metal pieces that are discarded material and can be  used, reused, or reclaimed. 
    "Secondary containment" means an enclosure into  which a container or tank is placed for the purpose of preventing discharge of  wastes to the environment. 
    "Seismic impact zone" means an area with a 10% or  greater probability that the maximum horizontal acceleration in lithified earth  material, expressed as a percentage of the earth's gravitational pull (g), will  exceed 0.10g in 250 years. 
    "Semiannual" means an interval corresponding to  approximately 180 days. For the purposes of scheduling monitoring activities,  sampling within 30 days of the 180-day interval will be considered semiannual. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Sludge" means any solid, semi-solid or liquid  waste generated from a municipal, commercial or industrial wastewater treatment  plant, water supply treatment plant, or air pollution control facility  exclusive of treated effluent from a wastewater treatment plant. 
    "Small landfill" means a landfill that disposed of  100 tons/day or less of solid waste during a representative period prior to  October 9, 1993, and did not dispose of more than an average of 100 tons/day of  solid waste each month between October 9, 1993, and April 9, 1994. 
    "Solid waste" means any of those materials defined  as "solid waste" in 9VAC20-81-95. 
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility" or  "SWMF" means a site used for planned treating, storing, or disposing  of solid waste. A facility may consist of several treatment, storage, or  disposal units. 
    "Special wastes" means solid wastes that are  difficult to handle, require special precautions because of hazardous  properties, or the nature of the waste creates waste management problems in  normal operations. (See Part VI (9VAC20-81-610 et seq.) of this chapter.) 
    "Speculatively accumulated material" means any  material that is accumulated before being used, reused, or reclaimed or in  anticipation of potential use, reuse, or reclamation. Materials are not being  accumulated speculatively when they can be used, reused, or reclaimed, have a  feasible means of use, reuse, or reclamation available and 75% of the materials  accumulated are being removed from the facility annually. 
    "State waters" means all water, on the surface and  under the ground, wholly or partially within, or bordering the Commonwealth, or  within its jurisdiction. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Structural fill" means an engineered fill with a  projected beneficial end use, constructed using soil or fossil fuel combustion  products spread and compacted with proper equipment and covered with a  vegetated soil cap. 
    "Sudden event" means a one-time, single event such  as a sudden collapse or a sudden, quick release of contaminants to the  environment. An example would be the sudden loss of leachate from an impoundment  into a surface stream caused by failure of a containment structure. 
    "Surface impoundment or impoundment" means a  facility or part of a facility that is a natural topographic depression,  manmade excavation, or diked area formed primarily of earthen materials  (although it may be lined with manmade materials), that is designed to hold an  accumulation of liquid wastes or wastes containing free liquids and that is not  an injection well. 
    "Surface waters" means all state waters that are  not groundwater as defined in § 62.1-255 of the Code of Virginia.
    "SW-846" means Test Methods for Evaluating Solid  Waste, Physical/Chemical Methods, EPA Publication SW-846, Second Edition, 1982  as amended by Update I (April, 1984), and Update II (April, 1985) and the third  edition, November, 1986, as amended. 
    "Tank" means a stationary device, designed to  contain an accumulation of liquid or semi-liquid components of solid waste that  is constructed primarily of nonearthen materials that provide structural  support. 
    "TEF" or "Toxicity Equivalency Factor"  means a factor developed to account for different toxicities of structural  isomers of polychlorinated dibenzodioxins and dibenzofurans and to relate them  to the toxicity of 2,3,7,8-tetrachloro dibenzo-p-dioxin. 
    "Terminal" means the location of transportation  facilities such as classification yards, docks, airports, management offices,  storage sheds, and freight or passenger stations, where solid waste that is  being transported may be loaded, unloaded, transferred, or temporarily stored. 
    "Thermal treatment" means the treatment of solid  waste in a device that uses elevated temperature as the primary means to change  the chemical, physical, or biological character, or composition of the solid  waste. 
    "Tire chip" means a material processed from waste  tires that is a nominal two square inches in size, and ranges from 1/4 inch to  four inches in any dimension. Tire chips contain no wire protruding more than  1/4 inch. 
    "Tire shred" means a material processed from waste  tires that is a nominal 40 square inches in size, and ranges from 4 inches to  10 inches in any dimension. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration, or resource recovery. 
    "Trash" means combustible and noncombustible  discarded materials and is used interchangeably with the term rubbish. 
    "Treatment" means, for the purpose of this chapter,  any method, technique, or process, including but not limited to incineration,  designed to change the physical, chemical, or biological character or  composition of any waste to render it more stable, safer for transport, or more  amenable to use, reuse, reclamation, recovery, or disposal. 
    "Underground source of drinking water" means an  aquifer or its portion:
    1. Which contains water suitable for human consumption; or
    2. In which the groundwater contains less than 10,000 mg/liter  total dissolved solids. 
    "Unit" means a discrete area of land used for the  disposal of solid waste. 
    "Unstable area" means a location that is  susceptible to natural or human-induced events or forces capable of impairing  the integrity of some or all of the landfill structural components responsible  for preventing releases from a landfill. Unstable areas can include poor  foundation conditions, areas susceptible to mass movements, and karst terranes.  
    "Uppermost aquifer" means the geologic formation  nearest the natural ground surface that is an aquifer, as well as, lower  aquifers that are hydraulically interconnected with this aquifer within the  facility boundary. 
    "Used or reused material" means a material that is  either: 
    1. Employed as an ingredient (including use as an  intermediate) in a process to make a product, excepting those materials  possessing distinct components that are recovered as separate end products; or 
    2. Employed in a particular function or application as an  effective substitute for a commercial product or natural resources. 
    "Vector" means a living animal, insect, or other  arthropod that transmits an infectious disease from one organism to another. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, woody wastes such as shrub and tree  prunings, bark, limbs, roots, and stumps. 
    "Vermicomposting" means the controlled and managed  process by which live worms convert organic residues into fertile excrement.
    "Vertical design capacity" means the maximum design  elevation specified in the facility's permit or if none is specified in the  permit, the maximum elevation based on a 3:1 slope from the waste disposal unit  boundary. 
    "VPDES" (Virginia Pollutant Discharge Elimination  System) means the Virginia system for the issuance of permits pursuant to the  Permit Regulation (9VAC25-31), the State Water Control Law (§ 62.1-44.2 et  seq. of the Code of Virginia), and § 402 of the Clean Water Act (33 USC  § 1251 et seq.). 
    "Washout" means carrying away of solid waste by  waters of the base flood. 
    "Waste-derived fuel product" means a solid waste or  combination of solid wastes that have been treated (altered physically,  chemically, or biologically) to produce a fuel product with a minimum heating  value of 5,000 BTU/lb. Solid wastes used to produce a waste-derived fuel  product must have a heating value, or act as binders, and may not be added to  the fuel for the purpose of disposal. Waste ingredients may not be listed or  characteristic hazardous wastes. The fuel product must be stable at ambient  temperature, and not degraded by exposure to the elements. This material may  not be "refuse derived fuel (RDF)" as defined in 9VAC5-40-890. 
    "Waste management boundary" means the vertical  plane located at the boundary line of the area approved in the Part A  application for the disposal of solid waste and storage of leachate. This  vertical plane extends down into the uppermost aquifer and is within the  facility boundary.
    "Waste pile" means any noncontainerized  accumulation of nonflowing, solid waste that is used for treatment or storage. 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. (See 9VAC20-150 for other definitions dealing with the  waste tire program.) 
    "Wastewaters" means, for the purpose of this  chapter, wastes that contain less than 1.0% by weight total organic carbon  (TOC) and less than 1.0% by weight total suspended solids (TSS). 
    "Water pollution" means such alteration of the  physical, chemical, or biological properties of any state water as will or is  likely to create a nuisance or render such waters: 
    1. Harmful or detrimental or injurious to the public health,  safety, or welfare, or to the health of animals, fish, or aquatic life or  plants; 
    2. Unsuitable, with reasonable treatment, for use as present  or possible future sources of public water supply; or
    3. Unsuitable for recreational, commercial, industrial, agricultural,  or other reasonable uses, provided that:
    a. An alteration of the physical, chemical, or biological  properties of state waters or a discharge or deposit of sewage, industrial  wastes, or other wastes to state waters by any owner that by itself is not  sufficient to cause pollution but which in combination with such alteration or  discharge or deposit to state waters by other persons is sufficient to cause  pollution;
    b. The discharge of untreated sewage by any person into state  waters; and 
    c. The contribution to the degradation of water quality  standards duly established by the State Water Control Board, are  "pollution" for the terms and purposes of this chapter. 
    "Water table" means the upper surface of the zone  of saturation in groundwaters in which the hydrostatic pressure is equal to the  atmospheric pressure. 
    "Waters of the United States" or "waters of  the U.S." means:
    1. All waters that are currently used, were used in the past,  or may be susceptible to use in interstate or foreign commerce, including all  waters that are subject to the ebb and flow of the tide;
    2. All interstate waters, including interstate  "wetlands";
    3. All other waters such as intrastate lakes, rivers, streams  (including intermittent streams), mud flats, sand flats, "wetlands,"  sloughs, prairie potholes, wet meadows, playa lakes, or natural ponds the use,  degradation, or destruction of which would affect or could affect interstate or  foreign commerce including:
    a. Any such waters that are or could be used by interstate or  foreign travelers for recreational or other purposes;
    b. Any such waters from which fish or shellfish are or could  be taken and sold in interstate or foreign commerce;
    c. Any such waters that are used or could be used for  industrial purposes by industries in interstate commerce;
    d. All impoundments of waters otherwise defined as waters of  the United States under this definition; 
    e. Tributaries of waters identified in subdivisions 3 a  through d of this definition;
    f. The territorial sea; and 
    g. Wetlands adjacent to waters (other than waters that are  themselves wetlands) identified in subdivisions 3 a through f of this  definition. 
    "Wetlands" means those areas that are defined by  the federal regulations under 33 CFR Part 328, as amended. 
    "White goods" means any stoves, washers, hot water  heaters, and other large appliances. 
    "Working face" means that area within a landfill  that is actively receiving solid waste for compaction and cover. 
    "Yard waste" means a subset of vegetative waste and  means decomposable waste materials generated by yard and lawn care and includes  leaves, grass trimmings, brush, wood chips, and shrub and tree trimmings. Yard  waste shall not include roots or stumps that exceed 12 inches in diameter. 
    9VAC20-81-35. Applicability of chapter.
    A. This chapter applies to all persons who treat, store,  dispose, or otherwise manage solid wastes as defined in Part III  (9VAC20-81-100 et seq.) of this chapter 9VAC20-81-95. 
    B. All facilities that were permitted prior to March 15,  1993, and upon which solid waste has been disposed of prior to October 9, 1993,  may continue to receive solid waste until they have reached their vertical  design capacity or until the closure date established pursuant to § 10.1-1413.2  of the Code of Virginia, in Table 2.1 provided: 
    1. The facility is in compliance with the requirements for  liners and leachate control in effect at the time of permit issuance. 
    2. On or before October 9, 1993, the owner or operator of the  solid waste management facility submitted to the director: 
    a. An acknowledgment that the owner or operator is familiar  with state and federal law and regulations pertaining to solid waste management  facilities operating after October 9, 1993, including postclosure care,  corrective action, and financial responsibility requirements; 
    b. A statement signed by a professional engineer that he has  reviewed the regulations established by the department for solid waste  management facilities, including the open dump criteria contained therein, that  he has inspected the facility and examined the monitoring data compiled for the  facility in accordance with applicable regulations and that, on the basis of  his inspection and review, he has concluded: 
    (1) That the facility is not an open dump; 
    (2) That the facility does not pose a substantial present or  potential hazard to human health and the environment; and 
    (3) That the leachate or residues from the facility do not  pose a threat of contamination or pollution of the air, surface water, or  groundwater in a manner constituting an open dump or resulting in a substantial  present or potential hazard to human health or the environment; and 
    c. A statement signed by the owner or operator: 
    (1) That the facility complies with applicable financial  assurance regulations; and 
    (2) Estimating when the facility will reach its vertical  design capacity. 
    3. Enlargement or closure of these facilities shall conform  with the following subconditions:
    a. The facility may not be enlarged prematurely to avoid  compliance with this chapter when such enlargement is not consistent with past  operating practices, the permit, or modified operating practices to ensure good  management.
    b. The facility shall not dispose of solid waste in any  portion of a landfill disposal area that has received final cover or has not  received waste for a period of one year, in accordance with 9VAC20-81-160 C.  The facility shall notify the department, in writing, within 30 days, when an  area has received final cover or has not received waste for a one-year period,  in accordance with 9VAC20-81-160 C. However, a facility may apply for a permit,  and if approved, can construct and operate a new cell that overlays  ("piggybacks") over a closed area in accordance with the permit  requirements of this chapter.
    c. The facilities subject to the restrictions in this  subsection are listed in Table 2.1. The closure dates were established in:  Final Prioritization and Closure Schedule for HB 1205 Disposal Areas (DEQ,  September 2001). The publication of these tables is for the convenience of the  regulated community and does not change established dates. Any facility,  including, but not limited to those listed in Table 2.1, must cease operation  if that facility meets any of the open dump criteria listed in 9VAC20-81-45 A  1.
    d. Those facilities assigned a closure date in accordance with  § 10.1-1413.2 of the Code of Virginia shall designate on a map, plat, diagram,  or other engineered drawing, areas in which waste will be disposed of in  accordance with Table 2.1 until the latest cessation of waste acceptance date  as listed in Table 2.1 is achieved. This map or plat shall be placed in the  operating record and a copy shall be submitted upon request to the department  in order to track the progress of closure of these facilities. If the facility  already has provided this information under 9VAC20-81-160, then the facility  may refer to that information.
           |      TABLE 2.1      Final Prioritization and Closure Schedule For House Bill (HB) 1205 Disposal    Areas       |    
       |      Solid Waste Permit Number and    Site Name      |          Location      |          Department Regional Office1      |          Latest Cessation of Waste    Acceptance Date2      |    
       |      429 - Fluvanna County Sanitary    Landfill      |          Fluvanna County      |          VRO      |          12/31/2007      |    
       |      92 - Halifax County Sanitary    Landfill3      |          Halifax County      |          BRRO      |          12/31/2007      |    
       |      49 - Martinsville Landfill      |          City of Martinsville      |          BRRO      |          12/31/2007      |    
       |      14 - Mecklenburg County    Landfill      |          Mecklenburg County      |          BRRO      |          12/31/2007      |    
       |      228 - Petersburg City Landfill3      |          City of Petersburg      |          PRO      |          12/31/2007      |    
       |      31 - South Boston Sanitary    Landfill      |          Town of South Boston      |          BRRO      |          12/31/2007      |    
       |      204 - Waynesboro City Landfill      |          City of Waynesboro      |          VRO      |          12/31/2007      |    
       |      91 - Accomack County Landfill    – Bobtown South      |          Accomack County      |          TRO      |          12/31/2012      |    
       |      580 – Bethel Landfill3       |          City of Hampton      |          TRO      |          12/31/2012      |    
       |      182 - Caroline County Landfill      |          Caroline County      |          NVRO      |          12/31/2012      |    
       |      149 - Fauquier County Landfill      |          Fauquier County      |          NVRO      |          12/31/2012      |    
       |      405 - Greensville County    Landfill      |          Greensville County      |          PRO      |          12/31/2012      |    
       |      29 - Independent Hill Landfill3      |          Prince William County      |          NVRO      |          12/31/2012      |    
       |      1 - Loudoun County Sanitary    Landfill      |          Loudoun County      |          NVRO      |          12/31/2012      |    
       |      194 - Louisa County Sanitary    Landfill      |          Louisa County      |          NVRO      |          12/31/2012      |    
       |      227 - Lunenburg County    Sanitary Landfill      |          Lunenburg County      |          BRRO      |          12/31/2012      |    
       |      507 - Northampton County    Landfill      |          Northampton County      |          TRO      |          12/31/2012      |    
       |      90 - Orange County Landfill      |          Orange County      |          NVRO      |          12/31/2012      |    
       |      75 - Rockbridge County    Sanitary Landfill      |          Rockbridge County      |          VRO      |          12/31/2012      |    
       |      23 - Scott County Landfill      |          Scott County      |          SWRO      |          12/31/2012      |    
       |      587 - Shoosmith Sanitary    Landfill3      |          Chesterfield County      |          PRO      |          12/31/2012      |    
       |      417 - Southeastern Public    Service Authority Landfill3       |          City of Suffolk      |          TRO      |          12/31/2012      |    
       |      461 - Accomack County Landfill    #2      |          Accomack County      |          TRO      |          12/31/2020      |    
       |      86    - Appomattox County Sanitary Landfill      |          Appomattox    County      |          BRRO      |          12/31/2020      |    
       |      582 - Botetourt County    Landfill3      |          Botetourt County      |          BRRO      |          12/31/2020      |    
       |      498 - Bristol City Landfill      |          City of Bristol      |          SWRO      |          12/31/2020      |    
       |      72 - Franklin County Landfill      |          Franklin County      |          BRRO      |          12/31/2020      |    
       |      398 - Virginia Beach Landfill    #2 – Mount Trashmore II3      |          City of Virginia Beach      |          TRO      |          12/31/2020      |    
       |      Notes:       |                 |                 |                 |    
       |      1Department of Environmental Quality Regional Offices:      |    
       |      BRRO      |          Blue Ridge Regional Office      |    
       |      NVRO      |          Northern Virginia Regional    Office      |    
       |      PRO      |          Piedmont Regional Office       |    
       |      SWRO      |          Southwest Regional    Office       |    
       |      TRO      |          Tidewater Regional    Office       |    
       |      VRO      |          Valley Regional Office       |    
       |      2This date means the latest date that the disposal    area must cease accepting waste.       |    
       |      3A portion of these facilities operated under HB 1205    and another portion currently is compliant with Subtitle D    requirements.       |    
        |      |      |      |      |    
  
    C. Facilities are authorized to expand beyond the waste  boundaries existing on October 9, 1993, as follows: 
    1. Existing captive industrial landfills. 
    a. Existing nonhazardous industrial waste facilities that are  located on property owned or controlled by the generator of the waste disposed  of in the facility shall comply with all the provisions of this chapter except  as shown in subdivision 1 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a captive industrial landfill  beyond the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements in effect at  the time of permit issuance. 
    c. Owners or operators of facilities that are authorized under  subdivision 1 of this subsection to accept waste for disposal beyond the waste  boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120. 
    d. Facilities authorized for expansion in accordance with  subdivision 1 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    2. Other existing industrial waste landfills. 
    a. Existing nonhazardous industrial waste facilities that are  not located on property owned or controlled by the generator of the waste  disposed of in the facility shall comply with all the provisions of this  chapter except as shown in subdivision 2 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand an industrial landfill beyond  the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements of  9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 2 of this subsection to accept waste for disposal beyond the  waste boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120 and 9VAC20-81-130.
    e. Facilities authorized for expansion in accordance with  subdivision 2 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    3. Existing construction/demolition/debris landfills. 
    a. Existing facilities that accept only  construction/demolition/debris waste shall comply with all the provisions of  this chapter except as shown in subdivision 3 of this subsection.
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a  construction/demolition/debris landfill beyond the waste boundaries existing on  October 9, 1993. Liners and leachate collection systems constructed beyond the  waste boundaries existing on October 9, 1993, shall be constructed in  accordance with the requirements of 9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 3 of this subsection to accept waste for disposal beyond the  active portion of the landfill existing on October 9, 1993, shall ensure that  such expanded disposal areas maintain setback distances applicable to such  facilities in 9VAC20-81-120 and 9VAC20-81-130. 
    e. Facilities, or portions thereof, which have reached their  vertical design capacity shall be closed in compliance with 9VAC20-81-160. 
    f. Facilities authorized for expansion in accordance with  subdivision 3 of this subsection are limited to expansion to the permitted  disposal area existing on October 9, 1993, or the facility boundary existing on  October 9, 1993, if no discrete disposal area is defined in the facility  permit. 
    4. Facilities or units undergoing expansion in accordance with  the partial exemptions created by subdivision 1 b, 2 b, or 3 b of this  subsection may not receive hazardous wastes generated by the exempt small  quantity generators, as defined by the Virginia Hazardous Waste Management  Regulations ( 9VAC20-60), for disposal on the expanded portions of the  facility. Other wastes that require special handling in accordance with the  requirements of Part VI (9VAC20-81-610 et seq.) of this chapter or that contain  hazardous constituents that would pose a risk to health or environment, may  only be accepted with specific approval by the director. 
    5. Nothing in subdivisions 1 b, 2 b, and 3 b of this  subsection shall alter any requirement for ground water monitoring, financial  responsibility, operator certification, closure, postclosure care, operation,  maintenance, or corrective action imposed under this chapter, or impair the  powers of the director to revoke or modify a permit pursuant to § 10.1-1409  of the Virginia Waste Management Act or Part V (9VAC20-81-400 et seq.) of this  chapter. 
    D. An owner or operator of a previously unpermitted facility  or unpermitted activity that managed materials previously exempt or excluded  from this chapter shall submit a complete application for a solid waste  management facility permit, permit by rule or a permit modification, as  applicable, in accordance with Part V (9VAC20-81-430 et seq.) of this chapter  within six months after these materials have been defined or identified as  solid wastes. If the director finds that the application is complete, the owner  or operator may continue to manage the newly defined or identified waste until  a permit or permit modification decision has been rendered or until a date two  years after the change in definition whichever occurs sooner, provided however,  that in so doing he shall not operate or maintain an open dump, a hazard, or a  nuisance. 
    Owners or operators of solid waste management facilities in  existence prior to September 24, 2003, shall now be in compliance with this  chapter. Where conflicts exist between the existing facility permit and the new  requirements of the regulations, the regulations shall supersede the permit  except where the standards in the permit are more stringent than the  regulation. Language in an existing permit shall not act as a shield to  compliance with the regulation, unless a variance to the regulations has been  approved by the director in accordance with the provisions of Part VII  (9VAC20-81-700 et seq.) of this chapter. Existing facility permits will not be  required to be updated to eliminate requirements conflicting with the  regulation, except at the request of the director or if a permit is modified  for another reason. However, all sanitary landfills and incinerators that  accept waste from jurisdictions outside of Virginia must have submitted the  materials required under 9VAC20-81-100 E 4 by March 22, 2004. 
    E. This chapter is not applicable to landfill units closed in  accordance with regulations or permits in effect prior to December 21, 1988,  unless releases from these closed landfills meet the open dump criteria found  in 9VAC20-81-45, or the closed landfills are found to be a hazard or a nuisance  under subdivision 21 of § 10.1-1402 of the Code of Virginia, or a site  where improper waste management has occurred under subdivision 19 of  § 10.1-1402 of the Code of Virginia.
    9VAC20-81-95. Identification of solid waste.
    A. Wastes identified in this part section  are solid wastes that are subject to this chapter unless regulated  pursuant to other applicable regulations issued by the department. 
    B. Except as otherwise provided, the definition of solid  waste per 40 CFR 261.2 as incorporated by 9VAC20-60-261, as amended, is also  hereby incorporated as part of this chapter. Except as otherwise provided, all  material definitions, reference materials and other ancillaries that are a part  of 9VAC20-60-261, as amended, are also hereby incorporated as part of this  chapter as well.
    C. Except as otherwise modified or excepted by 9VAC20-60, the  materials listed in the regulations of the United States Environmental  Protection Agency set forth in 40 CFR 261.4 (a) are considered a solid waste  for the purposes of this chapter. However, these materials are not regulated  under the provisions of this chapter if all conditions specified therein are  met. This list and all material definitions, reference materials and other  ancillaries that are part of 40 CFR Part 261.4 (a), as incorporated, modified  and/or accepted by 9VAC20-60 are incorporated as part of this chapter. In  addition, the following materials are not solid wastes for the purpose of this  chapter:
    1. Materials generated by any of the following, which are  returned to the soil as fertilizers: 
    a. The growing and harvesting of agricultural crops. 
    b. The raising and husbanding of animals, including animal  manures and used animal bedding. 
    2. Mining overburden returned to the mine site. 
    3. Recyclable materials used in manner constituting disposal  per 9VAC20-60-266. 
    4. Wood wastes burned for energy recovery. 
    5. Materials that are:
    a. Used or reused, or prepared for use or reuse, as an  ingredient in an industrial process to make a product, or as effective  substitutes for commercial products or natural resources provided the materials  are not being reclaimed or accumulated speculatively; or 
    b. Returned to the original process from which they are  generated. 
    6. Materials that are beneficially used as determined by the  department under this subsection. The department may consider other waste  materials and uses to be beneficial in accordance with the provisions of  9VAC20-81-97. 
    7. The following materials and uses listed in this part are  exempt from this chapter as long as they are managed so they do not create an  open dump, hazard, or public nuisance. These materials and the designated use  are considered a beneficial use of waste materials: 
    a. Clean wood, wood chips, or bark from land clearing, logging  operations, utility line clearing and maintenance operations, pulp and paper  production, and wood products manufacturing, when these materials are placed in  commerce for service as mulch, landscaping, animal bedding, erosion control,  habitat mitigation, wetlands restoration, or bulking agent at a compost  facility operated in compliance with Part IV (9VAC20-81-300 et seq.) of this  chapter;
    b. Clean wood combustion residues when used for pH adjustment  in compost, liquid absorbent in compost, or as a soil amendment or fertilizer,  provided the application rate of the wood ash is limited to the nutrient need  of the crop grown on the land on which the wood combustion residues will be  applied and provided that such application meets the requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    c. Compost that satisfies the applicable requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    d. Nonhazardous, contaminated soil that has been excavated as  part of a construction project and that is used as backfill for the same  excavation or excavations containing similar contaminants at the same site, at  concentrations at the same level or higher. Excess contaminated soil from these  projects is subject to the requirements of this chapter; 
    e. Nonhazardous petroleum contaminated soil that has been  treated to the satisfaction of the department in accordance with 9VAC20-81-660;  
    f. Nonhazardous petroleum contaminated soil when incorporated  into asphalt pavement products; 
    g. Solid wastes that are approved in advance of the placement,  in writing, by the department or that are specifically mentioned in the  facility permit for use as alternate daily cover material or other protective  materials for landfill liner or final cover system components; 
    h. Fossil fuel combustion products when used as a material in  the manufacturing of another product (e.g., concrete, concrete products,  lightweight aggregate, roofing materials, plastics, paint, flowable fill) or as  a substitute for a product or material resource (e.g., blasting grit, roofing  granules, filter cloth pre-coat for sludge dewatering, pipe bedding); 
    i. Tire chips and tire shred when used as a sub base fill for  road base materials or asphalt pavements when approved by the Virginia  Department of Transportation or by a local governing body; 
    j. Tire chips, tire shred, and ground rubber used in the  production of commercial products such as mats, pavement sealers, playground  surfaces, brake pads, blasting mats, and other rubberized commercial products; 
    k. Tire chips and tire shred when used as backfill in landfill  gas or leachate collection pipes, recirculation lines, and drainage material in  landfill liner and cover systems, and gas interception or remediation  applications; 
    l. Waste tires, tire chips or tire shred when burned for  energy recovery or when used in pyrolysis, gasification, or similar treatment  process to produce fuel; 
    m. "Waste -derived fuel product,"  as defined in 9VAC20-81-10, derived from nonhazardous solid waste; 
    n. Uncontaminated concrete and concrete products, asphalt  pavement, brick, glass, soil, and rock placed in commerce for service as a  substitute for conventional aggregate; and
    o. Clean, ground gypsum wallboard when used as a soil  amendment or fertilizer, provided the following conditions are met:
    (1) No components of the gypsum wallboard have been glued,  painted, or otherwise contaminated from manufacture or use (e.g., waterproof or  fireproof drywall) unless otherwise processed to remove contaminants. 
    (2) The gypsum wallboard shall be processed so that 95% of the  gypsum wallboard is less than 1/4 inch by 1/4 inch in size, unless an alternate  size is approved by the department.
    (3) The gypsum wallboard shall be applied only to  agricultural, silvicultural, landscaped, or mined lands or roadway construction  sites that need fertilization.
    (4) The application rate for the ground gypsum wallboard shall  not exceed the following rates.
           |      Region      |          Rate      |    
       |      Piedmont, Mountains, and Ridge and Valley      |          250 lbs/1,000 ft2      |    
       |      Coastal Plain      |          50 lbs/1,000 ft2      |    
       |      Note: These weights are for dry ground gypsum wallboard.      |    
  
    D. The following activities are conditionally exempt from  this chapter provided no open dump, hazard, or public nuisance is created: 
    1. Composting of sewage sludge at the sewage treatment plant  of generation without addition of other types of solid wastes.
    2. Composting of household waste generated at a residence and  composted at the site of generation. 
    3. Composting activities performed for educational purposes as  long as no more than 100 cubic yards of materials are on site at any time.  Greater quantities will be allowed with suitable justification presented to the  department. For quantities greater than 100 cubic yards, approval from the  department will be required prior to composting.
    4. Composting of animal carcasses onsite at the farm of  generation.
    5. Composting of vegetative waste and/or yard waste generated  onsite by owners or operators of agricultural operations or owners of the real  property or those authorized by the owners of the real property provided:
    a. All decomposed vegetative waste and compost produced is  utilized on said property;
    b. No vegetative waste or other waste material generated from  other sources other than said property is received;
    c. All applicable standards of local ordinances that govern or  concern vegetative waste handling, composting, storage or disposal are  satisfied; and 
    d. They pose no nuisance or present no potential threat to  human health or the environment. 
    6. Composting of yard waste by owners or operators who accept  yard waste generated offsite shall be exempt from all other provisions of this  chapter as applied to the composting activities provided the requirements of  9VAC20-81-397 B are met.
    7. Composting of preconsumer food waste and kitchen culls  generated onsite and composted in containers designed to prohibit vector  attraction and prevent nuisance odor generation. 
    8. Vermicomposting, when used to process Category I, Category  II, or Category III feedstocks in containers designed to prohibit vector  attraction and prevent nuisance odor generation. If offsite feedstocks are  received no more than 100 cubic yards of materials may be onsite at any one  time. For quantities greater than 100 cubic yards, approval from the department  will be required prior to composting.
    9. Composting of sewage sludge or combinations of sewage  sludge with nonhazardous solid waste provided the composting facility is  permitted under the requirements of a Virginia Pollution Abatement (VPA) or  VPDES permit.
    10. Management of solid waste in appropriate containers at the  site of its generation, provided that: 
    a. Putrescible waste is not stored more than seven days  between time of collection and time of removal for disposal; 
    b. Nonputrescible wastes are not stored more than 90 days  between time of collection and time of removal for proper management; and
    c. Treatment of waste is conducted in accordance with the  following:
    (1) In accordance with a waste analysis plan that:
    (a) Contains a detailed chemical and physical analysis of a  representative sample of the waste being treated, and contains all records  necessary to treat the waste in accordance with the requirements of this part,  including the selected testing frequency; and
    (b) Is kept in the facility's onsite file and made available  to the department upon request.
    (2) Notification is made to the receiving waste management  facility that the waste has been treated.
    11. Using rocks, brick, block, dirt, broken concrete, crushed  glass, porcelain, and road pavement as clean fill. 
    12. Storage of less than 100 waste tires at the site of  generation provided that no waste tires are accepted from offsite and that the  storage will not present a hazard or a nuisance.
    13. Storage in piles of land-clearing debris including stumps  and brush, clean wood wastes, log yard scrapings consisting of a mixture of  soil and wood, cotton gin trash, peanut hulls, and similar organic wastes that  do not readily decompose, are exempt from this chapter if they meet the  following conditions at a minimum: 
    a. The wastes are managed in the following manner: 
    (1) They do not cause discharges of leachate, or attract  vectors. 
    (2) They cannot be dispersed by wind and rain. 
    (3) Fire is prevented. 
    (4) They do not become putrescent. 
    b. Any facility storing waste materials under the provisions  of this subsection shall obtain a storm water discharge permit if they are  considered a significant source under the provisions of 9VAC25-31-120 A 1 c. 
    c. No more than a total of 1/3 acre of waste material is  stored onsite and the waste pile does not exceed 15 feet in height above base  grade. 
    d. Siting provisions. 
    (1) All log yard scrapings consisting of a mixture of soil and  wood, cotton gin trash, peanut hulls, and similar organic wastes that do not  readily decompose are stored at the site of the industrial activity that  produces them; 
    (2) A 50-foot fire break is maintained between the waste pile  and any structure or tree line; 
    (3) The slope of the ground within the area of the pile and  within 50 feet of the pile does not exceed 4:1; 
    (4) No waste material may be stored closer than 50 feet to any  regularly flowing surface water body or river, floodplain, or wetland; and
    (5) No stored waste materials shall extend closer than 50 feet  to any property line. 
    e. If activities at the site cease, any waste stored at the  site must be properly managed in accordance with these regulations within 90  days. The director can approve longer time frames with appropriate  justification. Justification must be provided in writing no more than 30 days  after ceasing activity at the site. 
    f. Waste piles that do not meet these provisions are required  to obtain a permit in accordance with the permitting provisions in Part V  (9VAC20-81-400 et seq.) of this chapter and meet all of the applicable waste  pile requirements in Part IV (9VAC20-81-300 et seq.) of this chapter.  Facilities that do not comply with the provisions of this subsection and fail  to obtain a permit are subject to the provisions of 9VAC20-81-40.
    14. Storage of nonhazardous solid wastes and hazardous wastes,  or hazardous wastes from conditionally exempt small quantity generators as  defined in Virginia Hazardous Waste Management Regulations (9VAC20-60) at a  transportation terminal or transfer station in closed containers meeting the  U.S. Department of Transportation specifications is exempt from this section  and the permitting provisions of Part V (9VAC20-81-400 et seq.) of this chapter  provided such wastes are removed to a permitted storage or disposal facility  within 10 days from the initial receipt from the waste generator. To be  eligible for this exemption, each shipment must be properly documented to show  the name of the generator, the date of receipt by the transporter, and the date  and location of the final destination of the shipment. The documentation shall  be kept at the terminal or transfer station for at least three years after the  shipment has been completed and shall be made available to the department upon  request. All such activities shall comply with any local ordinances.
    15. Open burning in accordance with the requirements of  9VAC5-130-40. 
    16. Open burning of vegetative waste is allowed at a closed  landfill that has not been released from postclosure care. The activity shall  be included in the text of the postclosure plan and conducted in accordance  with § 10.1-1410.3 of the Code of Virginia.
    17. Placement of trees, brush, or other vegetation from land  used for agricultural or silvicultural purposes on the same property or other  property of the same landowner. 
    18. Using fossil fuel combustion products in one or more of  the following applications or when handled, processed, transported, or  stockpiled for the following uses: 
    a. As a base, sub-base or fill material under a paved road,  the footprint of a structure, a paved parking lot, sidewalk, walkway or similar  structure, or in the embankment of a road. In the case of roadway embankments,  materials will be placed in accordance with VDOT specifications, and exposed  slopes not directly under the surface of the pavement must have a minimum of 18  inches of soil cover over the fossil fuel combustion products, the top six  inches of which must be capable of sustaining the growth of indigenous plant  species or plant species adapted to the area. The use, reuse, or reclamation of  unamended coal combustion byproduct shall not be placed in an area designated  as a 100-year flood plain;
    b. Processed with a cementitious binder to produce a  stabilized structural fill product that is spread and compacted with proper  equipment for the construction of a project with a specified end use; or
    c. For the extraction or recovery of materials and compounds  contained within the fossil fuel combustion products.
    E. The following solid wastes are exempt from this chapter  provided that they are managed in accordance with the requirements promulgated  by other applicable state or federal agencies: 
    1. Management of wastes regulated by the State Board of  Health, the State Water Control Board, the Air Pollution Control Board, the  Department of Mines, Minerals and Energy, Department of Agriculture and  Consumer Services, or any other state or federal agency with such authority.
    2. Drilling fluids, produced waters, and other wastes  associated with the exploration, development, or production of crude oil,  natural gas, or geothermal energy. 
    3. Solid waste from the extraction, beneficiation, and  processing of ores and minerals, including coal. 
    4. Fossil fuel combustion products used for mine reclamation,  mine subsidence, or mine refuse disposal on a mine site permitted by the  Virginia Department of Mines, Minerals and Energy (DMME) when used in  accordance with the standards.
    5. Solid waste management practices that involve only the  onsite placing of solid waste from mineral mining activities at the site of  those activities and in compliance with a permit issued by the DMME, that do  not include any municipal solid waste, are accomplished in an environmentally  sound manner, and do not create an open dump, hazard or public nuisance are  exempt from all requirements of this chapter.
    6. Waste or byproduct derived from an industrial process that  meets the definition of fertilizer, soil amendment, soil conditioner, or  horticultural growing medium as defined in § 3.2-3600 of the Code of Virginia,  or whose intended purpose is to neutralize soil acidity (see § 3.2-3700 of the  Code of Virginia), and that is regulated under the authority of the Virginia  Department of Agriculture and Consumer Services. 
    7. Fossil fuel combustion products bottom ash or boiler slag  used as a traction control material or road surface material if the use is  consistent with Virginia Department of Transportation practices.
    8. Waste tires generated by and stored at salvage yards  licensed by the Department of Motor Vehicles provided that such storage  complies with requirements set forth in § 10.1-1418.2 and such storage  does not pose a hazard or nuisance. 
    9. Tire chips used as the drainage material in construction of  septage drain fields regulated under the authority of the Virginia Department  of Health.
    F. The following solid wastes are exempt from this chapter  provided that they are reclaimed or temporarily stored incidentally to  reclamation, are not accumulated speculatively, and are managed without  creating an open dump, hazard, or a public nuisance: 
    1. Paper and paper products; 
    2. Clean wood waste that is to undergo size reduction in order  to produce a saleable product, such as mulch;
    3. Cloth;
    4. Glass;
    5. Plastics;
    6. Tire chips, tire shred, ground rubber; and
    7. Mixtures of above materials only. Such mixtures may include  scrap metals excluded from regulation in accordance with the provisions of  subsection C of this section.
    9VAC20-81-140. Operation requirements.
    The operation of all sanitary, CDD, and industrial landfills  shall be governed by the standards set forth in this section. Landfill  operations will be detailed in an operations manual that shall be maintained in  the operating record in accordance with 9VAC20-81-485. This operations manual  will include an operations plan, an inspection plan, a health and safety plan,  an unauthorized waste control plan, an emergency contingency plan, and a  landscaping plan meeting the requirements of this section and 9VAC20-81-485.  This manual shall be made available to the department when requested. If the  applicable standards of this chapter and the landfill's Operations Manual  conflict, this chapter shall take precedence.
    A. Landfill operational performance standards.
    1. Safety hazards to operating personnel shall be controlled  through an active safety program consistent with the requirements of 29 CFR  Part 1910, as amended. 
    2. A groundwater monitoring program meeting the requirements  of 9VAC20-81-250 shall be implemented, as applicable. 
    3. A corrective action program meeting the requirements of  9VAC20-81-260 is required whenever the groundwater protection standard is  exceeded at statistically significant levels.
    4. Open burning at active landfills. 
    a. Owners or operators shall ensure that the units do not  violate any applicable requirements developed by the State Air Pollution  Control Board or promulgated by the EPA administrator pursuant to § 110 of the  Clean Air Act, as amended (42 USC §§ 7401 to 7671q). 
    b. Open burning of solid waste, except for infrequent burning  of agricultural wastes, silvicultural wastes, land-clearing debris, diseased  trees, or debris from emergency cleanup operations is prohibited. There shall  be no open burning permitted on areas where solid waste has been disposed of or  is being used for active disposal.
    c. The owner or operator shall be responsible for extinguishing  any fires that may occur at the facility. A fire control plan will be developed  that outlines the response of facility personnel to fires. The fire control  plan will be provided as an attachment to the emergency contingency plan  required under the provisions of 9VAC20-81-485. The fire control plan will be  available for review upon request by the public. There shall be no open burning  permitted on areas where solid waste has been disposed or is being used for  active disposal.
    5. Except as provided in 9VAC20-81-130 K, owners or operators  shall implement a gas management plan in accordance with 9VAC20-81-200  to  control landfill gas such that: 
    a. The concentration of methane gas generated by the landfill  does not exceed 25% of the lower explosive limit for methane in landfill  structures (excluding gas control or recovery system components); and 
    b. The concentration of methane gas does not exceed the lower  explosive limit for methane at the facility boundary. 
    6. Landfills shall not: 
    a. Allow leachate from the landfill to drain or discharge into  surface waters except when treated onsite and discharged into surface water as  authorized under a VPDES Permit (9VAC25-31). 
    b. Cause a discharge of pollutants into waters of the United  States, including wetlands, that violates any requirements of the Clean Water  Act (33 USC § 1251 et seq.), including, but not limited to, the VPDES  requirements and Virginia Water Quality Standards (9VAC25-260). 
    c. Cause the discharge of a nonpoint source of pollution to  waters of the United States, including wetlands, that violates any requirement  of an areawide or statewide water quality management plan that has been  approved under § 208 or 319 of the Clean Water Act (33 USC § 1251 et  seq.), as amended or violates any requirement of the Virginia Water Quality  Standards (9VAC25-260). 
    d. Allow solid waste to be deposited in or to enter any  surface waters or groundwaters.
    7. Owners or operators shall maintain the run-on/runoff  control systems designed and constructed in accordance with 9VAC20-81-130 H. 
    8. Access to sanitary, CDD, or noncaptive industrial landfills  shall be permitted only when an attendant is on duty and only during daylight  hours, unless otherwise specified in the landfill permit. 
    9. Fencing or other suitable control means shall be used to  control litter migration. All litter blown from the landfill operations shall  be collected on a weekly basis.
    10. Odors and vectors shall be effectively controlled so they  do not constitute nuisances or hazards. Odor hazard or nuisances shall be  controlled in accordance with 9VAC20-81-200 D. Disease vectors shall be  controlled using techniques for the protection of human health and the  environment. 
    11. If salvaging is allowed by a landfill, it shall not  interfere with operation of the landfill and shall not create hazards or  nuisances. 
    12. Fugitive dust and mud deposits on main offsite roads and  access roads shall be minimized at all times to limit nuisances. Dust shall be  controlled to meet the requirements of Article 1 (9VAC5-40-60 et seq.) of Part  II of 9VAC5-40.
    13. Internal roads in the landfill shall be maintained to be  passable in all weather by ordinary vehicles. All operation areas and units  shall be accessible.
    14. All landfill appurtenances listed in 9VAC20-81-130 shall be  properly maintained and operated as designed and approved in the facility's  permit. 
    15. Adequate numbers and types of properly maintained  equipment shall be available to a landfill for operation. Provision shall be  made for substitute equipment to be available or alternate means implemented to  achieve compliance with subdivision B 1, C 1, or D 1 of this section, as  applicable, within 24 hours should the former become inoperable or unavailable.  Operators with training appropriate to the tasks they are expected to perform  and in sufficient numbers for the complexity of the site shall be on the site  whenever it is in operation.
    16. Self-Inspection. Each landfill shall implement an  inspection routine including a schedule for inspecting all applicable major aspects  of facility operations necessary to ensure compliance with the requirements of  this chapter. Records of these inspections must be maintained in the operating  record and available for review. At a minimum, the following aspects of the  facility shall be inspected on a monthly basis: erosion and sediment controls,  storm water conveyance system, leachate collection system, safety and emergency  equipment, internal roads, and operating equipment. The groundwater monitoring  system and gas management system shall be inspected at a rate consistent with  the system's monitoring frequency.
    17. Records to include, at a minimum, date of receipt,  quantity by weight or volume, and origin shall be maintained on solid waste  received and processed to fulfill the applicable requirements of the Solid  Waste Information and Assessment Program under 9VAC20-81-80 and the Control  Program for Unauthorized Waste under 9VAC20-81-100 E. Such records shall be  made available to the department for examination or use when requested.
    B. In addition to the standards in subsection A of this  section, sanitary landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread into two-foot layers or less and compacted at the working face, which  shall be confined to the smallest area practicable. 
    b. Lift heights shall be sized in accordance with daily waste  volumes. Lift height is not recommended to exceed 10 feet. 
    c. Daily cover consisting of at least six inches of  compacted soil or other approved material shall be placed upon and maintained  on all exposed solid waste prior to the end of each operating day, or at more  frequent intervals if necessary, to control disease vectors, fires, odors,  blowing litter, and scavenging. Alternate materials of an alternate thickness  may be approved by the department if it has been demonstrated that the  alternate material and thickness control disease vectors, fires, odors, blowing  litter, and scavenging without presenting a threat to human health and the  environment. At least three days of acceptable cover soil or approved material  at the average usage rate shall be maintained at the landfill or readily  available at all times. 
    d. Intermediate cover of at least six inches of additional  compacted soil shall be applied and maintained whenever an additional lift of  refuse is not to be applied within 30 days. Further, all areas with  intermediate cover exposed shall be inspected as needed, but not less than  weekly. Additional cover material shall be placed on all cracked, eroded, and  uneven areas as required to maintain the integrity of the intermediate cover  system. 
    e. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    g. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33% unless steeper slopes are approved in the  permit. 
    2. The active working face of a sanitary landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    3. A sanitary landfill that is located within 10,000 feet of  any airport runway used for turbojet aircraft or 5,000 feet of any airport  runway used by only piston type aircraft, shall operate in such a manner that  the landfill does not increase or pose additional bird hazards to aircraft. 
    4. Sanitary landfills shall not dispose of the following  wastes, except as specifically authorized by the landfill permit or by the  department: 
    a. Free liquids. 
    (1) Bulk or noncontainerized liquid waste, unless: 
    (a) The waste is household waste; or 
    (b) The waste is gas condensate derived from that landfill;
    (c) The waste is leachate derived from that landfill and the landfill  is designed with a composite liner and leachate collection system as described  in 9VAC20-81-130 J 1 a and 9VAC20-81-130 L; or 
    (2) Containers holding liquid waste, unless: 
    (a) The container is a small container similar in size to that  normally found in household waste; 
    (b) The container is designed to hold liquids for use other  than storage; or 
    (c) The waste is household waste. 
    b. Regulated hazardous wastes as defined by the Virginia  Hazardous Waste Management Regulations (9VAC20-60).
    c. Solid wastes, residues, or soils containing more than 1.0  ppb (parts per billion) TEF (dioxins). 
    d. Solid wastes, residues, or soils containing 50.0 ppm (parts  per million) or more of PCB's except as allowed under the provisions of  9VAC20-81-630. 
    e. Sludges that have not been dewatered. 
    f. Contaminated soil unless approved by the department in  accordance with the requirements of 9VAC20-81-610 or 9VAC20-81-660. 
    g. Regulated medical waste as specified in the Regulated  Medical Waste Management Regulations (9VAC20-120).
    5. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    C. In addition to the standards in subsection A of this  section, Construction/demolition/debris landfills shall also comply with the  following:
    1. Compaction and cover requirements. 
    a. Waste materials shall be compacted in shallow layers during  the placement of disposal lifts to minimize differential settlement. 
    b. Compacted soil cover shall be applied as needed for safety  and aesthetic purposes. A minimum one-foot thick progressive cover shall be  maintained weekly such that the top of the lift is fully covered at the end of  the work week. If the landfill accepts Category I or II nonfriable  asbestos-containing material for disposal, daily soil cover shall be placed  upon all exposed Category I or II nonfriable asbestos-containing material prior  to the end of each operating day. The open working face of a landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    c. When waste deposits have reached final elevations, or  disposal activities are interrupted for 15 days or more, waste deposits shall  receive a one-foot thick intermediate cover unless soil has already been  applied in accordance with subdivision 1 b of this subsection and be graded to  prevent ponding and to accelerate surface run-off. 
    d. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    e. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    f. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33%. 
    2. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    D. In addition to the standards in subsection A of this  section, Industrial Landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread and compacted at the working face, which shall be confined to the  smallest area practicable. 
    b. Lift heights shall be sized according to the volume of  waste received daily and the nature of the industrial waste. A lift height is  not required for materials such as fly ash that are not compactable. 
    c. Where it is necessary for the specific waste, such as  Category I or II nonfriable asbestos-containing material, daily soil cover, or  other suitable material shall be placed upon all exposed solid waste prior to  the end of each operating day. For wastes such as fly ash and bottom ash from  burning of fossil fuels, periodic cover to minimize exposure to precipitation  and control dust or dust control measures such as surface wetting or crusting  agents shall be applied. At least three days of acceptable cover soil or  approved material at the average usage rate shall be maintained at the fill at  all times at facilities where daily cover is required unless an offsite supply  is readily available on a daily basis.
    d. Intermediate cover of at least one foot of compacted soil  shall be applied whenever an additional lift of refuse is not to be applied  within 30 days unless the owner or operator demonstrates to the satisfaction of  the director that an alternate cover material or an alternate schedule will be  protective of public health and the environment. In the case of facilities  where fossil fuel combustion products are removed for beneficial use,  intermediate cover must be applied in any area where ash has not been placed or  removed for 30 days or more. Further, all areas with intermediate cover exposed  shall be inspected as needed but not less than weekly and additional cover  material shall be placed on all cracked, eroded, and uneven areas as required  to maintain the integrity of the intermediate cover system. 
    e. Final cover construction will be initiated in accordance  with the requirements of 9VAC20-81-160 D 2 when the following pertain: 
    (1) When an additional lift of solid waste is not to be  applied within two years or a longer period as required by the facility's  phased development. 
    (2) When any area of a landfill attains final elevation and  within 90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) When a landfill's permit is terminated within 90 days of  such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  otherwise specified by the department when seasonal conditions do not otherwise  permit. Mowing will be conducted a minimum of once a year or at a frequency  suitable for the vegetation and climate.
    2. Incinerator and air pollution control residues containing  no free liquids shall be incorporated into the working face and covered at such  intervals as necessary to minimize them from becoming airborne. 
    9VAC20-81-160. Closure requirements.
    The closure of all sanitary, CDD and industrial landfills  shall be governed by the standards set forth in this section.
    A. Closure purpose. The owner or operator shall close the  landfill in a manner that minimizes the need for further maintenance and  provides for the protection of human health and the environment. Closure shall  eliminate the postclosure escape of uncontrolled leachate or of waste  decomposition products to the groundwater or surface water to the extent  necessary to protect human health and the environment. Closure shall also  control and/or minimize surface runoff and the escape of waste decomposition  products to the atmosphere. 
    B. Closure plan and modification of plan.
    1. The owner or operator of a solid waste disposal facility  shall have a written closure plan. This plan shall identify the steps necessary  to completely close the landfill at the time when the operation will be the  most extensive and at the end of its intended life. The closure plan shall  include, at least: 
    a. A schedule for final closure that shall include, as a  minimum, the anticipated date when wastes will no longer be received, the date  when completion of final closure is anticipated, and intervening milestone  dates that will allow tracking of the progress of closure. 
    b. An estimate of waste disposed onsite over the active life  of the landfill; 
    c. An estimate of the largest area ever requiring a final  cover as required at any time during the active life; 
    d. Description of Final Cover System design in accordance with  subsection D of this section;
    e. Description of storm water management to include design,  construction, and maintenance controls;
    f. Closure cost estimate for purpose of financial assurance. 
    2. The owner or operator may amend the closure plan at any  time during the active life of the landfill. The owner or operator shall so  amend his plan any time changes in operating plans or landfill design affect  the closure plan. The amended closure plan shall be placed in the operating  record and a copy provided to the department. 
    3. Closure plans and amended closure plans not previously  approved by the director shall be submitted to the department at least 180 days  before the date the owner or operator expects to begin construction activities  related to closure. The director will approve or disapprove the plan within 90  days of receipt. 
    4. If the owner or operator intends to use an alternate final  cover design, he shall submit a proposed design meeting the requirements of  subdivision D 2 e f of this section to the department at least  180 days before the date he expects to begin closure. The department will  approve or disapprove the plan within 90 days of receipt. 
    5. At least 180 days prior to beginning closure of each solid  waste disposal unit, the owner or operator shall notify the department and the  solid waste planning unit of the intent to close. 
    C. Time allowed for closure. 
    1. The owner or operator shall begin closure activities of  each unit no later than 30 days after the date on which the unit receives the  known final receipt of wastes or, if the unit has remaining capacity and there  is a reasonable likelihood that the unit will receive additional wastes, no  later than one year after the most recent receipt of wastes. Extensions beyond  the one-year deadline for beginning closure may be granted by the director if  the owner or operator demonstrates that the unit has the capacity to receive  additional wastes and the owner or operator has taken and will continue to take  all steps necessary to prevent threats to human health and the environment from  the unclosed unit. 
    2. The owner or operator shall complete closure activities of  each unit in accordance with the closure plan and within six months after  receiving the final volume of wastes. The director may approve a longer closure  period if the owner or operator can demonstrate that the required or planned  closure activities will, of necessity, take longer than six months to complete;  and that he has taken all steps to eliminate any significant threat to human  health and the environment from the unclosed but inactive landfill.
    D. Closure implementation. 
    1. The owner or operator shall close each unit with a final  cover as specified in subdivision 2 of this subsection, grade the fill area to  prevent ponding, and provide a suitable vegetative cover. Vegetation shall be  deemed properly established when there are no large areas void of vegetation  and it is sufficient to control erosion. 
    2. Final cover system.
    a. The owner or operator shall install a final cover system  that is designed to achieve the performance requirements of this section. 
    b. Owners or operators of CDD landfill units used for the  disposal of wastes consisting only of stumps, wood, brush, and leaves from  landclearing operations may apply two feet of compacted soil as final cover  material in lieu of the final cover system specified in this section. The  provisions of this section shall not be applicable to any landfill with respect  to which the director has made a finding that continued operation of the  landfill constitutes a threat to the public health or the environment. 
    c. The final cover system shall be designed and constructed  to: 
    (1) Minimize infiltration through the closed disposal unit by  the use of an infiltration layer that is constructed of at least 18 inches of  earthen material; and which has a hydraulic conductivity less than or equal to  the hydraulic conductivity of any bottom liner system or natural subsoils  present, or a hydraulic conductivity no greater than 1x10-5 cm/sec,  whichever is less; and 
    (2) Minimize erosion of the final cover by the use of an  erosion layer that contains a minimum of six inches of earthen material that is  capable of sustaining native plant growth, and provide for protection of the  infiltration layer from the effects of erosion, frost, and wind. 
    d. The owner or operator of a sanitary landfill may choose to  use this alternate final cover system, which shall consist of at least the  following components:
    (1) An 18-inch soil infiltration layer with a hydraulic  conductivity no greater than 1x10-5 cm/sec or a geosynthetic clay  liner installed over the intermediate cover;
    (2) A barrier layer consisting of a geosynthetic membrane  having a minimum thickness of 40-mils;
    (3) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (4) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    e. The owner or operator of a CDD or industrial landfill may  choose to use this alternate final cover system, which shall consist of at  least the following components: 
    (1) A barrier layer consisting of a geosynthetic clay liner or  a geosynthetic membrane having a minimum thickness of 40 mils;
    (2) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (3) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    f. The director may approve an alternate final cover design  that includes: 
    (1) An infiltration layer that achieves an equivalent  reduction in infiltration as the infiltration layer specified in subdivision 2  c (1) of this subsection; and 
    (2) A minimum 24-inch erosion layer that is capable of  sustaining native plant growth and provide for protection of the infiltration  layer from the effects of erosion, frost, and wind.
    3. Finished side slopes shall be stable and be configured to  adequately control erosion and runoff. Slopes of 33% will be allowed provided  that adequate runoff controls are established. Steeper slopes may be considered  if supported by necessary stability calculations and appropriate erosion and  runoff control features. All finished slopes and runoff management facilities  shall be supported by necessary calculations and included in the design manual.  To prevent ponding of water, the top slope shall be at least 2.0% after  allowance for settlement. 
    4. Following construction of the final cover system for each  unit, the owner or operator shall submit to the department a certification,  signed by a professional engineer verifying that closure has been completed in  accordance with the closure plan requirements of this part. This certification  shall include the results of the CQA/QC requirements under 9VAC20-81-130 Q 1 b  (6). 
    5. Following the closure of all units the owner or operator  shall: 
    a. Post one sign at the entrance of the landfill notifying all  persons of the closing, and the prohibition against further receipt of waste  materials. Further, suitable barriers shall be installed at former accesses to  prevent new waste from being deposited.
    b. Within 90 days after closure is completed, submit to the  local land recording authority a survey plat prepared by a professional land  surveyor registered by the Commonwealth or a person qualified in accordance  with Title 54.1 of the Code of Virginia indicating the location and dimensions  of landfills. Groundwater monitoring well and landfill gas monitoring  probe locations shall be included and identified by the number on the survey  plat. The plat filed with the local land recording authority shall contain a  note, prominently displayed, which states the owner's or operator's future  obligation to restrict disturbance of the site as specified.
    c. Record a notation on the deed to the landfill property, or  on some other instrument which is normally examined during title searches,  notifying any potential purchaser of the property that the land has been used  to manage solid waste and its use is restricted under 9VAC20-81-170 A 2 c. A  copy of the deed notation as recorded shall be submitted to the department. 
    d. Submit to the department a certification, signed by a  professional engineer, verifying that closure has been completed in accordance  with the requirements of subdivisions 5 a, b, and c of this subsection and the  landfill closure plan. 
    6. The department shall inspect all solid waste management  facilities at the time of closure to confirm that the closing is complete and  adequate. It shall notify the owner or operator of a closed landfill, in  writing, if the closure is satisfactory, and shall require any construction or  such other steps necessary to bring unsatisfactory sites into compliance with  these regulations. Notification by the department that the closure is  satisfactory does not relieve the owner or operator of responsibility for  corrective action to prevent or abate problems caused by the landfill. 
    9VAC20-81-250. Groundwater monitoring program.
    A. General requirements. 
    1. Applicability. 
    a. Existing landfills. Owners or operators of all existing  landfills shall be in compliance with the groundwater monitoring requirements  specified in this section, except as provided for in subdivision 1 c of this  subsection. Owners or operators of landfills that were permitted prior to  December 21, 1988, but were closed in accordance with the requirements of their  permit or existing regulation prior to December 21, 1988, are not required to  be in compliance with the groundwater monitoring requirements specified in this  section, unless conditions are recognized that classify the landfill as an Open  Dump as defined under 9VAC20-81-45. 
    b. New landfills. Owners or operators of new facilities shall  be in compliance with the groundwater monitoring requirements specified in this  section before waste can be placed in the landfill except as provided for in  subdivision 1 c of this subsection.
    c. No migration potential exemption. Groundwater monitoring  requirements under this section may be suspended by the director if the owner  or operator can demonstrate that there is no potential for migration of any  Table 3.1 constituents to the uppermost aquifer during the active life and the  postclosure care period of the landfill. This demonstration shall be certified  by a qualified groundwater scientist and shall be based upon: 
    (1) Site-specific field collected measurements including  sampling and analysis of physical, chemical, and biological processes affecting  contaminant fate and transport; and 
    (2) Contaminant fate and transport predictions that maximize  contaminant migration and consider impacts on human health and the environment.  
    2. General requirements. 
    a. Purpose. Owners or operators shall install, operate, and  maintain a groundwater monitoring system that is capable of determining the  landfill's impact on the quality of groundwater in the uppermost aquifer at the  disposal unit boundary during the active life and postclosure care period of  the landfill. 
    b. Program requirements. The groundwater monitoring program  shall meet the requirements of subdivision 3 of this subsection and comply with  all other applicable requirements of this section. 
    c. Director authority. The groundwater monitoring and  reporting requirements set forth here are minimum requirements. The director  may require, by amending modifying the permit as allowed under  9VAC20-81-600 E, any owner or operator to install, operate, and maintain a  groundwater monitoring system and conduct a monitoring program that contains  requirements more stringent than this chapter imposes whenever it is determined  that such requirements are necessary to protect human health and the  environment. 
    3. Groundwater monitoring system. 
    a. System requirements. A groundwater monitoring system shall  be installed consisting of a sufficient number of monitoring wells, at  appropriate locations and depths, capable of yielding sufficient quantities of  groundwater for sampling and analysis purposes from the uppermost aquifer that:  
    (1) Represent the quality of background groundwater that has  not been affected by a release from the landfill; and 
    (2) Represent the quality of groundwater at the disposal unit  boundary. The downgradient monitoring system shall be installed at the disposal  unit boundary in a manner that ensures detection of groundwater contamination  in the uppermost aquifer unless a variance has been granted by the director  under 9VAC20-81-740. 
    (3) When physical obstacles preclude installation of  groundwater monitoring wells at the disposal unit boundary, the downgradient  monitoring wells may be installed at the closest practicable distance  hydraulically downgradient from the boundary in locations that ensure detection  of groundwater contamination in the uppermost aquifer. 
    b. Multiunit systems. The director may approve a groundwater  monitoring system that covers multiple waste disposal units instead of  requiring separate groundwater monitoring systems for each unit when the  landfill has several units, provided the multiunit groundwater monitoring  system meets the requirement of subdivision 3 of this subsection and can be  demonstrated to be equally protective of human health and the environment as  individual monitoring systems. The system for each waste disposal unit would be  based on the following factors: 
    (1) Number, spacing, and orientation of the waste disposal  units; 
    (2) Hydrogeologic setting; 
    (3) Site history; 
    (4) Engineering design of the waste disposal units; and 
    (5) Type of waste accepted at the waste disposal units. 
    c. Well construction. All monitoring wells shall be of a size  adequate for sampling and shall be cased and grouted in a manner that maintains  the integrity of the monitoring well bore hole. This casing shall be screened  or perforated, and packed with gravel or sand where necessary, to enable sample  collection at depths where appropriate aquifer flow zones exist. The annular  space above the sampling depth shall be sealed with a suitable material to  prevent contamination of samples and the groundwater. 
    d. Boring logs. A log shall be made of each newly installed  monitoring well describing the soils or rock encountered, and the hydraulic  conductivity of the geologic units (formations) encountered. A copy of the  final log(s) with appropriate maps, including at a minimum a site plan showing  the location of all monitoring wells, the total depth of monitoring well, the  location of the screened interval, the top and bottom of sand or gravel pack,  and the top and bottom of the seal shall be sent to the department with the  certification required under subdivision 3 g of this subsection. 
    e. Well maintenance. The monitoring wells, piezometers, and  other groundwater measurement, sampling, and analytical devices shall be  operated and maintained in a manner that allows them to perform to design  specifications throughout the duration of the groundwater monitoring program.  Nonfunctioning monitoring wells must be replaced or repaired upon recognition  of damage or nonperformance. Well repair or replacement shall be coordinated  with the department for approval prior to initiating the action. 
    f. Network specifics. The network shall include at least  one upgradient monitoring well and at least three downgradient monitoring  wells. The number, spacing, and depths of monitoring wells included in a  landfill's network shall be determined based on: 
    (1) Site-specific technical information that shall include  thorough characterization by the owner or operator of: 
    (a) The thickness of any unsaturated geologic units or fill  materials that may overlay the uppermost aquifer; 
    (b) The thickness and description of materials comprising the  uppermost aquifer;
    (c) Materials comprising the confining unit defining the lower  boundary of the uppermost aquifer, including, but not limited to, thicknesses,  stratigraphy, lithology, hydraulic conductivities, porosities, and effective  porosities; and
    (d) the calculated groundwater flow rate and direction within  the uppermost aquifer including any seasonal and temporal fluctuations in  groundwater flow. 
    (2) At least one upgradient and at least three downgradient  monitoring wells. 
    (3) A The lateral spacing between downgradient  monitoring wells based on site-specific information supplied under subdivision  3 f (1) of this subsection. 
    g. Monitoring well certification. The groundwater monitoring  well(s) shall, within 30 days of well(s) installation, be certified by a  qualified groundwater scientist noting that all wells have been installed in  accordance with the documentation submitted under subdivision 3 d of this  subsection. Within 14 days of completing this certification, the owner or  operator shall transmit the certification to the department. 
    4. The groundwater sampling and analysis requirements for the  groundwater monitoring system are as follows: 
    a. Quality assurance and control. The groundwater monitoring  program shall include consistent field sampling and laboratory analysis  procedures that are designed to ensure monitoring results that provide an  accurate representation of the groundwater quality at the background and  downgradient wells. At a minimum the program shall include procedures and  techniques for: 
    (1) Sample collection; 
    (2) Sample preservation and shipment; 
    (3) Analytical procedures; 
    (4) Chain of custody control; and 
    (5) Quality assurance and quality control. 
    b. Analytical methods. The groundwater monitoring program  shall include sampling and analytical methods that are appropriate for  groundwater sampling and that accurately measure solid waste constituents in  groundwater samples. Groundwater samples obtained pursuant to 9VAC20-81-250 B  or C shall not be filtered prior to laboratory analysis. The sampling, analysis  and quality control/quality assurance methods set forth in EPA document SW-846,  as amended, shall be used. The department may require re-sampling if it  believes the samples were not properly sampled or analyzed. 
    c. Groundwater rate and flow. Groundwater elevations at each  monitoring well shall be determined immediately prior to purging each time a  sample is obtained. The owner or operator shall determine the rate and  direction of groundwater flow each time groundwater is sampled pursuant to  subsection B or C of this section or 9VAC20-81-260. Groundwater  elevations in wells that monitor the same waste management area disposal  unit or units shall be measured within a period of time short enough to  avoid temporal variations in groundwater flow, which could preclude  accurate determination of groundwater flow rate and direction. 
    d. Background data. The owner or operator shall establish  background groundwater quality in a hydraulically upgradient or background  well, or wells, for each of the monitoring parameters or constituents required  in the particular groundwater monitoring program that applies to the landfill.  Background groundwater quality may be established at wells that are not located  hydraulically upgradient from the landfill if they meet the requirements of  subdivision 4 e of this subsection. 
    e. Alternate well provision. A determination of background  quality may be based on sampling of wells that are not upgradient from the  waste management area disposal unit or units where: 
    (1) Hydrogeologic conditions do not allow the owner or  operator to determine what wells are upgradient; and 
    (2) Sampling at these wells will provide an indication of  background groundwater quality that is as representative or more representative  than that provided by the upgradient wells. 
    f. Sampling and statistics. The number of samples collected to  establish groundwater quality data shall be consistent with the appropriate  statistical procedures determined pursuant to subdivision 4 g of this  subsection. 
    g. Statistical methods. The owner or operator shall specify in  the Groundwater Monitoring Plan the statistical method(s) listed in subsection  D of this section that will be used in evaluating groundwater monitoring data  for each monitoring constituent. The statistical test(s) chosen shall be  applied separately for each groundwater constituent in each well after each  individual sampling event required under subdivision B 2 or 3, C 2 or 3, or as  required under 9VAC20-81-260 E 1.
    h. Evaluation and response. After each sampling event required  under subsection B or C of this section, the owner or operator shall determine  whether or not there is a statistically significant increase over background  values for each groundwater constituent required in the particular groundwater  monitoring program by comparing the groundwater quality of each constituent at  each monitoring well installed pursuant to subdivision 3 a of this subsection  to the background value of that constituent. In determining whether a  statistically significant increase has occurred, the owner or operator shall:
    (1) Ensure the sampling result comparisons are made according  to the statistical procedures and performance standards specified in subsection  D of this section; 
    (2) Ensure that within 30 days of completion of sampling and  laboratory analysis actions, the determination of whether there has been a  statistically significant increase over background at each monitoring well has  been completed; and
    (3) If identified, the statistically significant increase  shall be reported to the department within the notification timeframes  identified in subsection B or C of this section and discussed in the quarterly  or semi-annual report submission described under subdivision E 2 c of this  section. Notifications qualified as being "preliminary,"  "suspect," "unverified," or otherwise not a final  determination of a statistical exceedance will not be accepted. 
    i. Verification sampling. The owner or operator may at any  time within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this section, obtain verification  samples if the initial review of analytical data suggests results that might  not be an accurate reflection of groundwater quality at the disposal unit  boundary. Undertaking verification sampling is a voluntary action on the part  of the owner or operator and shall not alter the timeframes associated with  determining or reporting a statistically significant increase as otherwise  defined under subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    j. Data validation. The owner or operator may at any time  within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this subsection, undertake third-party  data validation of the analytical data received from the laboratory.  Undertaking such validation efforts is a voluntary action on the part of the  owner or operator and shall not alter the timeframes associated with determining  or reporting a statistically significant increase as otherwise defined under  subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    5. Alternate source demonstration allowance. 
    a. Allowance. As a result of any statistically significant  increase identified while monitoring groundwater under subdivision B 2 or 3, or  C 2 or 3 of this section, or at anytime within the Corrective Action process  under 9VAC20-81-260, the owner or operator has the option of submitting an  Alternate Source Demonstration report, certified by a qualified groundwater  scientist, demonstrating:
    (1) A source other than the landfill caused the statistical  exceedance; 
    (2) The exceedance resulted from error in sampling, analysis,  or evaluation; or
    (3) The exceedance resulted from a natural variation in  groundwater quality. 
    b. Timeframes. A successful demonstration must be made within  90 days of noting a statistically significant increase. The director may  approve a longer timeframe for submittal and approval of the Alternate Source  Demonstration with appropriate justification. 
    c. Evaluation and response. Based on the information submitted  in accordance with subdivision 5 a of this subsection, the director will: 
    (1) In the case of the successful demonstration of an error in  sampling, analysis, or evaluation, allow the owner or operator to continue  monitoring groundwater in accordance with the monitoring program in place at  the time of the statistical exceedance. 
    (2) In the case of a successful demonstration of an alternate  source for the release or natural variability in the aquifer matrix:
    (a) Require changes in the groundwater monitoring system as  needed to accurately reflect the groundwater conditions and allow the owner or  operator to continue monitoring groundwater in accordance with the monitoring  program in place at the time of the statistical exceedance; 
    (b) Require any changes to the monitoring system be completed  prior to the next regularly scheduled groundwater monitoring event or within 90  days (whichever is greater); and
    (c) Require any changes to the monitoring system be approved  via the amendment modification process under 9VAC20-81-600 within  90 days of the approval of the alternate source demonstration. 
    (3) In the case of an unsuccessful Alternate Source Demonstration,  require the owner or operator to initiate the actions that would otherwise be  required as a result of the statistically significant increase noted under  subdivision B 2 or 3, or C 2 or 3 of this section as appropriate. 
    6. Establishment of groundwater protection standards. 
    a. Requirement. Upon recognition of a statistically  significant increase over background and while monitoring in the Assessment or  Phase II monitoring programs defined under subdivision B 3 or C 3 of this  section, the owner or operator shall propose a groundwater protection standard  for all detected Table 3.1 Column B constituents. The proposed standards shall  be submitted to the department by a qualified groundwater scientist and be  accompanied by relevant historical groundwater sampling data to justify the  proposed concentration levels. 
    b. Establishment process. The groundwater protection standards  shall be established in the following manner: 
    (1) For constituents for which a maximum contaminant level  (MCL) has been promulgated under § 1412 of the Safe Drinking Water Act (40 CFR  Part 141), the MCL for that constituent shall be automatically established as  the groundwater protection standard upon submission of the proposed standards. 
    (2) If the owner or operator determines that a site-specific  background concentration is greater than the MCL associated with that  constituent under subdivision 6 b (1) of this subsection, the background value  may be substituted for use as the groundwater protection standard in lieu of  the MCL for that constituent upon receiving written department approval. 
    (3) For constituents for which no MCL has been promulgated,  site-specific background concentration value(s) may be used upon receiving  written department approval. 
    (4) For constituents for which no MCL has been promulgated, a  risk-based alternate concentration levels may be used if approved by the  director as long as: 
    (a) The owner or operator submits a request to the department  asking for approval to use risk-based alternate concentration levels for a  specific list of constituents and identifies that these constituents lack an  MCL. In the request the owner or operator shall specify whether site-specific,  independently calculated, risk-based alternate concentration levels will be  applied, or if the facility will accept the default department-provided limits.  
    (b) Both the The alternate concentration levels  that may be provided as default values by the department and those  independently calculated by the owner or operator are demonstrated to meet the  following criteria or factors before they can be used as groundwater protection  standards: 
    (i) Groundwater quality - The potential for adverse quality  effects considering the physical and chemical characteristics of the waste in  the landfill, its potential for migration in the aquifer; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the proximity and withdrawal rates of groundwater users; the  current and future uses of groundwater in the area; the existing quality of  groundwater, including other sources of contamination and their cumulative  impact on the groundwater quality. 
    (ii) Human exposure - Potential for health risks caused by  exposure to waste constituents released from the landfill using federal  guidelines for assessing the health risks of environmental pollutants;  scientifically valid studies conducted in accordance with the Toxic Substances  Control Act Good Laboratory Practice Standards (40 CFR Part 792); or equivalent  standards. For carcinogens, the alternate concentration levels must be set  based on a lifetime cancer risk level due to continuous lifetime exposure  within the 1x10-4 to 1x10-6 range. For systemic  toxicants, alternate concentration levels must be demonstrated to be levels to  which the human population (including sensitive subgroups) could be exposed to  on a daily basis without the likelihood of appreciable risk of deleterious  effects during a lifetime.
    (iii) Surface water - The potential adverse effect on  hydraulically connected surface water quality based on the volume, physical and  chemical characteristics of the waste in the landfill; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the patterns of rainfall in the region; the proximity of the  landfill to surface waters; the current and future uses of surface waters in  the area and any water quality standards established for those surface waters;  the existing quality of surface water, including other sources of contamination  and the cumulative impact on surface water quality. 
    (iv) Other adverse effects - Potential damage to wildlife,  crops, vegetation, and physical structures caused by exposure to waste  constituents; the persistence and permanence of the potential adverse effects;  and the potential for health risks caused by human exposure to waste  constituents using factors shown in subdivision b (4) (b) (ii) of this  subsection. 
    (5) In making any determination regarding the use of alternate  concentration levels under this section, the director will:
    (a) Consider any identification of underground sources of  drinking water as identified by EPA under 40 CFR 144.7,
    (b) Consider additional or modified monitoring requirements or  control measures, 
    (c) Include a schedule for the periodic review of the  alternate concentration levels, or
    (d) Approve the alternate concentration levels as proposed or  issue modified alternate concentration levels.
    c. Implementation. Groundwater protection standards shall be  considered established for the facility upon completion of the actions  described under either subdivision A 6 b (1), (2), (3) or if necessary (4) and  shall be placed in the facility Operating Record and shall be used during  subsequent comparisons of groundwater sampling data consistent with the  requirements of subdivision B 3 f or C 3 e of this section. 
    d. MCL and background revisions. After establishment of  groundwater protection standards under subdivision B 6 b, if the standards are  modified as a result of revisions to any MCL or department-approved background,  the facility shall update its listing of groundwater protection standards and  shall place the new list in the Operating Record and shall use the new values  during subsequent comparisons of sampling data consistent with the requirements  of subdivision B 3 f or C 3 e of this section. 
    e. Alternate concentration levels revisions. After  establishment of groundwater protection standards under subdivision B 6 b of  this section, if the department-approved alternate concentration levels change  based on information released by EPA, to the extent practical, the department  will issue revisions to the alternate concentration levels for facility use no  more often than an annual basis. The facility shall use the alternate  concentration levels listing in effect at the time the sampling event takes  place when comparing the results against the groundwater protection standards  under subdivision B 3 f or C 3 e of this section. 
    B. Monitoring for sanitary landfills. 
    1. Applicability. 
    a. Existing facilities. Except for those sanitary landfills  identified in subdivision C 1 of this section, existing sanitary landfill  facilities and closed facilities that have accepted waste on or after October  9, 1993, and in the case of 'small' landfills on or after April 9, 1994, shall  be in compliance with the detection monitoring requirements specified in  subdivision 2 of this subsection unless existing sampling data requires a move  to assessment monitoring described under subdivision 3 of this subsection. 
    b. New facilities. Facilities placed in operation to receive  waste after October 9, 1993, shall be in compliance with the detection  monitoring requirements specified in subdivision 2 of this section before waste  can be placed in the landfill unless existing sampling data requires a move to  assessment monitoring described under subdivision 3 of this subsection. 
    c. Closed facilities. Unless an extension to the deadline  above has been granted by the director, closed facilities that have ceased to  accept any waste on or before October 9, 1993, and in the case of a  "small" landfill, before April 9, 1994, may comply with the  "State Monitoring Program" monitoring requirements specified in  subdivision C 2 or 3 of this section. 
    d. Other facilities. Owners or operators of disposal  facilities not subject to the federal groundwater monitoring requirements  prescribed under 40 CFR Parts 257 and 258 must perform the groundwater  monitoring described in subdivision C 2 or 3 of this section. 
    e. Proximity to wetlands. Owners or operators of sanitary  landfills that accepted waste after June 30, 1999, must:
    (1) Perform quarterly groundwater monitoring unless the  director determines that less frequent monitoring is necessary consistent with  the requirements of the special provisions regarding wetlands in  § 10.1-1408.5 of the Code of Virginia.
    (2) The quarterly monitoring frequency shall remain in effect  until the department is notified waste is no longer being accepted at the  sanitary landfill. 
    (3) This requirement will not limit the authority of the Waste  Management Board or the director to require more frequent groundwater  monitoring if required to protect human health and the environment. 
    (4) For purposes of this subdivision "proximity to  wetlands" shall be defined as landfills that were constructed on a  wetland, have a potential hydrologic connection to such a wetland in the event  of an escape of liquids from the facility, or are within a mile of such a  wetland.
    2. Detection monitoring program.
    a. Sampling requirements. All sanitary landfills shall  implement detection monitoring except as otherwise provided in subdivision 1 of  this subsection. The monitoring frequency for all constituents listed in Table  3.1 Column A shall be as follows: 
    (1) Initial sampling period. 
    (a) For facilities that monitor groundwater on a semi-annual  basis, a minimum of four independent samples from each well (background and  downgradient) shall be collected and analyzed for the Table 3.1 Column A  constituents during the first semi-annual sampling period. A semi-annual period  is defined under 9VAC20-81-10. 
    (b) For facilities that monitor groundwater on a quarterly  basis as a result of subdivision 1 e of this subsection, a minimum of four  samples from each well (background and downgradient) shall be collected and  analyzed for the Table 3.1 Column A constituents. The samples shall be  collected within the first quarterly period, using a schedule that ensures, to  the greatest extent possible, an accurate calculation of background concentrations.  
    (2) Subsequent sampling events. At least one sample from each  well (background and downgradient) shall be collected and analyzed during  subsequent semi-annual or quarterly events during the active life and  postclosure period. Data from subsequent background sampling events may be  added to the previously calculated background data so that the facility  maintains the most accurate representation of background groundwater quality  with which to carry out statistical analysis required under subdivision A 4 h  of this section. 
    (3) Alternate sampling events. The director may specify an  appropriate alternate frequency for repeated sampling and analysis during the  active life (including closure) and the postclosure care period. The alternate  frequency during the active life (including closure) and the postclosure period  shall be no less than annual. The alternate frequency shall be based on  consideration of the following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); and 
    (e) Resource value of the aquifer. 
    b. Evaluation and response. If the owner or operator  determines under subdivision A 4 h of this section, that there is:
    (1) A statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this section,  for one or more of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event, the owner or operator shall: 
    (a) Within 14 days of this finding, notify the department of  this fact, indicating which constituents have shown statistically significant  increases over background levels; and 
    (b) Within 90 days, (i) establish an assessment monitoring  program meeting the requirements of subdivision 3 of this subsection, or (ii)  submit an Alternate Source Demonstration as specified in subdivision A 5 of  this section. If, after 90 days, a successful demonstration has not been made,  the owner or operator shall initiate an assessment monitoring program as  otherwise required in subdivision 3 of this subsection. The 90-day Alternate  Source Demonstration period may be extended by the director for good cause. 
    (2) No statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this  section, for any of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event; the owner or operator may remain in detection monitoring and  include a discussion of the sampling results and statistical analysis in the  semi-annual or quarterly report required under subdivision E 2 c of this  section. 
    3. Assessment monitoring program. The owner or operator shall  implement the assessment monitoring program whenever a statistically  significant increase over background has been detected during monitoring  conducted under the detection monitoring program.
    a. Sampling requirements. Within 90 days of recognizing a  statistically significant increase over background for one or more of the  constituents listed in Table 3.1 Column A, the owner or operator shall, unless  in receipt of an approval to an Alternate Source Demonstration under  subdivision A 5 of this section or a director-approved extension, conduct the initial  assessment monitoring sampling event for the constituents found in Table 3.1  Column B. A minimum of one sample from each well installed under subdivision A  3 a of this section shall be collected and analyzed during the initial and all  subsequent annual Table 3.1 Column B sampling events.
    b. Director provisions: 
    (1) The owner or operator may request that the director  approve an appropriate subset of monitoring wells that may remain in detection  monitoring defined under subdivision 2 of this subsection, based on the results  of the initial, or subsequent annual Table 3.1 Column B sampling events.  Monitoring wells may be considered for the subset if:
    (a) They show no detections of Table 3.1 Column B constituents  other than those already previously detected in detection monitoring defined  under subdivision 2 of this subsection; and 
    (b) They display no statistically significant increases over  background for any constituents on the Table 3.1 Column A list. If an increase  is subsequently recognized in a well approved for the subset, the well shall no  longer be considered part of the detection monitoring subset. 
    (2) The owner or operator may request the director delete any  of the Table 3.1 Column B monitoring constituents from the assessment  monitoring program if the owner or operator demonstrates that the deleted  constituents are not reasonably expected to be in or derived from the waste. 
    (3) The director may specify an appropriate alternate  frequency for repeated sampling and analysis for the full set of Table 3.1  Column B constituents required by subdivision 3 a of this subsection during the  active life and postclosure care period based on the consideration of the  following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); 
    (e) Resource value of the aquifer; and 
    (f) Nature (fate and transport) of any constituents detected  in response to subdivision 3 f of this subsection. 
    c. Development of background. After obtaining the results from  the initial or subsequent annual sampling events required in subdivision 3 a of  this subsection, the owner or operator shall: 
    (1) Within 14 days, notify the department identifying the  Table 3.1 Column B constituents that have been detected; 
    (2) Within 90 days, and on at least a semi-annual basis  thereafter, resample all wells installed under subdivision A 3 a of this  section, conduct analyses for all constituents in Table 3.1 Column A as well as  those constituents in Column B that are detected in response to subdivision 3 a  of this subsection and subsequent Table 3.1 Column B sampling events as may be  required of this section, and report this data in the semi-annual or quarterly  report defined under subdivision E 2 c of this section;
    (3) Within 180 days of the initial sampling event, establish  background concentrations for any Table 3.1 Column B constituents detected  pursuant to subdivision B 3 a of this subsection. A minimum of four independent  samples from each well (background and downgradient) shall be collected and  analyzed to establish background for the detected constituents. 
    d. Establishment of groundwater protection standards. Within  30 days of establishing background under subdivision 3 c (3) of this  subsection, submit proposed groundwater protection standards for all  constituents detected under Assessment monitoring. The groundwater protection  standards shall be approved by the director in accordance with the provisions  of subdivision A 6 of this section. 
    e. Groundwater monitoring plan. No later than 60 days after  approval of the groundwater protection standard standards in  accordance with subdivision A 6 of this section, the owner or operator shall  submit an updated Groundwater Monitoring Plan that details the site monitoring  well network and sampling and analysis procedures undertaken during groundwater  monitoring events. The owner or operator shall additionally: 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, request a permit amendment modification  to incorporate the plan and related groundwater monitoring modules into the  landfill's permit in accordance with 9VAC20-81-600. The department may waive  the requirement for a permit amendment modification if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (2) If the 30-day timeframe specified in subdivision 3 e (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    f. Evaluation and response. 
    (1) If the concentrations of all Table 3.1 Column B constituents  are shown to be at or below background values, using the statistical procedures  in subsection D of this section, for two consecutive Table 3.1 Column B  sampling events, the owner or operator shall notify the director of this  finding in the semi-annual or quarterly monitoring report and may return to  detection monitoring defined under subdivision 2 of this subsection. 
    (2) If the concentrations of any Table 3.1 Column B  constituents are found to be above background values, but below the groundwater  protection standards established under subdivision A 6 of this section using  the statistical procedures in subsection D of this section, the owner or  operator shall continue in assessment monitoring in accordance with this  section and present the findings to the department in the semi-annual or  quarterly report. 
    (3) If one or more Table 3.1 Column B constituents are  detected at statistically significant levels above the groundwater protection  standard established under subdivision A 6 of this section using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Within 14 days of this finding, notify the department  identifying the Table 3.1 Column B constituents that have exceeded the  groundwater protection standard. The notification will include a statement that  within 90 days the owner or operator will either: 
    (i) Undertake characterization and assessment actions required  under 9VAC20-81-260 C 1; or 
    (ii) Submit an Alternate Source Demonstration as specified in  subdivision A 5 of this section. If a successful demonstration is made within  90 days, the owner or operator may continue monitoring in accordance with the  assessment monitoring program pursuant to subdivision 3 of this subsection. If  the 90-day period passes without demonstration approval, the owner or operator  shall comply with the actions under 9VAC20-81-260 C within the timeframes  specified unless the director has granted an extension to those timeframes. 
    (b) Describe the results in the semi-annual or quarterly report.  
    C. Monitoring for CDD, industrial, and State Monitoring  Program sanitary landfills. 
    1. Applicability. 
    a. Sanitary landfills. Owners or operators of sanitary  disposal facilities that have ceased to accept solid waste prior to the  federally imposed deadline of October 9, 1993, and or in the case  of a "small landfill" before April 9, 1994, are eligible, with the  director's approval, to conduct the state groundwater monitoring program  described in this section in lieu of the groundwater monitoring program  required under subdivision B 2 or 3 of this section. 
    b. CDD and industrial landfills. Owners or operators of CDD  and industrial landfills not subject to the federal groundwater monitoring  requirements prescribed under 40 CFR Parts 257 and 258 will shall  perform the groundwater monitoring described in this section. 
    c. Other landfills. All other landfills excluding sanitary  landfills, including those that accepted hazardous waste from conditionally  exempt small quantity generators after July 1, 1998, will shall  perform the groundwater monitoring described in this section. 
    2. First determination monitoring program. 
    a. Sampling requirements. A first determination monitoring  program shall consist of a background-establishing period followed by  semi-annual sampling and analysis for the constituents shown in Table 3.1  Column A at all wells installed under subdivision A 3 a of this section. Within  14 days of each event during first determination monitoring, notify the  department identifying the Table 3.1 Column A constituents that have been  detected. 
    b. Development of background. Within 360 days of the initial  first determination sampling event: 
    (1) Establish background concentrations for any constituents  detected pursuant to subdivision 2 a of this subsection. 
    (a) A minimum of four independent samples from each well  (background and downgradient) shall be collected and analyzed to establish  background concentrations for the detected constituents using the procedures in  subsection D of this section. 
    (b) In those cases where new wells are installed downgradient  of waste disposal units that already have received waste, but these wells have  not yet undergone their initial sampling event, collection of four independent  samples for background development will not be required. 
    (2) Within 30 days of completing the background calculations  required under subdivision 2 b (1) (a) of this subsection, submit a first  determination report, signed by a qualified groundwater scientist, to the  department which must include a summary of the background concentration data  developed during the background sampling efforts as well as the statistical  calculations for each constituent detected in the groundwater during the  background sampling events. 
    c. Semi-annual sampling and analysis. Within 90 days of the  last sampling event during the background-establishing period and at least  semi-annually thereafter, sample each monitoring well in the compliance network  for analysis of the constituents in Table 3.1 Column A. 
    d. Evaluation and response. Upon determination of site  background under subdivision 2 b (1) (a) of this subsection, the results of all  subsequent first determination monitoring events shall be assessed as follows: 
    (1) If no Table 3.1 Column A constituents are found to have entered  the groundwater at statistically significant levels over background, the owner  or operator shall:
    (a) Remain in first determination monitoring; and 
    (b) May request the director delete any Table 3.1 Column A  constituents from the semi-annual sampling list if the owner or operator  demonstrates that the proposed deleted constituents are not reasonably expected  to be in or derived from the waste. 
    (2) If the owner or operator recognizes a statistically  significant increase over background for any Table 3.1 Column A constituent,  within 14 days of this finding, the owner or operator shall notify the  department identifying the Table 3.1 Column A constituents that have exceeded  background levels. The notification will include a statement that within 90 days  the owner or operator will shall:
    (a) Initiate a Phase II sampling program; or 
    (b) Submit an Alternate Source Demonstration under subdivision  A 5 of this section. 
    (3) If a successful demonstration is made and approved within  the timeframes established under subdivision A 5 of this section, the owner or  operator may remain in First Determination monitoring. 
    (4) If a successful demonstration is not made and approved  within the timeframes established under subdivision A 5 of this section, the  owner or operator shall initiate Phase II monitoring in accordance with the  timeframes in subdivision C 3 of this section. The director may approve a  longer timeframe with appropriate justification. 
    3. Phase II monitoring. 
    a. Sampling requirements. The owner or operator shall:
    (1) Within 90 days of noting the exceedance over background  determined under subdivision C 2 d of this section, sample the groundwater in  all monitoring wells installed under subdivision A 3 a of this section for all  Table 3.1 Column B constituents; 
    (2) After completing the initial Phase II sampling event,  continue to sample and analyze groundwater on a semi-annual basis within the  Phase II monitoring program; 
    b. Background development. If no additional Table 3.1 Column B  constituents are detected other than those previously detected under Column A,  which already have established their background levels, the owner or operator  shall follow the requirements under subdivision 3 c of this subsection  regarding groundwater protection standard establishment while continuing to  sample for the Table 3.1 Column A list on a semi-annual basis. If one or more  additional Table 3.1 Column B constituents are detected during the initial  Phase II sampling event:
    (1) Within 360 days, establish a background value for each  additional detected Table 3.1 Column B constituent. 
    (2) Submit a Phase II Background report within 30 days of  completing the background calculations including a summary of the background  concentration data for each constituent detected in the groundwater during the  Table 3.1 Column B background sampling events.
    (3) If any detected Table 3.1 Column B constituent is  subsequently not detected for a period of two years, the owner or operator may  petition the director to delete the constituent from the list of detected Table  3.1 Column B constituents that must be sampled semi-annually. 
    c. Establishment of groundwater protection standards. No later  than:
    (1) Thirty days after submitting the Phase II Background  report required under the provisions of subdivision 3 b (2) of this subsection,  or within 30 days of obtaining the results from the initial Table 3.1 Column B  sampling event indicating no further sampling for background determination is  necessary, the owner or operator shall propose a groundwater protection  standard for all detected Table 3.1 constituents. 
    (2) The groundwater protection standard proposed shall be  established in a manner consistent with the provisions in subdivision A 6 of  this section. 
    d. Groundwater monitoring plan. No later than 60 days after  establishment of groundwater protection standards in accordance with  subdivision A 6 of this section, the owner or operator shall submit an updated  Groundwater Monitoring Plan that details the site monitoring well network and  sampling and analysis procedures undertaken during groundwater monitoring  events. The department may waive the requirement for an updated plan if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, the owner or operator shall request a permit amendment  modification to incorporate the updated plan and related groundwater  monitoring modules into the landfill's permit in accordance with 9VAC20-81-600.  
    (2) If the 30-day timeframe specified in subdivision 3 d (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    e. Evaluation and response. After each subsequent Phase II  monitoring event following establishment of groundwater protection standards,  the concentration of Table 3.1 Column B constituents found in the groundwater  at each monitoring well installed pursuant to subdivision A 3 a of this section  will be evaluated against the groundwater protection standards. The evaluation  will be presented to the department in a semi-annual Phase II report. The  evaluation will be as follows: 
    (1) If all Table 3.1 constituents are shown to be at or below  background values, using the statistical procedures in subsection D of this  section, for two consecutive Table 3.1 Column B sampling events, the owner or  operator shall notify the director of this finding in the semi-annual report  and may return to first determination monitoring; 
    (2) If any Table 3.1 Column B constituents are found to be  above background values, but are below the established groundwater protection  standard using the statistical procedures in subsection D of this section, the  owner or operator shall continue semi-annual Phase II monitoring and present  the findings in a semi-annual report; 
    (3) If one or more Table 3.1 Column B constituents are above  the established groundwater protection standard using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Notify the department within 14 days of this finding. The  notification will include a statement that within 90 days the owner or operator  will either: (i) undertake the characterization and assessment actions required  under 9VAC20-81-260 C 1; or (ii) submit an alternate source demonstration as  specified in subdivision A 5 of this section. If a successful demonstration is  made within 90 days, the owner or operator may continue monitoring in  accordance with Phase II monitoring program. If the 90-day period is exceeded,  the owner or operator shall comply with the timeframes of 9VAC20-81-260 C  unless the director has granted an extension to those timeframes; and
    (b) Present the findings in the semi-annual report. 
    D. Statistical methods and constituent lists. 
    1. Acceptable test methods. The following statistical test  methods may be used to evaluate groundwater monitoring data: 
    a. A parametric analysis of variance (ANOVA) followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's mean and the background mean levels  for each constituent. 
    b. An analysis of variance (ANOVA) based on ranks followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's median and the background median  levels for each constituent. 
    c. A tolerance or prediction interval procedure in which an  interval for each constituent is established from the distribution of the  background data, and the level of each constituent in each compliance well is  compared to the upper tolerance or prediction limit. 
    d. A control chart approach that gives control limits for each  constituent. 
    e. Another statistical test method that meets the performance  standards specified below. Based on the justification submitted to the  department, the director may approve the use of an alternative test. The  justification must demonstrate that the alternative method meets the  performance standards in subdivision 2 of this subsection. 
    2. Performance standards. Any statistical method chosen by the  owner or operator shall comply with the following performance standards, as  appropriate: 
    a. The statistical method used to evaluate groundwater  monitoring data shall be appropriate for the distribution of monitoring  parameters or constituents. If the distribution is shown by the owner or  operator to be inappropriate for a normal theory test, then the data shall be  transformed or a distribution-free theory test shall be used. If the  distributions for the constituents differ, more than one statistical method may  be needed. 
    b. If an individual well comparison procedure is used to  compare an individual compliance well constituent concentration with background  constituent concentrations or a groundwater protection standard, the test shall  be done at a Type I error level no less than 0.01 for each testing period. If a  multiple comparisons procedure is used, the Type I experiment-wise error rate  for each testing period shall be no less than 0.05; however, the Type I error  of no less than 0.01 for individual well comparisons must be maintained. 
    c. If a control chart approach is used to evaluate groundwater  monitoring data, the specific type of control chart and its associated  parameter values shall be protective of human health and the environment. The  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    d. If a tolerance interval or a predictional interval is used  to evaluate groundwater monitoring data, the levels of confidence and, for  tolerance intervals, the percentage of the population that the interval must  contain, shall be protective of human health and the environment. These  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    e. The statistical method shall account for data below the  limit of detection with one or more statistical procedures that are protective  of human health and the environment. Any estimated quantitation limit (EQL)  that is used in the statistical method shall be the lowest concentration level  that can be reliably achieved within specified limits of precision and accuracy  during routine laboratory operating conditions that are available to the  landfill. 
    f. If necessary, the statistical method shall include  procedures to control or correct for seasonal and spatial variability as well  as temporal correlation in the data.
    E. Recordkeeping and reporting. 
    1. Records pertaining to groundwater monitoring activities on  site shall be retained at a specified location by the owner or operator  throughout the active life and postclosure care period of the landfill, and  shall include at a minimum: 
    a. All historical groundwater surface elevation data obtained  from wells installed pursuant to subdivision A 3 a of this section; 
    b. All historical laboratory analytical results for  groundwater sampling events required under the groundwater monitoring programs  as described in this section; 
    c. All records of well installation, repair, or abandonment  actions; 
    d. All department correspondence to the landfill; and 
    e. All approved variances, well subsets, wetlands, or other  such director/department approvals. 
    2. Reporting requirements. 
    a. Annual report. 
    (1) An Annual Groundwater Monitoring Report shall be submitted  by the owner or operator to the department no later than 120 days from the  completion of sampling and analysis conducted under subdivision A 4 h of this  section for the second semi-annual event or fourth quarterly event during each  calendar year and shall by accompanied by:
    (a) A signature page; and 
    (b) A completed QA/QC DEQ Form ARSC-01.
    (2) The technical content of the annual report shall at a  minimum, contain the following topical content: 
    (a) The landfill's name, type, permit number, current owner or  operator, and location keyed to a USGS topographic map; 
    (b) Summary of the design type (i.e., lined versus unlined),  operational history (i.e., trench fill versus area fill), and size (acres) of  the landfill including key dates such as beginning and termination of waste  disposal actions and dates different groundwater monitoring phases were  entered;
    (c) Description of the surrounding land use noting whether any  adjoining land owners utilize private wells as a potable water source;
    (d) A discussion of the topographic, geologic, and hydrologic  setting of the landfill including a discussion on the nature of the uppermost  aquifer (i.e., confined versus unconfined) and proximity to surface waters;
    (e) A discussion of the monitoring wells network noting any  modifications that were made to the network during the year or any  nonperformance issues and a statement noting that the monitoring well network  meets (or did not meet) the requirements of subdivision A 3 of this section; 
    (f) A listing of the groundwater sampling events undertaken  during the previous calendar year; 
    (g) A historical table listing the detected constituents, and  their concentrations identified in each well during the sampling period; and
    (h) Evaluations of and appropriate responses to the  groundwater elevation data; groundwater flow rate as calculated using the prior  years elevation data; groundwater flow direction (as illustrated on a  potentiometric surface map); and sampling and analytical data obtained during  the past calendar year. 
    b. Semi-annual or quarterly report. 
    (1) After each sampling event has been completed for the 1st  semi-annual or first, second and third quarterly groundwater sampling events, a  semi-annual or quarterly monitoring report shall be submitted under separate  cover by the owner or operator to the department no later than 120 days from  the completion of sampling and analysis conducted under subdivision A 4 h of  this section, unless as allowed under a director-approved extension. The report  shall at a minimum contain the following items: 
    (a) Signature page signed by a professional geologist or  qualified groundwater scientist; 
    (b) Landfill name and permit number;
    (c) Statement noting whether or not all monitoring points  within the permitted network installed to meet the requirements of subdivision  A 3 a of this section were sampled as required under subdivision B 2 or 3 or C  2 or 3 during the event;
    (d) Calculated rate of groundwater flow during the sampling  period as required under subdivision A 4 c of this section;
    (e) The groundwater flow direction as determined during the  sampling period as required under subdivision A 4 c of this section presented  as either plain text or graphically as a potentiometric surface map;
    (f) Statement noting whether or not there were statistically  significant increases over background or groundwater protection standards  during the sampling period, the supporting statistical calculations, and  reference to the date the director was notified of the increase pursuant to  timeframes in subdivision B 2 or 3 or C 2 or 3, if applicable; 
    (g) Copy of the full Laboratory Analytical Report including  dated signature page (laboratory manager or representative) to demonstrate  compliance with the timeframes of subdivision A 4 h of this section. The  department will accept the lab report in CD-ROM format. 
    (2) In order to reduce the reporting burden on the owner or  operator and potential redundancy within the operating record, a discussion of  the second semi-annual or fourth quarterly sampling event results may be  presented in the Annual Report submission.
    c. Other submissions. Statistically significant increase  notifications, well certifications, the first determination report, alternate  source demonstration, nature and extent study, assessment of corrective  measures, presumptive remedy proposal, corrective action plan or monitoring  plan, or other such report or notification types as may be required under  9VAC20-81-250 or 9VAC20-81-260, shall be submitted in a manner which achieves  the timeframe requirements as listed in 9VAC20-81-250 or 9VAC20-81-260. 
         
                 |      TABLE 3.1      GroundWater Solid Waste Constituent Monitoring List       |    
       |      Column A – Common Name1, 2      |          Column B – Common Name1, 2      |          CAS RN3      |    
       |             |          Acenaphthene      |          83-32-9      |    
       |             |          Acenaphthylene      |          208-96-8      |    
       |      Acetone      |          Acetone      |          67-64-1      |    
       |             |          Acetonitrile; Methyl cyanide      |          75-05-8      |    
       |             |          Acetophenone      |          98-86-2      |    
       |             |          2-Acetylaminofluorene; 2-AAF      |          53-96-3      |    
       |             |          Acrolein      |          107-02-8      |    
       |      Acrylonitrile      |          Acrylonitrile      |          107-13-1      |    
       |             |          Aldrin      |          309-00-2      |    
       |             |          Allyl chloride      |          107-05-1      |    
       |             |          4-Aminobiphenyl      |          92-67-1      |    
       |             |          Anthracene      |          120-12-7      |    
       |      Antimony      |          Antimony      |          (Total)      |    
       |      Arsenic      |          Arsenic      |          (Total)      |    
       |      Barium      |          Barium      |          (Total)      |    
       |      Benzene      |          Benzene      |          71-43-2      |    
       |             |          Benzo[a]anthracene; Benzanthracene      |          56-55-3      |    
       |             |          Benzo[b]fluoranthene      |          205-99-2      |    
       |             |          Benzo[k]fluoranthene      |          207-08-9      |    
       |             |          Benzo[ghi]perylene      |          191-24-2      |    
       |             |          Benzo[a]pyrene      |          50-32-8      |    
       |             |          Benzyl alcohol      |          100-51-6      |    
       |      Beryllium      |          Beryllium      |          (Total)      |    
       |             |          alpha-BHC      |          319-84-6      |    
       |             |          beta-BHC      |          319-85-7      |    
       |             |          delta-BHC      |          319-86-8      |    
       |             |          gamma-BHC; Lindane      |          58-89-9      |    
       |             |          Bis(2-chloroethoxy)methane      |          111-91-1      |    
       |             |          Bis(2-chloroethyl) ether; Dichloroethyl ether      |          111-44-4      |    
       |             |          Bis(2-chloro-1-methylethyl) ether; 2, 2'-Dichlorodiisopropyl    ether; DCIP      |          108-60-1, See note 4      |    
       |             |          Bis(2-ethylhexyl)phthalate      |          117-81-7      |    
       |      Bromochloromethane;.Chlorobromomethane      |          Bromochloromethane;.Chlorobromomethane      |          74-97-5      |    
       |      Bromodichloromethane;.Dibromochloromethane      |          Bromodichloromethane;.Dibromochloromethane      |          75-27-4      |    
       |      Bromoform; Tribromomethane      |          Bromoform; Tribromomethane      |          75-25-2      |    
       |             |          4-Bromophenyl phenyl ether      |          101-55-3      |    
       |             |          Butyl benzyl phthalate; Benzyl butyl phthalate      |          85-68-7      |    
       |      Cadmium      |          Cadium Cadmium      |          (Total)      |    
       |      Carbon disulfide      |          Carbon disulfide      |          75-15-0      |    
       |      Carbon tetrachloride      |          Carbon tetrachloride      |          56-23-5      |    
       |             |          Chlordane      |          Note 5      |    
       |             |          p-Chloroaniline      |          106-47-8      |    
       |      Chlorobenzene      |          Chlorobenzene      |          108-90-7      |    
       |             |          Chlorobenzilate      |          510-15-6      |    
       |             |          p-Chloro-m-cresol; 4-Chloro-3-methylphenol      |          59-50-7      |    
       |      Chloroethane; Ethyl chloride      |          Chloroethane; Ethyl chloride      |          75-00-3      |    
       |      Chloroform; Trichloromethane      |          Chloroform; Trichloromethane      |          67-66-3      |    
       |             |          2-Chloronaphthalene      |          91-58-7      |    
       |             |          2-Chlorophenol      |          95-57-8      |    
       |             |          4-Chlorophenyl phenyl ether      |          7005-72-3      |    
       |             |          Chloroprene      |          126-99-8      |    
       |      Chromium      |          Chromium      |          (Total)      |    
       |             |          Chrysene      |          218-01-9      |    
       |      Cobalt      |          Cobalt      |          (Total)      |    
       |      Copper      |          Copper      |          (Total)      |    
       |             |          m-Cresol; 3-methyphenol      |          108-39-4      |    
       |             |          o-Cresol; 2-methyphenol      |          95-48-7      |    
       |             |          p-Cresol; 4-methyphenol      |          106-44-5      |    
       |             |          Cyanide      |          57-12-5      |    
       |             |          2,4-D; 2,4-Dichlorophenoxyacetic acid      |          94-75-7      |    
       |             |          4,4'-DDD      |          72-54-8      |    
       |             |          4,4'-DDE      |          72-55-9      |    
       |             |          4,4'-DDT      |          50-29-3      |    
       |             |          Diallate      |          2303-16-4      |    
       |             |          Dibenz[a,h]anthracene      |          53-70-3      |    
       |             |          Dibenzofuran      |          132-64-9      |    
       |      Dibromochloromethane; Chlorodibromomethane      |          Dibromochloromethane; Chlorodibromomethane      |          124-48-1      |    
       |      1,2-Dibromo-3-chloropropane; DBCP      |          1,2-Dibromo-3-chloropropane; DBCP      |          96-12-8      |    
       |      1,2-Dibrimoethane; Ethylene dibromide; EDB      |          1,2-Dibrimoethane; Ethylene dibromide; EDB      |          106-93-4      |    
       |             |          Di-n-butyl phthalate      |          84-74-2      |    
       |      o-Dichlorobenzene; 1,2-Dichlorobenzene      |          o-Dichlorobenzene; 1,2-Dichlorobenzene      |          95-50-1      |    
       |             |          m-Dichlorobenzene; 1,3-Dichlorobenzene      |          541-73-1      |    
       |      p-Dichlorobenzene; 1,4-Dichlorobenzene      |          p-Dichlorobenzene; 1,4-Dichlorobenzene      |          106-46-7      |    
       |             |          3,3'-Dichlorobenzidine      |          91-94-2      |    
       |      trans-1,4-Dichloro-2-butene      |          trans-1,4-Dichloro-2-butene      |          110-57-6      |    
       |             |          Dichlorodifluoromethane; CFC 12;      |          75-71-8      |    
       |      1.1-Dichloroethane; Ethylidene chloride      |          1,1-Dichloroethane; Ethylidene chloride      |          75-34-3      |    
       |      1,2-Dichloroethane; Ethylene dichloride      |          1,2-Dichloroethane; Ethylene dichloride      |          107-06-2      |    
       |      1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          75-35-4      |    
       |      cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          156-59-2      |    
       |      trans-1,2-Dichloroethylene      |          trans-1,2-Dichloroethylene; trans-1,2-Dichroroethene      |          156-60-5      |    
       |             |          2,4-Dichlorophenol      |          120-83-2      |    
       |             |          2,6-Dichlorophenol      |          87-65-0      |    
       |      1,2-Dichloropropane; Propylene dichloride      |          1,2-Dichloropropane; Propylene dichloride      |          78-87-5      |    
       |             |          1,3-Dichloropropane; Trimethylene dichloride      |          142-28-9      |    
       |             |          2, 2-Dichloropropane; isopropylidene chloride      |          594-20-7      |    
       |             |          1,1-Dichloropropene      |          563-58-6      |    
       |      cis-1,3-Dichloropropene      |          cis-1,3-Dichloropropene      |          10061-01-5      |    
       |      trans-1,3-Dichloropropene      |          trans-1,3-Dichloropropene      |          10061-02-6      |    
       |             |          Dieldrin      |          60-57-1      |    
       |             |          Diethyl phthalate      |          84-66-2      |    
       |             |          O,O-Diethyl O-2-pyrazinyl phosphorothioate; Thionazin      |          297-97-2      |    
       |             |          Dimethoate      |          60-51-5      |    
       |             |          p-(Dimethylamino)azobenzene      |          60-11-7      |    
       |             |          7,12-Dimethylbenz[a]anthracene      |          57-97-6      |    
       |             |          3,3'-Dimethylbenzidine      |          119-93-7      |    
       |             |          2,4-Dimethylphenol; m-Xylenol      |          105-67-9      |    
       |             |          Dimethyl phthalate      |          131-11-3      |    
       |             |          m-Dinitrobenzene      |          99-65-0      |    
       |             |          4,6-Dinitro-o-cresol; 4,6-Dinitro-2-methylphenol      |          534-52-1      |    
       |             |          2,4-Dinitrophenol      |          51-28-5      |    
       |             |          2,4-Dinitrotoluene      |          121-14-2      |    
       |             |          2,6-Dinitrotoluene      |          606-20-2      |    
       |             |          Dinoseb; DNBP; 2-sec-Butyl-4,6-dinitrophenol      |          88-85-7      |    
       |             |          Di-n-octyl phthalate      |          117-84-0      |    
       |             |          Diphenylamine      |          122-39-4      |    
       |             |          Disulfoton      |          298-04-4      |    
       |             |          Endosulfan I      |          959-96-8      |    
       |             |          Endosulfan II      |          33213-65-9      |    
       |             |          Endosulfan sulfate      |          1031-07-8      |    
       |             |          Endrin      |          72-20-8      |    
       |             |          Endrin aldehyde      |          7421-93-4      |    
       |      Ethylbenzene      |          Ethylbenzene      |          100-41-4      |    
       |             |          Ethyl methacrylate      |          97-63-2      |    
       |             |          Ethylmethanesulfonate      |          62-50-0      |    
       |             |          Famphur      |          52-85-7      |    
       |             |          Fluoranthene      |          206-44-0      |    
       |             |          Fluorene      |          86-73-7      |    
       |             |          Heptachlor      |          76-44-8      |    
       |             |          Heptachlor epoxide      |          1024-57-3      |    
       |             |          Hexachlorobenzene      |          118-74-1      |    
       |             |          Hexachlorobutadiene      |          87-68-3      |    
       |             |          Hexachlorocyclopentadiene      |          77-47-4      |    
       |             |          Hexachloroethane      |          67-72-1      |    
       |             |          Hexachloropropene      |          1888-71-7      |    
       |      2-Hexanone; Methyl butyl ketone      |          2-Hexanone; Methyl butyl ketone      |          591-78-6      |    
       |             |          Indeno[1,2,3-cd]pyrene      |          193-39-5      |    
       |             |          Isobutyl alcohol      |          78-83-1      |    
       |             |          Isodrin      |          465-73-6      |    
       |             |          Isophorone      |          78-59-1      |    
       |             |          Isosafrole      |          120-58-1      |    
       |             |          Kepone      |          143-50-0      |    
       |      Lead      |          Lead      |          (Total)      |    
       |             |          Mercury      |          (Total)      |    
       |             |          Methacrylonitrile      |          126-98-7      |    
       |             |          Methapyrilene      |          91-80-5      |    
       |             |          Methoxychlor      |          72-43-5      |    
       |      Methyl bromide; Bromomethane      |          Methyl bromide; Bromomethane      |          74-83-9      |    
       |      Methyl chloride; Chloromethane      |          Methyl chloride; Chloromethane      |          74-87-3      |    
       |             |          3-Methylcholanthrene      |          56-49-5      |    
       |      Methyl ethyl ketone; MEK; 2-Butanone      |          Methyl ethyl ketone; MEK; 2-Butanone      |          78-93-3      |    
       |      Methyl iodide; Iodomethane      |          Methyl iodide; Iodomethane      |          74-88-4      |    
       |             |          Methyl methacrylate      |          80-62-6      |    
       |             |          Methyl methanesulfonate      |          66-27-3      |    
       |             |          2-Methylnaphthalene      |          91-57-6      |    
       |             |          Methyl parathion; Parathion methyl methyl      |          298-00-0      |    
       |      4-Methyl-2-pentanone; Methyl isobutyl ketone      |          4-Methyl-2-pentanone; Methyl isobutyl ketone      |          108-10-1      |    
       |      Methylene bromide; Dibromomethane      |          Methylene bromide; Dibromomethane      |          74-95-3      |    
       |      Methylene chloride; Dichloromethane      |          Methylene chloride; Dichloromethane      |          75-09-2      |    
       |             |          Naphthalene      |          91-20-3      |    
       |             |          1,4-Naphthoquinone      |          130-15-4      |    
       |             |          1- Naphthylamine      |          134-32-7      |    
       |             |          2-Napthylamine      |          91-59-8      |    
       |      Nickel      |          Nickel      |          (Total)      |    
       |             |          o-Nitroaniline; 2-Nitroaniline      |          88-74-4      |    
       |             |          m-Nitroaniline; 3-Nitroaniline      |          99-09-2      |    
       |             |          p-Nitroaniline; 4-Nitroaniline      |          100-01-6      |    
       |             |          Nitrobenzene      |          98-95-3      |    
       |             |          o-Nitrophenol; 2-Nitrophenol      |          88-75-5      |    
       |             |          p-Nitrophenol; 4-Nitrophenol      |          100-02-7      |    
       |             |          N-Nitrosodi-n-butylamine      |          924-16-3      |    
       |             |          N-Nitrosodiethylamine      |          55-18-5      |    
       |             |          N-Nitrosodimethylamine      |          62-75-9      |    
       |             |          N-Nitrosodiphenylamine      |          86-30-6      |    
       |             |          N-Nitrosodipropylamine; N-Nitroso-N-dipropylamine;    Di-n-propylnitrosamine      |          621-64-7      |    
       |             |          N-Nitrosomethylethalamine      |          10595-95-6      |    
       |             |          N-Nitrosopiperidine      |          100-75-4      |    
       |             |          N-Nitrosopyrrolidine      |          930-55-2      |    
       |             |          5-Nitro-o-toluidine      |          99-55-8      |    
       |             |          Parathion      |          56-38-2      |    
       |             |          Pentachlorobenzene      |          608-93-5      |    
       |             |          Pentachloronitrobenzene      |          82-68-8      |    
       |             |          Pentachlorophenol      |          87-86-5      |    
       |             |          Phenacetin      |          62-44-2      |    
       |             |          Phenanthrene      |          85-01-8      |    
       |             |          Phenol      |          108-95-2      |    
       |             |          p-Phenylenediamine      |          106-50-3      |    
       |             |          Phorate      |          298-02-2      |    
       |             |          Polychlorinated biphenyls; PCBS; Aroclors      |          Note 6      |    
       |             |          Pronamide      |          23950-58-5      |    
       |             |          Propionitrile; Ethyl cyanide      |          107-12-0      |    
       |             |          Pyrene      |          129-00-0      |    
       |             |          Safrole      |          94-59-7      |    
       |      Selenium      |          Selenium      |          (Total)      |    
       |      Silver      |          Silver      |          (Total)      |    
       |             |          Silvex; 2,4,5-TP      |          93-72-1      |    
       |      Styrene      |          Styrene      |          100-42-5      |    
       |             |          Sulfide      |          18496-25-8      |    
       |             |          2,4,5-T; 2,4,5-Trichlorophenoxyacetic acid      |          93-76-5      |    
       |             |          1,2,4,5-Tetrachlorobenzene      |          95-94-3      |    
       |      1,1,1,2-Tetrachloroethane      |          1,1,1,2-Tetrachloroethane      |          630-20-6      |    
       |      1,1,2,2-Tetrachloroethane      |          1,1,2,2-Tetrachloroethane      |          79-34-5      |    
       |      Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          127-18-4      |    
       |             |          2,3,4,6-Tetrachlorophenol      |          58-90-2      |    
       |      Thallium      |          Thallium      |          (Total)      |    
       |             |          Tin      |          (Total)      |    
       |      Toluene      |          Toluene      |          108-88-3      |    
       |             |          o-Toluidine      |          95-53-4      |    
       |             |          Toxaphene      |          Note 7      |    
       |             |          1,2,4-Trichlorobenzene      |          120-82-1      |    
       |      1,1,1-Trichloroethane; Methychloroform      |          1,1,1-Trichloroethane; Methychloroform      |          71-55-6      |    
       |      1,1,2-Trichloroethane      |          1,1,2-Trichloroethane      |          79-00-5      |    
       |      Trichloroethylene; Trichloroethene ethene      |          Trichloroethylene; Trichloroethene ethane      |          79-01-6      |    
       |      Trichlorofluoromethane; CFC-11      |          Trichlorofluoromethane; CFC-11      |          75-69-4      |    
       |             |          2,4,5-Trichlorophenol      |          95-95-4      |    
       |             |          2,4,6-Trichlorophenol      |          88-06-2      |    
       |      1,2,3-Trichloropropane      |          1,2,3-Trichloropropane      |          96-18-4      |    
       |             |          O,O,O-Triethyl phosphorothioate      |          126-68-1      |    
       |             |          sym-Trinitrobenzene      |          99-35-4      |    
       |      Vanadium      |          Vanadium      |          (Total)      |    
       |      Vinyl acetate      |          Vinyl acetate      |          108-05-4      |    
       |      Vinyl chloride; Chloroethene      |          Vinyl chloride; Chloroethene      |          75-01-4      |    
       |      Xylene(total)      |          Xylene(total)      |          Note 8      |    
       |      Zinc      |          Zinc      |          (Total)      |    
  
    NOTES:
    1Common names are those widely used in government  regulations, scientific publications, and commerce; synonyms exist for many  chemicals.
    2The corresponding Chemical Abstracts Service Index  name as used in the 9th Collective Index, may be found in Appendix II of 40 CFR  258.
    3Chemical Abstracts Service Registry Number. Where  "Total" is entered, all species in the groundwater that contains this  element are included.
    4This substance is often called  Bis(2-chloroisopropyl) ether, the name Chemical Abstracts Service applies to  its noncommercial isomer, Propane, 2.2'-oxybis2-chloro (CAS RN 39638-32-9).
    5Chlordane: This entry includes alpha-chlordane (CAS  RN 5103-71-9), beta-chlordane (CAS RN 5103-74-2), gamma-chlordane (CAS RN  5566-34-7), and constituents of chlordane (CAS RN 57-74-9 and CAS RN  12739-03-6).
    6Polychlorinated biphenyls (CAS RN 1336-36-3); this  category contains congener chemicals, including constituents of Aroclor 1016  (CAS RN 12674-11-2), Aroclor 1221 (CAS RN 11104-28-2), Aroclor 1232 (CAS RN  11141-16-5), Aroclor 1242 (CAS RN 53469-21-9), Aroclor 1248 (CAS RN  12672-29-6), Aroclor 1254 (CAS RN 11097-69-1), and Arclor 1260 (CAS RN  11096-82-5).
    7Toxaphene: This entry includes congener chemicals  contained in technical toxaphene (CAS RN 8001-35-2), i.e., chlorinated  camphene.
    8Xylene (total): This entry includes o-xylene (CAS  RN 96-47-6), m-xylene (CAS RN 108-38-3), p-xylene (CAS RN 106-42-3), and  unspecified xylenes (dimethylbenzenes) (CAS RN 1330-20-7).
         
          9VAC20-81-260. Corrective action program.
    A. Corrective action is required whenever one or more  groundwater protection standard is exceeded at statistically significant  levels. An owner or operator of a landfill may elect to initiate corrective  action at any time; however, prior to such initiation, the appropriate  groundwater protection standards for all Table 3.1 constituents shall be  established consistent with 9VAC20-81-250 A 6. At any time during the  corrective action process, the owner or operator may elect to pursue, or the  director can determine that, interim measures as defined under subsection F of  this section are required in accordance with subdivision E 3 of this section.
    B. The director may require periodic progress reports when a  corrective action program is required but not yet implemented. At any time  during the corrective action process, the owner or operate may elect to pursue,  or the director can determine that, interim measures as defined under  subsection F of this section are required in accordance with subdivision E 3 of  this section. 
    C. Characterization and assessment requirements. 
    1. Upon notifying the department that one or more of the  constituents listed in Table 3.1 Column B has been detected at a statistically  significant level exceeding the groundwater protection standards, the owner or  operator shall, unless department approval of an Alternate Source Demonstration  has been received as noted under 9VAC20-81-250 B 3 f (3) (a) (ii) or  9VAC20-81-250 C 3 c (3) (a) (ii):
    a. Characterization. Within 90 days, install additional  monitoring wells as necessary including the installation of at least one  additional monitoring well at the facility boundary in the direction of  contaminant migration sufficient to define the vertical and horizontal  extent of the release of constituents at statistically significant levels  exceeding the groundwater protection standards including the installation of  at least one additional monitoring well at the facility boundary in the  direction of contaminant migration. 
    b. Notification. Notify all persons who own the land or reside  on the land that directly overlies any part of the release if contaminants have  migrated offsite as indicated by the results of sampling of the  characterization wells installed under subdivision 1 a of this subsection  within 15 days of completion of the characterization sampling and analysis  efforts. 
    c. Assessment. Within 90 days, initiate an assessment of  corrective measures or a proposal for presumptive remedy. 
    d. Financial assurance. Within 120 days, provide additional  financial assurance in the amount of $1 million to the department using the  mechanisms required in 9VAC20-70-140 of the Financial Assurance Requirements  for Solid Waste Disposal, Transfer, and Treatment Facilities. 
    e. Public meeting. Prior to submitting the document required  under subdivision 1 f of this subsection, schedule and hold a public meeting to  discuss the draft results of the corrective measures assessment or the proposal  for presumptive remedy, prior to the final selection of remedy. The meeting  shall be held to the extent practicable in the vicinity of the landfill. The  process to be followed for scheduling and holding the public hearing is  described under subdivision 4 of this subsection. 
    f. Submission requirements. Within 180 days, submit the  completed assessment of corrective measures defined under subdivision 3 of this  subsection, or the proposal for presumptive remedies defined under subdivision  2 of this subsection, including any responses to public comments received. 
    g. Director allowance. The submission timeframe noted in  subdivision 1 f of this subsection may be extended by the director for good cause  upon request of the owner or operator. 
    2. Presumptive remedy  allowance. 
    a. Applicability. To expedite corrective action, in lieu of an  analysis meeting the requirements of subdivision 3 of this subsection, the  owner or operator of any facility monitoring groundwater in accordance with  9VAC20-81-250 C may propose a presumptive remedy for the landfill. 
    b. Options. The presumptive remedy for solid waste landfills  shall be limited to one or more of the following: 
    (1) Containment of the landfill mass, including an impermeable  cap; 
    (2) Control of the landfill leachate; 
    (3) Control of the migration of contaminated groundwater; 
    (4) Collection and treatment of landfill gas; and 
    (5) Reduction of saturation of the landfill mass. 
    Containment may be selected as a sole or partial remedy until  a determination is made under subdivision F 1 of this section that another  remedy shall be employed to meet the requirements of subdivision G 1 of this  section concerning remediation completion. Upon recognition that presumptive  remedies may not be able to achieve the groundwater protection standards, an  assessment of corrective measures shall be initiated within 90 days.
    c. Restrictions. Presumptive remedies are not applicable to:
    (1) Landfills monitoring groundwater under the Federal  Subtitle D equivalent program defined under 9VAC20-81-250 B when the use of the  presumptive remedy will be the sole remedy applied to the groundwater release;  or
    (2) Landfills that may monitor groundwater under 9VAC20-81-250  C but that exhibit contamination beyond facility boundaries unless the proposed  presumptive remedy option under subdivision 2 b of this subsection can be  demonstrated to show it will address the reduction of contamination already  present beyond the facility boundary, and the demonstration is approved by the  department. 
    d. Submission requirements. Owner or operators who wish to  propose use of the presumptive remedy allowance shall submit with the proposal,  signed by a qualified groundwater professional, an: 
    (1) Assessment of risks resulting from the contamination at  the disposal unit boundary and at the facility boundary; 
    (2) Evaluation of the current trends in groundwater quality  data with respect to the established groundwater protection standards; and
    (3) Anticipated schedule for initiating and completing  presumptive remedy-based remedial activities. 
    e. Implementation. Upon conducting a public meeting as  required under subdivision 4 of this subsection, submitting a corrective action  monitoring plan meeting subdivision D 1 of this section, and amending modifying  the landfill permit in accordance with 9VAC20-81-600 F 2, the owner or operator  may proceed with the implementation of the remedy in accordance with  subdivision E 1 of this section. 
    f. Evaluation and response. The owner or operator shall  provide an evaluation of the performance of the implemented presumptive remedy  every three years, unless an alternate schedule is approved by the director, in  a Corrective Action Site Evaluation report containing, at a minimum, the  following information: 
    (a) A description of how the presumptive remedy is performing  with respect to the conditions in subdivision H 1 of this section;
    (b) Current and historical groundwater data and analysis; 
    (c) An evaluation of the changes seen in groundwater  contamination after the implementation of the remedy and a projection of when  the conditions in subdivision H 1 of this section will be achieved; and 
    (d) The progress toward achieving the schedule required in  subdivision C 2 d (3) of this section. 
    3. Assessment of corrective measures. 
    a. Purpose. The assessment shall include an analysis of the  effectiveness of several potential corrective measures in meeting all of the  requirements and objectives of the remedy as described under this subsection,  addressing at least the following: 
    (1) The performance, reliability, implementation ease, and  potential impacts of appropriate potential remedies, including safety impacts,  cross-media impacts, and control of exposure to any residual contamination; 
    (2) The time required to begin and complete the remedy; 
    (3) The costs of remedy implementation; and 
    (4) The institutional requirements such as state or local  permit requirements or other environmental or public health requirements that  may substantially affect implementation of the remedies. 
    b. Requirements. As part of the assessment of corrective  measures submitted to the department for review, the owner or operator must  demonstrate that one or more possible groundwater remedy has been evaluated for  potential application on site. These remedies may include a specific technology  or combination of technologies that achieve or may achieve the standards for  remedies specified in subdivision 3 c (1) of this subsection given appropriate  consideration of the factors specified in subdivision D 1 a of this section. 
    c. Selection of remedy. As part of submission of the  assessment of corrective measures document, the owner or operator shall select  a remedy that, at a minimum, meets the standards listed in subdivision H 1 of  this section. 
    (1) The selected remedies to be included in the corrective  action plan shall: 
    (a) Be protective of human health and the environment; 
    (b) Attain the groundwater protection standard as specified  pursuant to 9VAC20-81-250 A 6; 
    (c) Control the sources of releases so as to reduce or  eliminate, to the maximum extent practicable, further releases of solid waste  constituents into the environment that may pose a threat to human health or the  environment; and 
    (d) Comply with standards for management of wastes. 
    d. Evaluation and response. The department shall review the  assessment of corrective measures to evaluate the proposed remedy and may  require revisions to the assessment. If the assessment is approved without  revision, the department will notify the owner or operator to prepare a written  corrective action plan based on the proposed remedy and such plan will be  submitted within 180 days of the department's notification of approval of the  assessment of corrective measures. 
    4. Public meeting process. As part of the public meeting  process completed prior to the submission of a proposal for presumptive remedy  or assessment of corrective measures: 
    a. Newspaper notice. The owner or operator must publish a  notice once a week for two consecutive weeks in a major local newspaper of  general circulation inviting public comment on the results of the corrective  measures assessment or proposal for presumptive remedy as applicable. The  notice shall include: 
    (1) The name of the landfill, its location, and the date,  time, and place for the public meeting, and the beginning and ending dates for  the 30-day comment period. The public meeting shall be held at a time  convenient to the public. The comment period will begin on the date the owner  or operator publishes the notice in the local newspaper;
    (2) The name, telephone, and address of the owner's or  operator's representative who can be contacted by the interested persons to  answer questions or where comments shall be sent; 
    (3) Location where copies of the documentation to be submitted  to the department in support of the corrective measures assessment or proposal  of presumptive remedy can be viewed and copied prior to the meeting; 
    (4) A statement indicating that the need to perform the  corrective measures assessment or presumptive remedy is a result of a  statistically significant increase in one or more groundwater protection  standards; and 
    (5) A statement that the purpose of the public meeting is to  acquaint the public with the technical aspects of the proposal, describe how  the requirements of these regulations will be met, identify issues of concern,  facilitate communication, and establish a dialogue between the permittee and  persons who may be affected by the landfill.
    b. Document review. The owner or operator shall place a copy  of the report and supporting documentation in a location accessible to the  public during the public comment period in the vicinity of the proposed  landfill. 
    c. Meeting timeframe. The owner or operator shall hold a  public meeting within a timeframe that allows for the submission of a completed  assessment of corrective measures or presumptive remedy within 180 days of  notifying the department of a groundwater protection standard exceedance or as  granted under subdivision 1 g of this subsection. The meeting must be scheduled  and held:
    (1) No earlier than 15 days after the publication of the  notice; and
    (2) No later than seven days before the close of the 30-day  comment period.
    D. Corrective action plan and monitoring plan. 
    1. The owner or operator shall submit to the department a  Corrective Action Plan (CAP) and related Corrective Action Monitoring Plan  (CAMP) consistent with the findings as presented in the assessment of  corrective measures required under subdivision C 3 of this section, or proposal  for presumptive remedy described under subdivision C 2 of this section.
    a. Requirements. In preparing a proposed corrective action  plan, the owner or operator will consider the following evaluation factors: 
    (1) The long-term and short-term effectiveness and  protectiveness of the potential remedies, along with the degree of certainty  that the remedy will prove successful based on consideration of the following: 
    (a) Magnitude of reduction of existing risks; 
    (b) Magnitude of residual risks in terms of likelihood of  further releases due to waste remaining following implementation of a remedy; 
    (c) The type and degree of long-term management required,  including monitoring, operation, and maintenance; 
    (d) Short-term risks that might be posed to the community,  workers, or the environment during implementation of such a remedy, including  potential threats to human health and the environment associated with  excavation, transportation, and redisposal or containment; 
    (e) Time until full protection is achieved; 
    (f) Potential for exposure of humans and environmental  receptors to remaining wastes, considering the potential threat to human health  and the environment associated with excavation, transportation, re-disposal, or  containment; 
    (g) Long-term reliability of the engineering and institutional  controls; and 
    (h) Potential need for replacement of the remedy. 
    (2) The effectiveness of the remedy in controlling the source  to reduce further releases based on consideration of the following factors: 
    (a) The extent to which containment practices will reduce  further releases; 
    (b) The extent to which treatment technologies may be used; 
    (c) Magnitude of reduction of existing risks; and 
    (d) Time until full protection is achieved. 
    (3) The ease or difficulty of implementing a potential remedy  based on consideration of the following types of factors: 
    (a) Degree of difficulty associated with constructing the  technology; 
    (b) Expected operational reliability of the technologies; 
    (c) Need to coordinate with and obtain necessary approvals and  permits from other agencies; 
    (d) Availability of necessary equipment and specialists; and 
    (e) Available capacity and location of needed treatment,  storage, and disposal services. 
    (4) Practicable capability of the owner or operator, including  a consideration of the technical and economic capability. At a minimum the  owner or operator must consider capital costs, operation and maintenance costs,  net present value of capital and operation and maintenance costs, and potential  future remediation costs. 
    (5) Ensure that all solid wastes that are managed while  undergoing corrective action or an interim measure shall be managed in a  manner: 
    (a) That is protective of human health and the environment;  and 
    (b) That complies with all applicable federal and Virginia  requirements. 
    (6) The degree to which community concerns raised as the  result of the public meeting required by subdivision C 4 of this section are  addressed by the potential remedy. 
    b. Implementation and completion timeframes. The owner or  operator shall specify as part of the selected remedy a schedule for initiating  and completing remedial activities. Such a schedule shall require the  initiation of remedial activities within a reasonable period of time taking into  consideration the factors set forth in this section. The owner or operator  shall consider the following factors in determining the schedule of remedial  activities: 
    (1) Extent and nature Nature and extent of  contamination; 
    (2) Practical capabilities of remedial technologies in  achieving compliance with groundwater protection standards established under  9VAC20-81-250 A 6 and other objectives of the remedy; 
    (3) Availability of treatment or disposal capacity for wastes  managed during implementation of the remedy; 
    (4) Desirability of utilizing technologies that are not  currently available, but which may offer significant advantages over already  available technologies in terms of effectiveness, reliability, safety, or  ability to achieve remedial objectives; 
    (5) Potential risks to human health and the environment from  exposure to contamination prior to completion of the remedy; 
    (6) Resource value of the aquifer including: 
    (a) Current and future uses; 
    (b) Proximity and withdrawal rates of users; 
    (c) Groundwater quantity and quality; 
    (d) The potential damage to wildlife, crops, vegetation, and  physical structures caused by exposure to the waste constituents; 
    (e) The hydrological characteristics of the landfill and  surrounding land; 
    (f) Groundwater removal and treatment costs; and 
    (g) The cost and availability of alternate water supplies; 
    (7) Practical capability of the owner or operator; 
    (8) Timeframes for periodic progress reports during design,  construction, operation, and maintenance. Items to consider when preparing the  reports include but are not limited to: 
    (a) Progress of remedy implementation; 
    (b) Results of monitoring and sampling activities; 
    (c) Progress in meeting cleanup standards; 
    (d) Descriptions of remediation activities; 
    (e) Problems encountered during the reporting period and  actions taken to resolve problems; 
    (f) Work for next reporting period;
    (g) Copies of laboratory reports including drilling logs,  QA/QC documentation, and field data; and
    (9) Other relevant factors. 
    c. Corrective action monitoring program. Any groundwater  monitoring program to be employed during the corrective action process: 
    (1) Shall at a minimum, meet the requirements of the  applicable groundwater monitoring program described under 9VAC20-81-250 B 3 or  C 3; 
    (2) Shall determine the horizontal and vertical extent of the  plume of contamination for constituents at statistically significant levels  exceeding background concentrations; 
    (3) Can be used to demonstrate the effectiveness of the  implemented corrective action remedy; and 
    (4) Shall demonstrate compliance with the groundwater  protection standard established under 9VAC20-81-250 A 6. 
    2. The proposed corrective action plan shall be submitted to  the director for approval. Prior to rendering his approval, the director may: 
    a. Request an evaluation of one or more alternative remedies; 
    b Request technical modification of the monitoring program; 
    c. Request a change in the time schedule; or 
    d. Determine that the remediation of the release of Table 3.1  constituents is not necessary if the owner or operator demonstrates to the  satisfaction of the director that: 
    (1) The groundwater is additionally contaminated by substances  that have originated from a source other than the landfill in a demonstration  meeting the requirements of 9VAC20-81-250 A 5 and those substances are present  in concentrations such that cleanup of the release from the landfill would  provide no significant reduction in risk to actual or potential receptors;
    (2) The constituent is present in groundwater that is not  currently or reasonably expected to be a source of drinking water and not  hydraulically connected with waters to which the constituents are migrating or  are likely to migrate in a concentration that would exceed the groundwater  protection standards established;
    (3) Remediation of the release is technically impracticable;  or 
    (4) Remediation results in unacceptable cross-media impacts. 
    3. A determination by the director pursuant to subdivision 2 d  of this subsection shall not affect the authority of the state to require the  owner or operator to undertake source control measures or other measures that  may be necessary to eliminate or minimize further releases to the groundwater,  to prevent exposure to the groundwater, or to remediate the groundwater to  concentrations that are technically practicable and significantly reduce  threats to human health or the environment. 
    4. After an evaluation of the proposed or revised plan, the  director will: 
    a. Approve the proposed corrective action plan as written;
    b. Approve the proposed corrective action plan as modified by  the owner or operator;
    c. Proceed with the permit amendment modification  process in accordance with 9VAC20-81-600 F 2; or 
    d. Disapprove the proposed corrective action plan and undertake  appropriate containment or clean up actions in accordance with § 10.1-1402  (18) of the Virginia Waste Management Act. 
    E. Remedy implementation. Upon completion of the permit amendment  modification action described under subdivision D 4 c of this section,  the owner or operator shall: 
    1. Monitoring program. Implement a corrective action  groundwater monitoring program meeting the requirements of subdivision D 1 c of  this section;
    2. Remedy. Implement the remedy described in the Corrective  Action Plan and the Permit as amended under subdivision D 4 c of this section;  and 
    3. Interim measures. Take any interim measures necessary to  ensure the protection of human health and the environment as described in  subsection F of this section.
    F. Interim measures. 
    1. To the greatest extent practicable, interim measures shall  be consistent with the objectives of and contribute to the performance of any  remedy that may be required pursuant to meeting the groundwater protection  standard. 
    2. Should the director require interim measures pursuant to  this section, the director will notify the owner or operator of the necessary  actions required. Such actions will be implemented as soon as practicable in  accordance with a schedule as specified by the director. 
    3. The following factors shall be considered in determining  whether interim measures are necessary: 
    a. Timeframes. Time required to develop or implement a final  remedy; 
    b. Exposure. Actual or potential exposure of nearby  populations or environmental receptors to hazardous constituents; 
    c. Drinking water. Actual or potential contamination of  drinking water supplies; 
    d. Resource degradation. Further degradation of the  groundwater that may occur if remedial action is not initiated expeditiously; 
    e. Migration potential. Weather conditions that may cause the  constituents to migrate or be released; 
    f. Accident. Risks of fire or explosion, or potential for  exposure to constituents as a result of an accident or failure of a container  or handling system; and 
    g. Other. Situations including the presence of wastes or other  contaminants that may pose threats to human health, sensitive ecosystems, and  the environment. 
    G. Remedy performance. 
    1. The owner or operator shall provide an evaluation of the  performance of the remedy consistent with the timeframes established in the  permit and present the findings in a Corrective Action Site Evaluation report.  The evaluation shall describe the progress toward achieving the groundwater  protection standards since implementation of the remedy. 
    2. An owner or operator or the director may determine, based  on information developed after implementation of the remedy or other  information contained in the evaluation, that compliance with requirements of  subdivision H 1 of this section are not being achieved through the remedy  selected. In such cases, the owner or operator shall implement other methods or  techniques that could practicably achieve compliance with the requirements,  unless the owner or operator makes the determination under subdivision G 3 of  this section. 
    3. If the owner or operator determines that groundwater  protection standards cannot be practically achieved with any currently  available methods, the owner or operator shall, within 90 days of recognizing  that condition: 
    a. Submit a report, certified by a qualified groundwater  scientist, for director approval, that demonstrates that compliance with  groundwater protection standards established under 9VAC20-81-250 A 6 cannot be  practically achieved with any currently available groundwater remedial methods;  
    b. Upon receiving director approval under subdivision 2 a  3 a of this subsection, implement alternate measures to control exposure  of humans or the environment to residual contamination that will remain as a  result of termination of remedial actions, as necessary to protect human health  and the environment;
    c. Implement alternate measures for removal or decontamination  of any remediation-related equipment, units, devices, or structures that are: 
    (1) Technically practicable; and 
    (2) Consistent with the overall objective of the remedy; and
    d. At least 14 days prior to implementing the alternate  measures, Submit submit a request for approval to the director  describing and justifying the alternate measures to be applied. 
    H. Remedy completion.
    1. The groundwater remedy implemented under corrective action  shall be considered complete when: 
    a. The owner or operator complies with the groundwater  protection standards at all points within the plume of contamination that lie  at or beyond the disposal unit boundary by demonstrating that no Table 3.1  Column B constituents have exceeded groundwater protection standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards as described under 9VAC20-81-250 D; and
    b. All other actions required as part of the remedy have been  satisfied or completed, and the owner or operator obtains the certification  required under subdivision H 2 of this section. 
    2. Upon completion of the remedy, the owner or operator shall  notify the director within 14 days by submitting a certification that the  remedy has been completed in compliance with the requirements of the Corrective  Action Plan and the permit as amended modified under subdivision  D 4 c of this section. 
    3. The certification shall be signed by the owner or operator  and by a qualified groundwater scientist, and shall include all data relevant  to the demonstration of a successful remedy completion. 
    4. If the director, based on the review of information presented  under subdivision H 3 of this section, determines that:
    a. The corrective action remedy has been completed in  accordance with the requirements of the Corrective Action Plan, the permit as  amended, and subdivision H 1 of this section, the director will release the  owner or operator from the requirements for financial assurance for corrective  action under 9VAC20-70; or
    b. The remedy has not yet achieved completion, the owner or  operator shall remain in corrective action and meet the financial assurance requirements  until such time as a successful demonstration and certification can be made. 
    Part IV 
  Other Solid Waste Management Facility Standards: 
  Compost Facilities; Solid Waste Transfer Stations; Centralized Waste Treatment  Facilities; Materials Recovery Facilities; Waste to Energy; Incineration  Facilities; Surface Impoundments and Lagoons; Waste Piles; Remediation Waste  Management Units; Landfill Mining; Miscellaneous Units; and Exempt Management  Facilities
    9VAC20-81-300. General.
    A. Any person who designs, constructs, or operates any solid  waste treatment or storage facility not otherwise exempt under 9VAC20-81-35  D 9VAC20-81-95 shall comply with the requirements of this part. In  addition, this part sets forth conditions that yard waste composting facilities  must meet to maintain their exempt status, where applicable, under 9VAC20-81-95  D 6. Further, all applications pursuant to these standards shall demonstrate  specific means proposed for compliance with requirements set forth in this  part.
    B. All facilities, except exempted facilities, shall be  maintained and operated in accordance with the permit issued or permit-by-rule  status pursuant to this regulation. All facilities shall be maintained and  operated in accordance with the approved design and intended use of the  facility. 
    C. Hazardous wastes shall not be disposed or managed in  facilities subject to this regulation unless specified in the permit or by  specific approval of the executive director. 
    D. Solid waste management facilities regulated under this  part that place solid wastes or residues on site for disposal, or leave such  wastes or residues in place after closure, are subject to the provisions of  Part III (9VAC20-81-100 et seq.) of this chapter, including:
    1. Groundwater monitoring requirements in 9VAC20-81-250;
    2. Closure and postclosure care requirements in 9VAC20-81-160  and 9VAC20-81-170; and
    3. Permitting requirements of Part V (9VAC20-81-400 et seq.)  of this chapter.
    E. All other facilities shall close in accordance with the  closure plan prepared per the requirements described in this part and  9VAC20-81-480, as applicable.
    F. Control program for unauthorized waste. Facilities  managing solid waste per activities exempted under the provisions of  9VAC20-81-95 are not required to implement the control program for unauthorized  waste as provided in this section.
    1. Solid waste treatment or storage facilities regulated under  this part shall implement a control program for unauthorized waste in  accordance with the following provisions. The owner or operator of the facility  shall:
    a. Place a written description of the control program for  unauthorized waste in the facility's operating manual; 
    b. Institute a control program (including measures such as  signs at all maintained access points indicating hours of operation and the  types of solid waste accepted and not accepted, monitoring, alternate  collection programs, passage of local laws, etc.) to assure that only solid  waste authorized by the department to be managed at the solid waste management  facility is being managed there; and
    c. Develop and implement a program to teach the solid waste  management facility's staff to recognize, remove, and report receipt of solid  waste not authorized by the department to be managed at the solid waste  management facilities.
    2. If unauthorized waste is observed in the waste delivered to  the facility prior to unloading, the owner or operator may refuse to accept the  waste. If the unauthorized waste is observed in the waste delivered to the  facility, the owner or operator shall segregate it, notify the generator,  document the incident in the operating record, make necessary arrangements to  have the material managed in accordance with applicable federal and state laws,  and notify the department of the incident to include the means of proper  handling. If the unauthorized waste is accepted, the owner or operator shall  remove it, segregate it, and provide to the department a record identifying  that waste and its final disposition. Any unauthorized waste accepted by the  owner or operator shall be managed in accordance with applicable federal or  state laws and regulations. Unauthorized waste that has been segregated shall  be adequately secured and contained to prevent leakage or contamination to the  environment. The solid waste management facility owner or operator shall have  the unauthorized waste removed or properly managed as soon as practicable, but  not to exceed 90 days after discovery. Removal shall be by a person authorized  to transport such waste to a waste management facility approved to receive it  for treatment, disposal, or transfer.
    3. Owners or operators of waste to energy or incinerator  facilities receiving waste generated outside of Virginia shall also comply with  the increased random inspection provisions in 9VAC20-81-340 E 3.
    G. Solid waste management facilities regulated under this  part that store waste tires shall also adhere to the requirements of  9VAC20-81-640 for the waste tire storage. 
    9VAC20-81-397. Exempt yard waste composting facilities.
    A. Applicability.
    1. The standards in subsection B of this section apply to  persons who compost vegetative waste in a manner described in the conditional  exemption set forth at 9VAC20-81-95 D.
    2. The standards in subsection C of this section apply to  persons who operate small vegetative waste disposal units on their property.
    B. Composting of yard waste. Additional requirements for  managing conditionally exempt yard waste compost facilities, described under  9VAC20-81-95 D 6, are as follows: 
    1. Owners or operators of agricultural operational activities  that accept only yard waste generated offsite are exempt from all other  provisions of this chapter as applied to the composting activities provided  that:
    a. The total time for composting process and storage of  material that is being composted shall not exceed 18 months prior to its field  application or sale as a horticultural or agricultural product;
    b. No waste material other than yard waste is received;
    c. The total amount of yard waste received from offsite never  exceeds 6,000 cubic yards in any consecutive 12-month period;
    d. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;
    e. They pose no nuisance or present or potential threat to  human health or the environment; and
    f. Before receiving any waste, the owner submits a complete  DEQ Form YW-3:
    2. Owners or operators of agricultural operations that accept  only Category I yard waste feedstocks and manures from herbivorous  animals generated offsite are exempt from all other provisions of this chapter  as applied to the composting activities provided that:
    a. The composting area is located not less 300 feet from a  property boundary of a parcel owned or controlled by another person, is located  not less than 1,000 feet from an occupied dwelling not located on the same  property as the composting area, and is not located within an area designated  as a flood plain;
    b. The agricultural operation has at least one acre of ground  suitable to receive yard waste for each 150 cubic yards of finished compost;
    c. The total time for the composting process and storage of  material that is being composted or has been composted shall not exceed 18  months prior to the field application or sale as horticultural or agricultural  product;
    d. The owner or operator of any agricultural operation that  receives in any 12-month period (consecutive) more than 6,000 cubic yards of  waste generated from property not within the control of the owner or the  operator shall submit by April 1 each year to the director an annual report in  accordance with subdivision 4 of this subsection describing the volume and  types of yard waste received for composting by the operation between January 1  and December 31 of the preceding consecutive 12 months and shall certify that  the yard waste composting facility complies with local ordinances; 
    e. No waste material other than yard waste and manures from  herbivorous animals are received;
    f. The quantities of offsite manures from herbivorous animals  brought onsite are limited to achieve a carbon to nitrogen ratio of 25:1 to  40:1. All manures must be incorporated into the compost within 24 hours of  delivery. No offsite manures may be stored onsite; and
    g. Prior to the receipt of solid waste generated offsite, the  owner or operator of the agricultural operation intending to operate under this  exemption shall submit a complete DEQ Form YW-4.
    3. Owners or other persons authorized by the owner of real  property who receive only yard waste generated offsite for the purpose of  producing compost on said property shall be exempt from all requirements of  this chapter as applied to the composting activity provided that: 
    a. Not more than 500 cubic yards of yard waste generated  offsite is received at the owner's said property in any consecutive 12-month  period; 
    b. No compensation will be received, either directly or  indirectly, by the owner or other persons authorized by the owner of said  property from parties providing yard waste generated off said property; 
    c. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;  and 
    d. They pose no nuisance or present or potential threat to  human health or the environment.
    4. Owners or operators of an agricultural composting operation  in accordance with subdivision 2 of this subsection, who are exempt from the  permitting requirements in accordance with 9VAC20-81-95 D and who may receive  more than 6,000 cubic yards of yard waste generated from property not within  the control of the owner or operator in any 12-month period shall submit an  annual report on DEQ Form YW-2. The report shall describe the volume and  types of yard waste received for composting. Completion and filing of the form  by July 15 April 1 for activities in the preceding 12 months  (January 1 through December 31) constitutes compliance with the requirements.  The annual report shall be submitted on DEQ Form YW-2.
    C. Small disposal units for vegetative wastes from land  clearing. Additional requirements for managing small disposal units for  vegetative waste from land clearing as exempted under 9VAC20-81-95 D 17 are as  follows:
    Owners of real property who operate small waste disposal  units that qualify under all the conditions of this subsection shall be exempt  from other provisions, including permitting, of this chapter as applied to  those units provided:
    1. No person other than the owner of the real property shall  be exempt under this section.
    2. All owners of the real property who hold title to property  at the time the disposal unit is initially opened or during the time the unit  remains open (limited to two calendar years below) shall, in the exercise of  this exemption, accept responsibility for maintaining compliance of the unit  with all requirements of this chapter as set out in this exemption.
    3. The owner agrees that he shall not sell, give, or otherwise  transfer the responsibility for the unit's compliance to any other party  throughout its active life, the postclosure care period, and the corrective  action period, and that he shall remain the principal party responsible for the  compliance of the unit with this chapter. 
    4. Only units that are in compliance with all requirements of  this section shall qualify, and units that are not in compliance with all  requirements of this section shall not qualify or shall cease to qualify. Units  that qualify for this exemption shall comply with the following requirements:
    a. Only vegetative waste or yard waste shall be placed in the  disposal unit; however, grass trimmings or bulk leaves shall not be placed in  the disposal unit.
    b. The waste disposal unit shall not be larger than 0.50 acres  in size.
    c. The waste disposal unit shall not be located within 1,000  feet of any other waste disposal unit of any type, including other disposal  units exempted by this chapter.
    d. The waste disposal unit shall not be located within 150  feet of any existing building or planned building. The waste disposal unit  shall not be located within 50 feet of any existing or planned subdivision lot  that may be used for the erection of a building.
    e. The waste disposal unit shall not be located within 100  feet of a flowing stream; body of water; any well, spring, sinkhole, or  unstable geologic feature. Also, it shall not be located within 200 feet of any  groundwater source of drinking water.
    f. The waste disposal unit shall be constructed to separate  all waste by at least two feet vertically from the seasonal high water table.
    g. The waste disposal unit should not obstruct the scenic view  from any public road and should be graded to present a good appearance.
    h. Mounding of the waste disposal unit shall not reach an  elevation more than 20 feet above the original elevation of the terrain before  the disposal began. The elevation of the original terrain should be based on  the general area and not the bottom of ravines and small depressions in the  disposal area.
    i. The waste received by the waste disposal unit shall be  limited to the following:
    (1) Waste generated onsite;
    (2) Waste generated by clearing the path of a roadway or  appurtenances to the roadway when buried within the right-of-way of the roadway  (waste shall not be buried in the structural roadway prism) or adjacent land  under a permanent easement and the terms of the easement incorporate the  construction of the disposal unit; and
    (3) Waste from property that is owned by the owner of the  disposal unit, within the same construction project, and generated not more  than two miles from the unit.
    j. The waste disposal unit shall be closed two calendar years  from the date it first receives waste. The closure shall include cover with two  feet of compacted soil, grading for good appearance with slopes that prevent  erosion, and seeding or revegetation. During the life of the unit, earthen material  should be applied periodically to prevent excessive subsidence of the waste  disposal unit when closed. Sides of the finished unit shall be sloped to  prevent erosion, and slopes shall not be steeper than one vertical foot to  three horizontal feet.
    k. The location plat and legal description, as set out in  subdivision 4 p of this subsection, of all units that are not located wholly  within the bed or right-of-way of a public road shall be recorded in the deed  book for the property in the court of record prior to the first receipt of  waste. Waste disposal shall not be allowed within the structural roadway prism.
    l. The owner shall maintain continuous control of access to  all disposal units from the time they are opened until they are closed in  accordance with this section. The owner shall prevent fires and provide standby  equipment and supplies sufficient to easily suppress a fire. Brush and small  limbs that might provide tinder for a fire shall be covered at the end of the  work day with one foot of soil.
    m. The owner shall not be exempt from the CDD landfill  groundwater monitoring and corrective action requirements of 9VAC20-81-250 and  9VAC20-81-260, respectively, to include required monitoring during the  postclosure period.
    n. The owner shall not be exempt from the decomposition gas  monitoring and venting requirements of 9VAC20-81-210. The owner of a small  waste disposal unit shall comply in all respects with the decomposition gas  monitoring and venting requirements as established in this chapter.
    o. The owner shall not be exempt from any requirement of the  Financial Assurance Regulations For Solid Waste Disposal Facilities,  (9VAC20-70), and shall comply with all financial assurance requirements.
    p. At least six weeks before beginning construction of a  vegetative waste disposal unit, the owner of the real property shall notify in  writing the director, the governing board of the city, county, or town wherein  the property lies, and all property owners whose parcel will abut the area of  the proposed disposal unit. The notice shall give the names and legal addresses  of the owners, the type of unit to be developed, and the projected date of  initial construction of the unit. The owner shall include a plat and legal  description of the disposal unit's metes and bounds prepared and stamped by a  Virginia licensed land surveyor. The plat and description shall follow all  standard practice such as inclusion of the nearest existing intersection of  state roads and existing fixed survey markers in the vicinity.
    q. Unless otherwise designated, all monitoring and reporting  requirements shall begin at the initiation of the disposal operations and all  reports shall be sent to the department and the chief executive of the local  government. 
    9VAC20-81-470. Part B permit application for solid waste l  disposal facilities.
    Part B permit application requirements for all solid waste  disposal facilities regulated under Part III (9VAC20-81-100 et seq.) are  contained in this section. The Part B applications shall include the following  requirements and documentation: 
    A. Plans submitted as part of the Part B application shall  include the following: 
    1. Design plans. Design plans shall be certified by a  professional engineer and shall consist of, at least, the following: 
    a. A title sheet indicating the project title, who prepared  the plans, the person for whom the plans were prepared, a table of contents,  and a location map showing the location of the site and the area to be served. 
    b. An existing site conditions plans sheet indicating site  conditions prior to development. 
    c. A base grade plan sheet indicating site base grades or the  appearance of the site if it were excavated in its entirety to the base  elevation, before installation of any engineering modifications or the  beginning of any filing. 
    d. An engineering modification plan sheet indicating the  appearance of the site after installation of engineering modifications. More  than one plan sheet may be required for complicated sites. This plan is  required only for those sites with engineering modifications. 
    e. A final site topography plan sheet indicating the  appearance of the site, and final contours of the site at closing including the  details necessary to prepare the site for long-term care. 
    f. A series of phasing plan sheets showing the progression of  site development through time. At a minimum, a separate plan shall be provided  for initial site preparations and for each subsequent major phase or new area  where substantial site preparation must be performed. Each such plan shall  include a list of construction items and quantities necessary to prepare the  phase indicated. 
    g. A site monitoring plan showing the location of all devices  for the monitoring of leachate production, groundwater quality, and gas  production and venting. This plan shall include a table indicating the  parameters to be monitored for the frequency of monitoring before and during  site development. The groundwater monitoring plan shall include information as  applicable under 9VAC20-81-250 or 9VAC20-81-260. 
    h. A series of site cross-sections shall be drawn  perpendicular and parallel to the site base line at a maximum distance of 500  feet between cross-sections and at points of grade break and important  construction features. The location of the cross-sections shall be shown on the  plan sheets and the section labeled using the site grid system. Where  applicable, each cross-section shall show existing, proposed base and final  grades; soil borings and monitoring wells that the section passes through or is  adjacent to; soil types, bedrock and water table; leachate control, collection,  and monitoring systems; limits of filling for each major waste type; drainage  control structures; access roads and ramps on the site parameter perimeter  and within the active fill area; the filling sequence or phases; and other site  features. 
    i. Detailed drawings and typical sections for drainage control  structures, access roads, fencing, leachate and gas control systems, and  monitoring devices, buildings, signs, and other construction details. 
    j. Plan sheets shall include: 
    (1) A survey grid with base lines and bench marks to be used  for field control. 
    (2) Limits of filling for each major waste type or fill area. 
    (3) All drainage patterns and surface water drainage control  structures both within the actual fill area and at the site perimeter. Such  structures may include berms, ditches, sedimentation basins, pumps, sumps,  culverts, pipes, inlets, velocity breaks, sodding, erosion matting, or other  methods of erosion control. 
    (4) Ground surface contours at the time represented by the  drawing. Spot elevations shall be indicated for key features. 
    (5) Areas to be cleared and grubbed and stripped of topsoil. 
    (6) Borrow areas for liner materials, gas venting materials,  berms, roadway construction, daily cover, and final cover. 
    (7) All soil stockpiles including daily and final cover,  topsoil, liner materials, gas venting materials, and other excavation. 
    (8) Access roads and traffic flow patterns to and within the  active fill area. 
    (9) All temporary and permanent fencing. 
    (10) The methods of screening such as berms, vegetation, or  special fencing. 
    (11) Leachate collection, control, storage, and treatment  systems that may include pipes, manholes, trenches, berms, collection sumps,  storage units, pumps, risers, liners, and liner splices. 
    (12) Gas, leachate, and groundwater monitoring devices and  systems. 
    (13) Severe weather solid waste disposal areas. 
    (14) Support buildings, scale, utilities, gates, and signs. 
    (15) Special waste handling areas. 
    (16) Construction notes and references to details. 
    (17) Other site features. 
    2. Closure plan. A detailed closure plan be prepared and  submitted. Such a plan shall be prepared in two parts, one reflecting those  measures to be accomplished at the midpoint of the permit period, and the other  when the useful life of the landfill is reached. The plan shall show how the  facility will be closed to meet the requirements of 9VAC20-81-160 and  9VAC20-81-170. The plan shall include the procedures to be followed in closing  the site, sequence of closure, time schedules, final plans of completion of  closure to include final contours, and long-term care plan sheets showing the  site at the completion of closing and indicating those items anticipated to be  performed during the period of long-term care for the site. The plans shall  include a table listing the items and the anticipated schedule for monitoring  and maintenance. In many instances this information can be presented on the  final site topography sheet. 
    3. Postclosure plan. A postclosure care plan containing  long-term care information including a discussion of the procedures to be  utilized for the inspection and maintenance of: run-off control structures;  settlement; erosion damage; gas and leachate control facilities; monitoring for  gas, leachate, and groundwater; and other long-term care needs. 
    B. A design report shall be submitted, which shall include  supplemental discussions and design calculations, to facilitate department  review and provide supplemental information including the following  information: 
    1. The design report shall identify the project title;  engineering consultants; site owner, permittee and operator; proposed permitted  acreage; hours of operation; wastes to be accepted; site life; design capacity;  and the daily disposal limit. It shall also identify any variances desired by  the applicant.
    2. A discussion of the basis for the design of the major  features of the site, such as traffic routing, base grade and relationships to  subsurface conditions, anticipated waste types and characteristics, phases  development, liner design, leachate management system design, facility  monitoring, and similar design features shall be provided. A list of the  conditions of site development as stated in the department determination of  site feasibility and the measures taken to meet the conditions shall be  included. A discussion of all calculations, such as refuse-cover balance  computations, stockpile sizing estimates, estimate of site life, and run-off  and leachate volume estimates shall be included. The calculations shall be  summarized with the detailed equations presented in an appendix.
    3. Specifications, including detailed instructions to the site  operator for all aspects of site construction.
    a. Initial site preparations including specifications for  clearing and grubbing, topsoil stripping, other excavations, berm construction,  drainage control structures, leachate collection system, access roads and  entrance, screening, fencing, groundwater monitoring, and other special design  features.
    b. A plan for initial site preparation including a discussion  of the field measurements, photographs to be taken, sampling and testing  procedures to be utilized to verify that the in-field conditions encountered  were the same as those defined in the feasibility report, and to document that  the site was constructed according to the engineering plans and specifications  submitted for department approval.
    C. Financial assurance documentation. When required by the  Financial Assurance Regulations of Solid Waste Disposal, Transfer, and  Treatment Facilities (9VAC20-70), the applicant shall provide the completed  documentation to demonstrate compliance with those regulations; proof of  financial responsibility must be for the entity identified in accordance with  9VAC20-81-450 B 10.
    D. DEQ Form SW PTB (Part B Permit Application Form). The  applicant shall submit a completed DEQ Form SW PTB.
    9VAC20-81-485. Operations manual requirements for solid waste  management facilities.
    A. Solid waste disposal facilities. An operations manual  shall be prepared and maintained in the operating record. The operations manual  shall include a certification page signed by a responsible official. This  signature shall certify the manual meets the requirements of this chapter. This  manual shall be reviewed and recertified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements, and shall be made available for review by the department upon  request. The operations manual for disposal facility operation shall contain at  least the following plans: 
    1. An operations plan that at a minimum includes:
    a. Explanation of how the design and construction plans will  be implemented from the initial phase of operation until closure;
    b. Municipalities, industries, and collection and  transportation agencies served; 
    c. Waste types and quantities to be disposed; 
    d. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the operational requirements  of Part III (9VAC20-81-100 et seq.) of this chapter are achieved. References to  specifications on the plan sheet shall be pointed out as well as additional  instructions included, where appropriate. At a minimum, the plan specifications  shall include: 
    (1) Daily operations including a discussion of the timetable  for development, waste types accepted or excluded, inspection of incoming  waste, typical waste handling techniques, hours of operation, traffic routing,  drainage and erosion control, windy, wet and cold weather operations, fire  protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, direction of  filling, salvaging, recordkeeping, parking for visitors and employees,  monitoring, maintenance, closure of filled areas, gas and leachate control  methods, backup equipment with names and telephone numbers where equipment may  be obtained, and other special design features; 
    (2) Development of subsequent phases; and 
    (3) Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan. 
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part III (9VAC20-81-100 et seq.) of this chapter. 
    b. The frequency of inspection based on the rate of potential  equipment deterioration or malfunction and the probability of an adverse  incident occurring if the deterioration or malfunction goes undetected between  inspections. The plan shall establish the minimum frequencies for inspections  required in 9VAC20-81-140. This plan shall identify areas of the facility  subject to spills such as loading and unloading areas and areas in which  significant adverse environmental or health consequences may result if  breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the requirements of  9VAC20-81-140.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses, and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates. 
    6. A landscaping plan that shall:
    a. Delineate existing site vegetation to be retained;
    b. Discuss methods to be employed in order to ensure protection  of vegetation to be retained during the clearing, grading and construction  phases of the project and the supplemental vegetation to be planted; and 
    c. Information relating to vegetation type, location and  purpose, such as for buffer, screening or aesthetics, and schedules for  planting, shall accompany the plan. 
    B. Other solid waste management facilities. An operations  manual shall be prepared and maintained in the operating record. The Operations  Manual shall include a certification page signed by a responsible official.  This signature shall certify the manual meets the requirements of this chapter.  This manual shall be reviewed and re-certified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements and shall be made available to the department upon request. The  manual for facility operation shall contain at least the following plans:
    1. An operations plan that at a minimum includes:
    a. An explanation of how the design and construction plans  will be implemented from the initial phase of operation until closure.
    b. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the applicable operational  requirements of Part IV (9VAC20-81-300 et seq.) are achieved. Daily operations  including a discussion of the timetable for development, waste types accepted  or excluded, typical waste handling techniques, hours of operation, traffic  routing, drainage and erosion control, windy, wet and cold weather operations,  fire protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, salvaging,  record keeping, parking for visitors and employees, monitoring, backup equipment  with names and telephone numbers where equipment may be obtained, and other  special design features. The daily operations section of the operations manual  may be developed as a removable section to improve accessibility for the site  operator. 
    c. Development of subsequent phases of the facility, if  applicable.
    d. Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan.
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part IV (9VAC20-81-300 et seq.) of this chapter. 
    b. The frequency of inspection shall be based on the rate of  potential equipment deterioration or malfunction and the probability of an  adverse incident occurring if the deterioration or malfunction goes undetected  between inspections. The plan shall establish the minimum frequencies for  inspections required in 9VAC20-81-140 9VAC20-81-340. This plan  shall identify areas of the facility subject to spills such as loading and  unloading areas and areas in which significant adverse environmental or health  consequences may result if breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the applicable  requirements of 9VAC20-81-340.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates.
    9VAC20-81-490. Effect of the permit.
    A. A completed permit for a solid waste management facility  shall be prepared at the conclusion of the procedures outlined in  9VAC20-81-450. The permit shall be prepared in detail to establish the  construction requirements, monitoring requirements, operating limitations or  guides, waste limitations if any, and any other details essential to the  operation and maintenance of the facility and its closure. Before receipt of  waste by the facility, the applicant must: 
    1. Notify the department, in writing, that construction has been  completed; and submit to the department a letter from a professional engineer  certifying that the facilities have been completed in accordance with the  approved plans and specifications and is ready to begin operation. This  certification letter is in addition to the CQA certification required in  9VAC20-81-130 Q 3 and must be provided by a different individual than the CQA  certification. This certification letter is typically provided by the design  engineer. 
    2. Arrange for a department representative to inspect the site  and confirm that the site is ready for operation. 
    B. Certificate-to-Operate (CTO). Following review of a  complete CQA certification and site inspection the department shall issue a CTO  authorizing the facility to begin receiving waste. The facility shall not  receive waste until a CTO has been issued by the department. 
    C. Inspections. Each facility permitted to accept solid waste  requires periodic inspection and review of records and reports. Such  requirements shall be set forth in the final permit issued by the department.  The permit applicant by accepting the permit, agrees to the specified periodic  inspections. 
    D. Compliance with a valid permit during its term constitutes  compliance, for purposes of enforcement, with the Virginia Waste Management  Act. However, a permit may be modified, revoked and reissued, or revoked for  cause as set forth in 9VAC20-81-570 and 9VAC20-81-600. 
    E. The issuance of a permit does not convey any property  rights of any sort, or any exclusive privilege. 
    F. The issuance of a permit does not authorize any injury to  persons or property or invasion of other private rights, or any infringement of  federal, Commonwealth, or local law or regulations. 
    G. A permit may be transferred by the permittee to a new  owner or operator only if the permit has been revoked and reissued, or a minor  modification made to identify the new permittee and incorporate such other  requirements as may be necessary. Upon presentation of the financial assurance  proof required by 9VAC20-70 by the new owner, the department will release the  old owner from his closure and financial responsibilities and acknowledge  existence of the new or modified permit in the name of the new owner. 
    H. This section provides for the approval of permits or  permit modifications that include a time allowance for the permittee to achieve  the new standards contained in the approved permit or permit modification.
    1. The permit may specify a schedule of compliance leading to  compliance with this chapter. 
    a. Any schedules of compliance under this subsection shall  require compliance as soon as possible. 
    b. Except as otherwise provided, if a permit establishes a  schedule of compliance that exceeds one year from the date of permit issuance,  the schedule shall set forth interim requirements and the dates for their  achievement. 
    (1) The time between interim dates shall not exceed one year;  and 
    (2) If the time necessary for completion of any interim  requirement is more than one year and is not readily divisible into stages of  completion, the permit shall specify interim dates for the submission of  reports of progress toward completion of the interim requirements and indicate  a projected completion date. 
    c. The permit shall be written to require that no later than  14 days following each interim date and the final date of compliance, a  permittee shall notify the department, in writing, of his compliance or  noncompliance with the interim or final requirements. 
    2. A permit applicant or permittee may cease conducting  regulated activities (by receiving a terminal volume of solid waste, and, in  case of treatment or storage facilities, closing pursuant to applicable  requirements, or, in case of disposal facilities, closing and conducting  postclosure care pursuant to applicable requirements) rather than continue to  operate and meet permit requirements as follows: 
    a. If the permittee decides to cease conducting regulated  activities at a specified time for a permit that has already been issued: 
    (1) The permit may be modified to contain a new or additional  schedule leading to timely cessation of activities; or 
    (2) The permittee shall cease conducting permitted activities  before noncompliance with any interim or final compliance schedule requirement  already specified in the permit. 
    b. If the decision to cease conducting regulated activities is  made before the issuance of a permit whose terms will include the termination  date, the permit shall contain a schedule leading to termination that will  ensure timely compliance with applicable requirements. 
    c. If the permittee is undecided whether to cease conducting  regulated activities, the director may issue or modify a permit to continue two  schedules as follows: 
    (1) Both schedules shall contain an identical interim deadline  requiring a final decision on whether to cease conducting regulated activities  no later than a date that ensures sufficient time to comply with applicable  requirements in a timely manner if the decision is to continue conducting  regulated activities; 
    (2) One schedule shall lead to timely compliance with  applicable requirements; 
    (3) The second schedule shall lead to cessation of regulated  activities by a date that will ensure timely compliance with applicable  requirements; and
    (4) Each permit containing two schedules shall include a  requirement that, after the permittee has made a final decision, he shall  follow the schedule leading to compliance if the decision is to continue  conducting regulated activities, and follow the schedule leading to termination  if the decision is to cease conducting regulated activities. 
    d. The applicant's decisions to cease conducting regulated  activities shall be evidenced by a firm public commitment satisfactory to the  department, such as a resolution of the board of directors of a corporation.
    9VAC20-81-530. Recording and reporting required of a permitee  permittee.
    A. A permit shall specify: 
    1. Required monitoring, including type, intervals and  frequency, sufficient to yield data that are representative of the monitored  activity; 
    2. Requirements concerning the proper use, maintenance, and  installation of monitoring equipment or methods, including biological  monitoring methods when appropriate; and
    3. Applicable reporting requirements based upon the impact of  the regulated activity and as specified in this chapter. 
    B. A permittee shall be subject to the following whenever  monitoring is required by the permit: 
    1. The permittee shall retain records at the permitted  facility or another location approved by the department. Records shall include  all records required by the facility permit, these regulations, or other  applicable regulations. Records of all required monitoring information,  including all calibration and maintenance records will be maintained for at  least three years from the sample or measurement date. The director may request  that this period be extended. For operating landfills, records of the most  recent gas and groundwater monitoring event will be maintained at the facility.  
    2. Records of monitoring information shall include: 
    a. The date, exact place, and time of sampling or  measurements; 
    b. The individuals who performed the sampling or measurements;  
    c. The dates analyses were performed; 
    d. The individuals who performed the analyses; 
    e. The analytical techniques or methods used; and 
    f. The results of such analyses. 
    3. Required monitoring results shall be maintained on file for  inspection by the department. 
    C. A permittee shall be subject to the following reporting  requirements: 
    1. Written notice of any planned physical alterations to the  permitted facility shall be submitted to the department and approved before  such alterations are to occur, unless such items were included in the plans and  specifications approved by the department.
    2. Reports of compliance or noncompliance with, or any  progress reports on, interim and final requirements contained in any compliance  schedule of the permit, shall be submitted no later than 14 days following each  schedule date. 
    3. The permittee shall report to the department any  noncompliance or unusual condition that may endanger health or environment. Any  information shall be provided orally within 24 hours from the time the  permittee becomes aware of the circumstances. A written submission shall also  be provided within five days of the time the permittee becomes aware of the  circumstances. The written submission shall contain a description of the  circumstances and its cause; the period of occurrence, including exact dates  and times, and, if the circumstance has not been corrected, the anticipated time  it is expected to continue. It shall also contain steps taken or planned to  reduce, eliminate, and prevent reoccurrence of the circumstances resulting in  an unusual condition or noncompliance. 
    D. Copies of all reports required by the permit, and records  of all data used to complete the permit application must be retained by the  permittee for at least three years from the date of the report or application.  The director may request that this period be extended. 
    E. When the permittee becomes aware that he failed to submit  any relevant facts or submitted incorrect information in a permit application  or in any report to the director, he shall promptly submit such omitted facts  or the correct information with an explanation.
    9VAC20-81-600. Modification of permits.
    A. Permits may be modified at the request of any interested  person or upon the director's initiative. However, permits may only be modified  for the reasons specified in subsections E and F of this section. All requests  shall be in writing and shall contain facts or reasons supporting the request.  Any permit modification authorizing expansion of an existing sanitary landfill  shall incorporate the conditions required for a disposal capacity guarantee in  § 10.1-1408.1 P of the Code of Virginia. This provision does not apply to  permit applications from one or more political subdivisions that will only  accept waste from within those political subdivisions' jurisdiction or  municipal solid waste generated within other political subdivisions pursuant to  an interjurisdictional agreement. 
    B. If the director decides the request is not justified, he  shall send the requester a response providing justification for the decision. 
    C. If the director tentatively decides to modify, he shall  prepare a draft permit incorporating the proposed changes. The director may  request additional information and may require the submission of an updated  permit application. In a permit modification under subsection E of this  section, only those conditions to be modified shall be reopened when a new  draft permit is prepared. All other aspects of the existing permit shall remain  in effect. During any modification proceeding the permittee shall comply with  all conditions of the existing permit until the modified permit is issued. 
    D. When the director receives any information, he may  determine whether or not one or more of the causes listed for modification  exist. If cause exists, the director may modify the permit on his own  initiative subject to the limitations of subsection E of this section and may  request an updated application if necessary. If a permit modification satisfies  the criteria in subsection F of this section for minor modifications, the  permit may be modified without a draft permit or public review. Otherwise, a  draft permit shall be prepared and other appropriate procedures followed. 
    E. Causes for modification. The director may modify a permit  upon his own initiative or at the request of a third party: 
    1. When there are material and substantial alterations or  additions to the permitted facility or activity that occurred after permit  issuance that justify the application of permit conditions that are different  or absent in the existing permit; 
    2. When there is found to be a possibility of pollution  causing significant adverse effects on the air, land, surface water, or  groundwater; 
    3. When an investigation has shown the need for additional  equipment, construction, procedures and testing to ensure the protection of the  public health and the environment from adverse effects; 
    4. If the director has received information pertaining to  circumstances or conditions existing at the time the permit was issued that was  not included in the administrative record and would have justified the  application of different permit conditions, the permit may be modified  accordingly if in the judgment of the director such modification is necessary  to prevent significant adverse effects on public health or the environment; 
    5. When the standards or regulations on which the permit was  based have been changed by promulgation of amended standards or regulations or  by judicial decision after the permit was issued; 
    6. When the director determines good cause exists for  modification of a compliance schedule, such as an act of God, strike, flood, or  material shortage or other events over which the permittee has little or no  control and for which there is no reasonably available remedy; 
    7. When a modification of a closure plan is required under  9VAC20-81-160 or 9VAC20-81-360 and the permittee has failed to submit a permit  modification request within the specified period; 
    8. When the corrective action program specified in the permit  under 9VAC20-81-260 has not brought the facility into compliance with the  groundwater protection standard within a reasonable period of time; or 
    9. When cause exists for revocation under 9VAC20-81-570 and  the director determines that a modification is more appropriate. 
    F. Permit modification at the request of the permittee. 
           |      TABLE 5.2     PERMIT MODIFICATIONS      |    
       |      MAJOR      |          1. Implementation of a groundwater corrective action program    as required by 9VAC20-81-260      |    
       |      2. Change in the remedy applied as part of the groundwater    corrective action program      |    
       |      3. Groundwater monitoring plan for an existing facility    where no written plan has previously been provided      |    
       |      4. Changes to the design of final closure cover      |    
       |      5. Landfill mining      |    
       |      6. Reduction in the postclosure care period      |    
       |      7. Changes in postclosure use of the property with    disturbance of cover      |    
       |      8. All new or modifications of a leachate collection tank or    a leachate collection surface impoundment      |    
       |      9. Addition of new landfill units      |    
       |      10. Expansion or increase in capacity      |    
       |      11. Increase in daily disposal limit      |    
       |      12. Addition or modification of a liner, leachate collection    system, leachate detection system      |    
       |      13. Incorporation or modification of a Research,    Development, and Demonstration Plan       |    
       |      MINOR      |          Any change not specified as    major modification (above) or a permittee change (below)      |    
       |      PERMITTEE CHANGE      |          1. Correction of typographical errors      |    
       |      2. Equipment replacement or upgrade with functionally    equivalent components      |    
       |      3. Replacement of an existing leachate tank with a tank that    meets the same design standards and has a capacity within +/-10% of the    replaced tank      |    
       |      4. Replacement with functionally equivalent, upgrade, or    relocation of emergency equipment      |    
       |      5. Changes in name, address, or phone number of contact    personnel      |    
       |      6. Replacement of an existing well that has been damaged or    rendered nonoperable, without change to location, design, or depth of the    well      |    
       |      7. Changes to the expected year of final closure, where    other permit conditions are not changed      |    
       |      8. Changes in postclosure use of the property, without    disturbance of the cover      |    
       |      9. Modification of a leachate tank management practice      |    
  
    1. Permittee change. Items listed under Permittee Change in  Table 5.2 may be implemented without approval of the department. If a permittee  changes such an item, the permittee shall: 
    a. Notify the department of the change at least 14 calendar  days before the change is put into effect, indicating the affected permit  conditions; and
    b. Notify the governing body of the county, city, or town in  which the facility is located, within 90 calendar days after the change is put  into effect.
    2. Minor modifications. 
    a. Minor modifications apply to minor changes that keep the  permit current with routine changes to the facility or its operation. These  changes do not substantially alter the permit conditions or reduce the capacity  of the facility to protect human health or the environment.
    b. Minor modifications may be requested for changes that will  result in a facility being more protective of human health and the environment  or equivalent to the standards contained in this chapter, unless otherwise  noted in Table 5.2. The request for such a minor permit modification will be  accompanied by a description of the desired change and an explanation of the  manner in which the health and environment will be protected in a greater  degree than required by the chapter.
    c. Minor permit modifications may be made only with the prior  written approval of the department. The permittee shall notify the department  that a minor modification is being requested. Notification of the department  shall be provided by certified mail or other means that establish proof of  delivery. This notice shall specify the changes being made to permit conditions  or supporting documents referenced by the permit and shall  include an  explanation of why they are necessary. Along with the notice, the permittee  shall provide the applicable information required by 9VAC20-81-460 and  9VAC20-81-470 or as required by 9VAC20-81-480.
    d. The permittee shall send a notice of the modification to  the governing body of the county, city or town in which the facility is  located. This notification shall be made within 90 days after the department  approves the request. 
    3. Major modifications. 
    a. Major modifications substantially alter the facility or its  operation. Major modifications are listed in Table 5.2. 
    b. The permittee shall submit a modification request to the  department that: 
    (1) Describes the exact change to be made to the permit  conditions and supporting documents referenced by the permit; 
    (2) Identifies that the alteration is a major modification; 
    (3) Contains an explanation of why the modification is needed;  and
    (4) Provides the applicable information required by  9VAC20-81-460 and 9VAC20-81-470 or as required by 9VAC20-81-480. 
    c. No later than 90 days after receipt of the notification  request, the director will determine whether the information submitted under  subdivision  3 b (4) of this subsection is adequate to formulate a  decision. If found to be inadequate, the permittee will be requested to furnish  additional information within 30 days of the request by the director to complete  the modification request record. The 30-day period may be extended at the  request of the applicant. After the completion of the record, the director will  either: 
    (1) Approve the modification request, with or without changes,  and draft a permit modification accordingly;
    (2) Deny the request; or 
    (3) Approve the request, with or without changes, as a  temporary authorization having a term of up to 180 days in accordance with  subdivision 3 of this subsection. 
    d. If the director proposes to approve the permit  modification, he will proceed with the permit issuance in accordance with  9VAC20-81-450 E. 
    e. The director may deny or change the terms of a major permit  modification request under subdivision  F 3 b of this section for the  following reasons: 
    (1) The modification request is incomplete; 
    (2) The requested modification does not comply with the  appropriate requirements of Part III (9VAC20-81-100 et seq.) or Part IV  (9VAC20-81-300 et seq.) of this chapter or other applicable requirements; or 
    (3) The conditions of the modification fail to protect human  health and the environment. 
    4. Temporary authorizations. 
    a. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of subdivision  4 of this subsection.  Temporary authorizations shall have a term of not more than 180 days. 
    b. (1) The permittee may request a temporary authorization for  any major modification that meets the criteria in subdivision 4 c (2) (a) or  (b) of this subsection; or that meets the criteria in subdivision 4 c (2) (c)  and (d) of this subsection and provides improved management or treatment of a  solid waste already listed in the facility permit. 
    (2) The temporary authorization request shall include: 
    (a) A description of the activities to be conducted under the  temporary authorization; 
    (b) An explanation of why the temporary authorization is  necessary; and 
    (c) Sufficient information to ensure compliance with Part III  (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et seq.) standards. 
    (3) The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven days of submission of the authorization  request. 
    c. The director shall approve or deny the temporary  authorization as quickly as practical. To issue a temporary authorization, the  director shall find: 
    (1) The authorized activities are in compliance with the  standards of Part III (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et  seq.) of this chapter. 
    (2) The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an modification  request: 
    (a) To facilitate timely implementation of closure or  corrective action activities; 
    (b) To prevent disruption of ongoing waste management  activities; 
    (c) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (d) To facilitate other changes to protect human health and  the environment. 
    d. A temporary authorization may be reissued for one  additional term of up to 180 days provided that the permittee has requested a  major permit modification for the activity covered in the temporary  authorization, and the director determines that the reissued temporary  authorization involving a major permit modification request is warranted to  allow the authorized activities to continue while the modification procedures  of subdivision 2 3 of this subsection are conducted. 
    5. The director's decision to grant or deny a permit  modification request under subdivision of this subsection may be appealed under  the case decision provisions of the Virginia Administrative Process Act  (§ 2.2-4000 et seq. of the Code of Virginia). 
    6. Newly defined or identified wastes. The permitted facility  is authorized to continue to manage wastes defined or identified as solid waste  under 9VAC20-81-95 if: 
    a. It was in existence as a solid waste management facility  with respect to the newly defined or identified solid waste on the effective  date of the final rule defining or identifying the waste; and 
    b. It is in compliance with the standards of Part III  (9VAC20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, submits a minor modification request  on or before the date on which the waste becomes subject to the new  requirements; or 
    c. It is not in compliance with the standards of Part III  (9VAC 20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, also submits a complete permit  modification request within 180 days after the effective date of the definition  or identifying the waste. 
    7. Research, development and demonstration plans. Research,  development and demonstration (RDD) plans may be submitted for sanitary  landfills that meet the applicability requirements. These plans shall be  submitted as a major permit modification application for existing sanitary  landfills or as a part of the Part B application for new sanitary landfills.
    a. Applicability.
    (1) RDD shall be restricted to permitted sanitary landfills  designed with a composite liner system, as required by 9VAC20-81-130 J 1. The  effectiveness of the liner system and leachate collection system shall be  demonstrated in the plan and shall be assessed at the end of the testing period  in order to compare the effectiveness of the systems to the start of the RDD  testing period.
    (2) Operating permitted sanitary landfills that have exceeded  groundwater protection standards at statistically significant levels in  accordance with 9VAC20-81-250 B, from any waste unit on site shall have  implemented a remedy in accordance with 9VAC20-81-260 C prior to the RDD plan  submittal. Operating permitted sanitary landfills that have an exceedance in  the concentration of methane gas migrating from the landfill in accordance with  9VAC20-81-200 shall have a gas control system in place per 9VAC20-81-200 B  prior to the RDD plan submittal. 
    (3) An owner or operator of a sanitary landfill that disposes  of 20 tons of municipal solid waste per day or less, based on annual average,  may not apply for a modification to include a RDD plan.
    (4) The sanitary landfill shall have a leachate collection  system designed and constructed to maintain less than a 30 cm depth of leachate  on the liner.
    b. Requirements.
    (1) RDD Plans may be submitted for activities such as:
    (a) The addition of liquids in addition to leachate and gas  condensate from the same landfill for accelerated decomposition of the waste  mass; prior to the RDD Plan submittal.
    (b) Allowing run-on water to flow into the landfill waste  mass; and
    (c) Allowing testing of the construction and infiltration  performance of alternative final cover systems. An RDD plan may be proposed  for; and
    (d) For other measures to be taken to enhance  stabilization of the waste mass.
    (2) No landfill owner or operator may continue to implement an  RDD plan beyond any time limit placed in the initial plan approval or any  renewal without issuance of written prior approval by the department.  Justification for renewals shall be based upon information in annual and final  reports as well as research and findings in technical literature.
    (3) RDD plans may not include changes to the approved design  and construction of subgrade preparation, liner system, leachate collection and  removal systems, final cover system, gas and leachate systems outside the  limits of waste, run-off controls, run-on controls, or environmental monitoring  systems exterior to the waste mass.
    (4) Implementation of an approved RDD plan shall comply with  the specific conditions of the RDD Plan as approved in the permit for the  initial testing period and any renewal.
    (5) Structures and features exterior to the waste mass or  waste final grades shall be removed at the end of the testing period, unless  otherwise approved by the department in writing.
    (6) The RDD plan may propose an alternate final cover  installation schedule.
    c. An RDD plan shall include the following details and  specifications. Processes other than adding liquids to the waste mass and  leachate recirculation may be practiced in conjunction with the RDD plan.
    (1) Initial applications for RDD plans shall be submitted for  review and approval prior to the initiation of the process to be tested. These  plans shall specify the process that will be tested, describe preparation and  operation of the process, describe waste types and characteristics that the  process will affect, describe desired changes and end points that the process  is intended to achieve, define testing methods and observations of the process  or waste mass that are necessary to assess effectiveness of the process, and  include technical literature references and research that support use of the  process. The plans shall specify the time period for which the process will be  tested. The plans shall specify the additional information, operating  experience, data generation, or technical developments that the process to be  tested is expected to generate. 
    (2) The test period for the initial application shall be  limited to a maximum of three years.
    (3) Renewals of testing periods shall be limited to a maximum  of three years each. The maximum number of renewals shall be limited to three.
    (4) Renewals shall require department review and approval of  reports of performance and progress on achievement of goals specified in the  RDD plan.
    (5) RDD Plans for addition of liquids, in addition to leachate  and gas condensate from the same landfill, for accelerated decomposition of the  waste mass and/or for allowing run-on water to flow into the landfill waste  mass shall demonstrate that there is no increased risk to human health and the  environment. The following minimum performance criteria shall be demonstrated.
    (a) Risk of contamination to groundwater or surface water will  not be greater than the risk without an approved RDD plan.
    (b) Stability analysis demonstrating the physical stability of  the landfill.
    (c) Landfill gas collection and control in accordance with  applicable Clean Air Act requirements (i.e., Title V, NSPS or EG rule, etc.).
    (d) For RDD plans that include the addition of offsite  nonhazardous waste liquids to the landfill, the following information shall be  submitted with the RDD plan: 
    (i) Demonstration of adequate facility liquid storage volume  to receive the offsite liquid;
    (ii) A list of proposed characteristics for screening the  accepted liquids is developed; and
    (iii) The quantity and quality of the liquids are compatible  with the RDD plan. 
    If offsite nonhazardous liquids are certified by the offsite  generator as stormwater uncontaminated by solid waste, screening is not  required for this liquid.
    (6) RDD plans for testing of the construction and infiltration  performance of alternative final cover systems shall demonstrate that there is  no increased risk to human health and the environment. The proposed final cover  system shall be as protective as the final cover system required by  9VAC20-81-160 D. The following minimum performance criteria shall be  demonstrated:
    (a) No build up of excess liquid in the waste and on the  landfill liner;
    (b) Stability analysis demonstrating the physical stability of  the landfill; 
    (c) No moisture will escape from the landfill to the surface  water or groundwater; and
    (d) Sufficient reduction in infiltration so that there will be  no leakage of leachate from the landfill.
    (7) RDD plans that evaluate introduction of liquids in  addition to leachate or gas condensate from the same landfill shall propose  measures to be integrated with any approved leachate recirculation plan and  compliance with requirements for leachate recirculation.
    (8) RDD plans shall include a description of warning symptoms  and failure thresholds that will be used to initiate investigation, stand-by,  termination, and changes to the process and any other landfill systems that  might be affected by the process, such as gas extraction and leachate  recirculation. Warning symptoms shall result in a reduction or suspension of liquids  addition, leachate recirculation, investigation, and changes to be implemented  before resuming the process being tested. Failure thresholds shall result in  termination of the process being tested, investigation, and changes that will  be submitted to the department for review and approval in writing prior to  resumption of the process being tested.
    (9) RDD plans shall include an assessment of the manner in  which the process to be tested might alter the impact that the landfill may  have on human health or environmental quality. The assessment shall include  both beneficial and deleterious effects that could result from the process.
    (10) RDD plans shall include a geotechnical stability analysis  of the waste mass and an assessment of the changes that the implementation of  the plan are expected to achieve. The geotechnical stability analysis and  assessment shall be repeated at the end of testing period, with alteration as  needed to include parameters and parameter values derived from field  measurements. The plan shall define relevant parameters and techniques for  field measurement.
    (11) RDD plans shall propose monitoring parameters,  frequencies, test methods, instrumentation, recordkeeping and reporting to the  department for purposes of tracking and verifying goals of the process selected  for testing.
    (12) RDD plans shall propose monitoring techniques and  instrumentation for potential movements of waste mass and settlement of waste  mass, including proposed time intervals and instrumentation, pertinent to the  process selected for testing. 
    (13) RDD plans shall propose construction documentation,  construction quality control and construction quality assurance measures, and  recordkeeping for construction and equipment installation that is part of the  process selected for testing. 
    (14) RDD plans shall propose operating practices and controls,  staffing, monitoring parameters, and equipment needed to support operations of  the process selected for testing. 
    (15) RDD plans that include aeration of the waste mass shall  include a temperature monitoring plan, a fire drill and safety program,  instructions for use of liquids for control of temperature and fires in the  waste mass, and instructions for investigation and repair of damage to the  liner and leachate collection system. 
    (16) RDD plans may include an alternate interim cover system  and final cover installation schedule. The interim cover system shall be  designed to account for weather conditions, slope stability, and leachate and  gas generation. The interim cover shall also control, at a minimum, disease  vectors, fires, odors, blowing litter, and scavenging.
    d. Reporting. An annual report shall be prepared for each year  of the RDD testing period, including any renewal periods, and a final report  shall be prepared for the end of the testing period. These reports shall assess  the attainment of goals proposed for the process selected for testing,  recommend changes, recommend further work, and summarize problems and their  resolution. Reports shall include a summary of all monitoring data, testing  data and observations of process or effects and shall include recommendations  for continuance or termination of the process selected for testing. Annual  reports shall be submitted to the department within three months after the  anniversary date of the approved permit or permit modification. Final reports  shall be submitted at least 90 days prior to the end of the testing period for  evaluation by the department. The department shall review this report within 90  days. If the department's evaluation indicates that the goals of the project  have been met, are reliable and predictable, the department will provide a  minor permit modification to incorporate the continued operation of the project  with the appropriate monitoring.
    e. Termination. The department may require modifications to or  immediate termination of the RDD process being tested if any of the following  conditions occur:
    (1) Significant and persistent odors;
    (2) Significant leachate seeps or surface exposure of  leachate;
    (3) Significant leachate head on the liner;
    (4) Excessively acidic leachate chemistry or gas production  rates or other monitoring data indicate poor waste decomposition conditions;
    (5) Instability in the waste mass; or 
    (6) Other persistent and deleterious effects.
    The RDD program is an optional participation program, by  accepting the modification or new permit, the applicant acknowledges that the  program is optional; and that they are aware the department may provide  suspension or termination of the RDD program for any reasonable cause, without  a public hearing. Notice of suspension or termination will be by letter for a  cause related to a technical problem, nuisance problem, or for protection of  human health or the environment as determined by the department.
    G. Facility siting. The suitability of the facility location  will not be considered at the time of permit modification unless new  information or standards indicate that an endangerment to human health or the  environment exists which was unknown at the time of permit issuance or the  modification is for an expansion or increase in capacity. 
    Part I 
  Definitions 
    9VAC20-85-10. Definitions as established in Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.). 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations 9VAC20-80-10 et seq., 9VAC20-81,  are incorporated by reference. 
    9VAC20-85-40. Applicability. 
    A. This chapter applies to all persons who use, reuse, or  reclaim fossil fuel combustion products by applying them to or placing them on  land in a manner other than addressed in 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations, 9VAC20-80-150 and 9VAC20-80-160. 9VAC20-80-150  9VAC20-81-95 provides for the beneficial use of waste materials such as  fossil fuel combustion products, and 9VAC20-80-160 provides for  conditional exemptions from regulation for fossil fuel combustion products. 
    B. This chapter establishes minimum standards for the owners  or operators of coal mining facilities that accept CCB for mine reclamation or  mine refuse disposal on a mine site permitted by the Virginia Department of  Mines, Minerals and Energy (DMME) unless otherwise exempt under 9VAC20-80-160  B 9VAC20-81-95 D 18 of the Solid Waste Management Regulations. If  the permit issued by the DMME in accordance with the Virginia Surface Mining  Regulations, 4VAC25-130-700.1 et seq., specifies the applicable conditions set  forth in Parts III and IV of this chapter, the permittee is exempt from this  chapter. 
    C. Conditions of applicability are as follows: 
    1. Persons using fossil fuel combustion products other than in  a manner prescribed under this chapter, or managing fossil fuel combustion  products containing any constituent at a level exceeding levels set forth in  Table 1 in Part IV of this chapter, shall manage their waste in accordance with  all applicable provisions of the Virginia Solid Waste Management  Regulations, 9VAC20-80 9VAC20-81; 
    2. Materials which are accumulated speculatively, materials  which are not utilized in a manner described in the operation plan required by  9VAC20-85-90 of this chapter, and off-specification materials which cannot be  utilized or reprocessed to make them usable shall be managed in accordance with  all appropriate provisions of the Virginia Solid Waste Management Regulations,  9VAC20-80 9VAC20-81; and 
    3. Storage, stockpiling, and other processing or handling of  fossil fuel combustion products, which may need to occur prior to their final  placement or use, reuse, or reclamation, shall be in a manner necessary to protect  human health and safety and the environment. For projects permitted by the  DMME, the storage, stockpiling, or handling of CCB shall be managed in  accordance with the Virginia Surface Mining Regulations, 4VAC25-130-700.1 et  seq. 
    9VAC20-85-50. Relationship to other regulations. 
    This chapter does not affect the Virginia Solid Waste  Management Regulations, 9VAC20-80-10 et seq. 9VAC20-81, or other  pertinent regulations of the department or other agencies of the Commonwealth,  except that persons subject to and in compliance with this chapter are exempt  from the Virginia Solid Waste Management Regulations and the Financial  Assurance Regulations for Solid Waste Facilities, 9VAC20-70-10 et seq. 9VAC20-70,  for those activities covered by this chapter. 
    9VAC20-85-60. Enforcement and appeals. 
    A. All administrative enforcement and appeals taken from  actions of the department relative to the provisions of this chapter shall be  governed by the Virginia Administrative Process Act (§ 2.2-4000 et seq. of the  Code of Virginia). 
    B. The owner or operator of the fossil fuel combustion  products site who violates any provision of this chapter will be considered to  be operating an unpermitted facility as provided for in 9VAC20-80-90 9VAC20-81-40  of the Solid Waste Management Regulations and shall be required to either  obtain a permit as required by Part VII V or close under Part V  III of this chapter 9VAC20-81. 
    C. The requirement to obtain a permit or to close the project  shall not preclude additional action for remediation or enforcement, including  (without limitations) the assessment of civil charges or civil penalties, as is  otherwise authorized by law. 
    Article 3 
  Operations 
    9VAC20-85-90. Operations. 
    The owner or operator of a fossil fuel combustion products  site shall prepare an operation plan. At a minimum, the plan shall address the  requirements contained in this section. 
    1. Tracking of mud or fossil fuel combustion products onto  public roads from the site shall be controlled at all times to minimize  nuisances. 
    2. The addition of any solid waste including but not limited  to hazardous, infectious, construction, debris, demolition, industrial,  petroleum-contaminated soil, or municipal solid waste to fossil fuel combustion  products is prohibited. This prohibition does not apply to solid wastes from  the extraction, beneficiation and processing of ores and minerals conditionally  exempted under 9VAC20-80-160 A 2 9VAC20-81-95 E 3 of the Solid  Waste Management Regulations. 
    3. Fugitive dust shall be controlled at the site so it does  not constitute nuisances or hazards. 
    4. After preparing the subbase, fossil fuel combustion  products shall be placed uniformly and compacted to standards, including insitu  density, compaction effort and relative density as specified by a registered  professional engineer based on the intended use of the fossil fuel combustion  products. The placement and compaction of CCB on coal mine sites shall be  subject to the applicable requirements of the Coal Surface Mining Reclamation  Regulations, 4VAC25-130-700.1 et seq. 
    5. A surface run on and runoff control program shall be  implemented to control and reduce the infiltration of surface water through the  fossil fuel combustion products and to control the runoff from the placement  area to other areas and to surface waters. 
    6. Runoff shall not be permitted to drain or discharge into  surface waters except when in accordance with 9VAC25-10-10 et seq., of the  State Water Control Board, or otherwise approved by the department. 
    7. Fossil fuel combustion products site development shall be  in accordance with the Virginia Erosion and Sediment Control Regulations,  4VAC50-30, or the Coal Surface Mining Reclamation Regulations, 4VAC25-130-700.1  et seq., as applicable. 
    Part IV 
  Administrative Requirements 
    9VAC20-85-150. General. 
    A. Notwithstanding any provisions of Part VII V  of the Virginia Solid Waste Management Regulations, 9VAC20-80 9VAC20-81,  the owner or operator of a site which manages only fossil fuel combustion  products allowed under 9VAC20-85-40 shall not be required to have a solid waste  management facility permit, neither must a fossil fuel combustion products  facility operator certified by the Board for Waste Management Facility  Operators directly supervise operations at the site, if the owner or operator at  least 30 days prior to initial placement of fossil fuel combustion products  provides to the appropriate department regional office and verifies receipt of:  
    1. A certification that it has legal control over the fossil  fuel combustion products site for the project life and the closure period. For  the purposes of this section, on a coal mine site permitted by the DMME,  demonstration of legal right to enter and begin surface coal mining and  reclamation operations shall constitute compliance with the provisions of this  section. 
    2. A certification from the governing body of the county,  city, or town in which the fossil fuel combustion products site is to be  located that the location and operation of the fossil fuel combustion products  site are consistent with all applicable ordinances, with the exception of  projects permitted by the DMME. 
    3. A general description of the intended use, reuse, or  reclamation of fossil fuel combustion products. Such description will include: 
    a. A description of the nature, purpose and location of the  fossil fuel combustion products site, including a topographic map showing the  site area and available soils, and geological maps. The description shall  include an explanation of how fossil fuel combustion products will be stored  prior to use, reuse or reclamation, if applicable; 
    b. The estimated beginning and ending dates for the operation;  
    c. An estimate of the volume of the fossil fuel combustion  products to be utilized; and 
    d. A description of the proposed type of fossil fuel combustion  products to be used, reused or reclaimed, including physical and chemical  characteristics of the fossil fuel combustion products. The chemical  description shall contain the results of TCLP analyses for the constituents  shown in Table 1. The description shall also contain a statement that the  project will not manage fossil fuel combustion products that contain any  constituent at a level exceeding those shown in the table. 
           |      TABLE 1.      LIST OF CONSTITUENTS AND MAXIMUM LEVELS.      |    
       |      Constituent      |          Level, mg/lit      |    
       |      Arsenic      |          5.0      |    
       |      Barium      |          100      |    
       |      Cadmium      |          1.0      |    
       |      Chromium      |          5.0      |    
       |      Lead      |          5.0      |    
       |      Mercury      |          0.2      |    
       |      Selenium      |          1.0      |    
       |      Silver      |          5.0      |    
  
    4. A certification by a professional engineer licensed to  practice by the Commonwealth that the project meets the locational restrictions  of 9VAC20-85-70. Such certificate shall contain no qualifications or exemptions  from the requirements. 
    5. A certificate signed by a professional engineer licensed to  practice by the Commonwealth that the project has been designed in accordance  with the standards of 9VAC20-85-80 if applicable. Such certificate shall  contain no qualifications or exceptions from the requirements and plans. 
    6. An operational plan describing how the standards of  9VAC20-85-90 will be met. 
    7. A closure plan describing how the standards of Article 4 of  Part III of this chapter will be met, if applicable. 
    8. A signed statement that the owner or operator shall allow  authorized representatives of the Commonwealth, upon presentation of  appropriate credentials, to have access to areas in which the activities  covered by this chapter will be, are being, or have been conducted to ensure  compliance. 
    B. The materials submitted under the provisions of subsection  A of this section will be evaluated for completeness within 30 days of receipt  by the appropriate department regional office. If the department notifies the  applicant of deficiencies within 30 days, the applicant shall postpone any  construction or activities proposed in the application for the department's  approval until the department's approval has been received. If the applicant  has not received a notice of deficiency within 30 days, the applicant can  proceed. 
    9VAC20-85-180. Administrative procedures. 
    The administrative procedures associated with the submission  of the variance petition, its processing and resolution will be accomplished in  accordance with the requirements of 9VAC20-80-790 Part VII  (9VAC20-81-700 et seq.) of the Solid Waste Management Regulations. 
    Part I 
  Definitions 
    9VAC20-120-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise.  Chapter 14 (§ 10.1-1400 et seq.) of Title 10.1 of the Code of Virginia defines  words and terms that supplement those in this chapter. The Virginia  Solid Waste Management Regulations, 9VAC20-80 9VAC20-81, define  additional words and terms that supplement those in the statutes and this  chapter. When the statutes, as cited, and the solid waste management  regulations, as cited, conflict, the definitions of the statutes are  controlling. 
    "Act" or "regulations" means the federal  or state law or regulation last cited in the context, unless otherwise  indicated. 
    "Alternative treatment method" means a method for  the treatment of regulated medical waste that is not incineration or steam  sterilization (autoclaving). 
    "Approved sanitary sewer system" means a network of  sewers serving a facility that has been approved in writing by the Virginia  Department of Health, including affiliated local health departments. Such sewer  systems may be approved septic tank/drainfield systems and on-site treatment  systems, or they may be a part of a collection system served by an NPDES  permitted treatment works. 
    "Associated" means two or more firms that share  staff members, management, directors, and assets or engage in joint ventures.  Holding companies and part owners are associated parties. 
    "Ash" means the residual waste material produced  from an incineration process or any combustion. 
    "ASTM" means the American Society For Testing and  Materials. 
    "Autoclave tape" means tape that changes color or  becomes striped when subjected to temperatures that will provide sterilization  of materials during treatment in an autoclave or similar device. 
    "Blood" means human blood, human blood components,  and products made from human blood. 
    "Board" means the Virginia Waste Management Board. 
    "Body fluids" means liquid emanating or derived  from humans including blood; cerebrospinal, synovial, pleural, peritoneal and  pericardial fluids; semen and vaginal secretions; amniotic fluid; urine; saliva  in dental procedures; and any other body fluids that are contaminated with  blood, and any other liquids emanating from humans that may be mixed or  combined with body fluids. 
    "Closure" means the act of securing a regulated  medical waste management facility pursuant to the requirements of these  regulations. 
    "Closure plan" means the plan for closure prepared  in accordance with the requirements of this chapter. 
    "Commonwealth" means the Commonwealth of Virginia. 
    "Container" means any portable enclosure in which a  material is stored, transported, treated, or otherwise handled. 
    "Contaminated" means the presence or the reasonably  anticipated presence of blood or other body fluids on an item or surface. 
    "Contingency plan" means a document setting out an  organized, planned and coordinated course of action to be followed in the event  of a fire, explosion, or release of regulated medical waste or regulated  medical waste constituents that could threaten human health or the environment.  
    "CWA" means the Clean Water Act (formerly referred  to as the Federal Water Pollution Control Act), 33 USC § 1251 et seq.; PL  92-500, PL 93-207, PL 93-243, PL 93-592, PL 94-238, PL 94-273, PL 94-558, PL  95-217, PL 95-576, PL 96-148, PL 96-478, PL 96-483, PL 96-510, PL 96-561, PL  97-35, PL 97-117, PL 97-164, PL 97-216, PL 97-272, PL 97-440, PL 98-45, PL  100-4, PL 100-202, PL 100-404, and PL 100-668. 
    "Decontamination" means the use of physical or  chemical means to remove, inactivate, or destroy human pathogens on a surface  or item to the point where they are no longer capable of transmitting disease  and the surface or item is rendered safe for handling, use, or disposal. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. 
    "Discard" means to throw away or reject. When a  material is soiled, contaminated or no longer usable and it is placed in a  waste receptacle for disposal or treatment prior to disposal, it is considered  discarded. 
    "Discharge" or "waste discharge" means  the accidental or intentional spilling, leaking, pumping, pouring, emitting,  emptying, or dumping of regulated medical waste into or on any land or state  waters. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters, including  ground waters. 
    "Disposal facility" means a facility or part of a  facility at which solid waste is intentionally placed into or on any land or  water, and at which the solid waste will remain after closure. 
    "Domestic sewage" means untreated sanitary wastes  that pass through a sewer system. 
    "Empty" means wastes have been removed from a  container using the practices commonly employed to remove materials of that  type. 
    "EPA" means the U.S. Environmental Protection  Agency. 
    "Etiologic agents" means the specific organisms  defined to be etiologic agents in 42 CFR 72.3. In general, etiologic agents as  defined in 42 CFR 72.1 means a viable microorganism or its toxin which causes  or may cause human disease. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Generate" means to cause waste to become subject  to regulation. When regulated medical waste is first discarded, it must be  appropriately packaged in accordance with this regulation. At the point a  regulated medical waste is discarded it has been generated. 
    Note: Timeframes associated with storage and refrigeration  are no longer linked to the "date of generation." 
    "Generator" means any person, by site location,  whose act or process produces regulated medical waste identified or listed in  Part III (9VAC20-120-80 et seq.) of this chapter or whose act first causes a  regulated medical waste to become subject to this chapter. 
    "Hazardous material" means a substance or material  that has been so designated under 49 Parts CFR 171 and 173. 
    "Hazardous waste" means any solid waste defined as  a "hazardous waste" by the Virginia Hazardous Waste Management  Regulations. 
    "Health Care Professional" means a medical doctor  or nurse practicing under a license issued by the Department of Health  Professions. 
    "Highly leak resistant" means that leaks will not  occur in the container even if the container receives severe abuse and stress,  but remains substantially intact. 
    "Highly puncture resistant" means that punctures  will not penetrate the container even if the container receives severe abuse  and stress, but remains substantially intact. 
    "Motor vehicle" means a vehicle, machine, roll off  container, tractor, trailer, or semi-trailer, or any combination of them,  propelled or drawn by mechanical power and used in transportation or designed  for such use. 
    "Nonstationary health care providers" means those  persons who routinely provide health care at locations that change each day or  frequently. This term includes traveling doctors, nurses, midwives, and others  providing care in patients' homes, first aid providers operating from emergency  vehicles, and mobile blood service collection stations. 
    "NPDES" or "National Pollutant Discharge  Elimination System" means the national program for issuing, modifying,  revoking, reissuing, terminating, monitoring, and enforcing permits pursuant to  §§ 307, 402, 318, and 405 of the Clean Water Act. The term includes any state  or interstate program that has been approved by the Administrator of the United  States Environmental Protection Agency. 
    "Off-site" means any site that does not meet the  definition of on-site as defined in this part, including areas of a facility  that are not on geographically contiguous property or outside of the boundary  of the site. 
    "On-site" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same person  but connected by a right-of-way that he controls and to which the public does  not have access are also considered on-site property. 
    "Owner" means the person or persons who own a  regulated medical waste management facility or part of a regulated medical  waste management facility. 
    "Package" or "outside package" means a  package plus its contents. 
    "Packaging" means the assembly of one or more  containers and any other components necessary to assure compliance with minimum  packaging requirements under VRGTHM or this chapter. 
    "Permit by rule" means provisions of this chapter  stating that a facility or activity is deemed to have a permit if it meets the  requirements of the provision. 
    "Permitted waste management facility" or  "permitted facility" means a regulated medical waste treatment or  storage facility that has received a permit in accordance with the requirements  of the chapter. 
    "Physical construction" means excavation, movement  of earth, erection of forms or structures, the purchase of equipment, or any  other activity involving the actual preparation of the regulated medical waste management  facility. 
    "Processing" means preparation, treatment, or  conversion of regulated medical waste by a series of actions, changes, or  functions that bring about a decided result. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act (42 USC § 6901 et  seq.), the Hazardous and Solid Waste Amendments of 1984, and any other  applicable amendments to these laws. 
    "Regulated medical waste" means solid wastes  defined to be regulated medical wastes in Part III (9VAC20-120-80 et seq.) of  this chapter. 
    "Regulated medical waste management" means the  systematic administration of activities that provide for the collection, source  separation, storage, transportation, transfer, processing, treatment, and  disposal of regulated medical wastes whether or not such facility is associated  with facilities generating such wastes or otherwise. 
    "Regulated medical waste management facility" means  a solid waste management facility that manages regulated medical waste. 
    "Safe sharps program" means a program supported by  a city, county, town or public authority that is intended to enhance the safe  disposal of sharps discarded by private individuals. 
    "Sanitary sewer system" means a system for the  collection and transport of sewage, the construction of which was approved by  the Department of Health or other appropriate authority. 
    "Secondary container" means a storage device into  which a container can be placed for the purpose of containing any leakage from  the original container. 
    "Section" means a subpart of this chapter and when  referred to all portions of that part apply. 
    "Sharps" means needles, scalpels, knives, syringes  with attached needles, pasteur pipettes and similar items having a point or  sharp edge or that are likely to break during transportation and result in a  point or sharp edge. 
    "Shipment" means the movement or quantity conveyed  by a transporter of a regulated medical waste between a generator and a  designated facility or a subsequent transporter. 
    "Site" means the land or water area upon which a  facility or activity is physically located or conducted, including but not  limited to adjacent land used for utility systems such as repair, storage,  shipping, or processing areas, or other areas incident to the controlled facility  or activity. 
    "Solid waste" means any garbage, refuse, sludge and  other discarded material, including solid, liquid, semisolid or contained  gaseous material, resulting from industrial, commercial, mining and agriculture  operations, or community activities, but does not include (i) solid or  dissolved material in domestic sewage, (ii) solid or dissolved material in  irrigation return flows or in industrial discharges which are sources subject  to a permit from the State Water Control Board, or (iii) source, special  nuclear, or by-product material as defined by the Federal Atomic Energy Act of  1954, as amended 42 USC §§ 2011-2284. The definition of solid waste is further  clarified in the Virginia Solid Waste Management Regulations (9VAC20-80-140)  (9VAC20-81-95). 
    "Solid waste management" means the collection,  source separation, storage, transportation, transfer, processing, treatment,  and disposal of solid wastes or resource recovery. 
    "Spill" means any accidental or unpermitted  discharge, leaking, pumping, pouring, emitting, or dumping of wastes or  materials that, when spilled, become wastes. 
    "Start-up" or "cold start-up" means the  beginning of a combustion operation from a condition where the combustor unit  is not operating and less than 140°F in all areas. 
    "Storage" means the holding, including during  transportation, of more than 200 gallons of waste, at the end of which the  regulated medical waste is treated or stored elsewhere. 
    "Training" means formal instruction, supplementing  an employee's existing job knowledge, designed to protect human health and the  environment via attendance and successful completion of a course of instruction  in regulated medical waste management procedures, including contingency plan  implementation, relevant to those operations connected with the employee's  position at the facility. 
    "Transfer facility" means any transportation  related facility including loading docks, parking areas, storage areas, and  other similar areas where shipments of regulated medical waste are held during  the normal course of transportation. 
    "Transportation" or "transport" means the  movement of regulated medical waste by air, rail, highway, or water. 
    "Transport vehicle" means any vehicle used for the  transportation of cargo. 
    "Vector" means a living animal, insect or other  arthropod that may transmits an infectious disease from one organism to  another. 
    "VRGTHM" means Virginia Regulations Governing the  Transportation of Hazardous Materials promulgated by the Virginia Waste  Management Board as authorized by §§ 10.1-1450 through 10.1-1454 of the Code of  Virginia. 
    "Waste management facility" means all contiguous  land and structures, other appurtenances, and improvements on them used for  treating, storing, or disposing of waste. 
    "Waste management unit" means any unit at a  treatment or storage facility that possesses a permit, or that has received  regulated medical waste (as defined in this chapter) at any time, including  units that are not currently active. 
    9VAC20-120-70. Relationship to other bodies of regulation. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  address other requirements for regulated medical waste management. Any  regulated medical waste management facility must also conform to any applicable  sections of the solid waste management regulations issued by the board and any  special solid waste management regulations such as those defining financial  assurance requirements. If there is a conflict between the details of  regulations here and the others, this chapter is controlling. 
    B. Regulated medical waste management facility must also  comply with any applicable sections of the Hazardous Waste Management  Regulations (9VAC20-60) issued by the department. If there is a conflict  between the details of regulations here and the hazardous waste management  regulations, the latter regulations are controlling. 
    C. Intrastate shipment of hazardous materials is subject to  the Regulations Governing the Transportation of Hazardous Materials  (9VAC20-110) of the department. If there is a conflict between the details of  regulations here and the hazardous materials transportation regulations, the  latter are controlling. 
    D. Generators of regulated medical waste and regulated  medical waste management facilities may be subject to the general industry  standard for occupational exposure to bloodborne pathogens in  16VAC25-90-1910.1030 (29 CFR 1910.1030). 
    E. Persons transporting regulated medical waste are subject  to the federal hazardous material transportation requirements in 49 CFR 171  through 178. 
    F. If there is a conflict between the regulations here and  adopted regulations of another agency of the Commonwealth, the provisions of  these regulations are set aside to the extent necessary to allow compliance  with the regulations of the other agency. If neither regulation controls, the  more stringent standard applies. 
    G. Nothing here either precludes or enables a local governing  body to adopt ordinances. Compliance with one body of regulation does not  insure compliance with the other, and, normally, both bodies of regulation must  be complied with fully. 
    9VAC20-120-100. Recycled materials. 
    A. Untreated regulated medical wastes shall not be used,  reused, or reclaimed. 
    B. Wastes that have been treated in accord with these  regulations are no longer regulated medical waste and may be used, reused, or  reclaimed in accordance with the provisions of the Virginia Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81). 
    C. Bed linen, instruments, medical care equipment and other  materials that are routinely reused for their original purpose are not subject  to these regulations until they are discarded and are a solid waste. These  items do not include reusable carts or other devices used in the management of  regulated medical waste (see 9VAC20-120-260). 
    Article 6 
  Treatment and Disposal 
    9VAC20-120-300. Methods of treatment and disposal. 
    A. All regulated medical waste must be incinerated,  sterilized by steam, or treated by a method as described in Part VII  (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.), or IX (9VAC20-120-630  et seq.) of this chapter. 
    B. No regulated medical waste shall be disposed of in a solid  waste landfill or other solid waste management facility. Upon authorized  treatment and management in accord with this chapter, the solid waste or its  ash is not regulated medical waste and may be disposed of at any landfill or  other solid waste management facility permitted to receive municipal solid  waste or garbage, provided the disposal is in accordance with the Solid Waste  Management Regulations, 9VAC20-80 9VAC20-81, and other applicable  regulations and standards. 
    C. Regulated medical waste in closed bags or containers shall  not be compacted or subjected to violent mechanical stress; however, after it  is fully treated and it is no longer regulated medical waste, it may be  compacted in a closed container. Nothing in this section shall prevent the  puncturing of containers or packaging immediately prior to permitted treatment  in which grinding, shredding, or puncturing is integral to the process units;  however, all grinding, shredding and puncturing shall be done with safe and  sanitary methods. Nothing in this section shall prevent the use of devices that  grind, shred or compact to reduce volume at the point of generation. Devices  will be constructed in a manner that prevents employee exposure to the waste,  contains any aerosol or mist that may be caused by the process, and treats or  filters any air evacuated from the chamber during processing. These devices may  be employed at the point of generation and prior to enclosing the regulated  medical waste in plastic bags and other required packaging; however, the waste  remains regulated medical waste. Appropriate means must be employed to  appropriately protect workers and contain the waste when unloading regulated  medical wastes from such a device. 
    9VAC20-120-540. Analysis and management of the ash product;  procedure; results and records; disposition of ash; ash storage. 
    A. Once every eight hours of operation of a continuously fed  incinerator and once every batch or 24 hours of operation of a batch fed  incinerator, a representative sample of 250 milliliters of the bottom ash shall  be collected from the ash discharge or the ash discharge conveyer. Samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous Waste  Management Regulations for determining if a solid waste is a hazardous waste.  Also, the sample shall be tested for total organic carbon content. 
    At incinerators equipped with air pollution control devices  that remove and collect incinerator emissions control ash or dust, this ash  shall be held separately and not mixed with bottom ash. Once every eight hours  of operation of a continuously fed incinerator and once every batch or 24 hours  of operation of a batch fed incinerator, a representative sample of 250  milliliters of the air pollution control ash or dust shall be collected from  the pollution control ash discharge. Air pollution control ash or dust samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous  Waste Management Regulations for determining if a waste is a hazardous waste. 
    B. A log shall document the ash sampling, to include the date  and time of each sample collected; the date, time and identification number of  each composite sample; and the results of the analyses, including laboratory  identification. Results of analyses must be returned from the laboratory and  recorded within four weeks following collection of the composite sample. The  results and records described in this part shall be maintained for a period of  three years, and shall be available for review. 
    C. If a waste ash is found to be hazardous waste (based on a  sample and a confirmation sample) the waste ash shall be disposed of as a  hazardous waste in accord with the Virginia Hazardous Waste Management  Regulations. If ash is found not to be hazardous waste by analysis, it may be  disposed of in a solid waste landfill that is permitted to receive garbage,  municipal solid waste or incinerator ash, provided the disposal is in  accordance with the Solid Waste Management Regulations, 9VAC20-80 9VAC20-81.  If the ash is found to be hazardous waste, the operator shall notify the  Director of the Department of Environmental Quality within 24 hours. No later  than 15 calendar days following, the permittee shall submit a plan for treating  and disposing of the waste on hand at the facility and all unsatisfactorily  treated waste that has left the facility. The permittee may include with the  plan a description of the corrective actions to be taken to prevent further  unsatisfactory performance. No ash subsequently generated from the incinerator  waste stream that was found to be hazardous waste shall be sent to a  nonhazardous solid waste management facility in the Commonwealth without the  express written approval of the director. 
    D. Air pollution control ash and bottom ash shall be held  separately and not mixed; however, once both are determined not to be hazardous  waste, they may be combined and disposed of as other solid waste. Throughout  the storage of the untested material it shall be kept in covered highly leak  resistant containers. It should be held until the generator determines whether  the ash waste is hazardous waste. Areas where untested material containers are  placed must be constructed with a berm to prevent runoff from that area. 
    E. Regulated medical waste treated in compliance with Part  VII (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.) or IX  (9VAC20-120-630 et seq.) of this chapter shall be deemed to be treated in  accordance with this chapter. Regulated medical waste not treated in accordance  with this chapter shall not be transported, received for transport or disposal,  or disposed of in any solid waste management facility. 
    9VAC20-120-810. Amendment of permits. 
    A. Temporary authorizations. 
    1. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of this section. Temporary authorizations  shall have a term of not more than 180 calendar days. 
    2. a. The permittee may request a temporary authorization for:  
    (1) Any substantive amendment meeting the criteria in  subdivision 3 b (1) of this subsection; and 
    (2) Any major amendment that meets the criteria in subdivision  3 b (1) or (2) of this subsection; or that meets the criteria in subdivisions 3  b (3) and (4) of this subsection and provides improved management or treatment  of a regulated medical waste already listed in the facility permit. 
    b. The temporary authorization request shall include: 
    (1) A description of the activities to be conducted under the  temporary authorization; 
    (2) An explanation of why the temporary authorization is  necessary; and 
    (3) Sufficient information to ensure compliance with standards  in Part V (9VAC20-120-330 et seq.) or VI (9VAC20-120-400 et seq.) of this  chapter. 
    c. The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven calendar days of submission of the  authorization request. 
    3. The director shall approve or deny the temporary  authorization as quickly as is practical. To issue a temporary authorization,  the director shall find: 
    a. The authorized activities are in compliance with the  standards of Part V (9VAC20-120-330 et seq.), VII (9VAC20-120-520 et seq.),  VIII (9VAC20-120-580 et seq.) or IX (9VAC20-120-630 et seq.) of this chapter. 
    b. The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an amendment  request: 
    (1) To facilitate timely implementation of closure or  corrective action activities; 
    (2) To prevent disruption of ongoing waste management  activities; 
    (3) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (4) To facilitate other changes to protect human health and  the environment. 
    4. A temporary authorization may be reissued for one  additional term of up to 180 calendar days provided that the permittee has  requested a substantive or a major permit amendment for the activity covered in  the temporary authorization, and (i) the reissued temporary authorization  constitutes the director's decision on a substantive permit amendment in  accordance with the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  or (ii) the director determines that the reissued temporary authorization  involving a major permit amendment request is warranted to allow the authorized  activities to continue while the amendment procedures of the Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81) are conducted. 
    B. Newly defined or identified wastes. The permittee is  authorized to continue to manage wastes defined or identified as regulated  medical waste under Part III (9VAC20-120-80 et seq.) of this chapter if he: 
    1. Was in existence as a regulated medical waste management  facility with respect to the newly defined or identified regulated medical  waste on the effective date of the final rule defining or identifying the  waste; and 
    2. (i) Is in compliance with the standards of Part V, VII,  VIII or IX, as applicable, with respect to the new waste, submits a minor  modification request on or before the date on which the waste becomes subject  to the new requirements or (ii) is not in compliance with the standards of Part  V or VI, as applicable, with respect to the new waste, but submits a complete  permit amendment request within 180 calendar days after the effective date of  the definition or identifying the waste. 
    C. The suitability of the facility location will not be  considered at the time of permit amendment unless new information or standards  indicate that an endangerment to human health or the environment exists that  was unknown at the time of permit issuance. 
    9VAC20-130-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Board" means the Virginia Waste Management Board. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants  and shopping centers.
    "Compost" means a stabilized organic product  produced by composting in such a manner that the product can be handled,  stored, and/or applied to the land.
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes  include, but are not limited to, lumber, wire, sheetrock, broken brick,  shingles, glass, pipes, concrete, paving materials, and metal and plastics if  the metal or plastics are a part of the materials of construction or empty containers  for such materials. Paints, coatings, solvents, asbestos-containing material,  any liquid, compressed gases, or semi-liquids and garbage are not construction  wastes. 
    "Debris waste" means solid waste resulting from  land clearing operations. Debris wastes include, but are not limited to,  stumps, wood, brush, leaves, soil, and road spoils. 
    "Demolition waste" means solid waste produced by  the destruction of structures and their foundations and includes the same  materials as construction wastes. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. For purposes of submissions to the  director as specified in the Waste Management Act, submissions may be made to  the department.
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulation,  9VAC20-60. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts;  inorganic chemicals; iron and steel manufacturing; leather and leather  products; nonferrous metals manufacturing/foundries; organic chemicals;  plastics and resins manufacturing; pulp and paper industry; rubber and  miscellaneous plastic products; stone, glass, clay, and concrete products;  textile manufacturing; transportation equipment; and water treatment. This term  does not include mining waste or oil and gas waste. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Integrated waste management plan" means a  governmental plan that considers all elements of waste management during  generation, collection, transportation, treatment, storage, disposal, and  litter control and selects the appropriate methods of providing necessary  control and services for effective and efficient management of all wastes. An  "integrated waste management plan" must provide for source reduction,  reuse and recycling within the jurisdiction and the proper funding and  management of waste management programs. 
    "Jurisdiction" means a local governing body; city,  county or town; or any independent entity, such as a federal or state agency,  which join with local governing bodies to develop a waste management plan. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill (as these terms  are defined in the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    "Litter" means all waste material disposable  packages or containers, but not including the wastes of the primary processes  of mining, logging, farming, or manufacturing.
    "Market" or "markets" means interim or  end destinations for the recyclable materials, including a materials recovery  facility (MRF).
    "Market conditions" means business and system  related issues used to determine if materials can be targeted, collected, and  delivered to an interim or end market in an efficient manner. Issues may  include, but are not limited to: the cost of collection, storage and  preparation or both; the cost of transportation; accessible volumes of  materials targeted for recycling; market value of materials targeted for  collection/recycling; and distance to viable markets.
    "Materials recovery facility (MRF)" means, for the  purpose of this regulation, a facility for the collection, processing and  marketing of recyclable materials including, but not limited to: metal, paper,  plastics, and glass. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses, except composting as defined and regulated under the Solid  Waste Management Regulations (9VAC20-80) or the Vegetative Waste Management  and Yard Waste Composting Regulations (9VAC20-101) (9VAC20-81). 
    "Municipal solid waste" means waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from the combustion of these wastes. 
    "Permit" means the written permission of the  director to own, operate or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Principal recyclable materials (PRMs)" means  paper, metal, plastic, glass, commingled yard waste, wood, textiles, tires,  used oil, used oil filters, used antifreeze, batteries, electronics, or  material as may be approved by the director. Commingled materials refers to  single stream collections of recyclables where sorting is done at a materials  recovery facility.
    "Recycling" means the process of separating a given  waste material from the waste stream and processing it so that it may be used  again as a raw material for a product, which may or may not be similar to the  original product. For the purpose of this chapter, recycling shall not include  processes that only involve size reduction. 
    "Recycling residue" means the (i) nonmetallic  substances, including but not limited to plastic, rubber, and insulation, which  remain after a shredder has separated for purposes of recycling the ferrous and  nonferrous metal from a motor vehicle, appliance or other discarded metallic  item and (ii) organic waste remaining after removal of metals, glass, plastics  and paper that are to be recycled as part of a resource recovery process for  municipal solid waste resulting in the production of a refuse derived fuel.
    "Regional boundary" means the boundary defining an  area of land that will be a unit for the purpose of developing a waste  management plan, and is established in accordance with 9VAC20-130-180 through  9VAC20-130-220. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Residential waste" means any waste material,  including garbage, trash and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds and day-use recreation  areas. Residential wastes do not include sanitary waste in septic tanks  (septage), that is regulated by other state agencies. 
    "Resource recovery system" means a solid waste  management system that provides for collection, separation, recycling and  recovery of energy or solid wastes, including disposal of nonrecoverable waste  residues. 
    "Reuse" means the process of separating a given  solid waste material from the waste stream and using it, without processing or  changing its form, other than size reduction, for the same or another end use. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste, which is so located, designed,  constructed and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste.  (Note: This term includes all sites whether they are planned and managed  facilities or open dumps.) 
    "Sludge" means any solid, semisolid or liquid waste  generated from a public, municipal, commercial or industrial  wastewater treatment plant, water supply treatment plant, or air pollution  control facility. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Solid Waste Management Regulations (9VAC20-80)  (9VAC20-81).
    "Solid waste planning unit" means each region or  locality that submits a solid waste management plan. 
    "Solid waste management facility  ("SWMF")" means a site used for planned treating, storing, or  disposing of solid waste. A facility may consist of several treatment, storage,  or disposal units. 
    "Source reduction" means any action that reduces or  eliminates the generation of waste at the source, usually within a process.  Source reduction measures include process modifications, feedstock  substitutions, improvements in feedstock purity, improvements in housekeeping  and management practices, increases in the efficiency of machinery, and  recycling within a process. Source reduction minimizes the material that must  be managed by waste disposal or nondisposal options by creating less waste.  "Source reduction" is also called "waste prevention,"  "waste minimization," or "waste reduction."
    "Source separation" means separation of recyclable  materials by the waste generator of materials that are collected for use,  reuse, reclamation, or recycling. 
    "Tons" means 2,000 pounds.
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, and woody wastes such as shrub and  tree prunings, bark, limbs, roots, and stumps. For more detail see Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101) the  Solid Waste Management Regulations (9VAC20-81).
    "Waste exchange" means any system to identify  sources of wastes with potential for use reuse, recycling or reclamation and to  facilitate its acquisition by persons who reuse, recycle or reclaim it, with a  provision for maintaining confidentiality of trade secrets. 
    "White goods" means any stoves, washers, hot water  heaters or other large appliances. For the purposes of this chapter, this  definition also includes, but is not limited to, such Freon-containing appliances  as refrigerators, freezers, air conditioners, and dehumidifiers. 
    "Yard waste" means decomposable waste materials  generated by yard and lawn care and includes leaves, grass trimmings, brush,  wood chips, and shrub and tree trimmings. Yard waste shall not include roots or  stumps that exceed six inches in diameter. 
    9VAC20-130-60. Applicability of regulations. 
    A. This chapter applies to all cities, counties, towns,  designated solid waste planning units (under 9VAC20-130-180) and permitted  solid waste facilities within the solid waste planning unit, including those  facilities covered under permit by rule procedures found in 9VAC20-80 9VAC20-81.  Any city, county, and town may mutually agree to unite for the purpose of solid  waste management planning, and upon joint written notification to the director,  shall be deemed to be a solid waste planning unit for development of a solid  waste management plan. 
    B. Any cities, counties, and towns may be represented by a  planning district, public service authority, or designated region that has been  adopted under 9VAC20-130-90 B. 
    C. The plan may (subject to statutory authority) specify that  all solid waste must be recycled at the rate established by the plan regardless  of the point of origin of the solid waste. Solid wastes from both public and  private sources shall be subject to such requirement. 
    9VAC20-130-120. Planning requirements. 
    A. Basic planning elements:
    1. Objectives for solid waste management within the planning  unit;
    2. A discussion as to how the plan will be implemented and  tracked, consisting of an integrated waste management strategy to support and  promote the hierarchy set forth at 9VAC20-130-30; giving preference to  alternatives in the following order of priority: source reduction, reuse,  recycling, resource recovery, incineration, and landfilling;
    3. Definition of incremental stages of progress toward the  objectives and schedule for their implementation, including, for compliance  with 9VAC20-80-500 9VAC20-81-450, specific solid waste management  facility names, facility capacities, and life based on 20-year need;
    4. Strategy for the provision of necessary funds and  resources;
    5. Descriptions of the funding and resources necessary,  including consideration of fees dedicated to future facility development;
    6. Strategy for public education and information on source  reduction, reuse, and recycling; and
    7. Consideration of public and private sector partnerships and  private sector participation in execution of the plan. Existing private sector  recycling operations should be incorporated in the plan and the expansion of  such operations should be encouraged. 
    B. A minimum recycling rate as specified in § 10.1-1411 of  the Code of Virginia for total municipal solid waste generated annually in each  solid waste planning unit shall be met and maintained. 
    1. The plan shall describe how the minimum recycling rate  shall be met or exceeded. The department may approve the solid waste management  plans of units that do not currently meet the minimum recycling rate only if all  other requirements of these regulations have been met and the solid waste  planning unit demonstrates its commitment to implementing a strong and detailed  action plan for recycling to meet the required rate.
    2. When a solid waste planning unit's annual recycling rate  falls below the minimum rate, it shall constitute evidence of a significant  deviation from the plan. The plan may be subject to revocation by the  department under 9VAC20-130-110 E unless the solid waste planning unit submits  a recycling action plan acceptable to the department per subsection I of this  section.
    C. The solid waste management plan shall include data and  analyses of the following type(s) for each jurisdiction. Each item below shall  be in a separate section and labeled as to content:
    1. Population information and projections for 20 years of  population growth and development patterns;
    2. Urban concentrations, geographic conditions, economic  growth and development, markets for the reuse and recycling of materials,  transportation conditions, and related factors;
    3. Estimates of solid waste generation from residential,  commercial institutional, industrial, construction, demolition, debris and  other types of sources, including the amounts reused, recycled, recovered as a  resource, incinerated and landfilled. Entities engaged in the collection,  processing, and marketing of recyclable materials should provide data for  incorporation into the recycling rate calculation, when requested by the  planning unit.
    4. A listing of existing and planned solid waste collection,  storage, treatment, transportation, disposal and other management facilities,  their projected capacities, expected life and systems for their use;
    5. All milestones in the implementation of the solid waste  management plan over the 20-year projection and the parties responsible for  each milestone;
    6. A description of programs for solid waste reduction, reuse,  recycling, resource recovery, incineration, storage, treatment, disposal and  litter control;
    7. A description of outreach programs for waste exchange,  public education and public participation;
    8. The procedures for and results of evaluating solid waste  collection, including transfer stations; and
    9. The assessment of all current and predicted needs for solid  waste management for a period of 20 years and a description of the action to be  taken to meet those needs.
    D. All known solid waste disposal sites, closed, inactive and  active, within the area of the solid waste management plan shall be documented  and recorded at a centralized archive authorized to receive and record  information and a copy shall be sent to the department. All new sites shall be  recorded at the same central data source.
    E. A methodology shall be utilized to monitor the amount of  solid waste of each type produced within the area of the solid waste management  plan and to record the annual production by solid waste types at a centralized  archive and a copy shall be sent to the department. 
    F. The solid waste management plan shall include, when  developed locally, a copy of the local governing body's resolution adopting the  solid waste management plan.
    G. The solid waste management plan shall include, when  developed regionally, a copy of the resolution approving the plan adopted in  accordance with the Virginia Area Development Act, the Virginia Water and Waste  Authorities Act, the provisions of the Code of Virginia governing joint  exercise of powers by political subdivisions (§ 15.2-1300 of the Code of  Virginia), or other authority as applicable.
    H. The solid waste management plan shall clearly and  explicitly demonstrate the manner in which the goals of the planning  requirements in these regulations shall be accomplished and actions to take if  these requirements are not met.
    I. A planning unit that does not meet the requirements of  these regulations shall submit an action plan, by mail or electronic mail, for  approval by the department. Such action plans shall include:
    1. A description of the deficiency that requires the  development of the action plan.
    2. A time schedule to resolve the deficiency(ies) associated  with the planning unit's failure to meet the requirements of the approved solid  waste management plan.
    3. A reporting requirement to the department, of a minimum of  once every six months, including activities or updates documenting how the  action plan requirements are being met.
    4. Plans and all subsequent reports and submittals shall be  reviewed by the department within 30 days of receipt by the department.
    5. All the department's requests for further information or  response(s) shall be provided within 30 days of receipt at the planning unit.  The department may grant reasonable extensions to these deadlines on a  case-by-case basis. 
    Part I 
  Definitions 
    9VAC20-140-10. Definition incorporated by reference. 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  are incorporated by reference. 
    9VAC20-150-10. Definitions. 
    A. The definitions set out in Part I of the Virginia  Solid Waste Management Regulations, 9VAC20-80-10 et seq., (9VAC20-81)  are incorporated by reference. 
    B. The following words and terms, when used in this chapter,  shall have the following meanings, unless the context clearly indicates  otherwise: 
    "Applicant" means any person or persons seeking  reimbursement under this chapter. 
    "Asphalt pavement containing recycled rubber" means  any hot mix or spray applied binder in asphalt paving mixture that contains  rubber from waste tire materials which is used for asphalt pavement base,  surface course or interlayer, or other road and highway related uses. 
    "Authorized signature" means the signature of an  individual who has authority to sign on behalf of, and bind, the applicant. 
    "Available funds" means for a given fiscal year, a  maximum of 80% of the previous fiscal year's collection of the waste tire tax  plus 85% of nonobligated carryover funds at the end of the previous fiscal  year. 
    "Burning" means the controlled burning of waste  tire materials for the purpose of energy recovery. 
    "Cost of use" means the equipment, leasehold  improvements, buildings, land, engineering, transportation, operating, taxes,  interest, and depreciation or replacement costs of using waste tire materials  incurred by the end user after deducting any tipping fee received by the end  user. 
    "Daily cover" means using waste tire material as an  alternate cover placed upon exposed solid waste to control disease vectors,  fires, odors, blowing litter and scavenging without presenting a threat to  human health and the environment. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or the director's designee. 
    "Embankment" means a raised earthen structure to  carry a roadway. 
    "End user" means: 
    1. For energy recovery: the person who utilizes the heat  content or other forms of energy from the burning or pyrolysis of waste tire  materials; 
    2. For other eligible uses: the last person who uses the  waste tire materials to make a product with economic value. If the waste tire  materials are processed by more than one person in becoming a product, the end  user is the last person to use the tire as waste tire materials. A person who  produces waste tire materials and gives or sells them to another person to use  is not an end user. 
    "Energy recovery" means utilizing the heat content  or other forms of energy from the burning or pyrolysis of waste tire materials.  
    "Fill material for construction" means the material  is used as a base or sub-base under the footprint of a structure, a paved  parking lot, sidewalk, walkway or similar application. 
    "Generator" means any person whose act or process  produces waste tires or whose act first causes a tire to become a solid waste. 
    "Hauler" means a person who picks up or transports  waste tires for the purpose of removal to a permitted storage, processing or  disposal facility. 
    "Partial reimbursement" means reimbursement that  does not exceed the purchase price of waste tire materials or the cost of use  if the waste tire materials were not purchased. 
    "Passenger tire equivalent" means a measure of  passenger, truck tires, and oversize tires where: One passenger car tire equals  20 pounds or 1/100 ton. One truck tire 20-24 inch rim equals 100 pounds or  1/200 ton and a tire with over 24-inch rim equals 200 pounds or greater as  computed by the end user. 
    "Processor" means a person engaged in the  processing of waste tires including, but not limited to, stamping, stripping,  shredding, or crumbing; that operates under a permit issued by the local, state,  or federal government; or is exempt from permit requirements. 
    "Pyrolysis" means thermal treatment of waste tire  materials to separate it into other components with economic value. 
    "Retreading" means processing a waste tire by  attaching a new tread to make a usable tire. 
    "Road bed base" means the foundation of a road  prepared for surfacing. 
    "Tipping fee" means a fee charged to a person for  disposal of a waste tire. 
    "Tire" means a continuous solid or pneumatic rubber  covering encircling the wheel of a vehicle in which a person or property is  transported, or by which they may be drawn on a highway. 
    "Tire pile" means an accumulation of waste tire  materials that violates the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81). 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. 
    "Waste tire materials" means whole waste tires or  waste tires that have been size reduced by physical or chemical process. This  term includes waste tires or chips or similar materials as specified in §§ 10.1-1422.3  and 10.1-1422.4 of the Code of Virginia. 
    "Waste Tire Trust Fund" means the nonreverting fund  set up by § 10.1-1422.3 of the Code of Virginia in which proceeds from the  waste tire tax are deposited. 
    Part II
  General Information 
    9VAC20-150-20. Purpose. 
    The purpose of this chapter is to define the types of uses  eligible for partial reimbursement, to establish the procedures for application  and processing of reimbursement, and to establish the amount of reimbursement. 
    9VAC20-150-40. End uses of waste tires eligible for  reimbursement. 
    A. The following uses of waste tire materials will be  eligible for the reimbursement if the use complies with applicable local  ordinances and regulations and the Virginia Solid Waste Management  Regulations, 9VAC20-80 (9VAC20-81) or the equivalent regulations  in another state. The eligible uses are: 
    1. Civil engineering applications, which utilize waste tire  materials as a substitute for soil, sand, or aggregate in a construction  project such as land or surface applications, road bed base and embankments;  fill material for construction projects; and daily cover and other  substitutions at a permitted solid waste facility if the facility's permit is  so modified; 
    2. Burning of waste tire materials for energy recovery; 
    3. Pyrolysis; and 
    4. Products made from waste tire materials such as molded  rubber products, rubberized asphalt, soil amendments, playground and horse  arena surfacing materials, mulches, mats, sealers, etc. 
    B. Uses that are not eligible for reimbursement include: 
    1. Reuse as a vehicle tire; 
    2. Retreading; 
    3. Burning without energy recovery; and 
    4. Landfilling, except use as specified in subdivision A 1 of  this section. 
    9VAC20-160-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise. 
    "Authorized agent" means any person who is  authorized in writing to fulfill the requirements of this program. 
    "Carcinogen" means a chemical classification for  the purpose of risk assessment as an agent that is known or suspected to cause  cancer in humans, including but not limited to a known or likely human  carcinogen or a probable or possible human carcinogen under an EPA  weight-of-evidence classification system. 
    "Certificate" means a written certification of  satisfactory completion of remediation issued by the director pursuant to § 10.1-1232  of the Code of Virginia. 
    "Completion" means fulfillment of the commitment  agreed to by the participant as part of this program. 
    "Contaminant" means any man-made or man-induced  alteration of the chemical, physical or biological integrity of soils,  sediments, air and surface water or groundwater including, but not limited to,  such alterations caused by any hazardous substance (as defined in the  Comprehensive Environmental Response, Compensation and Liability Act, 42 USC  § 9601(14)), hazardous waste (as defined in 9VAC20-60), solid waste (as  defined in 9VAC20-80-10) 9VAC20-81), petroleum (as defined in  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.))  of the Virginia State Water Control Law, or natural gas. 
    "Cost of remediation" means all costs incurred by  the participant pursuant to activities necessary for completion of voluntary  remediation at the site, based on an estimate of the net present value (NPV) of  the combined costs of the site investigation, report development, remedial  system installation, operation and maintenance, and all other costs associated  with participating in the program and addressing the contaminants of concern at  the site. 
    "Department" means the Department of Environmental  Quality of the Commonwealth of Virginia or its successor agency. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Engineering controls" means physical modification  to a site or facility to reduce or eliminate potential for exposure to  contaminants. These include, but are not limited to, stormwater conveyance  systems, pump and treat systems, slurry walls, liner systems, caps, monitoring  systems, and leachate collection systems. 
    "Hazard index (HI)" means the sum of more than one  hazard quotient for multiple contaminants or multiple exposure pathways or  both. The HI is calculated separately for chronic, subchronic, and shorter  duration exposures. 
    "Hazard quotient" means the ratio of a single  contaminant exposure level over a specified time period to a reference dose for  that contaminant derived from a similar period. 
    "Incremental upper-bound lifetime cancer risk  level" means a conservative estimate of the incremental probability of an  individual developing cancer over a lifetime. Upper-bound lifetime cancer risk  level is likely to overestimate "true risk." 
    "Institutional controls" means legal or contractual  restrictions on property use that remain effective after remediation is  completed, and are used to reduce or eliminate the potential for exposure to  contaminants. The term may include, but is not limited to, deed and water use  restrictions. 
    "Land use controls" means legal or physical  restrictions on the use of, or access to, a site to reduce or eliminate  potential for exposure to contaminants, or prevent activities that could  interfere with the effectiveness of remediation. Land use controls include but  are not limited to engineering and institutional controls. 
    "Noncarcinogen" means a chemical classification for  the purposes of risk assessment as an agent for which there is either  inadequate toxicological data or is not likely to be a carcinogen based on an  EPA weight-of-evidence classification system. 
    "Operator" means the person currently responsible  for the overall operations at a site, or any person responsible for operations  at a site at the time of, or following, the release. 
    "Owner" means any person currently owning or  holding legal or equitable title or possessory interest in a property,  including the Commonwealth of Virginia, or a political subdivision thereof,  including title or control of a property conveyed due to bankruptcy,  foreclosure, tax delinquency, abandonment, or similar means. 
    "Participant" means a person who has received  confirmation of eligibility and has remitted payment of the registration fee. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Program" means the Virginia Voluntary Remediation  Program. 
    "Property" means a parcel of land defined by the  boundaries in the deed. 
    "Reference dose" means an estimate of a daily  exposure level for the human population, including sensitive subpopulations,  that is likely to be without an appreciable risk of deleterious effects during  a lifetime. 
    "Registration fee" means the fee paid to enroll in  the Voluntary Remediation Program, based on 1.0% of the total cost of  remediation at a site, not to exceed the statutory maximum. 
    "Release" means any spilling, leaking, pumping,  pouring, emitting, emptying, discharging, injecting, escaping, leaching,  dumping or disposing of any contaminant into the environment. 
    "Remediation" means actions taken to cleanup,  mitigate, correct, abate, minimize, eliminate, control and contain or prevent a  release of a contaminant into the environment in order to protect human health  and the environment, including actions to investigate, study or assess any  actual or suspected release. Remediation may include, when appropriate and  approved by the department, land use controls. 
    "Remediation level" means the concentration of a  contaminant with applicable land use controls, that is protective of human  health and the environment. 
    "Report" means the Voluntary Remediation Report  required by 9VAC20-160-70. 
    "Restricted use" means any use other than  residential. 
    "Risk" means the probability that a contaminant  will cause an adverse effect in exposed humans or to the environment. 
    "Risk assessment" means the process used to  determine the risk posed by contaminants released into the environment.  Elements include identification of the contaminants present in the  environmental media, assessment of exposure and exposure pathways, assessment  of the toxicity of the contaminants present at the site, characterization of  human health risks, and characterization of the impacts or risks to the  environment. 
    "Site" means any property or portion thereof, as  agreed to and defined by the participant and the department, which contains or  may contain contaminants being addressed under this program. 
    "Termination" means the formal discontinuation of  participation in the Voluntary Remediation Program without obtaining a  certification of satisfactory completion. 
    "Unrestricted use" means the designation of  acceptable future use for a site at which the remediation levels, based on  either background or standard residential exposure factors, have been attained  throughout the site in all media. 
    9VAC20-160-30. Eligibility criteria. 
    A. Candidate sites shall meet eligibility criteria as defined  in this section. 
    B. Any persons who own, operate, have a security interest in  or enter into a contract for the purchase or use of an eligible site who wish  to voluntarily remediate that site may participate in the program. Any person  who is an authorized agent of any of the parties identified in this subsection  may participate in the program. 
    C. Sites are eligible for participation in the program if (i)  remediation has not been clearly mandated by the United States Environmental  Protection Agency, the department or a court pursuant to the Comprehensive  Environmental Response, Compensation and Liability Act (42 USC § 9601 et  seq.), the Resource Conservation and Recovery Act (42 USC § 6901 et seq.),  the Virginia Waste Management Act (§ 10.1-1400 et seq. of the Code of  Virginia), the Virginia State Water Control Law (§ 62.1-44.2 et seq. of the  Code of Virginia), or other applicable statutory or common law; or (ii)  jurisdiction of the statutes listed in clause (i) has been waived. 
    A site on which an eligible party has completed remediation  of a release is potentially eligible for the program if the actions can be  documented in a way which are equivalent to the requirements for prospective  remediation, and provided the site meets applicable remediation levels. 
    Petroleum or oil releases not mandated for remediation under  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.) of  the Virginia State Water Control Law may be eligible for participation in the  program. 
    Where an applicant raises a genuine issue based on documented  evidence as to the applicability of regulatory programs in subsection D of this  section, the site may be eligible for the program. Such evidence may include a  demonstration that: 
    1. It is not clear whether the release involved a waste  material or a virgin material; 
    2. It is not clear that the release occurred after the  relevant regulations became effective; or 
    3. It is not clear that the release occurred at a regulated  unit. 
    D. For the purposes of this chapter, remediation has been  clearly mandated if any of the following conditions exist, unless jurisdiction  for such mandate has been waived: 
    1. Remediation of the release is the subject of a permit  issued by the U.S. Environmental Protection Agency or the department, a pending  or existing closure plan, a pending or existing administrative order, a pending  or existing court order, a pending or existing consent order, or the site is on  the National Priorities List; 
    2. The site at which the release occurred is subject to the  Virginia Hazardous Waste Management Regulations (9VAC20-60) (VHWMR), is a  permitted facility, is applying for or should have applied for a permit, is  under interim status or should have applied for interim status, or was  previously under interim status, and is thereby subject to requirements of the  VHWMR; 
    3. The site at which the release occurred constitutes an open  dump or unpermitted solid waste management facility under Part IV  (9VAC20-80-170 et seq.) 9VAC20-81-45 of the Virginia Solid  Waste Management Regulations; 
    4. The director determines that the release poses an imminent  and substantial threat to human health or the environment; or 
    5. Remediation of the release is otherwise the subject of a  response action required by local, state, or federal law or regulation. 
    E. The director may determine that a site under subdivision D  3 of this section may participate in the program provided that such  participation complies with the substantive requirements of the applicable  regulations. 
    9VAC20-170-30. Applicability. 
    A. This chapter applies to each owner and/or operator of a  vessel transporting solid wastes or regulated medical wastes for the purposes  of commercial carriage as cargo, and each owner or operator of a receiving  facility. This chapter also applies to the receiving facilities and vessels  transporting solid wastes or regulated medical wastes upon the navigable waters  of the Commonwealth to the extent allowable under state law. 
    B. This chapter does not apply to a public vessel as defined  under 9VAC20-170-10, the owner and operator of a public vessel, vessels transporting  solid wastes or regulated medical wastes incidental to their predominant  business or purposes, vessels transporting solid wastes or regulated medical  wastes generated during normal operations of the vessel, solid wastes or  regulated medical wastes generated during the normal operations of the vessel,  and solid wastes excluded pursuant to 9VAC20-80-150 or conditionally  exempted pursuant to 9VAC20-80-160 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations. 
    9VAC20-170-40. Relationship to other regulations. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  prescribe requirements for the solid waste management facilities in general.  While a facility utilized to receive solid wastes or regulated medical wastes  transported, loaded, or unloaded upon the navigable waters of the Commonwealth,  to the extent allowable under state law, by a commercial transporter is a solid  waste management facility, this chapter herein prescribes specific  requirements, including siting, design/construction, operation, and permitting,  for this type of facilities. If there is any overlapping requirement between  these two regulations, whichever is more stringent shall apply. 
    B. The Regulated Medical Waste Management Regulations  (9VAC20-120) address special needs for regulated medical waste management. A  facility utilized to receive regulated medical waste transported, loaded, or  unloaded upon the navigable waters of the Commonwealth, to the extent allowable  under state law, by a commercial transporter is a regulated medical waste  facility and it must conform to any applicable sections of the Regulated  Medical Waste Management Regulations adopted by the board. If there is any  overlapping requirement between these two regulations, whichever is more stringent  shall apply. 
    C. This chapter does not exempt any receiving facility from  obtaining a Virginia Water Protection Permit as required by the Virginia Water  Protection Permit Program Regulation (9VAC25-210), whenever it is applicable. 
    VA.R. Doc. No. R11-2731; Filed June 8, 2011, 1:15 p.m. 
TITLE 9. ENVIRONMENT
VIRGINIA WASTE MANAGEMENT BOARD
Final Regulation
        REGISTRAR'S NOTICE: The  Virginia Waste Management Board is claiming an exemption from the  Administrative Process Act in accordance with § 2.2-4006 A 3,  which excludes regulations that consist only of changes in style or form or  corrections of technical errors. The Virginia Waste Management Board will  receive, consider, and respond to petitions by any interested person at any  time with respect to reconsideration or revision.
         Titles of Regulations: 9VAC20-60. Virginia Hazardous  Waste Management Regulations (amending 9VAC20-60-261).
    9VAC20-70. Financial Assurance Regulations for Solid Waste  Disposal, Transfer and Treatment Facilities (amending 9VAC20-70-10, 9VAC20-70-50,  9VAC20-70-70, 9VAC20-70-75, 9VAC20-70-90, 9VAC20-70-113, 9VAC20-70-210,  9VAC20-70-290).
    9VAC20-81. Solid Waste Management Regulations (amending 9VAC20-81-10, 9VAC20-81-35, 9VAC20-81-95,  9VAC20-81-140, 9VAC20-81-160, 9VAC20-81-250, 9VAC20-81-260, 9VAC20-81-300,  9VAC20-81-397, 9VAC20-81-470, 9VAC20-81-485, 9VAC20-81-490, 9VAC20-81-530,  9VAC20-81-600).
    9VAC20-85. Coal Combustion Byproduct Regulations (amending 9VAC20-85-10, 9VAC20-85-40,  9VAC20-85-50, 9VAC20-85-60, 9VAC20-85-90, 9VAC20-85-150, 9VAC20-85-180).
    9VAC20-120. Regulated Medical Waste Management Regulations (amending 9VAC20-120-10, 9VAC20-120-70,  9VAC20-120-100, 9VAC20-120-300, 9VAC20-120-540, 9VAC20-120-810).
    9VAC20-130. Solid Waste Planning and Recycling Regulations (amending 9VAC20-130-10, 9VAC20-130-60,  9VAC20-130-120).
    9VAC20-140. Regulations for the Certification of Recycling  Machinery and Equipment for Tax Exemption Purposes (amending 9VAC20-140-10).
    9VAC20-150. Waste Tire End User Reimbursement Regulation (amending 9VAC20-150-10, 9VAC20-150-20,  9VAC20-150-40).
    9VAC20-160. Voluntary Remediation Regulations (amending 9VAC20-160-10, 9VAC20-160-30).
    9VAC20-170. Transportation of Solid and Medical Wastes on  State Waters (amending 9VAC20-170-30, 9VAC20-170-40). 
    Statutory Authority: §§ 10.1-1232, 10.1-1402, 10.1-1410, 10.1-1411, 10.1-1422.3, 10.1-1422.4, and 58.1-3661 of the Code of  Virginia.
    Effective Date: August 3, 2011. 
    Agency Contact: Debra Miller, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4206, FAX (804) 698-4346, or email  debra.miller@deq.virginia.gov.
    Summary:
    Amendment 7 to the Solid Waste Management Regulations  amended and recodified these regulations creating 9VAC20-81, which became  effective March 16, 2011. This regulatory action makes necessary style and form  changes and technical corrections to that chapter and, as a secondary action,  makes the appropriate citations changes in other waste management regulations. 
    9VAC20-60-261. Adoption of 40 CFR Part 261 by reference. 
    A. Except as otherwise provided, the regulations of the  United States Environmental Protection Agency set forth in 40 CFR Part 261 are  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. Except as otherwise provided, all material definitions, reference  materials and other ancillaries that are a part of 40 CFR Part 261 are also  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. 
    B. In all locations in these regulations where 40 CFR Part  261 is incorporated by reference, the following additions, modifications and  exceptions shall amend the incorporated text for the purpose of its  incorporation into these regulations: 
    1. Any agreements required by 40 CFR 261.4(b)(11)(ii) shall be  sent to the United States Environmental Protection Agency at the address shown  and to the Department of Environmental Quality, P.O. Box 1105, Richmond,  Virginia 23218. 
    2. In 40 CFR 261.4(e)(3)(iii), the text "in the Region  where the sample is collected" shall be deleted. 
    3. In 40 CFR 261.4(f)(1), the term "Regional  Administrator" shall mean the regional administrator of Region III of the  United States Environmental Protection Agency or his designee. 
    4. In 40 CFR 261.6(a)(2), recyclable materials shall be  subject to the requirements of 9VAC20-60-270 and Part XII (9VAC20-60-1260 et  seq.) of this chapter. 
    5. No hazardous waste from a conditionally exempt small  quantity generator shall be managed as described in 40 CFR 261.5(g)(3)(iv) or  40 CFR 261.5(g)(3)(v) unless such waste management is in full compliance with  all requirements of the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    6. In 40 CFR 261.9 and wherever elsewhere in Title 40 of the  Code of Federal Regulations there is a listing of universal wastes or a listing  of hazardous wastes that are the subject of provisions set out in 40 CFR Part  273 as universal wastes, it shall be amended by addition of the following  sentence: "In addition to the hazardous wastes listed herein, the term  "universal waste" and all lists of universal waste or waste subject  to provisions of 40 CFR Part 273 shall include those hazardous wastes listed in  Part XVI (9VAC20-60-1495 et seq.) of the Virginia Hazardous Waste Management  Regulations as universal wastes, under such terms and requirements as shall  therein be ascribed." 
    7. In Subparts B and D of 40 CFR Part 261, the term  "Administrator" shall mean the administrator of the United States  Environmental Protection Agency, and the term "Director" shall not  supplant "Administrator" throughout Subparts B and D. 
    8. Regardless of the provisions of 9VAC20-60-18, the revisions  to 40 CFR Part 261 as promulgated by U.S. EPA on October 30, 2008, (73 FR 64757  - 64788) (definition of solid waste rule) are not adopted herein.
    Part I 
  Definitions 
    9VAC20-70-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings, unless the context clearly indicates otherwise: 
    "Abandoned facility" means any inactive solid waste  management facility that has not met closure and post-closure care  requirements. 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at the completion  of closure activities required by 9VAC20-80-10 et seq the Solid Waste  Management Regulations (9VAC20-81). Active life does not include the  post-closure care monitoring period. 
    "Anniversary date" means the date of issuance of a  financial mechanism. 
    "Assets" means all existing and all probable future  economic benefits obtained or controlled by a particular entity. 
    "Authority" means an authority created under the  provisions of the Virginia Water and Waste Authorities Act, Chapter 51 (§ 15.2-5100  et seq.) of Title 15.2 of the Code of Virginia, or, if any such authority shall  be abolished, the board, body, or commission succeeding to the principal  functions thereof or to whom the powers given by the Virginia Water and Waste  Authorities Act to such authority shall be given by law. 
    "Board" means the Virginia Waste Management Board. 
    "Cash plus marketable securities" means all the  cash plus marketable securities held on the last day of a fiscal year,  excluding cash and marketable securities designed to satisfy past obligations  such as pensions. 
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of 9VAC20-80-10  et seq., 9VAC20-101-10 et seq., 9VAC20-120-10 et seq., or 9VAC20-170-10 et seq.  the Solid Waste Management Regulations (9VAC20-81), the Regulated Medical  Waste Management Regulations (9VAC20-120), or the Transportation of Solid and  Medical Wastes on State Waters Regulations (9VAC20-170). A closed facility  may be undergoing post-closure care. 
    "Closure" means the act of securing a solid waste  management facility pursuant to the requirements of this chapter and any other  applicable solid waste management standards. 
    "Commercial transporter" means any person who  transports for the purpose of commercial carriage of solid wastes or regulated  medical wastes as cargo. 
    "Corrective action" means all actions necessary to  mitigate the public health or environmental threat from a release to the  environment of solid waste or constituents of solid waste from an operating,  abandoned, or closed solid waste management facility and to restore the  environmental conditions as required. 
    "Current annual inflation factor" means the annual  inflation factor derived from the most recent Implicit Price Deflator for Gross  National Product published by the U.S. Department of Commerce in its Survey of  Current Business. 
    "Current assets" means cash or other assets or  resources commonly identified as those which are reasonably expected to be  realized in cash or sold or consumed during the normal operating cycle of the  business. 
    "Current closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-111. 
    "Current dollars" means the figure represented by  the total of the cost estimate multiplied by the current annual inflation  factor. 
    "Current liabilities" means obligations whose  liquidation is reasonably expected to require the use of existing resources  properly classifiable as current assets or the creation of other current  liabilities. 
    "Current post-closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-112. 
    "Current year expenses for closure" means  expenditures documented by the facility during the previous fiscal year for  construction-related activities associated with closing the facility. Expenses  for closure must be detailed and identified in an approved closure plan. 
    "Debt service" means the amount of principal and  interest due on a loan in a given time period, typically the current year. 
    "Deficit" means total annual revenues less total  annual expenditures. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent thereof may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means any solid waste management facility  unless the context clearly indicates otherwise. The term "facility"  includes transfer stations. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Governmental unit" means any department,  institution or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.  
    "Groundwater" means any water, except capillary  moisture or unsaturated zone moisture, beneath the land surface in the zone of  saturation or beneath the bed of any stream, lake, reservoir or other body of  surface water within the boundaries of this Commonwealth, whatever may be the  subsurface geologic structure in which such water stands, flows, percolates or  otherwise occurs. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60). 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill as defined by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Leachate" means a liquid that has passed through  or emerged from solid waste and that contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation for disposal in an off-site facility is regulated as septage,  and leachate discharged into a wastewater collection system is regulated as  industrial wastewater. 
    "Liabilities" means probable future sacrifices of  economic benefits arising from present obligations to transfer assets or  provide services to other entities in the future as a result of past  transactions or events. 
    "Local government" means a county, city or town or  any authority, commission, or district created by one or more counties, cities  or towns. 
    "Net working capital" means current assets minus  current liabilities. 
    "Net worth" means total assets minus total  liabilities and is equivalent to owner's equity. 
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means a person who owns a solid waste  management facility or part of a solid waste management facility. For the  purposes of this chapter, all individuals, corporations, companies, partnerships,  societies or associations, and any federal agency or governmental unit of the  Commonwealth having any title or interest in any solid waste management  facility or the services or facilities to be rendered thereby shall be  considered an owner. 
    "Parent corporation" means a corporation that  directly owns at least 50% of the voting stock of the corporation that is the  facility owner or operator; the latter corporation is deemed a  "subsidiary" of the parent corporation. 
    "Permit" means the written permission of the  director to own, operate, modify, or construct a solid waste management  facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Post-closure care" means the requirements placed  upon an owner or operator of a solid waste disposal facility after closure to  ensure environmental and public health and safety are protected for a specified  number of years after closure. 
    "Receiving facility" means a facility, vessel or  operation that receives solid wastes or regulated medical wastes transported,  loaded or unloaded upon the navigable waters of the Commonwealth, to the extent  allowable under state law, by a commercial transporter. A receiving facility is  considered as a solid waste management facility. A facility that receives solid  waste from a ship, barge or other vessel and is regulated under § 10.1-1454.1  of the Code of Virginia shall be considered a transfer facility for purposes of  this chapter. 
    "Regulated medical waste" means solid waste so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120) as promulgated by the Virginia Waste  Management Board. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of solid waste which is so located, designed,  constructed and operated to contain and isolate the solid waste so that it does  not pose a substantial present or potential hazard to human health or the  environment. 
    "Signature" means the name of a person written with  his own hand. 
    "Site" means all land and structures, other  appurtenances, and improvements thereon used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the property  boundary used for utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Virginia Waste Management Act and the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility (SWMF)" means a  site used for planned treating, storing, or disposing of solid waste. A  facility may consist of several treatment, storage, or disposal units. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Substantial business relationship" means the  extent of a business relationship necessary under applicable Virginia law to  make a guarantee contract incident to that relationship valid and enforceable.  A "substantial business relationship" shall arise from a pattern of recent  and on-going business transactions, in addition to the guarantee itself, such  that a currently existing business relationship between the guarantor and the  owner or operator is demonstrated to the satisfaction of the director. 
    "Tangible net worth" means the tangible assets that  remain after deducting liabilities; such assets would not include intangibles  such as goodwill and rights to patents or royalties. 
    "Total expenditures" means all expenditures  excluding capital outlays and debt repayment. 
    "Total revenue" means revenue from all taxes and  fees but does not include the proceeds from borrowing or asset sales, excluding  revenue from funds managed on behalf of a specific third party. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Treatment" means any method, technique, or  process, including incineration or neutralization, designed to change the  physical, chemical, or biological character or composition of any waste to  neutralize it or render it less hazardous or nonhazardous, safer for transport,  or more amenable to use, reuse, reclamation or recovery. 
    "Unit" means a discrete area of land used for the  management of solid waste. 
    9VAC20-70-50. Applicability of chapter. 
    A. This chapter applies to all persons who own, operate, or  allow the following permitted or unpermitted facilities to be operated on their  property: 
    1. Solid waste treatment, transfer and disposal facilities  regulated under the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81);
    2. Facilities Vegetative waste management facilities  regulated under the Vegetative Waste Management and Yard Waste Composting  Regulations (9VAC20-101-10 et seq.) Solid Waste Management Regulations  (9VAC20-81);
    3. Medical waste treatment, transfer or disposal facilities  regulated under the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120); or 
    4. Receiving facilities as defined herein.
    B. Exemptions. 
    1. Owners or operators of facilities who are federal or state  government entities whose debts and liabilities are the debts or liabilities of  the United States or the Commonwealth, are exempt from this chapter; 
    2. Owners and operators of facilities conditionally exempt  under 9VAC20-80-60 D 9VAC20-81-95 of the Virginia Solid  Waste Management Regulations are exempt from this chapter so long as they meet  the conditions of the exemption; 
    3. Owners and operators of facilities that manage solely  wastes excluded under 9VAC20-80-150 or conditionally exempt under 9VAC20-80-160  9VAC20-81-95 of the Virginia Solid Waste Management Regulations  are exempt from this chapter; 
    4. Owners or operators of facilities exempt under  9VAC20-120-120 or excluded under 9VAC20-120-130 of the Virginia  Regulated Medical Waste Management Regulations (9VAC20-120-10 et seq.) (9VAC20-120)  are exempt from this chapter; 
    5. Owners and operators of yard waste composting facilities  exempt under 9VAC20-101-60 and 9VAC20-101-70 of the Vegetative Waste  Management and Yard Waste Composting Regulations 9VAC20-81-95 of the  Solid Waste Management Regulations are exempt from this chapter; and 
    6. Owners and operators of hazardous waste management units  regulated under the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60) are exempt from this chapter as far as such  units are concerned. 
    C. Owners and operators of facilities or units that treat or  dispose of wastes which are exempted from the Virginia Hazardous Waste  Management Regulations (9VAC20-60-12 et seq.) (9VAC20-60) are  subject to these regulations unless also exempted herein. 
    D. Facilities with separate ownership and operation. If  separate, nonexempt persons own and operate a facility subject to this chapter,  the owner and operator shall be jointly and severally liable for meeting the  requirements of this chapter. If either the owner or operator is exempt, as  provided in 9VAC20-70-50 B, then the other person shall be liable for meeting  the requirements of this chapter. If both the owner and the operator are  exempt, as provided in 9VAC20-70-50 B, then the requirements of this chapter  are not applicable to that facility. 
    E. Exemptions for facilities owned and operated by local  governments. 
    1. Closed facilities. Owners and operators of facilities who  are local governmental entities or regional authorities that have completed  closure by October 9, 1994, are exempt from all the requirements of this  chapter, provided they: 
    a. Have (i) disposed of less than 100 tons per day of solid  waste during a representative period prior to October 9, 1993; (ii) disposed of  less than 100 tons per day of solid waste each month between October 9, 1993,  and April 9, 1994; (iii) ceased to accept solid waste prior to April 9, 1994;  and (iv) whose units are not on the National Priority List as found in Appendix  B to 40 CFR Part 300; or 
    b. Have (i) disposed of more than 100 tons per day of solid  waste prior to October 9, 1993, and (ii) ceased to accept solid waste prior to  that date. 
    2. All other facilities. Owners and operators of facilities  who are local governmental entities or regional authorities that are not exempt  under subdivision 1 of this subsection are subject to the requirements of this  chapter. 
    9VAC20-70-70. Suspensions and revocations. 
    The director may revoke, suspend, or amend any permit for  cause as set in § 10.1-1409 of the Code of Virginia and as provided for in  9VAC20-80-600 9VAC20-81-570 and 9VAC20-80-620 9VAC20-81-600  of the Virginia Solid Waste Management Regulations, 9VAC20-120-790 and  9VAC20-120-810 of the Regulated Medical Waste Management Regulations, 9VAC20-101-200  of the Vegetative Waste Management and Yard Waste Composting Regulations,  and any other applicable regulations. Failure to provide or maintain adequate  financial assurance in accordance with these regulations shall be a basis for  revocation of such facility permit. Failure to provide or maintain adequate  financial assurance in accordance with this chapter, taken with other relevant  facts and circumstances, may be a basis for summary suspension of such facility  permit pending a hearing to amend or revoke the permit, or to issue any other appropriate  order. 
    9VAC20-70-75. Forfeitures. 
    Forfeiture of any financial obligation imposed pursuant to  this chapter shall not relieve any owner or operator of a solid waste  management facility from any obligations to comply with provisions of the Solid  Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  or the Regulated Medical Waste Management Regulations (9VAC20-120-10 et  seq.), the Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.) (9VAC20-120), and any other applicable  regulations or any other legal obligations for the consequences of abandonment  of any facility. 
    Article 2 
  Closure, Post-Closure Care and Corrective Action Requirements 
    9VAC20-70-90. Closure, post-closure care and corrective action  requirements. 
    A. The owner or operator shall close his facility in a manner  that minimizes the need for further maintenance; and controls, minimizes or  eliminates, to the extent necessary to protect human health and the  environment, the post-closure escape of uncontrolled leachate, surface runoff,  or waste decomposition products to the groundwater, surface water, or to the  atmosphere. The owner or operator shall close his facility in accordance with  all applicable regulations. 
    The closure standards applicable to the solid waste  management facilities are described in 9VAC20-80-210 B, 9VAC20-80-210 B 2,  9VAC20-80-250 E, 9VAC20-80-260 E, 9VAC20-80-270 E, 9VAC20-80-330 E,  9VAC20-80-340 E, 9VAC20-80-360 E, 9VAC20-80-370 E, 9VAC20-80-380 B, and  9VAC20-80-470 E 9VAC20-81-160, 9VAC20-81-360, and 9VAC20-81-370 of  the Solid Waste Management Regulations. The closure requirements applicable to  the regulated medical waste facilities are specified in 9VAC20-120-290 of the  Regulated Medical Waste Management Regulations. The closure requirements for  vegetative waste management and yard waste composting facilities are specified  in 9VAC20-101-150 of the Vegetative Waste Management and Yard Waste Composting  Regulations. 
    B. Following closure of each solid waste disposal unit, the  owner or operator shall conduct post-closure care in accordance with the  requirements of 9VAC20-80-250 F, 9VAC20-80-260 F, or 9VAC20-80-270 F 9VAC20-81-170  of the Solid Waste Management Regulations, as applicable. 
    C. The owner or operator shall institute a corrective action  program when required to do so by 9VAC20-80-190, 9VAC20-80-210 B 2, or  9VAC20-80-310 9VAC20-81-45 or 9VAC20-81-260 of the Solid Waste  Management Regulations, as applicable. 
    D. During any re-examination of a determination of the amount  of financial assurance required, the owner or operator of a landfill facility  not closed in accordance with 9VAC20-80-10 et seq. 9VAC20-81  shall demonstrate financial assurance by using one or more of the approved  mechanisms listed in Article 4 (9VAC20-70-140 et seq.) of this part for the  lesser of the following: 
    1. The amount requested by the director; or 
    2. The following default amounts: 
    a. $200,000 per acre of fill for sanitary landfills; or 
    b. $150,000 per acre of fill for construction demolition  debris landfills and industrial landfills. 
    9VAC20-70-113. Financial assurance for corrective action. 
    A. Within 120 days of a facility's finding or the director's  determining (whichever first occurs) that Groundwater Protection Standards  established as required by 9VAC20-80-250 D 6, or Appendix 5.6 D of  9VAC20-80-10 et seq. as applicable 9VAC20-81-250 have been  statistically exceeded, an owner or operator of a landfill or other unit  subject to groundwater monitoring shall provide additional financial assurance  in the amount of $1 million to the department using the mechanisms listed under  Article 4 (9VAC20-70-140 et seq.) of this part. The director shall release the  owner or operator from this requirement after the director has determined: 
    1. The owner or operator is providing financial assurance for  a corrective action program using one or more mechanisms listed under Article 4  (9VAC20-70-140 et seq.) of this part, as required under 9VAC20-70-90 C and  subsections B and C of this section; or 
    2. The owner of operator has achieved compliance with  Groundwater Protection Standards by demonstrating that concentrations of APPENDIX  5.1 constituents of 9VAC20-80-10 et seq. Table 3.1, Column B of  9VAC20-81-250 have not exceeded the Groundwater Protection Standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards. 
    B. An owner or operator of a solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  prepare and submit to the director a detailed written estimate, in current  dollars, of the cost of hiring a third party to perform the corrective action.  The corrective action cost estimate shall account for the total costs of  corrective action activities as described in the corrective action plan for the  entire corrective action period. The owner or operator shall notify the  director that the estimate has been placed in the operating record unless  corrective action is proceeding under Part IV of the Solid Waste Management  Regulations (9VAC20-80-10 et seq.) 9VAC20-81-45. In the latter case,  the new corrective action cost estimate shall be submitted to the director  within 30 days of its preparation. The corrective action cost estimate shall be  approved by the director. 
    1. The owner or operator shall adjust the estimate annually  for inflation within 60 days prior to the anniversary date of the establishment  of the financial mechanism used to comply with this part until the corrective  action program is completed. For owners or operators using the financial test  or guarantee, the corrective action cost estimate shall be updated for  inflation within 30 days after the close of the owner's or operator's fiscal  year. The adjustment process to be used is described in 9VAC20-70-111 B. 
    2. The owner or operator shall increase the corrective action  cost estimate and the amount of financial assurance provided under this  subsection no later than 30 days after revisions to the corrective action  program or where a change in the solid waste management unit conditions  increase the maximum costs of corrective action. 
    3. The owner or operator may request a reduction in the amount  of the corrective action cost estimate and the amount of financial assurance  provided under this subsection if the cost estimate exceeds the maximum  remaining costs of corrective action. The owner or operator shall submit a  revised cost estimate with the justification for the reduction to the director  when requesting a reduction in the amount of the corrective action cost  estimate and the amount of financial assurance provided. The justification  shall include an itemization of all corrective action costs. No reduction  request shall be reviewed until a complete cost estimate acceptable to the  department has been submitted. A request for a reduction in the corrective  action cost estimate shall be reviewed in a timely manner. 
    C. The owner or operator of each solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  establish financial assurance in the amount specified by the most recently  approved cost estimate for the selected remedy in accordance with  9VAC20-70-140. The owner or operator shall provide continuous coverage for  corrective action until released from financial assurance requirements for  corrective action by the director. 
    9VAC20-70-210. Local government financial test. 
    An owner or operator that satisfies the requirements of  subdivisions 1 through 3 of this section may demonstrate financial assurance  using the local government financial test up to the amount specified in  subdivision 4 of this section. 
    1. Financial component. 
    a. The owner or operator shall satisfy the provisions of  subdivision 1 a of this section, as applicable: 
    (1) If the owner or operator has outstanding, rated, general  obligation bonds that are not secured by insurance, a letter of credit, or  other collateral or guarantee, he shall supply the director with documentation  demonstrating that the owner or operator has a current rating of Aaa, Aa, A, or  Baa, as issued by Moody's, or AAA, AA, A, or BBB, as issued by Standard and  Poor's on all such general obligation bonds; or 
    (2) If the owner or operator does not have outstanding, rated  general obligation bonds, he shall satisfy each of the following financial  ratios based on the owner's or operator's most recent audited annual financial  statement: 
    (a) A ratio of cash plus marketable securities to total  expenditures greater than or equal to 0.05; and 
    (b) A ratio of annual debt service to total expenditures less  than or equal to 0.20. 
    b. The owner or operator shall prepare his financial  statements in conformity with Generally Accepted Accounting Principles for  governments and have its financial statements audited by an independent  certified public accountant or by the Auditor of Public Accounts. 
    c. An owner or operator is not eligible to assure its  obligations under this section if he: 
    (1) Is currently in default on any outstanding general  obligation bonds; 
    (2) Has any outstanding general obligation bonds rated lower  than Baa as issued by Moody's or BBB as issued by Standard and Poor's; 
    (3) Operated at a deficit equal to 5.0% or more of total  annual revenue in each of the past two fiscal years; or 
    (4) Receives an adverse opinion, disclaimer of opinion, or  other qualified opinion from the independent certified public accountant or  Auditor of Public Accounts auditing its financial statement as required under  subdivision 1 b of this section. However, the director may evaluate qualified  opinions on a case-by-case basis and allow use of the financial test in cases  where the director deems the qualification insufficient to warrant disallowance  of the test. 
    2. Public notice component. The local government owner or  operator shall place a reference to the closure, post-closure care, or  corrective action costs assured through the financial test into the next  comprehensive annual financial report (CAFR) after January 7, 1998, or prior to  the initial receipt of waste at the facility, whichever is later. Disclosure  shall include the nature and source of closure and post-closure requirements,  the reported liability at the balance sheet date, the estimated total closure  and post-closure care cost remaining to be recognized, the percentage of  landfill capacity used to date, and the estimated landfill life in years. A  reference to corrective action cost shall be placed in CAFR no later than 120  days after the corrective action remedy has been selected in accordance with 9VAC20-80-310  9VAC20-81-260. For the first year the financial test is used to assure  costs at a particular facility, the reference may instead be placed in the  operating record until issuance of the next available CAFR if timing does not  permit the reference to be incorporated into the most recently issued CAFR or  budget. For closure and post-closure care costs, conformance with Government  Accounting Standards Board Statement 18 assures compliance with this public  notice component. 
    3. Recordkeeping and reporting requirements. 
    a. The local government owner or operator must submit to the  department the following items and place copies of the items in the facility's  operating record: 
    (1) An original letter signed by the local government's chief  financial officer worded as specified in 9VAC20-70-290 G; 
    (2) The local government's independently audited year-end  financial statements for the latest fiscal year, including the unqualified  opinion of the auditor who must be an independent, certified public accountant  or an appropriate state agency that conducts equivalent comprehensive audits; 
    (3) A report to the local government from the local  government's independent certified public accountant (CPA) or the Auditor of  Public Accounts based on performing an agreed upon procedures engagement  relative to the financial ratios required by subdivision 1 a (3) of this  section, if applicable, and the requirements of subdivisions 1 b, 1 c (3) and 1  c (4) of this section. The CPA or state agency's report shall state the  procedures performed and the CPA or state agency's findings; 
    (4) A copy of the comprehensive annual financial report (CAFR)  used to comply with subdivision 2 of this section or certification that the  requirements of General Accounting Standards Board Statement 18 have been met; 
    (5) A certification from the local government's chief  executive officer stating in detail the method selected by the local government  for funding closure and post-closure costs. If the method selected by the local  government is a trust fund, escrow account or similar mechanism, there shall be  included a certification from the local government's chief financial officer  indicating the current reserve obligated to closure and post-closure care cost.  If the method selected by local governments is the use of annual operating  budget and Capital Investment Funds, there shall be a certification from the  local government's chief financial officer so indicating. Nothing herein shall  be construed to prohibit the local government from revising its plan for  funding closure and post-closure care costs if such revision provides economic  benefit to the local government and if such revision provides adequate means  for funding closure and post-closure care cost. This certification shall be  worded as specified in 9VAC20-70-290 H; and 
    (6) If the local government is required under this section to  fund a restricted sinking fund, escrow account, or to obtain an irrevocable  letter of credit, an original letter signed by the local government's chief  financial officer and worded as specified in 9VAC20-70-290 I must be submitted.  
    b. The items required in subdivision 3 a of this section shall  be submitted to the department and placed in the facility operating record as  follows: 
    (1) In the case of closure and post-closure care, either  before January 7, 1998, or prior to the initial receipt of waste at the  facility, whichever is later; or 
    (2) In the case of corrective action, not later than 120 days  after the corrective action remedy is selected in accordance with the  requirements of 9VAC20-80-310 9VAC20-81-260. 
    c. After the initial submission of the items, the local  government owner or operator must update the information, place a copy of the  updated information in the operating record, and submit the updated  documentation described in subdivisions 3 a (1) through (6) of this section to  the department within 180 days following the close of the owner or operator's  fiscal year. 
    d. The local government owner or operator is no longer  required to meet the requirements of subdivision 3 of this section when: 
    (1) The owner or operator substitutes alternate financial  assurance as specified in this section; or 
    (2) The owner or operator is released from the requirements of  this section in accordance with 9VAC20-70-111 E, 9VAC20-70-112 B, or  9VAC20-70-113 C. 
    e. A local government shall satisfy the requirements of the  financial test at the close of each fiscal year. If the local government owner  or operator no longer meets the requirements of the local government financial  test it must, within 210 days following the close of the owner or operator's  fiscal year, obtain alternative financial assurance that meets the requirements  of this section, place a copy of the financial assurance mechanism in the  operating record, and submit the original financial assurance mechanism to the  director. 
    f. The director, based on a reasonable belief that the local  government owner or operator may no longer meet the requirements of the local  government financial test, may require additional reports of financial  condition from the local government at any time. If the director finds, on the  basis of such reports or other information, that the owner or operator no  longer meets the requirements of the local government financial test, the local  government shall provide alternate financial assurance in accordance with this  article. 
    4. Calculation of costs to be assured. The portion of the  closure, post-closure, and corrective action costs for which an owner or  operator can assure under subdivision 1 of this section is determined as  follows: 
    a. If the local government owner or operator does not assure  other environmental obligations through a financial test, it may assure  closure, post-closure, and corrective action costs that equal up to 43% of the  local government's total annual revenue or the sum of total revenues of  constituent governments in the case of regional authorities. If the local  government assures closure, post-closure, and corrective action costs that  exceed 20% (but do not exceed 43%) of the local government's total annual  revenue or the sum of the revenue of constituent governments in the case of  regional authorities, the locality must also establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    b. If the local government assures other environmental obligations  through a financial test, including those associated with UIC facilities under  40 CFR 144.62, petroleum underground storage tank facilities under  9VAC25-590-10 et seq., PCB storage facilities under 40 CFR Part 761, and  hazardous waste treatment, storage, and disposal facilities under Part IX or X  of the Virginia Hazardous Waste Management Regulations (9VAC20-60-12 et  seq.) (9VAC20-60), it shall add those costs to the closure,  post-closure, and corrective action costs it seeks to assure under subdivision  1 of this section. The total shall not exceed 43% of the local government's  total annual revenue. If the local government's total environmental liabilities  assured through financial tests exceed 20% (but do not exceed 43%) of the local  government's total annual revenue or the sum of the revenue of constituent  governments in the case of regional authorities, the locality must also  establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    c. The owner or operator shall obtain an alternate financial  assurance mechanism for those costs that exceed the limits set in subdivisions  4 a and 4 b of this section. 
    9VAC20-70-290. Wording of financial mechanisms. 
    A. Wording of trust agreements. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    TRUST AGREEMENT 
    Trust agreement, the "Agreement," entered into as  of (date) by and between (name of the owner or operator), a (State)  (corporation, partnership, association, proprietorship), the  "Grantor," and (name of corporate trustee), a (State corporation)  (national bank), the "Trustee." 
    Whereas, the Virginia Waste Management Board has established  certain regulations applicable to the Grantor, requiring that the owner or operator  of a (solid) (regulated medical) (yard) waste (transfer station) (receiving)  (management) facility must provide assurance that funds will be available when  needed for (closure, post-closure care, or corrective action) of the facility, 
    Whereas, the Grantor has elected to establish a trust to  provide (all or part of) such financial assurance for the facility identified  herein, 
    Whereas, the Grantor, acting through its duly authorized  officers, has selected the Trustee to be the trustee under this agreement, and  the Trustee is willing to act as trustee, 
    Now, therefore, the Grantor and the Trustee agree as follows:  
    Section 1. Definitions. As used in this Agreement: 
    A. The term "fiduciary" means any person who  exercises any power of control, management, or disposition or renders  investment advice for a fee or other compensation, direct or indirect, with  respect to any moneys or other property of this trust fund, or has any  authority or responsibility to do so, or who has any authority or  responsibility in the administration of this trust fund. 
    B. The term "Grantor" means the owner or operator  who enters into this Agreement and any successors or assigns of the Grantor. 
    C. The term "Trustee" means the Trustee who enters  into this Agreement and any successor Trustee. 
    Section 2. Identification of Facility and Cost Estimates.  This Agreement pertains to facility(ies) and cost estimates identified on  attached Schedule A. 
    (NOTE: On Schedule A, for each facility list, as applicable,  the permit number, name, address, and the current closure, post-closure,  corrective action cost estimates, or portions thereof, for which financial  assurance is demonstrated by this Agreement.) 
    Section 3. Establishment of Fund. The Grantor and the Trustee  hereby establish a trust fund, the "Fund," for the benefit of the  Department of Environmental Quality, Commonwealth of Virginia. The Grantor and  the Trustee intend that no third party have access to the Fund except as herein  provided. The Fund is established initially as property consisting of cash or  securities, which are acceptable to the Trustee, described in Schedule B  attached hereto. Such property and any other property subsequently transferred  to the Trustee is referred to as the fund, together with all earnings and  profits thereon, less any payments or distributions made by the Trustee  pursuant to this Agreement. The Fund will be held by the Trustee, IN TRUST, as  hereinafter provided. The Trustee undertakes no responsibility for the amount  or adequacy of, nor any duty to collect from the Grantor, any payments to  discharge any liabilities of the Grantor established by the Commonwealth of  Virginia's Department of Environmental Quality. 
    Section 4. Payment for (Closure, Post-Closure Care, or  Corrective Action). The Trustee will make such payments from the Fund as the  Department of Environmental Quality, Commonwealth of Virginia will direct, in  writing, to provide for the payment of the costs of (closure, post-closure  care, corrective action) of the facility covered by this Agreement. The Trustee  will reimburse the Grantor or other persons as specified by the Department of  Environmental Quality, Commonwealth of Virginia, from the Fund for (closure,  post-closure care, corrective action) expenditures in such amounts as the  Department of Environmental Quality will direct, in writing. In addition, the  Trustee will refund to the Grantor such amounts as the Department of  Environmental Quality specifies in writing. Upon refund, such funds will no  longer constitute part of the Fund as defined herein. 
    Section 5. Payments Comprising the Fund. Payments made to the  Trustee for the fund will consist of cash or securities acceptable to the  Trustee. 
    Section 6. Trustee Management. The Trustee will invest and  reinvest the principal and income of the Fund and keep the Fund invested as a  single fund, without distinction between principal and income, in accordance  with investment guidelines and objectives communicated in writing to the  Trustee from time to time by the Grantor, subject, however, to the provisions  of this Section. In investing, reinvesting, exchanging, selling and managing  the Fund, the Trustee or any other fiduciary will discharge his duties with  respect to the trust fund solely in the interest of the beneficiary and with  the care, skill, prudence, and diligence under the circumstances then  prevailing which persons of prudence, acting in a like capacity and familiar  with such matters, would use in the conduct of any enterprise of a like  character and with like aims; except that: 
    A. Securities or other obligations of the Grantor, or any  other owner or operator of the facility, or any of their affiliates as defined  in the Investment Company Act of 1940, as amended, 15 USC § 80a-2(a), will not  be acquired or held, unless they are securities or other obligations of the  federal or a state government; 
    B. The Trustee is authorized to invest the Fund in time or  demand deposits of the Trustee, to the extent insured by an agency of the  federal or state government; and 
    C. The Trustee is authorized to hold cash awaiting investment  or distribution uninvested for a reasonable time and without liability for the  payment of interest thereon. 
    Section 7. Commingling and Investment. The Trustee is  expressly authorized in its discretion: 
    A. To transfer from time to time any or all of the assets of  the Fund to any common, commingled or collective trust fund created by the  Trustee in which the Fund is eligible to participate subject to all of the  provisions thereof, to be commingled with the assets of other trusts  participating herein. To the extent of the equitable share of the Fund in any  such commingled trust, such commingled trust will be part of the Fund; and 
    B. To purchase shares in any investment company registered  under the Investment Company Act of 1940, 15 USC § 80a-1 et seq., of one which  may be created, managed, underwritten, or to which investment advice is  rendered or the shares of which are sold by the Trustee. The Trustees may vote  such shares in its discretion. 
    Section 8. Express Powers of Trustee. Without in any way  limiting the powers and discretions conferred upon the Trustee by the other  provisions of this Agreement or by law, the Trustee is expressly authorized and  empowered: 
    A. To sell, exchange, convey, transfer or otherwise dispose of  any property held by it, by private contract or at public auction. No person  dealing with the Trustee will be bound to see to the application of the  purchase money or to inquire into the validity or expediency of any such sale  or other dispositions; 
    B. To make, execute, acknowledge and deliver any and all  documents of transfer and conveyance and any and all other instruments that may  be necessary or appropriate to carry out the powers herein granted; 
    C. To register any securities held in the fund in its own name  or in the name of a nominee and to hold any security in bearer form or in book  entry, or to combine certificates representing such securities with  certificates of the same issue held by the Trustee in other fiduciary  capacities, or to deposit or arrange for the deposit of such securities in a  qualified central depository even though, when so deposited, such securities  may be merged and held in bulk in the name of the nominee of such depository  with other securities deposited therein by another person, or to deposit or  arrange for the deposit of any securities issued by the United State  government, or any agency or instrumentality thereof with a Federal Reserve  Bank, but the books and records of the Trustee will at all times show that all  such securities are part of the Fund; 
    D. To deposit any cash in the fund in interest-bearing  accounts maintained or savings certificates issued by the Trustee, in its  separate corporate capacity, or in any other banking institution affiliated  with the Trustee, to the extent insured by an agency of the Federal or State  government; and 
    E. To compromise or otherwise adjust all claims in favor of or  against the Fund. 
    Section 9. Taxes and Expenses. All taxes of any kind that may  be assessed or levied against or in respect of the Fund and all brokerage  commissions incurred by the Fund will be paid from the Fund. All other expenses  incurred by the Trustee in connection with the administration of this Trust,  including fees for legal services rendered to the Trustee, the compensation of  the Trustee to the extent not paid directly by the Grantor, and all other  proper charges and disbursements of the Trustee will be paid from the Fund. 
    Section 10. Annual Valuation. The Trustee will annually, at  the end of the month coincident with or preceding the anniversary date of  establishment of the Fund, furnish the Grantor and to the director of the  Department of Environmental Quality, Commonwealth of Virginia, a statement  confirming the value of the Trust. Any securities in the Fund will be valued at  market value as of no more than 30 days prior to the date of the statement. The  failure of the Grantor to object in writing to the Trustee within 90 days after  the statement has been furnished to the Grantor and the director of the  Department of Environmental Quality, Commonwealth of Virginia will constitute a  conclusively binding assent by the Grantor, barring the Grantor from asserting  any claim or liability against the Trustee with respect to matters disclosed in  the statement. 
    Section 11. Advice of Counsel. The Trustee may from time to  time consult with counsel, who may be counsel to the Grantor, with respect to  any question arising as to the construction of this Agreement or any action to  be taken hereunder. The Trustee will be fully protected, to the extent  permitted by law, in acting upon the advice of counsel. 
    Section 12. Trustee Compensation. The Trustee will be  entitled to reasonable compensation for its services as agreed upon in writing  from time to time with the Grantor. 
    Section 13. Successor Trustee. The Trustee may resign or the  Grantor may replace the Trustee, but such resignation or replacement shall not  be effective until the Grantor has appointed a successor trustee and this  successor accepts the appointment. The successor trustee shall have the same  powers and duties as those conferred upon the Trustee hereunder. Upon  acceptance of the appointment by the successor trustee, the Trustee will  assign, transfer and pay over to the successor trustee the funds and properties  then constituting the Fund. If for any reason the grantor cannot or does not  act in the event of the resignation of the Trustee, the Trustee may apply to a  court of competent jurisdiction for the appointment of a successor trustee or  for instructions. The successor trustee and the date on which he assumes  administration of the trust will be specified in writing and sent to the  Grantor, the director of the Department of Environmental Quality, Commonwealth  of Virginia, and the present trustees by certified mail 10 days before such  change becomes effective. Any expenses incurred by the Trustee as a result of  any of the acts contemplated by this section will be paid as provided in Part  IX. 
    Section 14. Instructions to the Trustee. All orders, requests  and instructions by the Grantor to the Trustee will be in writing, signed by  such persons as are designated in the attached Exhibit A or such other  designees as the grantor may designate by amendment to Exhibit A. The Trustee  will be fully protected in acting without inquiry in accordance with the  Grantor's orders, requests and instructions. All orders, requests, and  instructions by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, to the Trustee will be in writing, signed by the  Director and the Trustee will act and will be fully protected in acting in  accordance with such orders, requests and instructions. The Trustee will have  the right to assume, in the absence of written notice to the contrary, that no  event constituting a change or a termination of the authority of any person to  act on behalf of the Grantor or the Commonwealth of Virginia's Department of  Environmental Quality hereunder has occurred. The Trustee will have no duty to  act in the absence of such orders, requests and instructions from the Grantor  and/or the Commonwealth of Virginia's Department of Environmental Quality,  except as provided for herein. 
    Section 15. Notice of Nonpayment. The Trustee will notify the  Grantor and the Director of the Department of Environmental Quality,  Commonwealth of Virginia, by certified mail within 10 days following the  expiration of the 30-day period after the anniversary of the establishment of  the Trust, if no payment is received from the Grantor during that period. After  the pay-in period is completed, the Trustee is not required to send a notice of  nonpayment. 
    Section 16. Amendment of Agreement. This Agreement may be  amended by an instrument in writing executed by the Grantor, the Trustee, and  the Director of the Department of Environmental Quality, Commonwealth of  Virginia, or by the Trustee and the Director of the Department of Environmental  Quality, Commonwealth of Virginia, if the Grantor ceases to exist. 
    Section 17. Irrevocability and Termination. Subject to the  right of the parties to amend this Agreement as provided in Section 16, this  Trust will be irrevocable and will continue until terminated at the written  agreement of the Grantor, the Trustee, and the Director of the Department of  Environmental Quality, Commonwealth of Virginia, or by the Trustee and the  Director if the Grantor ceases to exist. Upon termination of the Trust, all  remaining trust property, less final trust administration expenses, will be  delivered to the Grantor. 
    Section 18. Immunity and Indemnification. The Trustee will  not incur personal liability of any nature in connection with any act or  omission, made in good faith, in the administration of this Trust, or in  carrying out any directions by the Grantor or the Director of the Department of  Environmental Quality, Commonwealth of Virginia, issued in accordance with this  Agreement. The Trustee will be indemnified and saved harmless by the Grantor or  from the Trust Fund, or both, from and against any personal liability to which  the Trustee may be subjected by reason of any act or conduct in its official  capacity, including all expenses reasonably incurred in its defense in the  event the Grantor fails to provide such defense. 
    Section 19. Choice of Law. This Agreement will be  administered, construed and enforced according to the laws of the Commonwealth  of Virginia. 
    Section 20. Interpretation. As used in the Agreement, words  in the singular include the plural and words in the plural include the  singular. The descriptive headings for each section of this Agreement will not  affect the interpretation of the legal efficacy of this Agreement. 
    In witness whereof the parties have caused this Agreement to  be executed by their respective officers duly authorized and their corporate  seals to be hereunto affixed and attested as of the date first above written.  The parties below certify that the wording of this Agreement is identical to  the wording specified in 9VAC20-70-290 A of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer and Treatment Facilities, as such regulations  were constituted on the date shown immediately below. 
           |      (Signature of Grantor)      |                 |    
       |      By: (Title)      |          (Date)      |    
       |      Attest:      |                 |    
       |      (Title)      |          (Date)      |    
       |      (Seal)      |                 |    
       |      (Signature of Trustee)      |                 |    
       |      By      |                 |    
       |      Attest:      |                 |    
       |      (Title)      |                 |    
       |      (Seal)      |          (Date)      |    
  
    Certification of Acknowledgment: 
    COMMONWEALTH OF VIRGINIA 
    STATE OF __________ 
    CITY/COUNTY OF __________ 
    On this date, before me personally came (owner or operator)  to me known, who being by me duly sworn, did depose and say that she/he resides  at (address), that she/he is (title) of (corporation), the corporation  described in and which executed the above instrument; that she/he knows the  seal of said corporation; that the seal affixed to such instrument is such  corporate seal; that it was so affixed by order of the Board of Directors of said  corporation, and that she/he signed her/his name thereto by like order. 
    (Signature of Notary Public) 
    B. Wording of surety bond guaranteeing performance or  payment. 
    (NOTE: instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    PERFORMANCE OR PAYMENT BOND 
    Date bond executed: __________ 
    Effective date: __________ 
    Principal: (legal name and business address) _____________ 
    Type of organization: (insert "individual,"  "joint venture," "partnership," or "corporation")  _____________ 
    State of incorporation: __________ 
    Surety: (name and business address) _____________ 
    Name, address, permit number, if any, and (closure,  post-closure care, or corrective action) cost estimate for the facility:  _____________ 
    Penal sum of bond: $________ 
    Surety's bond number: __________ 
    Know all men by these present, That we, the Principal and  Surety hereto are firmly bound to the Department of Environmental Quality,  Commonwealth of Virginia, (hereinafter called the Department) in the above  penal sum for the payment of which we bind ourselves, our heirs, executors,  administrators, successors and assigns, jointly and severally; provided that,  where the Surety(ies) are corporations acting as co-sureties, we, the Sureties,  bind ourselves in such sum "jointly and severally" only for the  purpose of allowing a joint action or actions against any or all of us, and for  all other purposes each Surety binds itself, jointly and severally with the  Principal, for the payment of each sum only as is set forth opposite the name  of such Surety, but if no limit of liability is indicated, the limit of  liability shall be the full amount of the penal sum. 
    Whereas, said Principal is required to have a permit from the  Department of Environmental Quality, Commonwealth of Virginia, in order to own  or operate the (solid, regulated medical, yard) waste management facility  identified above, and 
    Whereas, said Principal is required to provide financial  assurance for (closure, post-closure care, corrective action) of the facility  as a condition of the permit or an order issued by the department, 
    Now, therefore the conditions of this obligation are such  that if the Principal shall faithfully perform (closure, post-closure care,  corrective action), whenever required to do so, of the facility identified  above in accordance with the order or the (closure, post-closure care,  corrective action) plan submitted to receive said permit and other requirements  of said permit as such plan and permit may be amended or renewed pursuant to  all applicable laws, statutes, rules, and regulations, as such laws, statutes,  rules, and regulations may be amended, 
    Or, if the Principal shall faithfully perform (closure,  post-closure care, corrective action) following an order to begin (closure,  post-closure care, corrective action) issued by the Commonwealth of Virginia's  Department of Environmental Quality or by a court, or following a notice of  termination of the permit, 
    Or, if the Principal shall provide alternate financial assurance  as specified in the Department's regulations and obtain the director's written  approval of such assurance, within 90 days of the date notice of cancellation  is received by the Director of the Department of Environmental Quality from the  Surety, then this obligation will be null and void, otherwise it is to remain  in full force and effect for the life of the management facility identified  above. 
    The Surety shall become liable on this bond obligation only  when the Principal has failed to fulfill the conditions described above. Upon  notification by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, that the Principal has been found in violation of the  requirements of the Department's regulations, the Surety must either perform  (closure, post-closure care, corrective action) in accordance with the approved  plan and other permit requirements or forfeit the (closure, post-closure care,  corrective action) amount guaranteed for the facility to the Commonwealth of  Virginia. 
    Upon notification by the Director of the Department of  Environmental Quality, Commonwealth of Virginia, that the Principal has been  found in violation of an order to begin (closure, post-closure care, corrective  action), the Surety must either perform (closure, post-closure care, corrective  action) in accordance with the order or forfeit the amount of the (closure,  post-closure care, corrective action) guaranteed for the facility to the  Commonwealth of Virginia. 
    The Surety hereby waives notification of amendments to the  (closure, post-closure care, corrective action) plans, orders, permit,  applicable laws, statutes, rules, and regulations and agrees that such  amendments shall in no way alleviate its obligation on this bond. 
    For purposes of this bond, (closure, post-closure care,  corrective action) shall be deemed to have been completed when the Director of  the Department of Environmental Quality, Commonwealth of Virginia, determines  that the conditions of the approved plan have been met. 
    The liability of the Surety shall not be discharged by any  payment or succession of payments hereunder, unless and until such payment or  payments shall amount in the aggregate to the penal sum of the bond, but the  obligation of the Surety hereunder shall not exceed the amount of said penal  sum unless the Director of the Department of Environmental Quality,  Commonwealth of Virginia, should prevail in an action to enforce the terms of  this bond. In this event, the Surety shall pay, in addition to the penal sum  due under the terms of the bond, all interest accrued from the date the  Director of the Department of Environmental Quality, Commonwealth of Virginia,  first ordered the Surety to perform. The accrued interest shall be calculated  at the judgment rate of interest pursuant to § 6.1-330.54 6.2-302  of the Code of Virginia. 
    The Surety may cancel the bond by sending written notice of  cancellation to the owner or operator and to the Director of the Department of  Environmental Quality, Commonwealth of Virginia, provided, however, that cancellation  cannot occur (1) during the 120 days beginning on the date of receipt of the  notice of cancellation by the director as shown on the signed return receipt;  or (2) while an enforcement action is pending. 
    The Principal may terminate this bond by sending written  notice to the Surety, provided, however, that no such notice shall become  effective until the Surety receives written authorization for termination of  the bond by the Director of the Department of Environmental Quality,  Commonwealth of Virginia. 
    In witness whereof, the Principal and Surety have executed  this Performance Bond and have affixed their seals on the date set forth above.  
    The persons whose signatures appear below hereby certify that  they are authorized to execute this surety bond on behalf of the Principal and  Surety and I hereby certify that the wording of this surety bond is identical  to the wording specified in 9VAC20-70-290 B of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    Principal 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Surety 
    Name and Address: __________ 
    State of Incorporation: __________ 
    Liability Limit: $___ 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Seal: 
    C. Wording of irrevocable standby letter of credit. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    IRREVOCABLE STANDBY LETTER OF CREDIT 
    Director 
    Department of Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia 23240-0009 
    Dear (Sir or Madam): 
    We hereby establish our Irrevocable Letter of Credit No......  in your favor at the request and for the account of (owner's or operator's name  and address) up to the aggregate amount of (in words) U.S. dollars $____,  available upon presentation of 
    1. Your sight draft, bearing reference to this letter of  credit No ____ together with 
    2. Your signed statement declaring that the amount of the  draft is payable pursuant to regulations issued under the authority of the  Department of Environmental Quality, Commonwealth of Virginia. 
    The following amounts are included in the amount of this  letter of credit: (Insert the facility permit number, if any, name and address,  and the closure, post-closure care, corrective action cost estimate, or  portions thereof, for which financial assurance is demonstrated by this letter  of credit.) 
    This letter of credit is effective as of (date) and will  expire on (date at least one year later), but such expiration date will be  automatically extended for a period of (at least one year) on (date) and on  each successive expiration date, unless, at least 120 days before the current  expiration date, we notify you and (owner or operator's name) by certified mail  that we decide not to extend the Letter of Credit beyond the current expiration  date. In the event you are so notified, unused portion of the credit will be  available upon presentation of your sight draft for 120 days after the date of  receipt by you as shown on the signed return receipt or while a compliance  procedure is pending, whichever is later. 
    Whenever this letter of credit is drawn on under and in  compliance with the terms of this credit, we will duly honor such draft upon  presentation to us, and we will pay to you the amount of the draft promptly and  directly. 
    I hereby certify that I am authorized to execute this letter  of credit on behalf of (issuing institution) and I hereby certify that the  wording of this letter of credit is identical to the wording specified in  9VAC20-70-290 C of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities as such regulations were  constituted on the date shown immediately below. 
    Attest: 
    (Print name and title of official of issuing institution)  (Date) 
        This credit is subject to (insert "the most recent  edition of the Uniform Customs and Practice for Documentary Credits, published by  the International Chamber of Commerce," of "the Uniform Commercial  Code.") 
    D. Assignment of certificate of deposit account. 
    City _______________________ ____________, 20___ 
    FOR VALUE RECEIVED, the undersigned assigns all right, title  and interest to the Virginia Department of Environmental Quality, Commonwealth  of Virginia, and its successors and assigns the Virginia Department of  Environmental Quality the principal amount of the instrument, including all  monies deposited now or in the future to that instrument, indicated below: 
    ( ) If checked here, this assignment includes all interest  now and hereafter accrued. 
    Certificate of Deposit Account No. _____________________ 
    This assignment is given as security to the Virginia  Department of Environmental Quality in the amount of _______________________  Dollars ($_____________). 
    Continuing Assignment. This assignment shall continue to  remain in effect for all subsequent terms of the automatically renewable  certificate of deposit. 
    Assignment of Document. The undersigned also assigns any  certificate or other document evidencing ownership to the Virginia Department  of Environmental Quality. 
    Additional Security. This assignment shall secure the payment  of any financial obligation of the (name of owner/operator) to the Virginia  Department of Environmental Quality for ("closure" "post closure  care" "corrective action") at the (facility name and permit  number) located (physical address) 
    Application of Funds. The undersigned agrees that all or any  part of the funds of the indicated account or instrument may be applied to the  payment of any and all financial assurance obligations of (name of  owner/operator) to the Virginia Department of Environmental Quality for  ("closure" "post closure care" "corrective  action") at the (facility name and address). The undersigned authorizes  the Virginia Department of Environmental Quality to withdraw any principal  amount on deposit in the indicated account or instrument including any  interest, if indicated, and to apply it in the Virginia Department of  Environmental Quality's discretion to fund ("closure" "post  closure care" "corrective action") at the (facility name) or in  the event of (owner or operator's) failure to comply with the Virginia Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities, 9VAC20-70-10 et seq 9VAC20-70. The undersigned agrees  that the Virginia Department of Environmental Quality may withdraw any  principal and/or interest from the indicated account or instrument without demand  or notice. (The undersigned) agrees to assume any and all loss of penalty due  to federal regulations concerning the early withdrawal of funds. Any partial  withdrawal of principal or interest shall not release this assignment. 
    The party or parties to this Assignment set their hand or  seals, or if corporate, has caused this assignment to be signed in its  corporate name by its duly authorized officers and its seal to be affixed by  authority of its Board of Directors the day and year above written. 
           |             |                 |          SEAL       |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
       |             |                 |          SEAL      |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
  
    THE FOLLOWING SECTION IS TO BE COMPLETED BY THE BRANCH OR  LENDING OFFICE: 
    The signature(s) as shown above compare correctly with the  name(s) as shown on record as owner(s) of the Certificate of Deposit indicated  above. The above assignment has been properly recorded by placing a hold in the  amount of $ _______________________ for the benefit of the Department of  Environmental Quality. 
    ( ) If checked here, the accrued interest on the Certificate  of Deposit indicated above has been maintained to capitalize versus being  mailed by check or transferred to a deposit account. 
           |             |                 |                 |    
       |      (Signature)      |                 |          (Date)      |    
       |             |                 |                 |    
       |      (print name)      |                 |                 |    
       |             |                 |                 |    
       |      (Title)      |                 |                 |    
  
    E. Wording of certificate of insurance. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    CERTIFICATE OF INSURANCE 
    Name and Address of Insurer (herein called the  "Insurer"): 
    _____________ 
    _____________
    Name and Address of Insured (herein called the  "Insured"): 
    _____________ 
    _____________ 
    _____________
    Facilities Covered: (List for each facility: Permit number  (if applicable), name, address and the amount of insurance for closure,  post-closure care, or corrective action. (These amounts for all facilities  covered shall total the face amount shown below.)) 
    Face Amount: $___ 
    Policy Number: __________ 
    Effective Date: __________ 
    The Insurer hereby certifies that it has issued to the  Insured the policy of insurance identified above to provide financial assurance  for (insert "closure," "post-closure care,"  "corrective action") for the facilities identified above. The Insurer  further warrants that such policy conforms in all respects with the requirements  of 9VAC20-70-190 of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities ("Regulations") (9VAC20-70-10  et seq.) (9VAC20-70), as such regulations were constituted on the  date shown immediately below. It is agreed that any provision of the policy  inconsistent with such regulations is hereby amended to eliminate such  inconsistency. 
    Whenever requested by the Director, the Insurer agrees to  furnish to the Director a duplicate original of the policy listed above,  including all endorsements thereon. 
    I hereby certify that the wording of this certificate is  identical to the wording specified in 9VAC20-70-290 E of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Authorized signature for Insurer) 
    (Name of person signing) 
    (Title of person signing) 
    Signature of witness or notary: 
    (Date) 
    F. Wording of letter from chief financial officer. 
    (NOTE: Instructions in  parentheses are to be replaced with the relevant information and the  parentheses removed.) 
    Director 
    Department of  Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia  23240-0009 
    Dear (Sir, Madam): 
    I am the chief financial officer of (name and address of  firm). This letter is in support of this firm's use of the financial test to  demonstrate financial assurance, as specified in 9VAC20-70-200 of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities (9VAC20-70-10 et seq.) (9VAC20-70)  ("Regulations"). 
    (Fill out the following four paragraphs regarding solid  waste, regulated medical waste, yard waste composting, hazardous waste,  underground injection (regulated under the federal program in 40 CFR Part 144,  or its equivalent in other states), petroleum underground storage (9VAC25-590-10  et seq.) (9VAC25-590), above ground storage facilities (9VAC25-640-10  et seq.) (9VAC25-640) and PCB storage (regulated under 40 CFR Part  761) facilities and associated cost estimates. If your firm has no facilities  that belong in a particular paragraph, write "None" in the space  indicated. For each facility, include its name, address, permit number, if any,  and current closure, post-closure care, corrective action or any other  environmental obligation cost estimates. Identify each cost estimate as to  whether it is for closure, post-closure care, corrective action or other  environmental obligation.) 
    1. This firm is the owner or operator of the following  facilities for which financial assurance is demonstrated through the corporate  test specified in 9VAC20-70-200 or its equivalent in other applicable  regulations. The current cost estimates covered by the test are shown for each  facility: 
    2. This firm guarantees, through the corporate guarantee  specified in 9VAC20-70-220, the financial assurance for the following  facilities owned or operated by subsidiaries of this firm. The current cost  estimates so guaranteed are shown for each facility: 
    3. This firm, as owner or operator or guarantor, is  demonstrating financial assurance for the following facilities through the use  of a financial test. The current cost estimates covered by such a test are  shown for each facility: 
    4. This firm is the owner or operator of the following waste  management facilities for which financial assurance is not demonstrated through  the financial test or any other financial assurance mechanism. The current cost  estimates for the facilities which are not covered by such financial assurance  are shown for each facility: 
    This firm (insert "is required" or "is not  required") to file a Form 10K with the Securities and Exchange Commission  (SEC) for the latest fiscal year. 
    The fiscal year of this firm ends on (month, day). The  figures for the following items marked with an asterisk are derived from this  firm's independently audited, year-end financial statements for the latest  completed fiscal year, ended (date). 
           |      1) Sum of current closure, post-closure care, corrective    action or other environmental obligations cost estimates (total of all cost    estimates shown in the four paragraphs above.)       |          $__________      |    
       |      2) Tangible net worth*       |          $__________      |    
       |      3) Total assets located in the United States*       |          $__________      |    
       |             |           YES      |          NO      |    
       |      Line 2 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
       |      Line 3 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
        |      |      |      |    
  
    (Fill in Alternative I if the criteria of 9VAC20-70-200 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-200 1 a (2)  are used. Fill in Alternative III if the criteria of 9VAC20-70-200 1 a (3) are  used.) 
    ALTERNATIVE I 
    Current bond rating of this firm's senior unsubordinated debt  and name of rating service 
    Date of issuance of bond 
    Date of maturity of bond 
           |      ALTERNATIVE II       |    
       |      4) Total liabilities* (if any portion of the closure,    post-closure care, corrective action or other environmental obligations cost    estimates is included in total liabilities, you may deduct the amount of that    portion from this line and add that amount to line 5.)       |          $___________      |    
       |      5) Net worth*       |          $___________      |    
       |      Is line 4 divided by line 5 less than 1.5?      |          YES      |          NO      |    
        |      |      |      |    
  
     
     
                    ALTERNATIVE III       |    
       |      6) Total liabilities*        |          $___________      |    
       |      7) The sum of net income plus depreciation, depletion, and    amortization minus $10 million*      |                 |          $___________      |    
       |      Is line 7 divided by line 6 less than 0.1?      |           YES      |          NO      |                 |    
        |      |      |      |    
  
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 F of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name) 
    (Title) 
    (Date) 
    G. Wording of the local government letter from chief  financial officer. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    LETTER FROM CHIEF FINANCIAL OFFICER 
    I am the chief financial officer of (insert: name and address  of local government owner or operator, or guarantor). This letter is in support  of the use of the financial test to demonstrate financial responsibility for  ("closure care" "post-closure care" "corrective action  costs") arising from operating a solid waste management facility. 
    The following facilities are assured by this financial test:  (List for each facility: the name and address of the facility, the permit  number, the closure, post-closure and/or corrective action costs, whichever  applicable, for each facility covered by this instrument). 
    This owner's or operator's financial statements were prepared  in conformity with Generally Accepted Accounting Principles for governments and  have been audited by ("an independent certified public accountant"  "Auditor of Public Accounts"). The owner or operator has not received  an adverse opinion or a disclaimer of opinion from ("an independent  certified public accountant" "Auditor of Public Accounts") on  its financial statements for the latest completed fiscal year. 
    This owner or operator is not currently in default on any  outstanding general obligation bond. Any outstanding issues of general  obligation, if rated, have a Moody's rating of Aaa, Aa, A, or Baa or a Standard  and Poor's rating of AAA, AA, A or BBB; if rated by both firms, the bonds have  a Moody's rating of Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA,  AA, A, or BBB. 
    The fiscal year of this owner or operator ends on (month,  day). The figures for the following items marked with the asterisk are derived  from this owner's or operator's independently audited, year-end financial  statements for the latest completed fiscal year ended (date). 
    (Please complete Alternative I or Alternative II.) 
    (Fill in Alternative I if the criteria in 9VAC20-70-210 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-210 1 a (2)  are used.) 
    ALTERNATIVE I—BOND RATING TEST 
    The details of the issue date, maturity, outstanding amount,  bond rating, and bond rating agency of all outstanding general obligation bond  issues that are being used by (name of local government owner or operator, or  guarantor) to demonstrate financial responsibility are as follows: (complete  table): 
           |      Issue Date      |          Maturity Date      |          Outstanding Amount      |          Bond Rating      |          Rating Agency      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
  
    Any outstanding issues of general obligation bonds, if rated,  have a Moody's rating of Aaa, Aa, A, or Baa or a Standard and Poor's rating of  AAA, AA, A or BBB; if rated by both firms, the bonds have a Moody's rating of  Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA, AA, A or BBB. 
           |      1) Sum of current closure,    post-closure and corrective action cost estimates (total of all cost    estimates listed above)      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |             |           YES      |          NO      |                 |    
       |      5) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |                 |    
       |      6) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |                 |    
       |      7) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |                 |    
       |      8) Is (line 1 + line 4e) <= (line 3a x 0.20)?      |          ____      |          ____      |                 |    
        |      |      |      |      |      |    
  
    If the answer to line 7 is yes and the answer to line 8 is  no, please attach documentation from the agent/trustee /issuing institution  stating the current balance of the account/fund /irrevocable letter of credit  as of the latest fiscal reporting year to this form as required by  9VAC20-70-210. 
    ALTERNATIVE II—FINANCIAL RATIO  TEST 
           |      1) Sum of current closure, post-closure and corrective    action cost estimates      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |      *5) Cash plus marketable securities      |          $_______________      |    
       |      *6) Total Expenditures      |          $_______________      |    
       |      *7) Annual Debt Service      |          $_______________      |    
       |             |          YES      |          NO      |    
       |      8) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |    
       |      9) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |    
       |      10) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |    
       |      11) Is (line 5 / line 6) >= 0.05?      |          ____      |          ____      |    
       |      12) Is (line 7 / line 6) <= 0.20?      |          ____      |          ____      |    
       |      13) Is (line 1 + line 4e) <= (line 3a x.20)      |          ____      |          ____      |    
  
    If the answer to line 13 is no, please attach documentation  from the agent/trustee/issuing institution stating the current balance of the  account/fund/irrevocable letter of credit as of the latest fiscal reporting  year to this form as required by 9VAC20-70-210. 
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 G of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    H. Certification of funding. 
    CERTIFICATION OF FUNDING 
    I certify the following information details the current plan  for funding closure and post closure at the solid waste management facilities  listed below. 
           |       Facility Permit #       |                 |          Source for funding closure and post closure       |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |      Name of Locality or Corporation:    _______________________________________      |    
       |             |                 |                 |                 |                 |    
       |      Signature      |                 |          Printed Name      |                 |          Date      |    
       |             |                 |                 |                 |                 |    
       |      Title      |                 |                 |                 |                 |    
        |      |      |      |      |      |      |      |    
  
    I. Certification of escrow/sinking fund /irrevocable letter  of credit balance. 
    CERTIFICATION OF ESCROW/SINKING FUND BALANCE OR AMOUNT OF  IRREVOCABLE LETTER OF CREDIT 
    I am the Chief Financial Officer of (name of locality) and  hereby certify that as of (date) the current balance in the restricted sinking  (type of fund) fund or the escrow account or the amount of the irrevocable  letter of credit restricted to landfill closure costs is $_____________ 
    The calculation used to determine the amount required to be  funded is as follows: 
    (Show the values that were used in the following formula: 
    (CE * CD) - E 
    Where CE is the current closure cost estimate, CD is the  percentage of landfill capacity used to date, and E is current year expenses  for closure.) 
    Therefore, this account has been funded or an irrevocable  letter of credit has been obtained in accordance with the Financial Assurance  Regulations for Solid Waste Disposal, Transfer and Treatment Facilities, 9VAC20-70-10  et seq 9VAC20-70. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    J. Wording of corporate guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    CORPORATE GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a business corporation organized under the laws of the state of (insert name of  state), herein referred to as guarantor. This guarantee is made on behalf of  the (owner or operator) of (business address), which is (one of the following:  "our subsidiary"; "a subsidiary of (name and address of common  parent corporation) of which guarantor is a subsidiary"; or "an  entity with which the guarantor has a substantial business relationship, as  defined in Part I of the Virginia Financial Assurance Regulations for Solid  Waste Disposal, Transfer, and Treatment Facilities (9VAC20-70-10 et seq.)  (9VAC20-70)") to the Virginia Department of Environmental Quality  ("Department"), obligee, on behalf of our subsidiary (owner or  operator) of (business address). 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-200 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-220 of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer, and Treatment Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care, corrective  action or other environmental obligations.) 
    3. "Closure plans", "post-closure care  plans" and "corrective action plans" as used below refer to the  plans maintained as required by the Solid Waste Management Regulations (9VAC20-80-10  et seq.), (9VAC20-81), or the Regulated Medical Waste Management  Regulations (9VAC20-120-10 et seq.), (9VAC20-120) or  Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.). 
    4. For value received from (owner or operator), guarantor guarantees  to the Department that in the event that (owner or operator) fails to perform  (insert "closure," "post-closure care," or "corrective  action") of the above facility(ies) in accordance with the closure or  post-closure care plans and other (requirements of the) permit or (the order)  whenever required to do so, the guarantor shall do so or establish a trust fund  as specified in 9VAC20-70-140 in the name of (owner or operator) in the amount  of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (Bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure, post-closure or corrective action plan, amendment or modification of  the permit, amendment or modification of the order, the extension or reduction  of the time of performance of closure, post-closure, or corrective action or  any other modification or alteration of an obligation of the owner or operator  pursuant to the (Virginia Solid or Regulated Medical Waste Management or  Vegetative Waste Management and Yard Waste Composting Regulations or § 10.1-1454.1 of the Code of Virginia) (Solid Waste Management Regulations  or Regulated Medical Waste Management Regulations or § 10.1-1454.1 of the  Code of Virginia). 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. (Insert the following language if the guarantor is (a) a  direct or higher-tier corporate parent, or (b) a firm whose parent corporation  is also the parent corporation of the owner or operator:) Guarantor may  terminate this guarantee by sending notice by certified mail to the Director of  the Department of Environmental Quality and to the (owner or operator),  provided that this guarantee may not be terminated unless and until (the owner  or operator) obtains and the director approves, alternate (closure,  post-closure, corrective action) coverage complying with the requirements of 9VAC20-70-10  et seq 9VAC20-70. (Insert the following language if the guarantor is  a firm qualifying as a guarantor due to its "substantial business  relationship" with the owner or operator:) Guarantor may terminate this  guarantee 120 days following the receipt of notification, through certified  mail, by the director and by (the owner or operator). 
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of the  Regulations, and obtain written approval of such assurance from the director  within 90 days after a notice of cancellation by the guarantor is received by  the director from guarantor, guarantor shall provide such alternate financial  assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording in 9VAC20-70-290 J of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    (Name of guarantor) 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    K. Wording of local government guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    LOCAL GOVERNMENT GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a local government created under the laws of the state of Virginia, herein  referred to as guarantor. This guarantee is made on behalf of the (owner or  operator) of (address), to the Virginia Department of Environmental Quality  ("Department"), obligee. 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-210 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-230 of the Financial Assurance Regulations  for Solid Waste Disposal, Treatment and Transfer Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care,  corrective action or other environmental obligations.) 
    3. "Closure plans" and "post-closure care  plans" as used below refer to the plans maintained as required by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.), or Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101-10 et seq.)  (9VAC20-81).
    4. For value received from (owner or operator), guarantor  guarantees to the Department that in the event that (owner or operator) fails  to perform (insert "closure," "post-closure care," or  "corrective action") of the above facility(ies) in accordance with  the closure or post-closure care plans and other (requirements of the) permit  or (the order) whenever required to do so, the guarantor shall do so or  establish a trust fund as specified in 9VAC20-70-150 in the name of (owner or  operator) in the amount of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations in  the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure or post-closure plan, amendment or modification of the closure or  post-closure plan, amendment or modification of the permit, amendment or  modification of the order, the extension or reduction of the time of performance  of the closure or post-closure, or any other modification or alteration of an  obligation of the owner or operator pursuant to the Virginia (Solid Waste  Management or Regulated Medical Waste Management) or Vegetative  Waste Management and Yard Waste Composting) Regulations. 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. Guarantor may terminate this guarantee by sending notice  by certified mail to the Director of the Department of Environmental Quality  and to the (owner or operator), provided that this guarantee may not be  terminated unless and until (the owner or operator) obtains and the director  approves, alternate (closure, post-closure, corrective action,) coverage  complying with the requirements of 9VAC20-70-10 et seq 9VAC20-70.  
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of  the Regulations, and obtain written approval of such assurance from the  director with 90 days after a notice of cancellation by the guarantor is  received by the director from guarantor, guarantor shall provide such alternate  financial assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording specified in 9VAC20-70-290 K of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Name of guarantor) __________ 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    Part I 
  Definitions 
    9VAC20-81-10. Definitions.
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at completion of  closure activities required by this chapter. 
    "Active portion" means that part of a facility or  unit that has received or is receiving wastes and that has not been closed in  accordance with this chapter. 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Airport" means, for the purpose of this chapter, a  military airfield or a public-use airport open to the public without prior  permission and without restrictions within the physical capacities of available  facilities.
    "Aquifer" means a geologic formation, group of  formations, or a portion of a formation capable of yielding significant  quantities of groundwater to wells or springs.
    "Ash" means the fly ash or bottom ash residual  waste material produced from incineration or burning of solid waste or from any  fuel combustion. 
    "Base flood" see "Hundred-year flood."
    "Bedrock" means the rock that underlies soil or  other unconsolidated, superficial material at a site. 
    "Benchmark" means a permanent monument constructed  of concrete and set in the ground surface below the frostline with identifying  information clearly affixed to it. Identifying information will include the  designation of the benchmark as well as the elevation and coordinates on the  local or Virginia state grid system. 
    "Beneficial use" means a use that is of benefit as  a substitute for natural or commercial products and does not contribute to  adverse effects on health or environment. 
    "Bioremediation" means remediation of contaminated  media by the manipulation of biological organisms to enhance the degradation of  contaminants. 
    "Bird hazard" means an increase in the likelihood  of bird/aircraft collisions that may cause damage to the aircraft or injury to  its occupants. 
    "Board" means the Virginia Waste Management Board. 
    "Bottom ash" means ash or slag that has been  discharged from the bottom of the combustion unit after combustion. 
    "Capacity" means the maximum permitted volume of  solid waste, inclusive of daily and intermediate cover, that can be disposed in  a landfill. This volume is measured in cubic yards.
    "Captive industrial landfill" means an industrial  landfill that is located on property owned or controlled by the generator of  the waste disposed of in that landfill.
    "Clean wood" means solid waste consisting of  untreated wood pieces and particles that do not contain paint, laminate,  bonding agents, or chemical preservatives or are otherwise unadulterated.
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of  this chapter. 
    "Closure" means that point in time when a permitted  landfill has been capped, certified as properly closed by a professional  engineer, inspected by the department, and closure notification is performed by  the department in accordance with 9VAC20-81-160 D. 
    "Coal combustion byproducts" or "CCB"  means residuals, including fly ash, bottom ash, boiler slag, and flue gas  emission control waste produced by burning coal. 
    "Combustion unit" means an incinerator, waste heat  recovery unit, or boiler. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants,  and shopping centers. 
    "Compliance schedule" means a time schedule for  measures to be employed on a solid waste management facility that will  ultimately upgrade it to conform to this chapter. 
    "Compost" means a stabilized organic product  produced by a controlled aerobic decomposition process in such a manner that  the product can be handled, stored, and/or applied to the land without  adversely affecting public health or the environment. 
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Conditionally exempt small quantity generator"  means a generator of hazardous waste who has been so defined in 40 CFR 261.5,  as amended. That section applies to the persons who generate in that calendar  month no more than 100 kilograms of hazardous waste or one kilogram of acutely  hazardous waste. 
    "Construction" means the initiation of permanent  physical change at a property with the intent of establishing a solid waste  management unit. This does not include land-clearing activities, excavation for  borrow purposes, activities intended for infrastructure purposes, or activities  necessary to obtain Part A siting approval (i.e., advancing of exploratory  borings, digging of test pits, groundwater monitoring well installation, etc.).
    "Construction/demolition/debris landfill" or  "CDD landfill" means a land burial facility engineered, constructed  and operated to contain and isolate construction waste, demolition waste,  debris waste, split tires, and white goods or combinations of the above solid  wastes. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes include,  but are not limited to lumber, wire, sheetrock, broken brick, shingles, glass,  pipes, concrete, paving materials, and metal and plastics if the metal or  plastics are a part of the materials of construction or empty containers for  such materials. Paints, coatings, solvents, asbestos, any liquid, compressed  gases or semi-liquids and garbage are not construction wastes. 
    "Contaminated soil" means, for the purposes of this  chapter, a soil that, as a result of a release or human usage, has absorbed or  adsorbed physical, chemical, or radiological substances at concentrations above  those consistent with nearby undisturbed soil or natural earth materials. 
    "Container" means any portable device in which a  material is stored, transported, treated, or otherwise handled and includes  transport vehicles that are containers themselves (e.g., tank trucks) and  containers placed on or in a transport vehicle. 
    "Containment structure" means a closed vessel such  as a tank or cylinder. 
    "Convenience center" means a collection point for  the temporary storage of solid waste provided for individual solid waste  generators who choose to transport solid waste generated on their own premises  to an established centralized point, rather than directly to a disposal  facility. To be classified as a convenience center, the collection point may  not receive waste from collection vehicles that have collected waste from more  than one real property owner. A convenience center shall be on a system of  regularly scheduled collections.
    "Cover material" means compactable soil or other  approved material that is used to blanket solid waste in a landfill.
    "Daily disposal limit" means the amount of solid  waste that is permitted to be disposed at the facility and shall be computed on  the amount of waste disposed during any operating day.
    "Debris waste" means wastes resulting from  land-clearing operations. Debris wastes include, but are not limited to stumps,  wood, brush, leaves, soil, and road spoils. 
    "Decomposed vegetative waste" means a stabilized organic  product produced from vegetative waste by a controlled natural decay process in  such a manner that the product can be handled, stored, or applied to the land  without adversely affecting public health or the environment.
    "Demolition waste" means that solid waste that is  produced by the destruction of structures and their foundations and includes  the same materials as construction wastes. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. For purposes of submissions to the director as specified  in the Waste Management Act, submissions may be made to the department. 
    "Discard" means to abandon, dispose of, burn,  incinerate, accumulate, store, or treat before or instead of being abandoned,  disposed of, burned, or incinerated. 
    "Discarded material" means a material that is: 
    1. Abandoned by being: 
    a. Disposed of; 
    b. Burned or incinerated; or 
    c. Accumulated, stored, or treated (but not used, reused, or  reclaimed) before or in lieu of being abandoned by being disposed of, burned,  or incinerated; or
    2. Recycled used, reused, or reclaimed material as defined in  this part.
    "Disclosure statement" means a sworn statement or  affirmation as required by § 10.1-1400 of the Code of Virginia. (see DEQ  Form DISC-01 and 02 (Disclosure Statement)).
    "Displacement" means the relative movement of any  two sides of a fault measured in any direction. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Disposal unit boundary" or "DUB" means  the vertical plane located at the edge of the waste disposal unit. This  vertical plane extends down into the uppermost aquifer. The DUB must be  positioned within or coincident to the waste management boundary.
    "EPA" means the United States Environmental  Protection Agency. 
    "Exempt management facility" means a site used for  activities that are conditionally exempt from management as a solid waste under  this chapter. The facility remains exempt from solid waste management  requirements provided it complies with the applicable conditions set forth in  Parts II (9VAC20-81-20 et seq.) and IV (9VAC20-81-300 et seq.) of this chapter.
    "Expansion" means a horizontal expansion of the  waste management boundary as identified in the Part A application. If a  facility's permit was issued prior to the establishment of the Part A process,  an expansion is a horizontal expansion of the disposal unit boundary. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Facility boundary" means the boundary of the solid  waste management facility. For landfills, this boundary encompasses the waste  management boundary and all ancillary activities including, but not limited to  scales, groundwater monitoring wells, gas monitoring probes, and maintenance  facilities as identified in the facility's permit application. For facilities  with a permit-by-rule (PBR) the facility boundary is the boundary of the  property where the permit-by-rule activity occurs. For unpermitted solid waste  management facilities, the facility boundary is the boundary of the property  line where the solid waste is located.
    "Facility structure" means any building, shed, or  utility or drainage line on the facility. 
    "Fault" means a fracture or a zone of fractures in  any material along which strata on one side have been displaced with respect to  that on the other side. 
    "Floodplain" means the lowland and relatively flat  areas adjoining inland and coastal waters, including low-lying areas of  offshore islands where flooding occurs. 
    "Fly ash" means ash particulate collected from air  pollution attenuation devices on combustion units. 
    "Food-chain crops" means crops grown for human  consumption, tobacco, and crops grown for pasture and forage or feed for  animals whose products are consumed by humans. 
    "Fossil fuel combustion products" means coal  combustion byproducts as defined in this regulation, coal combustion byproducts  generated at facilities with fluidized bed combustion technology, petroleum  coke combustion byproducts, byproducts from the combustion of oil, byproducts  from the combustion of natural gas, and byproducts from the combustion of  mixtures of coal and "other fuels" (i.e., co-burning of coal with  "other fuels" where coal is at least 50% of the total fuel). For  purposes of this definition, "other fuels" means waste-derived fuel  product, auto shredder fluff, wood wastes, coal mill rejects, peat, tall oil,  tire-derived fuel, deionizer resins, and used oil. 
    "Free liquids" means liquids that readily separate  from the solid portion of a waste under ambient temperature and pressure as  determined by the Paint Filter Liquids Test, Method 9095, U.S. Environmental  Protection Agency, Publication SW-846. 
    "Garbage" means readily putrescible discarded  materials composed of animal, vegetable or other organic matter. 
    "Gas condensate" means the liquid generated as a  result of gas control or recovery processes at the solid waste management  facility. 
    "Governmental unit" means any department,  institution, or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.
    "Ground rubber" means material processed from waste  tires that is no larger than 1/4 inch in any dimension. This includes crumb  rubber that is measured in mesh sizes. 
    "Groundwater" means water below the land surface in  a zone of saturation. 
    "Hazardous constituent" means a constituent of  solid waste found listed in Appendix VIII of 9VAC20-60-261.
    "Hazardous waste" means a "hazardous  waste" as described by the Virginia Hazardous Waste Management Regulations  (9VAC20-60).
    "Holocene" means the most recent epoch of the  Quaternary period, extending from the end of the Pleistocene Epoch to the  present. 
    "Home use" means the use of compost for growing  plants that is produced and used on a privately owned residential site. 
    "Host agreement" means any lease, contract,  agreement, or land use permit entered into or issued by the locality in which  the landfill is situated that includes terms or conditions governing the  operation of the landfill. 
    "Household hazardous waste" means any waste  material derived from households (including single and multiple residences,  hotels, motels, bunkhouses, ranger stations, crew quarters, campgrounds, picnic  grounds, and day-use recreation areas) which, except for the fact that it is  derived from a household, would otherwise be classified as a hazardous waste in  accordance with 9VAC20-60.
    "Household waste" means any waste material,  including garbage, trash, and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds, and day-use recreation  areas. Household wastes do not include sanitary waste in septic tanks (septage)  that is regulated by other state agencies. 
    "Hundred-year flood" means a flood that has a 1.0%  or greater chance of recurring in any given year or a flood of magnitude  equaled or exceeded on the average only once in a hundred years on the average  over a significantly long period. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Incinerator" means a facility or device designed  for the treatment of solid waste by combustion. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts; inorganic  chemicals; iron and steel manufacturing; leather and leather products;  nonferrous metals manufacturing/foundries; organic chemicals; plastics and  resins manufacturing; pulp and paper industry; rubber and miscellaneous plastic  products; stone, glass, clay, and concrete products; textile manufacturing;  transportation equipment; and water treatment. This term does not include  mining waste or oil and gas waste. 
    "Industrial waste landfill" means a solid waste  landfill used primarily for the disposal of a specific industrial waste or a  waste that is a byproduct of a production process. 
    "Injection well" means, for the purposes of this  chapter, a well or bore hole into which fluids are injected into selected  geological horizons. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Interim cover systems" means temporary cover  systems applied to a landfill area when landfilling operations will be  temporarily suspended for an extended period (typically, longer than one year).  At the conclusion of the interim period, the interim cover system may be  removed and landfilling operations resume or final cover is installed.
    "Karst topography" means areas where karst terrane,  with its characteristic surface and subterranean features, is developed as the  result of dissolution of limestone, dolomite, or other soluble rock.  Characteristic physiographic features present in karst terranes include, but  are not limited to, sinkholes, sinking streams, caves, large springs, and blind  valleys. 
    "Key personnel" means the applicant itself and any  person employed by the applicant in a managerial capacity, or empowered to make  discretionary decisions, with respect to the solid waste or hazardous waste  operations of the applicant in Virginia, but shall not include employees  exclusively engaged in the physical or mechanical collection, transportation,  treatment, storage, or disposal of solid or hazardous waste and such other  employees as the director may designate by regulation. If the applicant has not  previously conducted solid waste or hazardous waste operations in Virginia, the  term also includes any officer, director, partner of the applicant, or any  holder of 5.0% or more of the equity or debt of the applicant. If any holder of  5.0% or more of the equity or debt of the applicant or of any key personnel is  not a natural person, the term includes all key personnel of that entity,  provided that where such entity is a chartered lending institution or a  reporting company under the Federal Security and Exchange Act of 1934, the term  does not include key personnel of such entity. Provided further that the term  means the chief executive officer of any agency of the United States or of any  agency or political subdivision of the Commonwealth, and all key personnel of  any person, other than a natural person, that operates a landfill or other  facility for the disposal, treatment, or storage of nonhazardous solid waste  under contract with or for one of those governmental entities. 
    "Lagoon" means a body of water or surface  impoundment designed to manage or treat waste water. 
    "Land-clearing activities" means the removal of  flora from a parcel of land.
    "Land-clearing debris" means vegetative waste  resulting from land-clearing activities. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill. 
    "Landfill gas" means gas generated as a byproduct  of the decomposition of organic materials in a landfill. Landfill gas consists  primarily of methane and carbon dioxide. 
    "Landfill mining" means the process of excavating  solid waste from an existing landfill. 
    "Leachate" means a liquid that has passed through  or emerged from solid waste and contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation to disposal in an off-site facility is regulated as septage,  leachate discharged into a waste water collection system is regulated as  industrial waste water and leachate that has contaminated groundwater is  regulated as contaminated groundwater. 
    "Lead acid battery" means, for the purposes of this  chapter, any wet cell battery. 
    "Lift" means the daily landfill layer of compacted  solid waste plus the cover material. 
    "Liquid waste" means any waste material that is  determined to contain "free liquids" as defined by this chapter. 
    "Lithified earth material" means all rock,  including all naturally occurring and naturally formed aggregates or masses of  minerals or small particles of older rock, that formed by crystallization of  magma or by induration of loose sediments. This term does not include manmade  materials, such as fill, concrete, and asphalt, or unconsolidated earth  materials, soil, or regolith lying at or near the earth's surface. 
    "Litter" means, for purposes of this chapter, any  solid waste that is discarded or scattered about a solid waste management  facility outside the immediate working area. 
    "Lower explosive limit" means the lowest  concentration by volume of a mixture of explosive gases in air that will  propagate a flame at 25°C and at atmospheric pressure. 
    "Materials recovery facility" means a solid waste  management facility for the collection, processing, and recovery of material  such as metals from solid waste or for the production of a fuel from solid  waste. This does not include the production of a waste-derived fuel product. 
    "Maximum horizontal acceleration in lithified earth  material" means the maximum expected horizontal acceleration depicted on a  seismic hazard map, with a 90% or greater probability that the acceleration  will not be exceeded in 250 years, or the maximum expected horizontal  acceleration based on a site-specific seismic risk assessment. 
    "Monitoring" means all methods, procedures, and  techniques used to systematically analyze, inspect, and collect data on  operational parameters of the facility or on the quality of air, groundwater,  surface water, and soils. 
    "Monitoring well" means a well point below the  ground surface for the purpose of obtaining periodic water samples from  groundwater for quantitative and qualitative analysis. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses except composting as defined and regulated under this  chapter. 
    "Municipal solid waste" means that waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from combustion of these wastes. 
    "New solid waste management facility" means a  facility or a portion of a facility that was not included in a previous  determination of site suitability (Part A approval). 
    "Nuisance" means an activity that unreasonably  interferes with an individual's or the public's comfort, convenience or  enjoyment such that it interferes with the rights of others by causing damage,  annoyance, or inconvenience. 
    "Offsite" means any site that does not meet the  definition of onsite as defined in this part. 
    "Onsite" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same  person, but connected by a right-of-way that he controls and to which the  public does not have access, are also considered onsite property. 
    "Open burning" means the combustion of solid waste  without:
    1. Control of combustion air to maintain adequate temperature  for efficient combustion;
    2. Containment of the combustion reaction in an enclosed  device to provide sufficient residence time and mixing for complete combustion;  and
    3. Control of the combustion products' emission. 
    "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.
    "Operating record" means records required to be  maintained in accordance with the facility permit or this part (see  9VAC20-81-530). 
    "Operation" means all waste management activities  at a solid waste management facility beginning with the initial receipt of  solid waste for treatment, storage, disposal, or transfer and ceasing with the  initiation of final closure activities at the solid waste management facility  subsequent to the final receipt of waste.
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means the person who owns a solid waste  management facility or part of a solid waste management facility.
    "PCB" means any chemical substance that is limited  to the biphenyl molecule that has been chlorinated to varying degrees or any  combination of substances that contain such substance (see 40 CFR 761.3, as  amended).
    "Perennial stream" means a well-defined channel  that contains water year round during a year of normal rainfall. Generally, the  water table is located above the streambed for most of the year and groundwater  is the primary source for stream flow. A perennial stream exhibits the typical  biological, hydrological, and physical characteristics commonly associated with  the continuous conveyance of water.
    "Permit" means the written permission of the  director to own, operate, or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation, or any  other legal entity. 
    "Point source" means any discernible, confined, and  discrete conveyance, including but not limited to any pipe, ditch, channel,  tunnel, conduit, well, discrete fissure, container, rolling stock, vessel, or  other floating craft, from which pollutants are or may be discharged. Return  flows from irrigated agriculture are not included. 
    "Pollutant" means any substance that causes or  contributes to, or may cause or contribute to, environmental degradation when  discharged into the environment. 
    "Poor foundation conditions" means those areas  where features exist that indicate that a natural or man-induced event may  result in inadequate foundation support for the structural components of a  solid waste management facility. 
    "Postclosure" means the requirements placed upon  solid waste disposal facilities after closure to ensure environmental and  public health safety for a specified number of years after closure. 
    "Process rate" means the maximum rate of waste  acceptance that a solid waste management facility can process for a  treatment and/or storage. This rate is limited by the capabilities of  equipment, personnel, and infrastructure. 
    "Processing" means preparation, treatment, or  conversion of waste by a series of actions, changes, or functions that bring  about a desired end result. 
    "Professional engineer" means an engineer licensed  to practice engineering in the Commonwealth as defined by the rules and  regulations set forth by the Board of Architects, Professional Engineers, Land  Surveyors, and Landscape Architects (18VAC10-20).
    "Professional geologist" means a geologist licensed  to practice geology in the Commonwealth as defined by the rules and regulations  set forth by the Board for Geology (18VAC70-20).
    "Progressive cover" means cover material placed  over the working face of a solid waste disposal facility advancing over the  deposited waste as new wastes are added keeping the exposed area to a minimum. 
    "Putrescible waste" means solid waste that contains  organic material capable of being decomposed by micro-organisms and cause  odors. 
    "Qualified groundwater scientist" means a scientist  or engineer who has received a baccalaureate or postgraduate degree in the  natural sciences or engineering and has sufficient training and experience in  groundwater hydrology and related fields as may be demonstrated by professional  certifications, or completion of accredited university programs that enable  that individual to make sound professional judgments regarding groundwater  monitoring, contaminant fate and transport, and corrective action. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act of 1976 (42 USC  § 6901 et seq.), the Hazardous and Solid Waste Amendments of 1984, and any  other applicable amendments to these laws. 
    "Reclaimed material" means a material that is  processed or reprocessed to recover a usable product or is regenerated to a  usable form. 
    "Refuse" means all solid waste products having the  character of solids rather than liquids and that are composed wholly or  partially of materials such as garbage, trash, rubbish, litter, residues from  clean up of spills or contamination, or other discarded materials. 
    "Refuse-derived fuel (RDF)" means a type of  municipal solid waste produced by processing municipal solid waste through  shredding and size classification. This includes all classes of refuse-derived  fuel including low-density fluff refuse-derived fuel through densified  refuse-derived fuel and pelletized refuse-derived fuel.
    "Regulated hazardous waste" means a solid waste  that is a hazardous waste, as defined in the Virginia Hazardous Waste  Management Regulations (9VAC20-60), that is not excluded from those regulations  as a hazardous waste. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Release" means, for the purpose of this chapter,  any spilling, leaking, pumping, pouring, emitting, emptying, discharging,  injection, escaping, leaching, dumping, or disposing into the environment solid  wastes or hazardous constituents of solid wastes (including the abandonment or  discarding of barrels, containers, and other closed receptacles containing  solid waste). This definition does not include any release that results in  exposure to persons solely within a workplace; release of source, byproduct, or  special nuclear material from a nuclear incident, as those terms are defined in  the Atomic Energy Act of 1954 (68 Stat. 923); and the normal application of  fertilizer. For the purpose of this chapter, release also means substantial  threat of release. 
    "Remediation waste" means all solid waste,  including all media (groundwater, surface water, soils, and sediments) and  debris, that are managed for the purpose of remediating a site in accordance  with 9VAC20-81-45 or Part III (9VAC20-81-100 et seq.) of this chapter or under  the Voluntary Remediation Regulations (9VAC20-160) or other regulated  remediation program under DEQ oversight. For a given facility, remediation  wastes may originate only from within the boundary of that facility, and may  include wastes managed as a result of remediation beyond the boundary of the  facility. Hazardous wastes as defined in 9VAC20-60, as well as "new"  or "as generated" wastes, are excluded from this definition. 
    "Remediation waste management unit" or  "RWMU" means an area within a facility that is designated by the  director for the purpose of implementing remedial activities required under  this chapter or otherwise approved by the director. An RWMU shall only be used  for the management of remediation wastes pursuant to implementing such remedial  activities at the facility. 
    "Responsible official" means one of the following:
    1. For a business entity, such as a corporation, association,  limited liability company, or cooperative: a duly authorized representative of  such business entity if the representative is responsible for the overall  operation of one or more operating facilities applying for or subject to a  permit. The authority to sign documents must be assigned or delegated to such  representative in accordance with procedures of the business entity;
    2. For a partnership or sole proprietorship: a general partner  or the proprietor, respectively; or
    3. For a municipality, state, federal, or other public agency:  a duly authorized representative of the locality if the representative is responsible  for the overall operation of one or more operating facilities applying for or  subject to a permit. The authority to sign documents must be assigned or  delegated to such representative in accordance with procedures of the locality.
    "Rubbish" means combustible or slowly putrescible  discarded materials that include but are not limited to trees, wood, leaves,  trimmings from shrubs or trees, printed matter, plastic and paper products,  grass, rags and other combustible or slowly putrescible materials not included  under the term "garbage." 
    "Runoff" means any rainwater, leachate, or other  liquid that drains over land from any part of a solid waste management  facility. 
    "Run-on" means any rainwater, wastewater, leachate,  or other liquid that drains over land onto any part of the solid waste  management facility. 
    "Salvage" means the authorized, controlled removal  of waste materials from a solid waste management facility. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste that is so located, designed,  constructed, and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Saturated zone" means that part of the earth's crust  in which all voids are filled with water. 
    "Scavenging" means the unauthorized or uncontrolled  removal of waste materials from a solid waste management facility. 
    "Scrap metal" means metal parts such as bars, rods,  wire, empty containers, or metal pieces that are discarded material and can be  used, reused, or reclaimed. 
    "Secondary containment" means an enclosure into  which a container or tank is placed for the purpose of preventing discharge of  wastes to the environment. 
    "Seismic impact zone" means an area with a 10% or  greater probability that the maximum horizontal acceleration in lithified earth  material, expressed as a percentage of the earth's gravitational pull (g), will  exceed 0.10g in 250 years. 
    "Semiannual" means an interval corresponding to  approximately 180 days. For the purposes of scheduling monitoring activities,  sampling within 30 days of the 180-day interval will be considered semiannual. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Sludge" means any solid, semi-solid or liquid  waste generated from a municipal, commercial or industrial wastewater treatment  plant, water supply treatment plant, or air pollution control facility  exclusive of treated effluent from a wastewater treatment plant. 
    "Small landfill" means a landfill that disposed of  100 tons/day or less of solid waste during a representative period prior to  October 9, 1993, and did not dispose of more than an average of 100 tons/day of  solid waste each month between October 9, 1993, and April 9, 1994. 
    "Solid waste" means any of those materials defined  as "solid waste" in 9VAC20-81-95. 
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility" or  "SWMF" means a site used for planned treating, storing, or disposing  of solid waste. A facility may consist of several treatment, storage, or  disposal units. 
    "Special wastes" means solid wastes that are  difficult to handle, require special precautions because of hazardous  properties, or the nature of the waste creates waste management problems in  normal operations. (See Part VI (9VAC20-81-610 et seq.) of this chapter.) 
    "Speculatively accumulated material" means any  material that is accumulated before being used, reused, or reclaimed or in  anticipation of potential use, reuse, or reclamation. Materials are not being  accumulated speculatively when they can be used, reused, or reclaimed, have a  feasible means of use, reuse, or reclamation available and 75% of the materials  accumulated are being removed from the facility annually. 
    "State waters" means all water, on the surface and  under the ground, wholly or partially within, or bordering the Commonwealth, or  within its jurisdiction. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Structural fill" means an engineered fill with a  projected beneficial end use, constructed using soil or fossil fuel combustion  products spread and compacted with proper equipment and covered with a  vegetated soil cap. 
    "Sudden event" means a one-time, single event such  as a sudden collapse or a sudden, quick release of contaminants to the  environment. An example would be the sudden loss of leachate from an impoundment  into a surface stream caused by failure of a containment structure. 
    "Surface impoundment or impoundment" means a  facility or part of a facility that is a natural topographic depression,  manmade excavation, or diked area formed primarily of earthen materials  (although it may be lined with manmade materials), that is designed to hold an  accumulation of liquid wastes or wastes containing free liquids and that is not  an injection well. 
    "Surface waters" means all state waters that are  not groundwater as defined in § 62.1-255 of the Code of Virginia.
    "SW-846" means Test Methods for Evaluating Solid  Waste, Physical/Chemical Methods, EPA Publication SW-846, Second Edition, 1982  as amended by Update I (April, 1984), and Update II (April, 1985) and the third  edition, November, 1986, as amended. 
    "Tank" means a stationary device, designed to  contain an accumulation of liquid or semi-liquid components of solid waste that  is constructed primarily of nonearthen materials that provide structural  support. 
    "TEF" or "Toxicity Equivalency Factor"  means a factor developed to account for different toxicities of structural  isomers of polychlorinated dibenzodioxins and dibenzofurans and to relate them  to the toxicity of 2,3,7,8-tetrachloro dibenzo-p-dioxin. 
    "Terminal" means the location of transportation  facilities such as classification yards, docks, airports, management offices,  storage sheds, and freight or passenger stations, where solid waste that is  being transported may be loaded, unloaded, transferred, or temporarily stored. 
    "Thermal treatment" means the treatment of solid  waste in a device that uses elevated temperature as the primary means to change  the chemical, physical, or biological character, or composition of the solid  waste. 
    "Tire chip" means a material processed from waste  tires that is a nominal two square inches in size, and ranges from 1/4 inch to  four inches in any dimension. Tire chips contain no wire protruding more than  1/4 inch. 
    "Tire shred" means a material processed from waste  tires that is a nominal 40 square inches in size, and ranges from 4 inches to  10 inches in any dimension. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration, or resource recovery. 
    "Trash" means combustible and noncombustible  discarded materials and is used interchangeably with the term rubbish. 
    "Treatment" means, for the purpose of this chapter,  any method, technique, or process, including but not limited to incineration,  designed to change the physical, chemical, or biological character or  composition of any waste to render it more stable, safer for transport, or more  amenable to use, reuse, reclamation, recovery, or disposal. 
    "Underground source of drinking water" means an  aquifer or its portion:
    1. Which contains water suitable for human consumption; or
    2. In which the groundwater contains less than 10,000 mg/liter  total dissolved solids. 
    "Unit" means a discrete area of land used for the  disposal of solid waste. 
    "Unstable area" means a location that is  susceptible to natural or human-induced events or forces capable of impairing  the integrity of some or all of the landfill structural components responsible  for preventing releases from a landfill. Unstable areas can include poor  foundation conditions, areas susceptible to mass movements, and karst terranes.  
    "Uppermost aquifer" means the geologic formation  nearest the natural ground surface that is an aquifer, as well as, lower  aquifers that are hydraulically interconnected with this aquifer within the  facility boundary. 
    "Used or reused material" means a material that is  either: 
    1. Employed as an ingredient (including use as an  intermediate) in a process to make a product, excepting those materials  possessing distinct components that are recovered as separate end products; or 
    2. Employed in a particular function or application as an  effective substitute for a commercial product or natural resources. 
    "Vector" means a living animal, insect, or other  arthropod that transmits an infectious disease from one organism to another. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, woody wastes such as shrub and tree  prunings, bark, limbs, roots, and stumps. 
    "Vermicomposting" means the controlled and managed  process by which live worms convert organic residues into fertile excrement.
    "Vertical design capacity" means the maximum design  elevation specified in the facility's permit or if none is specified in the  permit, the maximum elevation based on a 3:1 slope from the waste disposal unit  boundary. 
    "VPDES" (Virginia Pollutant Discharge Elimination  System) means the Virginia system for the issuance of permits pursuant to the  Permit Regulation (9VAC25-31), the State Water Control Law (§ 62.1-44.2 et  seq. of the Code of Virginia), and § 402 of the Clean Water Act (33 USC  § 1251 et seq.). 
    "Washout" means carrying away of solid waste by  waters of the base flood. 
    "Waste-derived fuel product" means a solid waste or  combination of solid wastes that have been treated (altered physically,  chemically, or biologically) to produce a fuel product with a minimum heating  value of 5,000 BTU/lb. Solid wastes used to produce a waste-derived fuel  product must have a heating value, or act as binders, and may not be added to  the fuel for the purpose of disposal. Waste ingredients may not be listed or  characteristic hazardous wastes. The fuel product must be stable at ambient  temperature, and not degraded by exposure to the elements. This material may  not be "refuse derived fuel (RDF)" as defined in 9VAC5-40-890. 
    "Waste management boundary" means the vertical  plane located at the boundary line of the area approved in the Part A  application for the disposal of solid waste and storage of leachate. This  vertical plane extends down into the uppermost aquifer and is within the  facility boundary.
    "Waste pile" means any noncontainerized  accumulation of nonflowing, solid waste that is used for treatment or storage. 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. (See 9VAC20-150 for other definitions dealing with the  waste tire program.) 
    "Wastewaters" means, for the purpose of this  chapter, wastes that contain less than 1.0% by weight total organic carbon  (TOC) and less than 1.0% by weight total suspended solids (TSS). 
    "Water pollution" means such alteration of the  physical, chemical, or biological properties of any state water as will or is  likely to create a nuisance or render such waters: 
    1. Harmful or detrimental or injurious to the public health,  safety, or welfare, or to the health of animals, fish, or aquatic life or  plants; 
    2. Unsuitable, with reasonable treatment, for use as present  or possible future sources of public water supply; or
    3. Unsuitable for recreational, commercial, industrial, agricultural,  or other reasonable uses, provided that:
    a. An alteration of the physical, chemical, or biological  properties of state waters or a discharge or deposit of sewage, industrial  wastes, or other wastes to state waters by any owner that by itself is not  sufficient to cause pollution but which in combination with such alteration or  discharge or deposit to state waters by other persons is sufficient to cause  pollution;
    b. The discharge of untreated sewage by any person into state  waters; and 
    c. The contribution to the degradation of water quality  standards duly established by the State Water Control Board, are  "pollution" for the terms and purposes of this chapter. 
    "Water table" means the upper surface of the zone  of saturation in groundwaters in which the hydrostatic pressure is equal to the  atmospheric pressure. 
    "Waters of the United States" or "waters of  the U.S." means:
    1. All waters that are currently used, were used in the past,  or may be susceptible to use in interstate or foreign commerce, including all  waters that are subject to the ebb and flow of the tide;
    2. All interstate waters, including interstate  "wetlands";
    3. All other waters such as intrastate lakes, rivers, streams  (including intermittent streams), mud flats, sand flats, "wetlands,"  sloughs, prairie potholes, wet meadows, playa lakes, or natural ponds the use,  degradation, or destruction of which would affect or could affect interstate or  foreign commerce including:
    a. Any such waters that are or could be used by interstate or  foreign travelers for recreational or other purposes;
    b. Any such waters from which fish or shellfish are or could  be taken and sold in interstate or foreign commerce;
    c. Any such waters that are used or could be used for  industrial purposes by industries in interstate commerce;
    d. All impoundments of waters otherwise defined as waters of  the United States under this definition; 
    e. Tributaries of waters identified in subdivisions 3 a  through d of this definition;
    f. The territorial sea; and 
    g. Wetlands adjacent to waters (other than waters that are  themselves wetlands) identified in subdivisions 3 a through f of this  definition. 
    "Wetlands" means those areas that are defined by  the federal regulations under 33 CFR Part 328, as amended. 
    "White goods" means any stoves, washers, hot water  heaters, and other large appliances. 
    "Working face" means that area within a landfill  that is actively receiving solid waste for compaction and cover. 
    "Yard waste" means a subset of vegetative waste and  means decomposable waste materials generated by yard and lawn care and includes  leaves, grass trimmings, brush, wood chips, and shrub and tree trimmings. Yard  waste shall not include roots or stumps that exceed 12 inches in diameter. 
    9VAC20-81-35. Applicability of chapter.
    A. This chapter applies to all persons who treat, store,  dispose, or otherwise manage solid wastes as defined in Part III  (9VAC20-81-100 et seq.) of this chapter 9VAC20-81-95. 
    B. All facilities that were permitted prior to March 15,  1993, and upon which solid waste has been disposed of prior to October 9, 1993,  may continue to receive solid waste until they have reached their vertical  design capacity or until the closure date established pursuant to § 10.1-1413.2  of the Code of Virginia, in Table 2.1 provided: 
    1. The facility is in compliance with the requirements for  liners and leachate control in effect at the time of permit issuance. 
    2. On or before October 9, 1993, the owner or operator of the  solid waste management facility submitted to the director: 
    a. An acknowledgment that the owner or operator is familiar  with state and federal law and regulations pertaining to solid waste management  facilities operating after October 9, 1993, including postclosure care,  corrective action, and financial responsibility requirements; 
    b. A statement signed by a professional engineer that he has  reviewed the regulations established by the department for solid waste  management facilities, including the open dump criteria contained therein, that  he has inspected the facility and examined the monitoring data compiled for the  facility in accordance with applicable regulations and that, on the basis of  his inspection and review, he has concluded: 
    (1) That the facility is not an open dump; 
    (2) That the facility does not pose a substantial present or  potential hazard to human health and the environment; and 
    (3) That the leachate or residues from the facility do not  pose a threat of contamination or pollution of the air, surface water, or  groundwater in a manner constituting an open dump or resulting in a substantial  present or potential hazard to human health or the environment; and 
    c. A statement signed by the owner or operator: 
    (1) That the facility complies with applicable financial  assurance regulations; and 
    (2) Estimating when the facility will reach its vertical  design capacity. 
    3. Enlargement or closure of these facilities shall conform  with the following subconditions:
    a. The facility may not be enlarged prematurely to avoid  compliance with this chapter when such enlargement is not consistent with past  operating practices, the permit, or modified operating practices to ensure good  management.
    b. The facility shall not dispose of solid waste in any  portion of a landfill disposal area that has received final cover or has not  received waste for a period of one year, in accordance with 9VAC20-81-160 C.  The facility shall notify the department, in writing, within 30 days, when an  area has received final cover or has not received waste for a one-year period,  in accordance with 9VAC20-81-160 C. However, a facility may apply for a permit,  and if approved, can construct and operate a new cell that overlays  ("piggybacks") over a closed area in accordance with the permit  requirements of this chapter.
    c. The facilities subject to the restrictions in this  subsection are listed in Table 2.1. The closure dates were established in:  Final Prioritization and Closure Schedule for HB 1205 Disposal Areas (DEQ,  September 2001). The publication of these tables is for the convenience of the  regulated community and does not change established dates. Any facility,  including, but not limited to those listed in Table 2.1, must cease operation  if that facility meets any of the open dump criteria listed in 9VAC20-81-45 A  1.
    d. Those facilities assigned a closure date in accordance with  § 10.1-1413.2 of the Code of Virginia shall designate on a map, plat, diagram,  or other engineered drawing, areas in which waste will be disposed of in  accordance with Table 2.1 until the latest cessation of waste acceptance date  as listed in Table 2.1 is achieved. This map or plat shall be placed in the  operating record and a copy shall be submitted upon request to the department  in order to track the progress of closure of these facilities. If the facility  already has provided this information under 9VAC20-81-160, then the facility  may refer to that information.
           |      TABLE 2.1      Final Prioritization and Closure Schedule For House Bill (HB) 1205 Disposal    Areas       |    
       |      Solid Waste Permit Number and    Site Name      |          Location      |          Department Regional Office1      |          Latest Cessation of Waste    Acceptance Date2      |    
       |      429 - Fluvanna County Sanitary    Landfill      |          Fluvanna County      |          VRO      |          12/31/2007      |    
       |      92 - Halifax County Sanitary    Landfill3      |          Halifax County      |          BRRO      |          12/31/2007      |    
       |      49 - Martinsville Landfill      |          City of Martinsville      |          BRRO      |          12/31/2007      |    
       |      14 - Mecklenburg County    Landfill      |          Mecklenburg County      |          BRRO      |          12/31/2007      |    
       |      228 - Petersburg City Landfill3      |          City of Petersburg      |          PRO      |          12/31/2007      |    
       |      31 - South Boston Sanitary    Landfill      |          Town of South Boston      |          BRRO      |          12/31/2007      |    
       |      204 - Waynesboro City Landfill      |          City of Waynesboro      |          VRO      |          12/31/2007      |    
       |      91 - Accomack County Landfill    – Bobtown South      |          Accomack County      |          TRO      |          12/31/2012      |    
       |      580 – Bethel Landfill3       |          City of Hampton      |          TRO      |          12/31/2012      |    
       |      182 - Caroline County Landfill      |          Caroline County      |          NVRO      |          12/31/2012      |    
       |      149 - Fauquier County Landfill      |          Fauquier County      |          NVRO      |          12/31/2012      |    
       |      405 - Greensville County    Landfill      |          Greensville County      |          PRO      |          12/31/2012      |    
       |      29 - Independent Hill Landfill3      |          Prince William County      |          NVRO      |          12/31/2012      |    
       |      1 - Loudoun County Sanitary    Landfill      |          Loudoun County      |          NVRO      |          12/31/2012      |    
       |      194 - Louisa County Sanitary    Landfill      |          Louisa County      |          NVRO      |          12/31/2012      |    
       |      227 - Lunenburg County    Sanitary Landfill      |          Lunenburg County      |          BRRO      |          12/31/2012      |    
       |      507 - Northampton County    Landfill      |          Northampton County      |          TRO      |          12/31/2012      |    
       |      90 - Orange County Landfill      |          Orange County      |          NVRO      |          12/31/2012      |    
       |      75 - Rockbridge County    Sanitary Landfill      |          Rockbridge County      |          VRO      |          12/31/2012      |    
       |      23 - Scott County Landfill      |          Scott County      |          SWRO      |          12/31/2012      |    
       |      587 - Shoosmith Sanitary    Landfill3      |          Chesterfield County      |          PRO      |          12/31/2012      |    
       |      417 - Southeastern Public    Service Authority Landfill3       |          City of Suffolk      |          TRO      |          12/31/2012      |    
       |      461 - Accomack County Landfill    #2      |          Accomack County      |          TRO      |          12/31/2020      |    
       |      86    - Appomattox County Sanitary Landfill      |          Appomattox    County      |          BRRO      |          12/31/2020      |    
       |      582 - Botetourt County    Landfill3      |          Botetourt County      |          BRRO      |          12/31/2020      |    
       |      498 - Bristol City Landfill      |          City of Bristol      |          SWRO      |          12/31/2020      |    
       |      72 - Franklin County Landfill      |          Franklin County      |          BRRO      |          12/31/2020      |    
       |      398 - Virginia Beach Landfill    #2 – Mount Trashmore II3      |          City of Virginia Beach      |          TRO      |          12/31/2020      |    
       |      Notes:       |                 |                 |                 |    
       |      1Department of Environmental Quality Regional Offices:      |    
       |      BRRO      |          Blue Ridge Regional Office      |    
       |      NVRO      |          Northern Virginia Regional    Office      |    
       |      PRO      |          Piedmont Regional Office       |    
       |      SWRO      |          Southwest Regional    Office       |    
       |      TRO      |          Tidewater Regional    Office       |    
       |      VRO      |          Valley Regional Office       |    
       |      2This date means the latest date that the disposal    area must cease accepting waste.       |    
       |      3A portion of these facilities operated under HB 1205    and another portion currently is compliant with Subtitle D    requirements.       |    
        |      |      |      |      |    
  
    C. Facilities are authorized to expand beyond the waste  boundaries existing on October 9, 1993, as follows: 
    1. Existing captive industrial landfills. 
    a. Existing nonhazardous industrial waste facilities that are  located on property owned or controlled by the generator of the waste disposed  of in the facility shall comply with all the provisions of this chapter except  as shown in subdivision 1 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a captive industrial landfill  beyond the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements in effect at  the time of permit issuance. 
    c. Owners or operators of facilities that are authorized under  subdivision 1 of this subsection to accept waste for disposal beyond the waste  boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120. 
    d. Facilities authorized for expansion in accordance with  subdivision 1 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    2. Other existing industrial waste landfills. 
    a. Existing nonhazardous industrial waste facilities that are  not located on property owned or controlled by the generator of the waste  disposed of in the facility shall comply with all the provisions of this  chapter except as shown in subdivision 2 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand an industrial landfill beyond  the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements of  9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 2 of this subsection to accept waste for disposal beyond the  waste boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120 and 9VAC20-81-130.
    e. Facilities authorized for expansion in accordance with  subdivision 2 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    3. Existing construction/demolition/debris landfills. 
    a. Existing facilities that accept only  construction/demolition/debris waste shall comply with all the provisions of  this chapter except as shown in subdivision 3 of this subsection.
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a  construction/demolition/debris landfill beyond the waste boundaries existing on  October 9, 1993. Liners and leachate collection systems constructed beyond the  waste boundaries existing on October 9, 1993, shall be constructed in  accordance with the requirements of 9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 3 of this subsection to accept waste for disposal beyond the  active portion of the landfill existing on October 9, 1993, shall ensure that  such expanded disposal areas maintain setback distances applicable to such  facilities in 9VAC20-81-120 and 9VAC20-81-130. 
    e. Facilities, or portions thereof, which have reached their  vertical design capacity shall be closed in compliance with 9VAC20-81-160. 
    f. Facilities authorized for expansion in accordance with  subdivision 3 of this subsection are limited to expansion to the permitted  disposal area existing on October 9, 1993, or the facility boundary existing on  October 9, 1993, if no discrete disposal area is defined in the facility  permit. 
    4. Facilities or units undergoing expansion in accordance with  the partial exemptions created by subdivision 1 b, 2 b, or 3 b of this  subsection may not receive hazardous wastes generated by the exempt small  quantity generators, as defined by the Virginia Hazardous Waste Management  Regulations ( 9VAC20-60), for disposal on the expanded portions of the  facility. Other wastes that require special handling in accordance with the  requirements of Part VI (9VAC20-81-610 et seq.) of this chapter or that contain  hazardous constituents that would pose a risk to health or environment, may  only be accepted with specific approval by the director. 
    5. Nothing in subdivisions 1 b, 2 b, and 3 b of this  subsection shall alter any requirement for ground water monitoring, financial  responsibility, operator certification, closure, postclosure care, operation,  maintenance, or corrective action imposed under this chapter, or impair the  powers of the director to revoke or modify a permit pursuant to § 10.1-1409  of the Virginia Waste Management Act or Part V (9VAC20-81-400 et seq.) of this  chapter. 
    D. An owner or operator of a previously unpermitted facility  or unpermitted activity that managed materials previously exempt or excluded  from this chapter shall submit a complete application for a solid waste  management facility permit, permit by rule or a permit modification, as  applicable, in accordance with Part V (9VAC20-81-430 et seq.) of this chapter  within six months after these materials have been defined or identified as  solid wastes. If the director finds that the application is complete, the owner  or operator may continue to manage the newly defined or identified waste until  a permit or permit modification decision has been rendered or until a date two  years after the change in definition whichever occurs sooner, provided however,  that in so doing he shall not operate or maintain an open dump, a hazard, or a  nuisance. 
    Owners or operators of solid waste management facilities in  existence prior to September 24, 2003, shall now be in compliance with this  chapter. Where conflicts exist between the existing facility permit and the new  requirements of the regulations, the regulations shall supersede the permit  except where the standards in the permit are more stringent than the  regulation. Language in an existing permit shall not act as a shield to  compliance with the regulation, unless a variance to the regulations has been  approved by the director in accordance with the provisions of Part VII  (9VAC20-81-700 et seq.) of this chapter. Existing facility permits will not be  required to be updated to eliminate requirements conflicting with the  regulation, except at the request of the director or if a permit is modified  for another reason. However, all sanitary landfills and incinerators that  accept waste from jurisdictions outside of Virginia must have submitted the  materials required under 9VAC20-81-100 E 4 by March 22, 2004. 
    E. This chapter is not applicable to landfill units closed in  accordance with regulations or permits in effect prior to December 21, 1988,  unless releases from these closed landfills meet the open dump criteria found  in 9VAC20-81-45, or the closed landfills are found to be a hazard or a nuisance  under subdivision 21 of § 10.1-1402 of the Code of Virginia, or a site  where improper waste management has occurred under subdivision 19 of  § 10.1-1402 of the Code of Virginia.
    9VAC20-81-95. Identification of solid waste.
    A. Wastes identified in this part section  are solid wastes that are subject to this chapter unless regulated  pursuant to other applicable regulations issued by the department. 
    B. Except as otherwise provided, the definition of solid  waste per 40 CFR 261.2 as incorporated by 9VAC20-60-261, as amended, is also  hereby incorporated as part of this chapter. Except as otherwise provided, all  material definitions, reference materials and other ancillaries that are a part  of 9VAC20-60-261, as amended, are also hereby incorporated as part of this  chapter as well.
    C. Except as otherwise modified or excepted by 9VAC20-60, the  materials listed in the regulations of the United States Environmental  Protection Agency set forth in 40 CFR 261.4 (a) are considered a solid waste  for the purposes of this chapter. However, these materials are not regulated  under the provisions of this chapter if all conditions specified therein are  met. This list and all material definitions, reference materials and other  ancillaries that are part of 40 CFR Part 261.4 (a), as incorporated, modified  and/or accepted by 9VAC20-60 are incorporated as part of this chapter. In  addition, the following materials are not solid wastes for the purpose of this  chapter:
    1. Materials generated by any of the following, which are  returned to the soil as fertilizers: 
    a. The growing and harvesting of agricultural crops. 
    b. The raising and husbanding of animals, including animal  manures and used animal bedding. 
    2. Mining overburden returned to the mine site. 
    3. Recyclable materials used in manner constituting disposal  per 9VAC20-60-266. 
    4. Wood wastes burned for energy recovery. 
    5. Materials that are:
    a. Used or reused, or prepared for use or reuse, as an  ingredient in an industrial process to make a product, or as effective  substitutes for commercial products or natural resources provided the materials  are not being reclaimed or accumulated speculatively; or 
    b. Returned to the original process from which they are  generated. 
    6. Materials that are beneficially used as determined by the  department under this subsection. The department may consider other waste  materials and uses to be beneficial in accordance with the provisions of  9VAC20-81-97. 
    7. The following materials and uses listed in this part are  exempt from this chapter as long as they are managed so they do not create an  open dump, hazard, or public nuisance. These materials and the designated use  are considered a beneficial use of waste materials: 
    a. Clean wood, wood chips, or bark from land clearing, logging  operations, utility line clearing and maintenance operations, pulp and paper  production, and wood products manufacturing, when these materials are placed in  commerce for service as mulch, landscaping, animal bedding, erosion control,  habitat mitigation, wetlands restoration, or bulking agent at a compost  facility operated in compliance with Part IV (9VAC20-81-300 et seq.) of this  chapter;
    b. Clean wood combustion residues when used for pH adjustment  in compost, liquid absorbent in compost, or as a soil amendment or fertilizer,  provided the application rate of the wood ash is limited to the nutrient need  of the crop grown on the land on which the wood combustion residues will be  applied and provided that such application meets the requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    c. Compost that satisfies the applicable requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    d. Nonhazardous, contaminated soil that has been excavated as  part of a construction project and that is used as backfill for the same  excavation or excavations containing similar contaminants at the same site, at  concentrations at the same level or higher. Excess contaminated soil from these  projects is subject to the requirements of this chapter; 
    e. Nonhazardous petroleum contaminated soil that has been  treated to the satisfaction of the department in accordance with 9VAC20-81-660;  
    f. Nonhazardous petroleum contaminated soil when incorporated  into asphalt pavement products; 
    g. Solid wastes that are approved in advance of the placement,  in writing, by the department or that are specifically mentioned in the  facility permit for use as alternate daily cover material or other protective  materials for landfill liner or final cover system components; 
    h. Fossil fuel combustion products when used as a material in  the manufacturing of another product (e.g., concrete, concrete products,  lightweight aggregate, roofing materials, plastics, paint, flowable fill) or as  a substitute for a product or material resource (e.g., blasting grit, roofing  granules, filter cloth pre-coat for sludge dewatering, pipe bedding); 
    i. Tire chips and tire shred when used as a sub base fill for  road base materials or asphalt pavements when approved by the Virginia  Department of Transportation or by a local governing body; 
    j. Tire chips, tire shred, and ground rubber used in the  production of commercial products such as mats, pavement sealers, playground  surfaces, brake pads, blasting mats, and other rubberized commercial products; 
    k. Tire chips and tire shred when used as backfill in landfill  gas or leachate collection pipes, recirculation lines, and drainage material in  landfill liner and cover systems, and gas interception or remediation  applications; 
    l. Waste tires, tire chips or tire shred when burned for  energy recovery or when used in pyrolysis, gasification, or similar treatment  process to produce fuel; 
    m. "Waste -derived fuel product,"  as defined in 9VAC20-81-10, derived from nonhazardous solid waste; 
    n. Uncontaminated concrete and concrete products, asphalt  pavement, brick, glass, soil, and rock placed in commerce for service as a  substitute for conventional aggregate; and
    o. Clean, ground gypsum wallboard when used as a soil  amendment or fertilizer, provided the following conditions are met:
    (1) No components of the gypsum wallboard have been glued,  painted, or otherwise contaminated from manufacture or use (e.g., waterproof or  fireproof drywall) unless otherwise processed to remove contaminants. 
    (2) The gypsum wallboard shall be processed so that 95% of the  gypsum wallboard is less than 1/4 inch by 1/4 inch in size, unless an alternate  size is approved by the department.
    (3) The gypsum wallboard shall be applied only to  agricultural, silvicultural, landscaped, or mined lands or roadway construction  sites that need fertilization.
    (4) The application rate for the ground gypsum wallboard shall  not exceed the following rates.
           |      Region      |          Rate      |    
       |      Piedmont, Mountains, and Ridge and Valley      |          250 lbs/1,000 ft2      |    
       |      Coastal Plain      |          50 lbs/1,000 ft2      |    
       |      Note: These weights are for dry ground gypsum wallboard.      |    
  
    D. The following activities are conditionally exempt from  this chapter provided no open dump, hazard, or public nuisance is created: 
    1. Composting of sewage sludge at the sewage treatment plant  of generation without addition of other types of solid wastes.
    2. Composting of household waste generated at a residence and  composted at the site of generation. 
    3. Composting activities performed for educational purposes as  long as no more than 100 cubic yards of materials are on site at any time.  Greater quantities will be allowed with suitable justification presented to the  department. For quantities greater than 100 cubic yards, approval from the  department will be required prior to composting.
    4. Composting of animal carcasses onsite at the farm of  generation.
    5. Composting of vegetative waste and/or yard waste generated  onsite by owners or operators of agricultural operations or owners of the real  property or those authorized by the owners of the real property provided:
    a. All decomposed vegetative waste and compost produced is  utilized on said property;
    b. No vegetative waste or other waste material generated from  other sources other than said property is received;
    c. All applicable standards of local ordinances that govern or  concern vegetative waste handling, composting, storage or disposal are  satisfied; and 
    d. They pose no nuisance or present no potential threat to  human health or the environment. 
    6. Composting of yard waste by owners or operators who accept  yard waste generated offsite shall be exempt from all other provisions of this  chapter as applied to the composting activities provided the requirements of  9VAC20-81-397 B are met.
    7. Composting of preconsumer food waste and kitchen culls  generated onsite and composted in containers designed to prohibit vector  attraction and prevent nuisance odor generation. 
    8. Vermicomposting, when used to process Category I, Category  II, or Category III feedstocks in containers designed to prohibit vector  attraction and prevent nuisance odor generation. If offsite feedstocks are  received no more than 100 cubic yards of materials may be onsite at any one  time. For quantities greater than 100 cubic yards, approval from the department  will be required prior to composting.
    9. Composting of sewage sludge or combinations of sewage  sludge with nonhazardous solid waste provided the composting facility is  permitted under the requirements of a Virginia Pollution Abatement (VPA) or  VPDES permit.
    10. Management of solid waste in appropriate containers at the  site of its generation, provided that: 
    a. Putrescible waste is not stored more than seven days  between time of collection and time of removal for disposal; 
    b. Nonputrescible wastes are not stored more than 90 days  between time of collection and time of removal for proper management; and
    c. Treatment of waste is conducted in accordance with the  following:
    (1) In accordance with a waste analysis plan that:
    (a) Contains a detailed chemical and physical analysis of a  representative sample of the waste being treated, and contains all records  necessary to treat the waste in accordance with the requirements of this part,  including the selected testing frequency; and
    (b) Is kept in the facility's onsite file and made available  to the department upon request.
    (2) Notification is made to the receiving waste management  facility that the waste has been treated.
    11. Using rocks, brick, block, dirt, broken concrete, crushed  glass, porcelain, and road pavement as clean fill. 
    12. Storage of less than 100 waste tires at the site of  generation provided that no waste tires are accepted from offsite and that the  storage will not present a hazard or a nuisance.
    13. Storage in piles of land-clearing debris including stumps  and brush, clean wood wastes, log yard scrapings consisting of a mixture of  soil and wood, cotton gin trash, peanut hulls, and similar organic wastes that  do not readily decompose, are exempt from this chapter if they meet the  following conditions at a minimum: 
    a. The wastes are managed in the following manner: 
    (1) They do not cause discharges of leachate, or attract  vectors. 
    (2) They cannot be dispersed by wind and rain. 
    (3) Fire is prevented. 
    (4) They do not become putrescent. 
    b. Any facility storing waste materials under the provisions  of this subsection shall obtain a storm water discharge permit if they are  considered a significant source under the provisions of 9VAC25-31-120 A 1 c. 
    c. No more than a total of 1/3 acre of waste material is  stored onsite and the waste pile does not exceed 15 feet in height above base  grade. 
    d. Siting provisions. 
    (1) All log yard scrapings consisting of a mixture of soil and  wood, cotton gin trash, peanut hulls, and similar organic wastes that do not  readily decompose are stored at the site of the industrial activity that  produces them; 
    (2) A 50-foot fire break is maintained between the waste pile  and any structure or tree line; 
    (3) The slope of the ground within the area of the pile and  within 50 feet of the pile does not exceed 4:1; 
    (4) No waste material may be stored closer than 50 feet to any  regularly flowing surface water body or river, floodplain, or wetland; and
    (5) No stored waste materials shall extend closer than 50 feet  to any property line. 
    e. If activities at the site cease, any waste stored at the  site must be properly managed in accordance with these regulations within 90  days. The director can approve longer time frames with appropriate  justification. Justification must be provided in writing no more than 30 days  after ceasing activity at the site. 
    f. Waste piles that do not meet these provisions are required  to obtain a permit in accordance with the permitting provisions in Part V  (9VAC20-81-400 et seq.) of this chapter and meet all of the applicable waste  pile requirements in Part IV (9VAC20-81-300 et seq.) of this chapter.  Facilities that do not comply with the provisions of this subsection and fail  to obtain a permit are subject to the provisions of 9VAC20-81-40.
    14. Storage of nonhazardous solid wastes and hazardous wastes,  or hazardous wastes from conditionally exempt small quantity generators as  defined in Virginia Hazardous Waste Management Regulations (9VAC20-60) at a  transportation terminal or transfer station in closed containers meeting the  U.S. Department of Transportation specifications is exempt from this section  and the permitting provisions of Part V (9VAC20-81-400 et seq.) of this chapter  provided such wastes are removed to a permitted storage or disposal facility  within 10 days from the initial receipt from the waste generator. To be  eligible for this exemption, each shipment must be properly documented to show  the name of the generator, the date of receipt by the transporter, and the date  and location of the final destination of the shipment. The documentation shall  be kept at the terminal or transfer station for at least three years after the  shipment has been completed and shall be made available to the department upon  request. All such activities shall comply with any local ordinances.
    15. Open burning in accordance with the requirements of  9VAC5-130-40. 
    16. Open burning of vegetative waste is allowed at a closed  landfill that has not been released from postclosure care. The activity shall  be included in the text of the postclosure plan and conducted in accordance  with § 10.1-1410.3 of the Code of Virginia.
    17. Placement of trees, brush, or other vegetation from land  used for agricultural or silvicultural purposes on the same property or other  property of the same landowner. 
    18. Using fossil fuel combustion products in one or more of  the following applications or when handled, processed, transported, or  stockpiled for the following uses: 
    a. As a base, sub-base or fill material under a paved road,  the footprint of a structure, a paved parking lot, sidewalk, walkway or similar  structure, or in the embankment of a road. In the case of roadway embankments,  materials will be placed in accordance with VDOT specifications, and exposed  slopes not directly under the surface of the pavement must have a minimum of 18  inches of soil cover over the fossil fuel combustion products, the top six  inches of which must be capable of sustaining the growth of indigenous plant  species or plant species adapted to the area. The use, reuse, or reclamation of  unamended coal combustion byproduct shall not be placed in an area designated  as a 100-year flood plain;
    b. Processed with a cementitious binder to produce a  stabilized structural fill product that is spread and compacted with proper  equipment for the construction of a project with a specified end use; or
    c. For the extraction or recovery of materials and compounds  contained within the fossil fuel combustion products.
    E. The following solid wastes are exempt from this chapter  provided that they are managed in accordance with the requirements promulgated  by other applicable state or federal agencies: 
    1. Management of wastes regulated by the State Board of  Health, the State Water Control Board, the Air Pollution Control Board, the  Department of Mines, Minerals and Energy, Department of Agriculture and  Consumer Services, or any other state or federal agency with such authority.
    2. Drilling fluids, produced waters, and other wastes  associated with the exploration, development, or production of crude oil,  natural gas, or geothermal energy. 
    3. Solid waste from the extraction, beneficiation, and  processing of ores and minerals, including coal. 
    4. Fossil fuel combustion products used for mine reclamation,  mine subsidence, or mine refuse disposal on a mine site permitted by the  Virginia Department of Mines, Minerals and Energy (DMME) when used in  accordance with the standards.
    5. Solid waste management practices that involve only the  onsite placing of solid waste from mineral mining activities at the site of  those activities and in compliance with a permit issued by the DMME, that do  not include any municipal solid waste, are accomplished in an environmentally  sound manner, and do not create an open dump, hazard or public nuisance are  exempt from all requirements of this chapter.
    6. Waste or byproduct derived from an industrial process that  meets the definition of fertilizer, soil amendment, soil conditioner, or  horticultural growing medium as defined in § 3.2-3600 of the Code of Virginia,  or whose intended purpose is to neutralize soil acidity (see § 3.2-3700 of the  Code of Virginia), and that is regulated under the authority of the Virginia  Department of Agriculture and Consumer Services. 
    7. Fossil fuel combustion products bottom ash or boiler slag  used as a traction control material or road surface material if the use is  consistent with Virginia Department of Transportation practices.
    8. Waste tires generated by and stored at salvage yards  licensed by the Department of Motor Vehicles provided that such storage  complies with requirements set forth in § 10.1-1418.2 and such storage  does not pose a hazard or nuisance. 
    9. Tire chips used as the drainage material in construction of  septage drain fields regulated under the authority of the Virginia Department  of Health.
    F. The following solid wastes are exempt from this chapter  provided that they are reclaimed or temporarily stored incidentally to  reclamation, are not accumulated speculatively, and are managed without  creating an open dump, hazard, or a public nuisance: 
    1. Paper and paper products; 
    2. Clean wood waste that is to undergo size reduction in order  to produce a saleable product, such as mulch;
    3. Cloth;
    4. Glass;
    5. Plastics;
    6. Tire chips, tire shred, ground rubber; and
    7. Mixtures of above materials only. Such mixtures may include  scrap metals excluded from regulation in accordance with the provisions of  subsection C of this section.
    9VAC20-81-140. Operation requirements.
    The operation of all sanitary, CDD, and industrial landfills  shall be governed by the standards set forth in this section. Landfill  operations will be detailed in an operations manual that shall be maintained in  the operating record in accordance with 9VAC20-81-485. This operations manual  will include an operations plan, an inspection plan, a health and safety plan,  an unauthorized waste control plan, an emergency contingency plan, and a  landscaping plan meeting the requirements of this section and 9VAC20-81-485.  This manual shall be made available to the department when requested. If the  applicable standards of this chapter and the landfill's Operations Manual  conflict, this chapter shall take precedence.
    A. Landfill operational performance standards.
    1. Safety hazards to operating personnel shall be controlled  through an active safety program consistent with the requirements of 29 CFR  Part 1910, as amended. 
    2. A groundwater monitoring program meeting the requirements  of 9VAC20-81-250 shall be implemented, as applicable. 
    3. A corrective action program meeting the requirements of  9VAC20-81-260 is required whenever the groundwater protection standard is  exceeded at statistically significant levels.
    4. Open burning at active landfills. 
    a. Owners or operators shall ensure that the units do not  violate any applicable requirements developed by the State Air Pollution  Control Board or promulgated by the EPA administrator pursuant to § 110 of the  Clean Air Act, as amended (42 USC §§ 7401 to 7671q). 
    b. Open burning of solid waste, except for infrequent burning  of agricultural wastes, silvicultural wastes, land-clearing debris, diseased  trees, or debris from emergency cleanup operations is prohibited. There shall  be no open burning permitted on areas where solid waste has been disposed of or  is being used for active disposal.
    c. The owner or operator shall be responsible for extinguishing  any fires that may occur at the facility. A fire control plan will be developed  that outlines the response of facility personnel to fires. The fire control  plan will be provided as an attachment to the emergency contingency plan  required under the provisions of 9VAC20-81-485. The fire control plan will be  available for review upon request by the public. There shall be no open burning  permitted on areas where solid waste has been disposed or is being used for  active disposal.
    5. Except as provided in 9VAC20-81-130 K, owners or operators  shall implement a gas management plan in accordance with 9VAC20-81-200  to  control landfill gas such that: 
    a. The concentration of methane gas generated by the landfill  does not exceed 25% of the lower explosive limit for methane in landfill  structures (excluding gas control or recovery system components); and 
    b. The concentration of methane gas does not exceed the lower  explosive limit for methane at the facility boundary. 
    6. Landfills shall not: 
    a. Allow leachate from the landfill to drain or discharge into  surface waters except when treated onsite and discharged into surface water as  authorized under a VPDES Permit (9VAC25-31). 
    b. Cause a discharge of pollutants into waters of the United  States, including wetlands, that violates any requirements of the Clean Water  Act (33 USC § 1251 et seq.), including, but not limited to, the VPDES  requirements and Virginia Water Quality Standards (9VAC25-260). 
    c. Cause the discharge of a nonpoint source of pollution to  waters of the United States, including wetlands, that violates any requirement  of an areawide or statewide water quality management plan that has been  approved under § 208 or 319 of the Clean Water Act (33 USC § 1251 et  seq.), as amended or violates any requirement of the Virginia Water Quality  Standards (9VAC25-260). 
    d. Allow solid waste to be deposited in or to enter any  surface waters or groundwaters.
    7. Owners or operators shall maintain the run-on/runoff  control systems designed and constructed in accordance with 9VAC20-81-130 H. 
    8. Access to sanitary, CDD, or noncaptive industrial landfills  shall be permitted only when an attendant is on duty and only during daylight  hours, unless otherwise specified in the landfill permit. 
    9. Fencing or other suitable control means shall be used to  control litter migration. All litter blown from the landfill operations shall  be collected on a weekly basis.
    10. Odors and vectors shall be effectively controlled so they  do not constitute nuisances or hazards. Odor hazard or nuisances shall be  controlled in accordance with 9VAC20-81-200 D. Disease vectors shall be  controlled using techniques for the protection of human health and the  environment. 
    11. If salvaging is allowed by a landfill, it shall not  interfere with operation of the landfill and shall not create hazards or  nuisances. 
    12. Fugitive dust and mud deposits on main offsite roads and  access roads shall be minimized at all times to limit nuisances. Dust shall be  controlled to meet the requirements of Article 1 (9VAC5-40-60 et seq.) of Part  II of 9VAC5-40.
    13. Internal roads in the landfill shall be maintained to be  passable in all weather by ordinary vehicles. All operation areas and units  shall be accessible.
    14. All landfill appurtenances listed in 9VAC20-81-130 shall be  properly maintained and operated as designed and approved in the facility's  permit. 
    15. Adequate numbers and types of properly maintained  equipment shall be available to a landfill for operation. Provision shall be  made for substitute equipment to be available or alternate means implemented to  achieve compliance with subdivision B 1, C 1, or D 1 of this section, as  applicable, within 24 hours should the former become inoperable or unavailable.  Operators with training appropriate to the tasks they are expected to perform  and in sufficient numbers for the complexity of the site shall be on the site  whenever it is in operation.
    16. Self-Inspection. Each landfill shall implement an  inspection routine including a schedule for inspecting all applicable major aspects  of facility operations necessary to ensure compliance with the requirements of  this chapter. Records of these inspections must be maintained in the operating  record and available for review. At a minimum, the following aspects of the  facility shall be inspected on a monthly basis: erosion and sediment controls,  storm water conveyance system, leachate collection system, safety and emergency  equipment, internal roads, and operating equipment. The groundwater monitoring  system and gas management system shall be inspected at a rate consistent with  the system's monitoring frequency.
    17. Records to include, at a minimum, date of receipt,  quantity by weight or volume, and origin shall be maintained on solid waste  received and processed to fulfill the applicable requirements of the Solid  Waste Information and Assessment Program under 9VAC20-81-80 and the Control  Program for Unauthorized Waste under 9VAC20-81-100 E. Such records shall be  made available to the department for examination or use when requested.
    B. In addition to the standards in subsection A of this  section, sanitary landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread into two-foot layers or less and compacted at the working face, which  shall be confined to the smallest area practicable. 
    b. Lift heights shall be sized in accordance with daily waste  volumes. Lift height is not recommended to exceed 10 feet. 
    c. Daily cover consisting of at least six inches of  compacted soil or other approved material shall be placed upon and maintained  on all exposed solid waste prior to the end of each operating day, or at more  frequent intervals if necessary, to control disease vectors, fires, odors,  blowing litter, and scavenging. Alternate materials of an alternate thickness  may be approved by the department if it has been demonstrated that the  alternate material and thickness control disease vectors, fires, odors, blowing  litter, and scavenging without presenting a threat to human health and the  environment. At least three days of acceptable cover soil or approved material  at the average usage rate shall be maintained at the landfill or readily  available at all times. 
    d. Intermediate cover of at least six inches of additional  compacted soil shall be applied and maintained whenever an additional lift of  refuse is not to be applied within 30 days. Further, all areas with  intermediate cover exposed shall be inspected as needed, but not less than  weekly. Additional cover material shall be placed on all cracked, eroded, and  uneven areas as required to maintain the integrity of the intermediate cover  system. 
    e. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    g. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33% unless steeper slopes are approved in the  permit. 
    2. The active working face of a sanitary landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    3. A sanitary landfill that is located within 10,000 feet of  any airport runway used for turbojet aircraft or 5,000 feet of any airport  runway used by only piston type aircraft, shall operate in such a manner that  the landfill does not increase or pose additional bird hazards to aircraft. 
    4. Sanitary landfills shall not dispose of the following  wastes, except as specifically authorized by the landfill permit or by the  department: 
    a. Free liquids. 
    (1) Bulk or noncontainerized liquid waste, unless: 
    (a) The waste is household waste; or 
    (b) The waste is gas condensate derived from that landfill;
    (c) The waste is leachate derived from that landfill and the landfill  is designed with a composite liner and leachate collection system as described  in 9VAC20-81-130 J 1 a and 9VAC20-81-130 L; or 
    (2) Containers holding liquid waste, unless: 
    (a) The container is a small container similar in size to that  normally found in household waste; 
    (b) The container is designed to hold liquids for use other  than storage; or 
    (c) The waste is household waste. 
    b. Regulated hazardous wastes as defined by the Virginia  Hazardous Waste Management Regulations (9VAC20-60).
    c. Solid wastes, residues, or soils containing more than 1.0  ppb (parts per billion) TEF (dioxins). 
    d. Solid wastes, residues, or soils containing 50.0 ppm (parts  per million) or more of PCB's except as allowed under the provisions of  9VAC20-81-630. 
    e. Sludges that have not been dewatered. 
    f. Contaminated soil unless approved by the department in  accordance with the requirements of 9VAC20-81-610 or 9VAC20-81-660. 
    g. Regulated medical waste as specified in the Regulated  Medical Waste Management Regulations (9VAC20-120).
    5. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    C. In addition to the standards in subsection A of this  section, Construction/demolition/debris landfills shall also comply with the  following:
    1. Compaction and cover requirements. 
    a. Waste materials shall be compacted in shallow layers during  the placement of disposal lifts to minimize differential settlement. 
    b. Compacted soil cover shall be applied as needed for safety  and aesthetic purposes. A minimum one-foot thick progressive cover shall be  maintained weekly such that the top of the lift is fully covered at the end of  the work week. If the landfill accepts Category I or II nonfriable  asbestos-containing material for disposal, daily soil cover shall be placed  upon all exposed Category I or II nonfriable asbestos-containing material prior  to the end of each operating day. The open working face of a landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    c. When waste deposits have reached final elevations, or  disposal activities are interrupted for 15 days or more, waste deposits shall  receive a one-foot thick intermediate cover unless soil has already been  applied in accordance with subdivision 1 b of this subsection and be graded to  prevent ponding and to accelerate surface run-off. 
    d. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    e. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    f. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33%. 
    2. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    D. In addition to the standards in subsection A of this  section, Industrial Landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread and compacted at the working face, which shall be confined to the  smallest area practicable. 
    b. Lift heights shall be sized according to the volume of  waste received daily and the nature of the industrial waste. A lift height is  not required for materials such as fly ash that are not compactable. 
    c. Where it is necessary for the specific waste, such as  Category I or II nonfriable asbestos-containing material, daily soil cover, or  other suitable material shall be placed upon all exposed solid waste prior to  the end of each operating day. For wastes such as fly ash and bottom ash from  burning of fossil fuels, periodic cover to minimize exposure to precipitation  and control dust or dust control measures such as surface wetting or crusting  agents shall be applied. At least three days of acceptable cover soil or  approved material at the average usage rate shall be maintained at the fill at  all times at facilities where daily cover is required unless an offsite supply  is readily available on a daily basis.
    d. Intermediate cover of at least one foot of compacted soil  shall be applied whenever an additional lift of refuse is not to be applied  within 30 days unless the owner or operator demonstrates to the satisfaction of  the director that an alternate cover material or an alternate schedule will be  protective of public health and the environment. In the case of facilities  where fossil fuel combustion products are removed for beneficial use,  intermediate cover must be applied in any area where ash has not been placed or  removed for 30 days or more. Further, all areas with intermediate cover exposed  shall be inspected as needed but not less than weekly and additional cover  material shall be placed on all cracked, eroded, and uneven areas as required  to maintain the integrity of the intermediate cover system. 
    e. Final cover construction will be initiated in accordance  with the requirements of 9VAC20-81-160 D 2 when the following pertain: 
    (1) When an additional lift of solid waste is not to be  applied within two years or a longer period as required by the facility's  phased development. 
    (2) When any area of a landfill attains final elevation and  within 90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) When a landfill's permit is terminated within 90 days of  such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  otherwise specified by the department when seasonal conditions do not otherwise  permit. Mowing will be conducted a minimum of once a year or at a frequency  suitable for the vegetation and climate.
    2. Incinerator and air pollution control residues containing  no free liquids shall be incorporated into the working face and covered at such  intervals as necessary to minimize them from becoming airborne. 
    9VAC20-81-160. Closure requirements.
    The closure of all sanitary, CDD and industrial landfills  shall be governed by the standards set forth in this section.
    A. Closure purpose. The owner or operator shall close the  landfill in a manner that minimizes the need for further maintenance and  provides for the protection of human health and the environment. Closure shall  eliminate the postclosure escape of uncontrolled leachate or of waste  decomposition products to the groundwater or surface water to the extent  necessary to protect human health and the environment. Closure shall also  control and/or minimize surface runoff and the escape of waste decomposition  products to the atmosphere. 
    B. Closure plan and modification of plan.
    1. The owner or operator of a solid waste disposal facility  shall have a written closure plan. This plan shall identify the steps necessary  to completely close the landfill at the time when the operation will be the  most extensive and at the end of its intended life. The closure plan shall  include, at least: 
    a. A schedule for final closure that shall include, as a  minimum, the anticipated date when wastes will no longer be received, the date  when completion of final closure is anticipated, and intervening milestone  dates that will allow tracking of the progress of closure. 
    b. An estimate of waste disposed onsite over the active life  of the landfill; 
    c. An estimate of the largest area ever requiring a final  cover as required at any time during the active life; 
    d. Description of Final Cover System design in accordance with  subsection D of this section;
    e. Description of storm water management to include design,  construction, and maintenance controls;
    f. Closure cost estimate for purpose of financial assurance. 
    2. The owner or operator may amend the closure plan at any  time during the active life of the landfill. The owner or operator shall so  amend his plan any time changes in operating plans or landfill design affect  the closure plan. The amended closure plan shall be placed in the operating  record and a copy provided to the department. 
    3. Closure plans and amended closure plans not previously  approved by the director shall be submitted to the department at least 180 days  before the date the owner or operator expects to begin construction activities  related to closure. The director will approve or disapprove the plan within 90  days of receipt. 
    4. If the owner or operator intends to use an alternate final  cover design, he shall submit a proposed design meeting the requirements of  subdivision D 2 e f of this section to the department at least  180 days before the date he expects to begin closure. The department will  approve or disapprove the plan within 90 days of receipt. 
    5. At least 180 days prior to beginning closure of each solid  waste disposal unit, the owner or operator shall notify the department and the  solid waste planning unit of the intent to close. 
    C. Time allowed for closure. 
    1. The owner or operator shall begin closure activities of  each unit no later than 30 days after the date on which the unit receives the  known final receipt of wastes or, if the unit has remaining capacity and there  is a reasonable likelihood that the unit will receive additional wastes, no  later than one year after the most recent receipt of wastes. Extensions beyond  the one-year deadline for beginning closure may be granted by the director if  the owner or operator demonstrates that the unit has the capacity to receive  additional wastes and the owner or operator has taken and will continue to take  all steps necessary to prevent threats to human health and the environment from  the unclosed unit. 
    2. The owner or operator shall complete closure activities of  each unit in accordance with the closure plan and within six months after  receiving the final volume of wastes. The director may approve a longer closure  period if the owner or operator can demonstrate that the required or planned  closure activities will, of necessity, take longer than six months to complete;  and that he has taken all steps to eliminate any significant threat to human  health and the environment from the unclosed but inactive landfill.
    D. Closure implementation. 
    1. The owner or operator shall close each unit with a final  cover as specified in subdivision 2 of this subsection, grade the fill area to  prevent ponding, and provide a suitable vegetative cover. Vegetation shall be  deemed properly established when there are no large areas void of vegetation  and it is sufficient to control erosion. 
    2. Final cover system.
    a. The owner or operator shall install a final cover system  that is designed to achieve the performance requirements of this section. 
    b. Owners or operators of CDD landfill units used for the  disposal of wastes consisting only of stumps, wood, brush, and leaves from  landclearing operations may apply two feet of compacted soil as final cover  material in lieu of the final cover system specified in this section. The  provisions of this section shall not be applicable to any landfill with respect  to which the director has made a finding that continued operation of the  landfill constitutes a threat to the public health or the environment. 
    c. The final cover system shall be designed and constructed  to: 
    (1) Minimize infiltration through the closed disposal unit by  the use of an infiltration layer that is constructed of at least 18 inches of  earthen material; and which has a hydraulic conductivity less than or equal to  the hydraulic conductivity of any bottom liner system or natural subsoils  present, or a hydraulic conductivity no greater than 1x10-5 cm/sec,  whichever is less; and 
    (2) Minimize erosion of the final cover by the use of an  erosion layer that contains a minimum of six inches of earthen material that is  capable of sustaining native plant growth, and provide for protection of the  infiltration layer from the effects of erosion, frost, and wind. 
    d. The owner or operator of a sanitary landfill may choose to  use this alternate final cover system, which shall consist of at least the  following components:
    (1) An 18-inch soil infiltration layer with a hydraulic  conductivity no greater than 1x10-5 cm/sec or a geosynthetic clay  liner installed over the intermediate cover;
    (2) A barrier layer consisting of a geosynthetic membrane  having a minimum thickness of 40-mils;
    (3) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (4) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    e. The owner or operator of a CDD or industrial landfill may  choose to use this alternate final cover system, which shall consist of at  least the following components: 
    (1) A barrier layer consisting of a geosynthetic clay liner or  a geosynthetic membrane having a minimum thickness of 40 mils;
    (2) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (3) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    f. The director may approve an alternate final cover design  that includes: 
    (1) An infiltration layer that achieves an equivalent  reduction in infiltration as the infiltration layer specified in subdivision 2  c (1) of this subsection; and 
    (2) A minimum 24-inch erosion layer that is capable of  sustaining native plant growth and provide for protection of the infiltration  layer from the effects of erosion, frost, and wind.
    3. Finished side slopes shall be stable and be configured to  adequately control erosion and runoff. Slopes of 33% will be allowed provided  that adequate runoff controls are established. Steeper slopes may be considered  if supported by necessary stability calculations and appropriate erosion and  runoff control features. All finished slopes and runoff management facilities  shall be supported by necessary calculations and included in the design manual.  To prevent ponding of water, the top slope shall be at least 2.0% after  allowance for settlement. 
    4. Following construction of the final cover system for each  unit, the owner or operator shall submit to the department a certification,  signed by a professional engineer verifying that closure has been completed in  accordance with the closure plan requirements of this part. This certification  shall include the results of the CQA/QC requirements under 9VAC20-81-130 Q 1 b  (6). 
    5. Following the closure of all units the owner or operator  shall: 
    a. Post one sign at the entrance of the landfill notifying all  persons of the closing, and the prohibition against further receipt of waste  materials. Further, suitable barriers shall be installed at former accesses to  prevent new waste from being deposited.
    b. Within 90 days after closure is completed, submit to the  local land recording authority a survey plat prepared by a professional land  surveyor registered by the Commonwealth or a person qualified in accordance  with Title 54.1 of the Code of Virginia indicating the location and dimensions  of landfills. Groundwater monitoring well and landfill gas monitoring  probe locations shall be included and identified by the number on the survey  plat. The plat filed with the local land recording authority shall contain a  note, prominently displayed, which states the owner's or operator's future  obligation to restrict disturbance of the site as specified.
    c. Record a notation on the deed to the landfill property, or  on some other instrument which is normally examined during title searches,  notifying any potential purchaser of the property that the land has been used  to manage solid waste and its use is restricted under 9VAC20-81-170 A 2 c. A  copy of the deed notation as recorded shall be submitted to the department. 
    d. Submit to the department a certification, signed by a  professional engineer, verifying that closure has been completed in accordance  with the requirements of subdivisions 5 a, b, and c of this subsection and the  landfill closure plan. 
    6. The department shall inspect all solid waste management  facilities at the time of closure to confirm that the closing is complete and  adequate. It shall notify the owner or operator of a closed landfill, in  writing, if the closure is satisfactory, and shall require any construction or  such other steps necessary to bring unsatisfactory sites into compliance with  these regulations. Notification by the department that the closure is  satisfactory does not relieve the owner or operator of responsibility for  corrective action to prevent or abate problems caused by the landfill. 
    9VAC20-81-250. Groundwater monitoring program.
    A. General requirements. 
    1. Applicability. 
    a. Existing landfills. Owners or operators of all existing  landfills shall be in compliance with the groundwater monitoring requirements  specified in this section, except as provided for in subdivision 1 c of this  subsection. Owners or operators of landfills that were permitted prior to  December 21, 1988, but were closed in accordance with the requirements of their  permit or existing regulation prior to December 21, 1988, are not required to  be in compliance with the groundwater monitoring requirements specified in this  section, unless conditions are recognized that classify the landfill as an Open  Dump as defined under 9VAC20-81-45. 
    b. New landfills. Owners or operators of new facilities shall  be in compliance with the groundwater monitoring requirements specified in this  section before waste can be placed in the landfill except as provided for in  subdivision 1 c of this subsection.
    c. No migration potential exemption. Groundwater monitoring  requirements under this section may be suspended by the director if the owner  or operator can demonstrate that there is no potential for migration of any  Table 3.1 constituents to the uppermost aquifer during the active life and the  postclosure care period of the landfill. This demonstration shall be certified  by a qualified groundwater scientist and shall be based upon: 
    (1) Site-specific field collected measurements including  sampling and analysis of physical, chemical, and biological processes affecting  contaminant fate and transport; and 
    (2) Contaminant fate and transport predictions that maximize  contaminant migration and consider impacts on human health and the environment.  
    2. General requirements. 
    a. Purpose. Owners or operators shall install, operate, and  maintain a groundwater monitoring system that is capable of determining the  landfill's impact on the quality of groundwater in the uppermost aquifer at the  disposal unit boundary during the active life and postclosure care period of  the landfill. 
    b. Program requirements. The groundwater monitoring program  shall meet the requirements of subdivision 3 of this subsection and comply with  all other applicable requirements of this section. 
    c. Director authority. The groundwater monitoring and  reporting requirements set forth here are minimum requirements. The director  may require, by amending modifying the permit as allowed under  9VAC20-81-600 E, any owner or operator to install, operate, and maintain a  groundwater monitoring system and conduct a monitoring program that contains  requirements more stringent than this chapter imposes whenever it is determined  that such requirements are necessary to protect human health and the  environment. 
    3. Groundwater monitoring system. 
    a. System requirements. A groundwater monitoring system shall  be installed consisting of a sufficient number of monitoring wells, at  appropriate locations and depths, capable of yielding sufficient quantities of  groundwater for sampling and analysis purposes from the uppermost aquifer that:  
    (1) Represent the quality of background groundwater that has  not been affected by a release from the landfill; and 
    (2) Represent the quality of groundwater at the disposal unit  boundary. The downgradient monitoring system shall be installed at the disposal  unit boundary in a manner that ensures detection of groundwater contamination  in the uppermost aquifer unless a variance has been granted by the director  under 9VAC20-81-740. 
    (3) When physical obstacles preclude installation of  groundwater monitoring wells at the disposal unit boundary, the downgradient  monitoring wells may be installed at the closest practicable distance  hydraulically downgradient from the boundary in locations that ensure detection  of groundwater contamination in the uppermost aquifer. 
    b. Multiunit systems. The director may approve a groundwater  monitoring system that covers multiple waste disposal units instead of  requiring separate groundwater monitoring systems for each unit when the  landfill has several units, provided the multiunit groundwater monitoring  system meets the requirement of subdivision 3 of this subsection and can be  demonstrated to be equally protective of human health and the environment as  individual monitoring systems. The system for each waste disposal unit would be  based on the following factors: 
    (1) Number, spacing, and orientation of the waste disposal  units; 
    (2) Hydrogeologic setting; 
    (3) Site history; 
    (4) Engineering design of the waste disposal units; and 
    (5) Type of waste accepted at the waste disposal units. 
    c. Well construction. All monitoring wells shall be of a size  adequate for sampling and shall be cased and grouted in a manner that maintains  the integrity of the monitoring well bore hole. This casing shall be screened  or perforated, and packed with gravel or sand where necessary, to enable sample  collection at depths where appropriate aquifer flow zones exist. The annular  space above the sampling depth shall be sealed with a suitable material to  prevent contamination of samples and the groundwater. 
    d. Boring logs. A log shall be made of each newly installed  monitoring well describing the soils or rock encountered, and the hydraulic  conductivity of the geologic units (formations) encountered. A copy of the  final log(s) with appropriate maps, including at a minimum a site plan showing  the location of all monitoring wells, the total depth of monitoring well, the  location of the screened interval, the top and bottom of sand or gravel pack,  and the top and bottom of the seal shall be sent to the department with the  certification required under subdivision 3 g of this subsection. 
    e. Well maintenance. The monitoring wells, piezometers, and  other groundwater measurement, sampling, and analytical devices shall be  operated and maintained in a manner that allows them to perform to design  specifications throughout the duration of the groundwater monitoring program.  Nonfunctioning monitoring wells must be replaced or repaired upon recognition  of damage or nonperformance. Well repair or replacement shall be coordinated  with the department for approval prior to initiating the action. 
    f. Network specifics. The network shall include at least  one upgradient monitoring well and at least three downgradient monitoring  wells. The number, spacing, and depths of monitoring wells included in a  landfill's network shall be determined based on: 
    (1) Site-specific technical information that shall include  thorough characterization by the owner or operator of: 
    (a) The thickness of any unsaturated geologic units or fill  materials that may overlay the uppermost aquifer; 
    (b) The thickness and description of materials comprising the  uppermost aquifer;
    (c) Materials comprising the confining unit defining the lower  boundary of the uppermost aquifer, including, but not limited to, thicknesses,  stratigraphy, lithology, hydraulic conductivities, porosities, and effective  porosities; and
    (d) the calculated groundwater flow rate and direction within  the uppermost aquifer including any seasonal and temporal fluctuations in  groundwater flow. 
    (2) At least one upgradient and at least three downgradient  monitoring wells. 
    (3) A The lateral spacing between downgradient  monitoring wells based on site-specific information supplied under subdivision  3 f (1) of this subsection. 
    g. Monitoring well certification. The groundwater monitoring  well(s) shall, within 30 days of well(s) installation, be certified by a  qualified groundwater scientist noting that all wells have been installed in  accordance with the documentation submitted under subdivision 3 d of this  subsection. Within 14 days of completing this certification, the owner or  operator shall transmit the certification to the department. 
    4. The groundwater sampling and analysis requirements for the  groundwater monitoring system are as follows: 
    a. Quality assurance and control. The groundwater monitoring  program shall include consistent field sampling and laboratory analysis  procedures that are designed to ensure monitoring results that provide an  accurate representation of the groundwater quality at the background and  downgradient wells. At a minimum the program shall include procedures and  techniques for: 
    (1) Sample collection; 
    (2) Sample preservation and shipment; 
    (3) Analytical procedures; 
    (4) Chain of custody control; and 
    (5) Quality assurance and quality control. 
    b. Analytical methods. The groundwater monitoring program  shall include sampling and analytical methods that are appropriate for  groundwater sampling and that accurately measure solid waste constituents in  groundwater samples. Groundwater samples obtained pursuant to 9VAC20-81-250 B  or C shall not be filtered prior to laboratory analysis. The sampling, analysis  and quality control/quality assurance methods set forth in EPA document SW-846,  as amended, shall be used. The department may require re-sampling if it  believes the samples were not properly sampled or analyzed. 
    c. Groundwater rate and flow. Groundwater elevations at each  monitoring well shall be determined immediately prior to purging each time a  sample is obtained. The owner or operator shall determine the rate and  direction of groundwater flow each time groundwater is sampled pursuant to  subsection B or C of this section or 9VAC20-81-260. Groundwater  elevations in wells that monitor the same waste management area disposal  unit or units shall be measured within a period of time short enough to  avoid temporal variations in groundwater flow, which could preclude  accurate determination of groundwater flow rate and direction. 
    d. Background data. The owner or operator shall establish  background groundwater quality in a hydraulically upgradient or background  well, or wells, for each of the monitoring parameters or constituents required  in the particular groundwater monitoring program that applies to the landfill.  Background groundwater quality may be established at wells that are not located  hydraulically upgradient from the landfill if they meet the requirements of  subdivision 4 e of this subsection. 
    e. Alternate well provision. A determination of background  quality may be based on sampling of wells that are not upgradient from the  waste management area disposal unit or units where: 
    (1) Hydrogeologic conditions do not allow the owner or  operator to determine what wells are upgradient; and 
    (2) Sampling at these wells will provide an indication of  background groundwater quality that is as representative or more representative  than that provided by the upgradient wells. 
    f. Sampling and statistics. The number of samples collected to  establish groundwater quality data shall be consistent with the appropriate  statistical procedures determined pursuant to subdivision 4 g of this  subsection. 
    g. Statistical methods. The owner or operator shall specify in  the Groundwater Monitoring Plan the statistical method(s) listed in subsection  D of this section that will be used in evaluating groundwater monitoring data  for each monitoring constituent. The statistical test(s) chosen shall be  applied separately for each groundwater constituent in each well after each  individual sampling event required under subdivision B 2 or 3, C 2 or 3, or as  required under 9VAC20-81-260 E 1.
    h. Evaluation and response. After each sampling event required  under subsection B or C of this section, the owner or operator shall determine  whether or not there is a statistically significant increase over background  values for each groundwater constituent required in the particular groundwater  monitoring program by comparing the groundwater quality of each constituent at  each monitoring well installed pursuant to subdivision 3 a of this subsection  to the background value of that constituent. In determining whether a  statistically significant increase has occurred, the owner or operator shall:
    (1) Ensure the sampling result comparisons are made according  to the statistical procedures and performance standards specified in subsection  D of this section; 
    (2) Ensure that within 30 days of completion of sampling and  laboratory analysis actions, the determination of whether there has been a  statistically significant increase over background at each monitoring well has  been completed; and
    (3) If identified, the statistically significant increase  shall be reported to the department within the notification timeframes  identified in subsection B or C of this section and discussed in the quarterly  or semi-annual report submission described under subdivision E 2 c of this  section. Notifications qualified as being "preliminary,"  "suspect," "unverified," or otherwise not a final  determination of a statistical exceedance will not be accepted. 
    i. Verification sampling. The owner or operator may at any  time within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this section, obtain verification  samples if the initial review of analytical data suggests results that might  not be an accurate reflection of groundwater quality at the disposal unit  boundary. Undertaking verification sampling is a voluntary action on the part  of the owner or operator and shall not alter the timeframes associated with  determining or reporting a statistically significant increase as otherwise  defined under subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    j. Data validation. The owner or operator may at any time  within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this subsection, undertake third-party  data validation of the analytical data received from the laboratory.  Undertaking such validation efforts is a voluntary action on the part of the  owner or operator and shall not alter the timeframes associated with determining  or reporting a statistically significant increase as otherwise defined under  subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    5. Alternate source demonstration allowance. 
    a. Allowance. As a result of any statistically significant  increase identified while monitoring groundwater under subdivision B 2 or 3, or  C 2 or 3 of this section, or at anytime within the Corrective Action process  under 9VAC20-81-260, the owner or operator has the option of submitting an  Alternate Source Demonstration report, certified by a qualified groundwater  scientist, demonstrating:
    (1) A source other than the landfill caused the statistical  exceedance; 
    (2) The exceedance resulted from error in sampling, analysis,  or evaluation; or
    (3) The exceedance resulted from a natural variation in  groundwater quality. 
    b. Timeframes. A successful demonstration must be made within  90 days of noting a statistically significant increase. The director may  approve a longer timeframe for submittal and approval of the Alternate Source  Demonstration with appropriate justification. 
    c. Evaluation and response. Based on the information submitted  in accordance with subdivision 5 a of this subsection, the director will: 
    (1) In the case of the successful demonstration of an error in  sampling, analysis, or evaluation, allow the owner or operator to continue  monitoring groundwater in accordance with the monitoring program in place at  the time of the statistical exceedance. 
    (2) In the case of a successful demonstration of an alternate  source for the release or natural variability in the aquifer matrix:
    (a) Require changes in the groundwater monitoring system as  needed to accurately reflect the groundwater conditions and allow the owner or  operator to continue monitoring groundwater in accordance with the monitoring  program in place at the time of the statistical exceedance; 
    (b) Require any changes to the monitoring system be completed  prior to the next regularly scheduled groundwater monitoring event or within 90  days (whichever is greater); and
    (c) Require any changes to the monitoring system be approved  via the amendment modification process under 9VAC20-81-600 within  90 days of the approval of the alternate source demonstration. 
    (3) In the case of an unsuccessful Alternate Source Demonstration,  require the owner or operator to initiate the actions that would otherwise be  required as a result of the statistically significant increase noted under  subdivision B 2 or 3, or C 2 or 3 of this section as appropriate. 
    6. Establishment of groundwater protection standards. 
    a. Requirement. Upon recognition of a statistically  significant increase over background and while monitoring in the Assessment or  Phase II monitoring programs defined under subdivision B 3 or C 3 of this  section, the owner or operator shall propose a groundwater protection standard  for all detected Table 3.1 Column B constituents. The proposed standards shall  be submitted to the department by a qualified groundwater scientist and be  accompanied by relevant historical groundwater sampling data to justify the  proposed concentration levels. 
    b. Establishment process. The groundwater protection standards  shall be established in the following manner: 
    (1) For constituents for which a maximum contaminant level  (MCL) has been promulgated under § 1412 of the Safe Drinking Water Act (40 CFR  Part 141), the MCL for that constituent shall be automatically established as  the groundwater protection standard upon submission of the proposed standards. 
    (2) If the owner or operator determines that a site-specific  background concentration is greater than the MCL associated with that  constituent under subdivision 6 b (1) of this subsection, the background value  may be substituted for use as the groundwater protection standard in lieu of  the MCL for that constituent upon receiving written department approval. 
    (3) For constituents for which no MCL has been promulgated,  site-specific background concentration value(s) may be used upon receiving  written department approval. 
    (4) For constituents for which no MCL has been promulgated, a  risk-based alternate concentration levels may be used if approved by the  director as long as: 
    (a) The owner or operator submits a request to the department  asking for approval to use risk-based alternate concentration levels for a  specific list of constituents and identifies that these constituents lack an  MCL. In the request the owner or operator shall specify whether site-specific,  independently calculated, risk-based alternate concentration levels will be  applied, or if the facility will accept the default department-provided limits.  
    (b) Both the The alternate concentration levels  that may be provided as default values by the department and those  independently calculated by the owner or operator are demonstrated to meet the  following criteria or factors before they can be used as groundwater protection  standards: 
    (i) Groundwater quality - The potential for adverse quality  effects considering the physical and chemical characteristics of the waste in  the landfill, its potential for migration in the aquifer; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the proximity and withdrawal rates of groundwater users; the  current and future uses of groundwater in the area; the existing quality of  groundwater, including other sources of contamination and their cumulative  impact on the groundwater quality. 
    (ii) Human exposure - Potential for health risks caused by  exposure to waste constituents released from the landfill using federal  guidelines for assessing the health risks of environmental pollutants;  scientifically valid studies conducted in accordance with the Toxic Substances  Control Act Good Laboratory Practice Standards (40 CFR Part 792); or equivalent  standards. For carcinogens, the alternate concentration levels must be set  based on a lifetime cancer risk level due to continuous lifetime exposure  within the 1x10-4 to 1x10-6 range. For systemic  toxicants, alternate concentration levels must be demonstrated to be levels to  which the human population (including sensitive subgroups) could be exposed to  on a daily basis without the likelihood of appreciable risk of deleterious  effects during a lifetime.
    (iii) Surface water - The potential adverse effect on  hydraulically connected surface water quality based on the volume, physical and  chemical characteristics of the waste in the landfill; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the patterns of rainfall in the region; the proximity of the  landfill to surface waters; the current and future uses of surface waters in  the area and any water quality standards established for those surface waters;  the existing quality of surface water, including other sources of contamination  and the cumulative impact on surface water quality. 
    (iv) Other adverse effects - Potential damage to wildlife,  crops, vegetation, and physical structures caused by exposure to waste  constituents; the persistence and permanence of the potential adverse effects;  and the potential for health risks caused by human exposure to waste  constituents using factors shown in subdivision b (4) (b) (ii) of this  subsection. 
    (5) In making any determination regarding the use of alternate  concentration levels under this section, the director will:
    (a) Consider any identification of underground sources of  drinking water as identified by EPA under 40 CFR 144.7,
    (b) Consider additional or modified monitoring requirements or  control measures, 
    (c) Include a schedule for the periodic review of the  alternate concentration levels, or
    (d) Approve the alternate concentration levels as proposed or  issue modified alternate concentration levels.
    c. Implementation. Groundwater protection standards shall be  considered established for the facility upon completion of the actions  described under either subdivision A 6 b (1), (2), (3) or if necessary (4) and  shall be placed in the facility Operating Record and shall be used during  subsequent comparisons of groundwater sampling data consistent with the  requirements of subdivision B 3 f or C 3 e of this section. 
    d. MCL and background revisions. After establishment of  groundwater protection standards under subdivision B 6 b, if the standards are  modified as a result of revisions to any MCL or department-approved background,  the facility shall update its listing of groundwater protection standards and  shall place the new list in the Operating Record and shall use the new values  during subsequent comparisons of sampling data consistent with the requirements  of subdivision B 3 f or C 3 e of this section. 
    e. Alternate concentration levels revisions. After  establishment of groundwater protection standards under subdivision B 6 b of  this section, if the department-approved alternate concentration levels change  based on information released by EPA, to the extent practical, the department  will issue revisions to the alternate concentration levels for facility use no  more often than an annual basis. The facility shall use the alternate  concentration levels listing in effect at the time the sampling event takes  place when comparing the results against the groundwater protection standards  under subdivision B 3 f or C 3 e of this section. 
    B. Monitoring for sanitary landfills. 
    1. Applicability. 
    a. Existing facilities. Except for those sanitary landfills  identified in subdivision C 1 of this section, existing sanitary landfill  facilities and closed facilities that have accepted waste on or after October  9, 1993, and in the case of 'small' landfills on or after April 9, 1994, shall  be in compliance with the detection monitoring requirements specified in  subdivision 2 of this subsection unless existing sampling data requires a move  to assessment monitoring described under subdivision 3 of this subsection. 
    b. New facilities. Facilities placed in operation to receive  waste after October 9, 1993, shall be in compliance with the detection  monitoring requirements specified in subdivision 2 of this section before waste  can be placed in the landfill unless existing sampling data requires a move to  assessment monitoring described under subdivision 3 of this subsection. 
    c. Closed facilities. Unless an extension to the deadline  above has been granted by the director, closed facilities that have ceased to  accept any waste on or before October 9, 1993, and in the case of a  "small" landfill, before April 9, 1994, may comply with the  "State Monitoring Program" monitoring requirements specified in  subdivision C 2 or 3 of this section. 
    d. Other facilities. Owners or operators of disposal  facilities not subject to the federal groundwater monitoring requirements  prescribed under 40 CFR Parts 257 and 258 must perform the groundwater  monitoring described in subdivision C 2 or 3 of this section. 
    e. Proximity to wetlands. Owners or operators of sanitary  landfills that accepted waste after June 30, 1999, must:
    (1) Perform quarterly groundwater monitoring unless the  director determines that less frequent monitoring is necessary consistent with  the requirements of the special provisions regarding wetlands in  § 10.1-1408.5 of the Code of Virginia.
    (2) The quarterly monitoring frequency shall remain in effect  until the department is notified waste is no longer being accepted at the  sanitary landfill. 
    (3) This requirement will not limit the authority of the Waste  Management Board or the director to require more frequent groundwater  monitoring if required to protect human health and the environment. 
    (4) For purposes of this subdivision "proximity to  wetlands" shall be defined as landfills that were constructed on a  wetland, have a potential hydrologic connection to such a wetland in the event  of an escape of liquids from the facility, or are within a mile of such a  wetland.
    2. Detection monitoring program.
    a. Sampling requirements. All sanitary landfills shall  implement detection monitoring except as otherwise provided in subdivision 1 of  this subsection. The monitoring frequency for all constituents listed in Table  3.1 Column A shall be as follows: 
    (1) Initial sampling period. 
    (a) For facilities that monitor groundwater on a semi-annual  basis, a minimum of four independent samples from each well (background and  downgradient) shall be collected and analyzed for the Table 3.1 Column A  constituents during the first semi-annual sampling period. A semi-annual period  is defined under 9VAC20-81-10. 
    (b) For facilities that monitor groundwater on a quarterly  basis as a result of subdivision 1 e of this subsection, a minimum of four  samples from each well (background and downgradient) shall be collected and  analyzed for the Table 3.1 Column A constituents. The samples shall be  collected within the first quarterly period, using a schedule that ensures, to  the greatest extent possible, an accurate calculation of background concentrations.  
    (2) Subsequent sampling events. At least one sample from each  well (background and downgradient) shall be collected and analyzed during  subsequent semi-annual or quarterly events during the active life and  postclosure period. Data from subsequent background sampling events may be  added to the previously calculated background data so that the facility  maintains the most accurate representation of background groundwater quality  with which to carry out statistical analysis required under subdivision A 4 h  of this section. 
    (3) Alternate sampling events. The director may specify an  appropriate alternate frequency for repeated sampling and analysis during the  active life (including closure) and the postclosure care period. The alternate  frequency during the active life (including closure) and the postclosure period  shall be no less than annual. The alternate frequency shall be based on  consideration of the following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); and 
    (e) Resource value of the aquifer. 
    b. Evaluation and response. If the owner or operator  determines under subdivision A 4 h of this section, that there is:
    (1) A statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this section,  for one or more of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event, the owner or operator shall: 
    (a) Within 14 days of this finding, notify the department of  this fact, indicating which constituents have shown statistically significant  increases over background levels; and 
    (b) Within 90 days, (i) establish an assessment monitoring  program meeting the requirements of subdivision 3 of this subsection, or (ii)  submit an Alternate Source Demonstration as specified in subdivision A 5 of  this section. If, after 90 days, a successful demonstration has not been made,  the owner or operator shall initiate an assessment monitoring program as  otherwise required in subdivision 3 of this subsection. The 90-day Alternate  Source Demonstration period may be extended by the director for good cause. 
    (2) No statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this  section, for any of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event; the owner or operator may remain in detection monitoring and  include a discussion of the sampling results and statistical analysis in the  semi-annual or quarterly report required under subdivision E 2 c of this  section. 
    3. Assessment monitoring program. The owner or operator shall  implement the assessment monitoring program whenever a statistically  significant increase over background has been detected during monitoring  conducted under the detection monitoring program.
    a. Sampling requirements. Within 90 days of recognizing a  statistically significant increase over background for one or more of the  constituents listed in Table 3.1 Column A, the owner or operator shall, unless  in receipt of an approval to an Alternate Source Demonstration under  subdivision A 5 of this section or a director-approved extension, conduct the initial  assessment monitoring sampling event for the constituents found in Table 3.1  Column B. A minimum of one sample from each well installed under subdivision A  3 a of this section shall be collected and analyzed during the initial and all  subsequent annual Table 3.1 Column B sampling events.
    b. Director provisions: 
    (1) The owner or operator may request that the director  approve an appropriate subset of monitoring wells that may remain in detection  monitoring defined under subdivision 2 of this subsection, based on the results  of the initial, or subsequent annual Table 3.1 Column B sampling events.  Monitoring wells may be considered for the subset if:
    (a) They show no detections of Table 3.1 Column B constituents  other than those already previously detected in detection monitoring defined  under subdivision 2 of this subsection; and 
    (b) They display no statistically significant increases over  background for any constituents on the Table 3.1 Column A list. If an increase  is subsequently recognized in a well approved for the subset, the well shall no  longer be considered part of the detection monitoring subset. 
    (2) The owner or operator may request the director delete any  of the Table 3.1 Column B monitoring constituents from the assessment  monitoring program if the owner or operator demonstrates that the deleted  constituents are not reasonably expected to be in or derived from the waste. 
    (3) The director may specify an appropriate alternate  frequency for repeated sampling and analysis for the full set of Table 3.1  Column B constituents required by subdivision 3 a of this subsection during the  active life and postclosure care period based on the consideration of the  following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); 
    (e) Resource value of the aquifer; and 
    (f) Nature (fate and transport) of any constituents detected  in response to subdivision 3 f of this subsection. 
    c. Development of background. After obtaining the results from  the initial or subsequent annual sampling events required in subdivision 3 a of  this subsection, the owner or operator shall: 
    (1) Within 14 days, notify the department identifying the  Table 3.1 Column B constituents that have been detected; 
    (2) Within 90 days, and on at least a semi-annual basis  thereafter, resample all wells installed under subdivision A 3 a of this  section, conduct analyses for all constituents in Table 3.1 Column A as well as  those constituents in Column B that are detected in response to subdivision 3 a  of this subsection and subsequent Table 3.1 Column B sampling events as may be  required of this section, and report this data in the semi-annual or quarterly  report defined under subdivision E 2 c of this section;
    (3) Within 180 days of the initial sampling event, establish  background concentrations for any Table 3.1 Column B constituents detected  pursuant to subdivision B 3 a of this subsection. A minimum of four independent  samples from each well (background and downgradient) shall be collected and  analyzed to establish background for the detected constituents. 
    d. Establishment of groundwater protection standards. Within  30 days of establishing background under subdivision 3 c (3) of this  subsection, submit proposed groundwater protection standards for all  constituents detected under Assessment monitoring. The groundwater protection  standards shall be approved by the director in accordance with the provisions  of subdivision A 6 of this section. 
    e. Groundwater monitoring plan. No later than 60 days after  approval of the groundwater protection standard standards in  accordance with subdivision A 6 of this section, the owner or operator shall  submit an updated Groundwater Monitoring Plan that details the site monitoring  well network and sampling and analysis procedures undertaken during groundwater  monitoring events. The owner or operator shall additionally: 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, request a permit amendment modification  to incorporate the plan and related groundwater monitoring modules into the  landfill's permit in accordance with 9VAC20-81-600. The department may waive  the requirement for a permit amendment modification if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (2) If the 30-day timeframe specified in subdivision 3 e (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    f. Evaluation and response. 
    (1) If the concentrations of all Table 3.1 Column B constituents  are shown to be at or below background values, using the statistical procedures  in subsection D of this section, for two consecutive Table 3.1 Column B  sampling events, the owner or operator shall notify the director of this  finding in the semi-annual or quarterly monitoring report and may return to  detection monitoring defined under subdivision 2 of this subsection. 
    (2) If the concentrations of any Table 3.1 Column B  constituents are found to be above background values, but below the groundwater  protection standards established under subdivision A 6 of this section using  the statistical procedures in subsection D of this section, the owner or  operator shall continue in assessment monitoring in accordance with this  section and present the findings to the department in the semi-annual or  quarterly report. 
    (3) If one or more Table 3.1 Column B constituents are  detected at statistically significant levels above the groundwater protection  standard established under subdivision A 6 of this section using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Within 14 days of this finding, notify the department  identifying the Table 3.1 Column B constituents that have exceeded the  groundwater protection standard. The notification will include a statement that  within 90 days the owner or operator will either: 
    (i) Undertake characterization and assessment actions required  under 9VAC20-81-260 C 1; or 
    (ii) Submit an Alternate Source Demonstration as specified in  subdivision A 5 of this section. If a successful demonstration is made within  90 days, the owner or operator may continue monitoring in accordance with the  assessment monitoring program pursuant to subdivision 3 of this subsection. If  the 90-day period passes without demonstration approval, the owner or operator  shall comply with the actions under 9VAC20-81-260 C within the timeframes  specified unless the director has granted an extension to those timeframes. 
    (b) Describe the results in the semi-annual or quarterly report.  
    C. Monitoring for CDD, industrial, and State Monitoring  Program sanitary landfills. 
    1. Applicability. 
    a. Sanitary landfills. Owners or operators of sanitary  disposal facilities that have ceased to accept solid waste prior to the  federally imposed deadline of October 9, 1993, and or in the case  of a "small landfill" before April 9, 1994, are eligible, with the  director's approval, to conduct the state groundwater monitoring program  described in this section in lieu of the groundwater monitoring program  required under subdivision B 2 or 3 of this section. 
    b. CDD and industrial landfills. Owners or operators of CDD  and industrial landfills not subject to the federal groundwater monitoring  requirements prescribed under 40 CFR Parts 257 and 258 will shall  perform the groundwater monitoring described in this section. 
    c. Other landfills. All other landfills excluding sanitary  landfills, including those that accepted hazardous waste from conditionally  exempt small quantity generators after July 1, 1998, will shall  perform the groundwater monitoring described in this section. 
    2. First determination monitoring program. 
    a. Sampling requirements. A first determination monitoring  program shall consist of a background-establishing period followed by  semi-annual sampling and analysis for the constituents shown in Table 3.1  Column A at all wells installed under subdivision A 3 a of this section. Within  14 days of each event during first determination monitoring, notify the  department identifying the Table 3.1 Column A constituents that have been  detected. 
    b. Development of background. Within 360 days of the initial  first determination sampling event: 
    (1) Establish background concentrations for any constituents  detected pursuant to subdivision 2 a of this subsection. 
    (a) A minimum of four independent samples from each well  (background and downgradient) shall be collected and analyzed to establish  background concentrations for the detected constituents using the procedures in  subsection D of this section. 
    (b) In those cases where new wells are installed downgradient  of waste disposal units that already have received waste, but these wells have  not yet undergone their initial sampling event, collection of four independent  samples for background development will not be required. 
    (2) Within 30 days of completing the background calculations  required under subdivision 2 b (1) (a) of this subsection, submit a first  determination report, signed by a qualified groundwater scientist, to the  department which must include a summary of the background concentration data  developed during the background sampling efforts as well as the statistical  calculations for each constituent detected in the groundwater during the  background sampling events. 
    c. Semi-annual sampling and analysis. Within 90 days of the  last sampling event during the background-establishing period and at least  semi-annually thereafter, sample each monitoring well in the compliance network  for analysis of the constituents in Table 3.1 Column A. 
    d. Evaluation and response. Upon determination of site  background under subdivision 2 b (1) (a) of this subsection, the results of all  subsequent first determination monitoring events shall be assessed as follows: 
    (1) If no Table 3.1 Column A constituents are found to have entered  the groundwater at statistically significant levels over background, the owner  or operator shall:
    (a) Remain in first determination monitoring; and 
    (b) May request the director delete any Table 3.1 Column A  constituents from the semi-annual sampling list if the owner or operator  demonstrates that the proposed deleted constituents are not reasonably expected  to be in or derived from the waste. 
    (2) If the owner or operator recognizes a statistically  significant increase over background for any Table 3.1 Column A constituent,  within 14 days of this finding, the owner or operator shall notify the  department identifying the Table 3.1 Column A constituents that have exceeded  background levels. The notification will include a statement that within 90 days  the owner or operator will shall:
    (a) Initiate a Phase II sampling program; or 
    (b) Submit an Alternate Source Demonstration under subdivision  A 5 of this section. 
    (3) If a successful demonstration is made and approved within  the timeframes established under subdivision A 5 of this section, the owner or  operator may remain in First Determination monitoring. 
    (4) If a successful demonstration is not made and approved  within the timeframes established under subdivision A 5 of this section, the  owner or operator shall initiate Phase II monitoring in accordance with the  timeframes in subdivision C 3 of this section. The director may approve a  longer timeframe with appropriate justification. 
    3. Phase II monitoring. 
    a. Sampling requirements. The owner or operator shall:
    (1) Within 90 days of noting the exceedance over background  determined under subdivision C 2 d of this section, sample the groundwater in  all monitoring wells installed under subdivision A 3 a of this section for all  Table 3.1 Column B constituents; 
    (2) After completing the initial Phase II sampling event,  continue to sample and analyze groundwater on a semi-annual basis within the  Phase II monitoring program; 
    b. Background development. If no additional Table 3.1 Column B  constituents are detected other than those previously detected under Column A,  which already have established their background levels, the owner or operator  shall follow the requirements under subdivision 3 c of this subsection  regarding groundwater protection standard establishment while continuing to  sample for the Table 3.1 Column A list on a semi-annual basis. If one or more  additional Table 3.1 Column B constituents are detected during the initial  Phase II sampling event:
    (1) Within 360 days, establish a background value for each  additional detected Table 3.1 Column B constituent. 
    (2) Submit a Phase II Background report within 30 days of  completing the background calculations including a summary of the background  concentration data for each constituent detected in the groundwater during the  Table 3.1 Column B background sampling events.
    (3) If any detected Table 3.1 Column B constituent is  subsequently not detected for a period of two years, the owner or operator may  petition the director to delete the constituent from the list of detected Table  3.1 Column B constituents that must be sampled semi-annually. 
    c. Establishment of groundwater protection standards. No later  than:
    (1) Thirty days after submitting the Phase II Background  report required under the provisions of subdivision 3 b (2) of this subsection,  or within 30 days of obtaining the results from the initial Table 3.1 Column B  sampling event indicating no further sampling for background determination is  necessary, the owner or operator shall propose a groundwater protection  standard for all detected Table 3.1 constituents. 
    (2) The groundwater protection standard proposed shall be  established in a manner consistent with the provisions in subdivision A 6 of  this section. 
    d. Groundwater monitoring plan. No later than 60 days after  establishment of groundwater protection standards in accordance with  subdivision A 6 of this section, the owner or operator shall submit an updated  Groundwater Monitoring Plan that details the site monitoring well network and  sampling and analysis procedures undertaken during groundwater monitoring  events. The department may waive the requirement for an updated plan if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, the owner or operator shall request a permit amendment  modification to incorporate the updated plan and related groundwater  monitoring modules into the landfill's permit in accordance with 9VAC20-81-600.  
    (2) If the 30-day timeframe specified in subdivision 3 d (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    e. Evaluation and response. After each subsequent Phase II  monitoring event following establishment of groundwater protection standards,  the concentration of Table 3.1 Column B constituents found in the groundwater  at each monitoring well installed pursuant to subdivision A 3 a of this section  will be evaluated against the groundwater protection standards. The evaluation  will be presented to the department in a semi-annual Phase II report. The  evaluation will be as follows: 
    (1) If all Table 3.1 constituents are shown to be at or below  background values, using the statistical procedures in subsection D of this  section, for two consecutive Table 3.1 Column B sampling events, the owner or  operator shall notify the director of this finding in the semi-annual report  and may return to first determination monitoring; 
    (2) If any Table 3.1 Column B constituents are found to be  above background values, but are below the established groundwater protection  standard using the statistical procedures in subsection D of this section, the  owner or operator shall continue semi-annual Phase II monitoring and present  the findings in a semi-annual report; 
    (3) If one or more Table 3.1 Column B constituents are above  the established groundwater protection standard using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Notify the department within 14 days of this finding. The  notification will include a statement that within 90 days the owner or operator  will either: (i) undertake the characterization and assessment actions required  under 9VAC20-81-260 C 1; or (ii) submit an alternate source demonstration as  specified in subdivision A 5 of this section. If a successful demonstration is  made within 90 days, the owner or operator may continue monitoring in  accordance with Phase II monitoring program. If the 90-day period is exceeded,  the owner or operator shall comply with the timeframes of 9VAC20-81-260 C  unless the director has granted an extension to those timeframes; and
    (b) Present the findings in the semi-annual report. 
    D. Statistical methods and constituent lists. 
    1. Acceptable test methods. The following statistical test  methods may be used to evaluate groundwater monitoring data: 
    a. A parametric analysis of variance (ANOVA) followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's mean and the background mean levels  for each constituent. 
    b. An analysis of variance (ANOVA) based on ranks followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's median and the background median  levels for each constituent. 
    c. A tolerance or prediction interval procedure in which an  interval for each constituent is established from the distribution of the  background data, and the level of each constituent in each compliance well is  compared to the upper tolerance or prediction limit. 
    d. A control chart approach that gives control limits for each  constituent. 
    e. Another statistical test method that meets the performance  standards specified below. Based on the justification submitted to the  department, the director may approve the use of an alternative test. The  justification must demonstrate that the alternative method meets the  performance standards in subdivision 2 of this subsection. 
    2. Performance standards. Any statistical method chosen by the  owner or operator shall comply with the following performance standards, as  appropriate: 
    a. The statistical method used to evaluate groundwater  monitoring data shall be appropriate for the distribution of monitoring  parameters or constituents. If the distribution is shown by the owner or  operator to be inappropriate for a normal theory test, then the data shall be  transformed or a distribution-free theory test shall be used. If the  distributions for the constituents differ, more than one statistical method may  be needed. 
    b. If an individual well comparison procedure is used to  compare an individual compliance well constituent concentration with background  constituent concentrations or a groundwater protection standard, the test shall  be done at a Type I error level no less than 0.01 for each testing period. If a  multiple comparisons procedure is used, the Type I experiment-wise error rate  for each testing period shall be no less than 0.05; however, the Type I error  of no less than 0.01 for individual well comparisons must be maintained. 
    c. If a control chart approach is used to evaluate groundwater  monitoring data, the specific type of control chart and its associated  parameter values shall be protective of human health and the environment. The  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    d. If a tolerance interval or a predictional interval is used  to evaluate groundwater monitoring data, the levels of confidence and, for  tolerance intervals, the percentage of the population that the interval must  contain, shall be protective of human health and the environment. These  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    e. The statistical method shall account for data below the  limit of detection with one or more statistical procedures that are protective  of human health and the environment. Any estimated quantitation limit (EQL)  that is used in the statistical method shall be the lowest concentration level  that can be reliably achieved within specified limits of precision and accuracy  during routine laboratory operating conditions that are available to the  landfill. 
    f. If necessary, the statistical method shall include  procedures to control or correct for seasonal and spatial variability as well  as temporal correlation in the data.
    E. Recordkeeping and reporting. 
    1. Records pertaining to groundwater monitoring activities on  site shall be retained at a specified location by the owner or operator  throughout the active life and postclosure care period of the landfill, and  shall include at a minimum: 
    a. All historical groundwater surface elevation data obtained  from wells installed pursuant to subdivision A 3 a of this section; 
    b. All historical laboratory analytical results for  groundwater sampling events required under the groundwater monitoring programs  as described in this section; 
    c. All records of well installation, repair, or abandonment  actions; 
    d. All department correspondence to the landfill; and 
    e. All approved variances, well subsets, wetlands, or other  such director/department approvals. 
    2. Reporting requirements. 
    a. Annual report. 
    (1) An Annual Groundwater Monitoring Report shall be submitted  by the owner or operator to the department no later than 120 days from the  completion of sampling and analysis conducted under subdivision A 4 h of this  section for the second semi-annual event or fourth quarterly event during each  calendar year and shall by accompanied by:
    (a) A signature page; and 
    (b) A completed QA/QC DEQ Form ARSC-01.
    (2) The technical content of the annual report shall at a  minimum, contain the following topical content: 
    (a) The landfill's name, type, permit number, current owner or  operator, and location keyed to a USGS topographic map; 
    (b) Summary of the design type (i.e., lined versus unlined),  operational history (i.e., trench fill versus area fill), and size (acres) of  the landfill including key dates such as beginning and termination of waste  disposal actions and dates different groundwater monitoring phases were  entered;
    (c) Description of the surrounding land use noting whether any  adjoining land owners utilize private wells as a potable water source;
    (d) A discussion of the topographic, geologic, and hydrologic  setting of the landfill including a discussion on the nature of the uppermost  aquifer (i.e., confined versus unconfined) and proximity to surface waters;
    (e) A discussion of the monitoring wells network noting any  modifications that were made to the network during the year or any  nonperformance issues and a statement noting that the monitoring well network  meets (or did not meet) the requirements of subdivision A 3 of this section; 
    (f) A listing of the groundwater sampling events undertaken  during the previous calendar year; 
    (g) A historical table listing the detected constituents, and  their concentrations identified in each well during the sampling period; and
    (h) Evaluations of and appropriate responses to the  groundwater elevation data; groundwater flow rate as calculated using the prior  years elevation data; groundwater flow direction (as illustrated on a  potentiometric surface map); and sampling and analytical data obtained during  the past calendar year. 
    b. Semi-annual or quarterly report. 
    (1) After each sampling event has been completed for the 1st  semi-annual or first, second and third quarterly groundwater sampling events, a  semi-annual or quarterly monitoring report shall be submitted under separate  cover by the owner or operator to the department no later than 120 days from  the completion of sampling and analysis conducted under subdivision A 4 h of  this section, unless as allowed under a director-approved extension. The report  shall at a minimum contain the following items: 
    (a) Signature page signed by a professional geologist or  qualified groundwater scientist; 
    (b) Landfill name and permit number;
    (c) Statement noting whether or not all monitoring points  within the permitted network installed to meet the requirements of subdivision  A 3 a of this section were sampled as required under subdivision B 2 or 3 or C  2 or 3 during the event;
    (d) Calculated rate of groundwater flow during the sampling  period as required under subdivision A 4 c of this section;
    (e) The groundwater flow direction as determined during the  sampling period as required under subdivision A 4 c of this section presented  as either plain text or graphically as a potentiometric surface map;
    (f) Statement noting whether or not there were statistically  significant increases over background or groundwater protection standards  during the sampling period, the supporting statistical calculations, and  reference to the date the director was notified of the increase pursuant to  timeframes in subdivision B 2 or 3 or C 2 or 3, if applicable; 
    (g) Copy of the full Laboratory Analytical Report including  dated signature page (laboratory manager or representative) to demonstrate  compliance with the timeframes of subdivision A 4 h of this section. The  department will accept the lab report in CD-ROM format. 
    (2) In order to reduce the reporting burden on the owner or  operator and potential redundancy within the operating record, a discussion of  the second semi-annual or fourth quarterly sampling event results may be  presented in the Annual Report submission.
    c. Other submissions. Statistically significant increase  notifications, well certifications, the first determination report, alternate  source demonstration, nature and extent study, assessment of corrective  measures, presumptive remedy proposal, corrective action plan or monitoring  plan, or other such report or notification types as may be required under  9VAC20-81-250 or 9VAC20-81-260, shall be submitted in a manner which achieves  the timeframe requirements as listed in 9VAC20-81-250 or 9VAC20-81-260. 
         
                 |      TABLE 3.1      GroundWater Solid Waste Constituent Monitoring List       |    
       |      Column A – Common Name1, 2      |          Column B – Common Name1, 2      |          CAS RN3      |    
       |             |          Acenaphthene      |          83-32-9      |    
       |             |          Acenaphthylene      |          208-96-8      |    
       |      Acetone      |          Acetone      |          67-64-1      |    
       |             |          Acetonitrile; Methyl cyanide      |          75-05-8      |    
       |             |          Acetophenone      |          98-86-2      |    
       |             |          2-Acetylaminofluorene; 2-AAF      |          53-96-3      |    
       |             |          Acrolein      |          107-02-8      |    
       |      Acrylonitrile      |          Acrylonitrile      |          107-13-1      |    
       |             |          Aldrin      |          309-00-2      |    
       |             |          Allyl chloride      |          107-05-1      |    
       |             |          4-Aminobiphenyl      |          92-67-1      |    
       |             |          Anthracene      |          120-12-7      |    
       |      Antimony      |          Antimony      |          (Total)      |    
       |      Arsenic      |          Arsenic      |          (Total)      |    
       |      Barium      |          Barium      |          (Total)      |    
       |      Benzene      |          Benzene      |          71-43-2      |    
       |             |          Benzo[a]anthracene; Benzanthracene      |          56-55-3      |    
       |             |          Benzo[b]fluoranthene      |          205-99-2      |    
       |             |          Benzo[k]fluoranthene      |          207-08-9      |    
       |             |          Benzo[ghi]perylene      |          191-24-2      |    
       |             |          Benzo[a]pyrene      |          50-32-8      |    
       |             |          Benzyl alcohol      |          100-51-6      |    
       |      Beryllium      |          Beryllium      |          (Total)      |    
       |             |          alpha-BHC      |          319-84-6      |    
       |             |          beta-BHC      |          319-85-7      |    
       |             |          delta-BHC      |          319-86-8      |    
       |             |          gamma-BHC; Lindane      |          58-89-9      |    
       |             |          Bis(2-chloroethoxy)methane      |          111-91-1      |    
       |             |          Bis(2-chloroethyl) ether; Dichloroethyl ether      |          111-44-4      |    
       |             |          Bis(2-chloro-1-methylethyl) ether; 2, 2'-Dichlorodiisopropyl    ether; DCIP      |          108-60-1, See note 4      |    
       |             |          Bis(2-ethylhexyl)phthalate      |          117-81-7      |    
       |      Bromochloromethane;.Chlorobromomethane      |          Bromochloromethane;.Chlorobromomethane      |          74-97-5      |    
       |      Bromodichloromethane;.Dibromochloromethane      |          Bromodichloromethane;.Dibromochloromethane      |          75-27-4      |    
       |      Bromoform; Tribromomethane      |          Bromoform; Tribromomethane      |          75-25-2      |    
       |             |          4-Bromophenyl phenyl ether      |          101-55-3      |    
       |             |          Butyl benzyl phthalate; Benzyl butyl phthalate      |          85-68-7      |    
       |      Cadmium      |          Cadium Cadmium      |          (Total)      |    
       |      Carbon disulfide      |          Carbon disulfide      |          75-15-0      |    
       |      Carbon tetrachloride      |          Carbon tetrachloride      |          56-23-5      |    
       |             |          Chlordane      |          Note 5      |    
       |             |          p-Chloroaniline      |          106-47-8      |    
       |      Chlorobenzene      |          Chlorobenzene      |          108-90-7      |    
       |             |          Chlorobenzilate      |          510-15-6      |    
       |             |          p-Chloro-m-cresol; 4-Chloro-3-methylphenol      |          59-50-7      |    
       |      Chloroethane; Ethyl chloride      |          Chloroethane; Ethyl chloride      |          75-00-3      |    
       |      Chloroform; Trichloromethane      |          Chloroform; Trichloromethane      |          67-66-3      |    
       |             |          2-Chloronaphthalene      |          91-58-7      |    
       |             |          2-Chlorophenol      |          95-57-8      |    
       |             |          4-Chlorophenyl phenyl ether      |          7005-72-3      |    
       |             |          Chloroprene      |          126-99-8      |    
       |      Chromium      |          Chromium      |          (Total)      |    
       |             |          Chrysene      |          218-01-9      |    
       |      Cobalt      |          Cobalt      |          (Total)      |    
       |      Copper      |          Copper      |          (Total)      |    
       |             |          m-Cresol; 3-methyphenol      |          108-39-4      |    
       |             |          o-Cresol; 2-methyphenol      |          95-48-7      |    
       |             |          p-Cresol; 4-methyphenol      |          106-44-5      |    
       |             |          Cyanide      |          57-12-5      |    
       |             |          2,4-D; 2,4-Dichlorophenoxyacetic acid      |          94-75-7      |    
       |             |          4,4'-DDD      |          72-54-8      |    
       |             |          4,4'-DDE      |          72-55-9      |    
       |             |          4,4'-DDT      |          50-29-3      |    
       |             |          Diallate      |          2303-16-4      |    
       |             |          Dibenz[a,h]anthracene      |          53-70-3      |    
       |             |          Dibenzofuran      |          132-64-9      |    
       |      Dibromochloromethane; Chlorodibromomethane      |          Dibromochloromethane; Chlorodibromomethane      |          124-48-1      |    
       |      1,2-Dibromo-3-chloropropane; DBCP      |          1,2-Dibromo-3-chloropropane; DBCP      |          96-12-8      |    
       |      1,2-Dibrimoethane; Ethylene dibromide; EDB      |          1,2-Dibrimoethane; Ethylene dibromide; EDB      |          106-93-4      |    
       |             |          Di-n-butyl phthalate      |          84-74-2      |    
       |      o-Dichlorobenzene; 1,2-Dichlorobenzene      |          o-Dichlorobenzene; 1,2-Dichlorobenzene      |          95-50-1      |    
       |             |          m-Dichlorobenzene; 1,3-Dichlorobenzene      |          541-73-1      |    
       |      p-Dichlorobenzene; 1,4-Dichlorobenzene      |          p-Dichlorobenzene; 1,4-Dichlorobenzene      |          106-46-7      |    
       |             |          3,3'-Dichlorobenzidine      |          91-94-2      |    
       |      trans-1,4-Dichloro-2-butene      |          trans-1,4-Dichloro-2-butene      |          110-57-6      |    
       |             |          Dichlorodifluoromethane; CFC 12;      |          75-71-8      |    
       |      1.1-Dichloroethane; Ethylidene chloride      |          1,1-Dichloroethane; Ethylidene chloride      |          75-34-3      |    
       |      1,2-Dichloroethane; Ethylene dichloride      |          1,2-Dichloroethane; Ethylene dichloride      |          107-06-2      |    
       |      1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          75-35-4      |    
       |      cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          156-59-2      |    
       |      trans-1,2-Dichloroethylene      |          trans-1,2-Dichloroethylene; trans-1,2-Dichroroethene      |          156-60-5      |    
       |             |          2,4-Dichlorophenol      |          120-83-2      |    
       |             |          2,6-Dichlorophenol      |          87-65-0      |    
       |      1,2-Dichloropropane; Propylene dichloride      |          1,2-Dichloropropane; Propylene dichloride      |          78-87-5      |    
       |             |          1,3-Dichloropropane; Trimethylene dichloride      |          142-28-9      |    
       |             |          2, 2-Dichloropropane; isopropylidene chloride      |          594-20-7      |    
       |             |          1,1-Dichloropropene      |          563-58-6      |    
       |      cis-1,3-Dichloropropene      |          cis-1,3-Dichloropropene      |          10061-01-5      |    
       |      trans-1,3-Dichloropropene      |          trans-1,3-Dichloropropene      |          10061-02-6      |    
       |             |          Dieldrin      |          60-57-1      |    
       |             |          Diethyl phthalate      |          84-66-2      |    
       |             |          O,O-Diethyl O-2-pyrazinyl phosphorothioate; Thionazin      |          297-97-2      |    
       |             |          Dimethoate      |          60-51-5      |    
       |             |          p-(Dimethylamino)azobenzene      |          60-11-7      |    
       |             |          7,12-Dimethylbenz[a]anthracene      |          57-97-6      |    
       |             |          3,3'-Dimethylbenzidine      |          119-93-7      |    
       |             |          2,4-Dimethylphenol; m-Xylenol      |          105-67-9      |    
       |             |          Dimethyl phthalate      |          131-11-3      |    
       |             |          m-Dinitrobenzene      |          99-65-0      |    
       |             |          4,6-Dinitro-o-cresol; 4,6-Dinitro-2-methylphenol      |          534-52-1      |    
       |             |          2,4-Dinitrophenol      |          51-28-5      |    
       |             |          2,4-Dinitrotoluene      |          121-14-2      |    
       |             |          2,6-Dinitrotoluene      |          606-20-2      |    
       |             |          Dinoseb; DNBP; 2-sec-Butyl-4,6-dinitrophenol      |          88-85-7      |    
       |             |          Di-n-octyl phthalate      |          117-84-0      |    
       |             |          Diphenylamine      |          122-39-4      |    
       |             |          Disulfoton      |          298-04-4      |    
       |             |          Endosulfan I      |          959-96-8      |    
       |             |          Endosulfan II      |          33213-65-9      |    
       |             |          Endosulfan sulfate      |          1031-07-8      |    
       |             |          Endrin      |          72-20-8      |    
       |             |          Endrin aldehyde      |          7421-93-4      |    
       |      Ethylbenzene      |          Ethylbenzene      |          100-41-4      |    
       |             |          Ethyl methacrylate      |          97-63-2      |    
       |             |          Ethylmethanesulfonate      |          62-50-0      |    
       |             |          Famphur      |          52-85-7      |    
       |             |          Fluoranthene      |          206-44-0      |    
       |             |          Fluorene      |          86-73-7      |    
       |             |          Heptachlor      |          76-44-8      |    
       |             |          Heptachlor epoxide      |          1024-57-3      |    
       |             |          Hexachlorobenzene      |          118-74-1      |    
       |             |          Hexachlorobutadiene      |          87-68-3      |    
       |             |          Hexachlorocyclopentadiene      |          77-47-4      |    
       |             |          Hexachloroethane      |          67-72-1      |    
       |             |          Hexachloropropene      |          1888-71-7      |    
       |      2-Hexanone; Methyl butyl ketone      |          2-Hexanone; Methyl butyl ketone      |          591-78-6      |    
       |             |          Indeno[1,2,3-cd]pyrene      |          193-39-5      |    
       |             |          Isobutyl alcohol      |          78-83-1      |    
       |             |          Isodrin      |          465-73-6      |    
       |             |          Isophorone      |          78-59-1      |    
       |             |          Isosafrole      |          120-58-1      |    
       |             |          Kepone      |          143-50-0      |    
       |      Lead      |          Lead      |          (Total)      |    
       |             |          Mercury      |          (Total)      |    
       |             |          Methacrylonitrile      |          126-98-7      |    
       |             |          Methapyrilene      |          91-80-5      |    
       |             |          Methoxychlor      |          72-43-5      |    
       |      Methyl bromide; Bromomethane      |          Methyl bromide; Bromomethane      |          74-83-9      |    
       |      Methyl chloride; Chloromethane      |          Methyl chloride; Chloromethane      |          74-87-3      |    
       |             |          3-Methylcholanthrene      |          56-49-5      |    
       |      Methyl ethyl ketone; MEK; 2-Butanone      |          Methyl ethyl ketone; MEK; 2-Butanone      |          78-93-3      |    
       |      Methyl iodide; Iodomethane      |          Methyl iodide; Iodomethane      |          74-88-4      |    
       |             |          Methyl methacrylate      |          80-62-6      |    
       |             |          Methyl methanesulfonate      |          66-27-3      |    
       |             |          2-Methylnaphthalene      |          91-57-6      |    
       |             |          Methyl parathion; Parathion methyl methyl      |          298-00-0      |    
       |      4-Methyl-2-pentanone; Methyl isobutyl ketone      |          4-Methyl-2-pentanone; Methyl isobutyl ketone      |          108-10-1      |    
       |      Methylene bromide; Dibromomethane      |          Methylene bromide; Dibromomethane      |          74-95-3      |    
       |      Methylene chloride; Dichloromethane      |          Methylene chloride; Dichloromethane      |          75-09-2      |    
       |             |          Naphthalene      |          91-20-3      |    
       |             |          1,4-Naphthoquinone      |          130-15-4      |    
       |             |          1- Naphthylamine      |          134-32-7      |    
       |             |          2-Napthylamine      |          91-59-8      |    
       |      Nickel      |          Nickel      |          (Total)      |    
       |             |          o-Nitroaniline; 2-Nitroaniline      |          88-74-4      |    
       |             |          m-Nitroaniline; 3-Nitroaniline      |          99-09-2      |    
       |             |          p-Nitroaniline; 4-Nitroaniline      |          100-01-6      |    
       |             |          Nitrobenzene      |          98-95-3      |    
       |             |          o-Nitrophenol; 2-Nitrophenol      |          88-75-5      |    
       |             |          p-Nitrophenol; 4-Nitrophenol      |          100-02-7      |    
       |             |          N-Nitrosodi-n-butylamine      |          924-16-3      |    
       |             |          N-Nitrosodiethylamine      |          55-18-5      |    
       |             |          N-Nitrosodimethylamine      |          62-75-9      |    
       |             |          N-Nitrosodiphenylamine      |          86-30-6      |    
       |             |          N-Nitrosodipropylamine; N-Nitroso-N-dipropylamine;    Di-n-propylnitrosamine      |          621-64-7      |    
       |             |          N-Nitrosomethylethalamine      |          10595-95-6      |    
       |             |          N-Nitrosopiperidine      |          100-75-4      |    
       |             |          N-Nitrosopyrrolidine      |          930-55-2      |    
       |             |          5-Nitro-o-toluidine      |          99-55-8      |    
       |             |          Parathion      |          56-38-2      |    
       |             |          Pentachlorobenzene      |          608-93-5      |    
       |             |          Pentachloronitrobenzene      |          82-68-8      |    
       |             |          Pentachlorophenol      |          87-86-5      |    
       |             |          Phenacetin      |          62-44-2      |    
       |             |          Phenanthrene      |          85-01-8      |    
       |             |          Phenol      |          108-95-2      |    
       |             |          p-Phenylenediamine      |          106-50-3      |    
       |             |          Phorate      |          298-02-2      |    
       |             |          Polychlorinated biphenyls; PCBS; Aroclors      |          Note 6      |    
       |             |          Pronamide      |          23950-58-5      |    
       |             |          Propionitrile; Ethyl cyanide      |          107-12-0      |    
       |             |          Pyrene      |          129-00-0      |    
       |             |          Safrole      |          94-59-7      |    
       |      Selenium      |          Selenium      |          (Total)      |    
       |      Silver      |          Silver      |          (Total)      |    
       |             |          Silvex; 2,4,5-TP      |          93-72-1      |    
       |      Styrene      |          Styrene      |          100-42-5      |    
       |             |          Sulfide      |          18496-25-8      |    
       |             |          2,4,5-T; 2,4,5-Trichlorophenoxyacetic acid      |          93-76-5      |    
       |             |          1,2,4,5-Tetrachlorobenzene      |          95-94-3      |    
       |      1,1,1,2-Tetrachloroethane      |          1,1,1,2-Tetrachloroethane      |          630-20-6      |    
       |      1,1,2,2-Tetrachloroethane      |          1,1,2,2-Tetrachloroethane      |          79-34-5      |    
       |      Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          127-18-4      |    
       |             |          2,3,4,6-Tetrachlorophenol      |          58-90-2      |    
       |      Thallium      |          Thallium      |          (Total)      |    
       |             |          Tin      |          (Total)      |    
       |      Toluene      |          Toluene      |          108-88-3      |    
       |             |          o-Toluidine      |          95-53-4      |    
       |             |          Toxaphene      |          Note 7      |    
       |             |          1,2,4-Trichlorobenzene      |          120-82-1      |    
       |      1,1,1-Trichloroethane; Methychloroform      |          1,1,1-Trichloroethane; Methychloroform      |          71-55-6      |    
       |      1,1,2-Trichloroethane      |          1,1,2-Trichloroethane      |          79-00-5      |    
       |      Trichloroethylene; Trichloroethene ethene      |          Trichloroethylene; Trichloroethene ethane      |          79-01-6      |    
       |      Trichlorofluoromethane; CFC-11      |          Trichlorofluoromethane; CFC-11      |          75-69-4      |    
       |             |          2,4,5-Trichlorophenol      |          95-95-4      |    
       |             |          2,4,6-Trichlorophenol      |          88-06-2      |    
       |      1,2,3-Trichloropropane      |          1,2,3-Trichloropropane      |          96-18-4      |    
       |             |          O,O,O-Triethyl phosphorothioate      |          126-68-1      |    
       |             |          sym-Trinitrobenzene      |          99-35-4      |    
       |      Vanadium      |          Vanadium      |          (Total)      |    
       |      Vinyl acetate      |          Vinyl acetate      |          108-05-4      |    
       |      Vinyl chloride; Chloroethene      |          Vinyl chloride; Chloroethene      |          75-01-4      |    
       |      Xylene(total)      |          Xylene(total)      |          Note 8      |    
       |      Zinc      |          Zinc      |          (Total)      |    
  
    NOTES:
    1Common names are those widely used in government  regulations, scientific publications, and commerce; synonyms exist for many  chemicals.
    2The corresponding Chemical Abstracts Service Index  name as used in the 9th Collective Index, may be found in Appendix II of 40 CFR  258.
    3Chemical Abstracts Service Registry Number. Where  "Total" is entered, all species in the groundwater that contains this  element are included.
    4This substance is often called  Bis(2-chloroisopropyl) ether, the name Chemical Abstracts Service applies to  its noncommercial isomer, Propane, 2.2'-oxybis2-chloro (CAS RN 39638-32-9).
    5Chlordane: This entry includes alpha-chlordane (CAS  RN 5103-71-9), beta-chlordane (CAS RN 5103-74-2), gamma-chlordane (CAS RN  5566-34-7), and constituents of chlordane (CAS RN 57-74-9 and CAS RN  12739-03-6).
    6Polychlorinated biphenyls (CAS RN 1336-36-3); this  category contains congener chemicals, including constituents of Aroclor 1016  (CAS RN 12674-11-2), Aroclor 1221 (CAS RN 11104-28-2), Aroclor 1232 (CAS RN  11141-16-5), Aroclor 1242 (CAS RN 53469-21-9), Aroclor 1248 (CAS RN  12672-29-6), Aroclor 1254 (CAS RN 11097-69-1), and Arclor 1260 (CAS RN  11096-82-5).
    7Toxaphene: This entry includes congener chemicals  contained in technical toxaphene (CAS RN 8001-35-2), i.e., chlorinated  camphene.
    8Xylene (total): This entry includes o-xylene (CAS  RN 96-47-6), m-xylene (CAS RN 108-38-3), p-xylene (CAS RN 106-42-3), and  unspecified xylenes (dimethylbenzenes) (CAS RN 1330-20-7).
         
          9VAC20-81-260. Corrective action program.
    A. Corrective action is required whenever one or more  groundwater protection standard is exceeded at statistically significant  levels. An owner or operator of a landfill may elect to initiate corrective  action at any time; however, prior to such initiation, the appropriate  groundwater protection standards for all Table 3.1 constituents shall be  established consistent with 9VAC20-81-250 A 6. At any time during the  corrective action process, the owner or operator may elect to pursue, or the  director can determine that, interim measures as defined under subsection F of  this section are required in accordance with subdivision E 3 of this section.
    B. The director may require periodic progress reports when a  corrective action program is required but not yet implemented. At any time  during the corrective action process, the owner or operate may elect to pursue,  or the director can determine that, interim measures as defined under  subsection F of this section are required in accordance with subdivision E 3 of  this section. 
    C. Characterization and assessment requirements. 
    1. Upon notifying the department that one or more of the  constituents listed in Table 3.1 Column B has been detected at a statistically  significant level exceeding the groundwater protection standards, the owner or  operator shall, unless department approval of an Alternate Source Demonstration  has been received as noted under 9VAC20-81-250 B 3 f (3) (a) (ii) or  9VAC20-81-250 C 3 c (3) (a) (ii):
    a. Characterization. Within 90 days, install additional  monitoring wells as necessary including the installation of at least one  additional monitoring well at the facility boundary in the direction of  contaminant migration sufficient to define the vertical and horizontal  extent of the release of constituents at statistically significant levels  exceeding the groundwater protection standards including the installation of  at least one additional monitoring well at the facility boundary in the  direction of contaminant migration. 
    b. Notification. Notify all persons who own the land or reside  on the land that directly overlies any part of the release if contaminants have  migrated offsite as indicated by the results of sampling of the  characterization wells installed under subdivision 1 a of this subsection  within 15 days of completion of the characterization sampling and analysis  efforts. 
    c. Assessment. Within 90 days, initiate an assessment of  corrective measures or a proposal for presumptive remedy. 
    d. Financial assurance. Within 120 days, provide additional  financial assurance in the amount of $1 million to the department using the  mechanisms required in 9VAC20-70-140 of the Financial Assurance Requirements  for Solid Waste Disposal, Transfer, and Treatment Facilities. 
    e. Public meeting. Prior to submitting the document required  under subdivision 1 f of this subsection, schedule and hold a public meeting to  discuss the draft results of the corrective measures assessment or the proposal  for presumptive remedy, prior to the final selection of remedy. The meeting  shall be held to the extent practicable in the vicinity of the landfill. The  process to be followed for scheduling and holding the public hearing is  described under subdivision 4 of this subsection. 
    f. Submission requirements. Within 180 days, submit the  completed assessment of corrective measures defined under subdivision 3 of this  subsection, or the proposal for presumptive remedies defined under subdivision  2 of this subsection, including any responses to public comments received. 
    g. Director allowance. The submission timeframe noted in  subdivision 1 f of this subsection may be extended by the director for good cause  upon request of the owner or operator. 
    2. Presumptive remedy  allowance. 
    a. Applicability. To expedite corrective action, in lieu of an  analysis meeting the requirements of subdivision 3 of this subsection, the  owner or operator of any facility monitoring groundwater in accordance with  9VAC20-81-250 C may propose a presumptive remedy for the landfill. 
    b. Options. The presumptive remedy for solid waste landfills  shall be limited to one or more of the following: 
    (1) Containment of the landfill mass, including an impermeable  cap; 
    (2) Control of the landfill leachate; 
    (3) Control of the migration of contaminated groundwater; 
    (4) Collection and treatment of landfill gas; and 
    (5) Reduction of saturation of the landfill mass. 
    Containment may be selected as a sole or partial remedy until  a determination is made under subdivision F 1 of this section that another  remedy shall be employed to meet the requirements of subdivision G 1 of this  section concerning remediation completion. Upon recognition that presumptive  remedies may not be able to achieve the groundwater protection standards, an  assessment of corrective measures shall be initiated within 90 days.
    c. Restrictions. Presumptive remedies are not applicable to:
    (1) Landfills monitoring groundwater under the Federal  Subtitle D equivalent program defined under 9VAC20-81-250 B when the use of the  presumptive remedy will be the sole remedy applied to the groundwater release;  or
    (2) Landfills that may monitor groundwater under 9VAC20-81-250  C but that exhibit contamination beyond facility boundaries unless the proposed  presumptive remedy option under subdivision 2 b of this subsection can be  demonstrated to show it will address the reduction of contamination already  present beyond the facility boundary, and the demonstration is approved by the  department. 
    d. Submission requirements. Owner or operators who wish to  propose use of the presumptive remedy allowance shall submit with the proposal,  signed by a qualified groundwater professional, an: 
    (1) Assessment of risks resulting from the contamination at  the disposal unit boundary and at the facility boundary; 
    (2) Evaluation of the current trends in groundwater quality  data with respect to the established groundwater protection standards; and
    (3) Anticipated schedule for initiating and completing  presumptive remedy-based remedial activities. 
    e. Implementation. Upon conducting a public meeting as  required under subdivision 4 of this subsection, submitting a corrective action  monitoring plan meeting subdivision D 1 of this section, and amending modifying  the landfill permit in accordance with 9VAC20-81-600 F 2, the owner or operator  may proceed with the implementation of the remedy in accordance with  subdivision E 1 of this section. 
    f. Evaluation and response. The owner or operator shall  provide an evaluation of the performance of the implemented presumptive remedy  every three years, unless an alternate schedule is approved by the director, in  a Corrective Action Site Evaluation report containing, at a minimum, the  following information: 
    (a) A description of how the presumptive remedy is performing  with respect to the conditions in subdivision H 1 of this section;
    (b) Current and historical groundwater data and analysis; 
    (c) An evaluation of the changes seen in groundwater  contamination after the implementation of the remedy and a projection of when  the conditions in subdivision H 1 of this section will be achieved; and 
    (d) The progress toward achieving the schedule required in  subdivision C 2 d (3) of this section. 
    3. Assessment of corrective measures. 
    a. Purpose. The assessment shall include an analysis of the  effectiveness of several potential corrective measures in meeting all of the  requirements and objectives of the remedy as described under this subsection,  addressing at least the following: 
    (1) The performance, reliability, implementation ease, and  potential impacts of appropriate potential remedies, including safety impacts,  cross-media impacts, and control of exposure to any residual contamination; 
    (2) The time required to begin and complete the remedy; 
    (3) The costs of remedy implementation; and 
    (4) The institutional requirements such as state or local  permit requirements or other environmental or public health requirements that  may substantially affect implementation of the remedies. 
    b. Requirements. As part of the assessment of corrective  measures submitted to the department for review, the owner or operator must  demonstrate that one or more possible groundwater remedy has been evaluated for  potential application on site. These remedies may include a specific technology  or combination of technologies that achieve or may achieve the standards for  remedies specified in subdivision 3 c (1) of this subsection given appropriate  consideration of the factors specified in subdivision D 1 a of this section. 
    c. Selection of remedy. As part of submission of the  assessment of corrective measures document, the owner or operator shall select  a remedy that, at a minimum, meets the standards listed in subdivision H 1 of  this section. 
    (1) The selected remedies to be included in the corrective  action plan shall: 
    (a) Be protective of human health and the environment; 
    (b) Attain the groundwater protection standard as specified  pursuant to 9VAC20-81-250 A 6; 
    (c) Control the sources of releases so as to reduce or  eliminate, to the maximum extent practicable, further releases of solid waste  constituents into the environment that may pose a threat to human health or the  environment; and 
    (d) Comply with standards for management of wastes. 
    d. Evaluation and response. The department shall review the  assessment of corrective measures to evaluate the proposed remedy and may  require revisions to the assessment. If the assessment is approved without  revision, the department will notify the owner or operator to prepare a written  corrective action plan based on the proposed remedy and such plan will be  submitted within 180 days of the department's notification of approval of the  assessment of corrective measures. 
    4. Public meeting process. As part of the public meeting  process completed prior to the submission of a proposal for presumptive remedy  or assessment of corrective measures: 
    a. Newspaper notice. The owner or operator must publish a  notice once a week for two consecutive weeks in a major local newspaper of  general circulation inviting public comment on the results of the corrective  measures assessment or proposal for presumptive remedy as applicable. The  notice shall include: 
    (1) The name of the landfill, its location, and the date,  time, and place for the public meeting, and the beginning and ending dates for  the 30-day comment period. The public meeting shall be held at a time  convenient to the public. The comment period will begin on the date the owner  or operator publishes the notice in the local newspaper;
    (2) The name, telephone, and address of the owner's or  operator's representative who can be contacted by the interested persons to  answer questions or where comments shall be sent; 
    (3) Location where copies of the documentation to be submitted  to the department in support of the corrective measures assessment or proposal  of presumptive remedy can be viewed and copied prior to the meeting; 
    (4) A statement indicating that the need to perform the  corrective measures assessment or presumptive remedy is a result of a  statistically significant increase in one or more groundwater protection  standards; and 
    (5) A statement that the purpose of the public meeting is to  acquaint the public with the technical aspects of the proposal, describe how  the requirements of these regulations will be met, identify issues of concern,  facilitate communication, and establish a dialogue between the permittee and  persons who may be affected by the landfill.
    b. Document review. The owner or operator shall place a copy  of the report and supporting documentation in a location accessible to the  public during the public comment period in the vicinity of the proposed  landfill. 
    c. Meeting timeframe. The owner or operator shall hold a  public meeting within a timeframe that allows for the submission of a completed  assessment of corrective measures or presumptive remedy within 180 days of  notifying the department of a groundwater protection standard exceedance or as  granted under subdivision 1 g of this subsection. The meeting must be scheduled  and held:
    (1) No earlier than 15 days after the publication of the  notice; and
    (2) No later than seven days before the close of the 30-day  comment period.
    D. Corrective action plan and monitoring plan. 
    1. The owner or operator shall submit to the department a  Corrective Action Plan (CAP) and related Corrective Action Monitoring Plan  (CAMP) consistent with the findings as presented in the assessment of  corrective measures required under subdivision C 3 of this section, or proposal  for presumptive remedy described under subdivision C 2 of this section.
    a. Requirements. In preparing a proposed corrective action  plan, the owner or operator will consider the following evaluation factors: 
    (1) The long-term and short-term effectiveness and  protectiveness of the potential remedies, along with the degree of certainty  that the remedy will prove successful based on consideration of the following: 
    (a) Magnitude of reduction of existing risks; 
    (b) Magnitude of residual risks in terms of likelihood of  further releases due to waste remaining following implementation of a remedy; 
    (c) The type and degree of long-term management required,  including monitoring, operation, and maintenance; 
    (d) Short-term risks that might be posed to the community,  workers, or the environment during implementation of such a remedy, including  potential threats to human health and the environment associated with  excavation, transportation, and redisposal or containment; 
    (e) Time until full protection is achieved; 
    (f) Potential for exposure of humans and environmental  receptors to remaining wastes, considering the potential threat to human health  and the environment associated with excavation, transportation, re-disposal, or  containment; 
    (g) Long-term reliability of the engineering and institutional  controls; and 
    (h) Potential need for replacement of the remedy. 
    (2) The effectiveness of the remedy in controlling the source  to reduce further releases based on consideration of the following factors: 
    (a) The extent to which containment practices will reduce  further releases; 
    (b) The extent to which treatment technologies may be used; 
    (c) Magnitude of reduction of existing risks; and 
    (d) Time until full protection is achieved. 
    (3) The ease or difficulty of implementing a potential remedy  based on consideration of the following types of factors: 
    (a) Degree of difficulty associated with constructing the  technology; 
    (b) Expected operational reliability of the technologies; 
    (c) Need to coordinate with and obtain necessary approvals and  permits from other agencies; 
    (d) Availability of necessary equipment and specialists; and 
    (e) Available capacity and location of needed treatment,  storage, and disposal services. 
    (4) Practicable capability of the owner or operator, including  a consideration of the technical and economic capability. At a minimum the  owner or operator must consider capital costs, operation and maintenance costs,  net present value of capital and operation and maintenance costs, and potential  future remediation costs. 
    (5) Ensure that all solid wastes that are managed while  undergoing corrective action or an interim measure shall be managed in a  manner: 
    (a) That is protective of human health and the environment;  and 
    (b) That complies with all applicable federal and Virginia  requirements. 
    (6) The degree to which community concerns raised as the  result of the public meeting required by subdivision C 4 of this section are  addressed by the potential remedy. 
    b. Implementation and completion timeframes. The owner or  operator shall specify as part of the selected remedy a schedule for initiating  and completing remedial activities. Such a schedule shall require the  initiation of remedial activities within a reasonable period of time taking into  consideration the factors set forth in this section. The owner or operator  shall consider the following factors in determining the schedule of remedial  activities: 
    (1) Extent and nature Nature and extent of  contamination; 
    (2) Practical capabilities of remedial technologies in  achieving compliance with groundwater protection standards established under  9VAC20-81-250 A 6 and other objectives of the remedy; 
    (3) Availability of treatment or disposal capacity for wastes  managed during implementation of the remedy; 
    (4) Desirability of utilizing technologies that are not  currently available, but which may offer significant advantages over already  available technologies in terms of effectiveness, reliability, safety, or  ability to achieve remedial objectives; 
    (5) Potential risks to human health and the environment from  exposure to contamination prior to completion of the remedy; 
    (6) Resource value of the aquifer including: 
    (a) Current and future uses; 
    (b) Proximity and withdrawal rates of users; 
    (c) Groundwater quantity and quality; 
    (d) The potential damage to wildlife, crops, vegetation, and  physical structures caused by exposure to the waste constituents; 
    (e) The hydrological characteristics of the landfill and  surrounding land; 
    (f) Groundwater removal and treatment costs; and 
    (g) The cost and availability of alternate water supplies; 
    (7) Practical capability of the owner or operator; 
    (8) Timeframes for periodic progress reports during design,  construction, operation, and maintenance. Items to consider when preparing the  reports include but are not limited to: 
    (a) Progress of remedy implementation; 
    (b) Results of monitoring and sampling activities; 
    (c) Progress in meeting cleanup standards; 
    (d) Descriptions of remediation activities; 
    (e) Problems encountered during the reporting period and  actions taken to resolve problems; 
    (f) Work for next reporting period;
    (g) Copies of laboratory reports including drilling logs,  QA/QC documentation, and field data; and
    (9) Other relevant factors. 
    c. Corrective action monitoring program. Any groundwater  monitoring program to be employed during the corrective action process: 
    (1) Shall at a minimum, meet the requirements of the  applicable groundwater monitoring program described under 9VAC20-81-250 B 3 or  C 3; 
    (2) Shall determine the horizontal and vertical extent of the  plume of contamination for constituents at statistically significant levels  exceeding background concentrations; 
    (3) Can be used to demonstrate the effectiveness of the  implemented corrective action remedy; and 
    (4) Shall demonstrate compliance with the groundwater  protection standard established under 9VAC20-81-250 A 6. 
    2. The proposed corrective action plan shall be submitted to  the director for approval. Prior to rendering his approval, the director may: 
    a. Request an evaluation of one or more alternative remedies; 
    b Request technical modification of the monitoring program; 
    c. Request a change in the time schedule; or 
    d. Determine that the remediation of the release of Table 3.1  constituents is not necessary if the owner or operator demonstrates to the  satisfaction of the director that: 
    (1) The groundwater is additionally contaminated by substances  that have originated from a source other than the landfill in a demonstration  meeting the requirements of 9VAC20-81-250 A 5 and those substances are present  in concentrations such that cleanup of the release from the landfill would  provide no significant reduction in risk to actual or potential receptors;
    (2) The constituent is present in groundwater that is not  currently or reasonably expected to be a source of drinking water and not  hydraulically connected with waters to which the constituents are migrating or  are likely to migrate in a concentration that would exceed the groundwater  protection standards established;
    (3) Remediation of the release is technically impracticable;  or 
    (4) Remediation results in unacceptable cross-media impacts. 
    3. A determination by the director pursuant to subdivision 2 d  of this subsection shall not affect the authority of the state to require the  owner or operator to undertake source control measures or other measures that  may be necessary to eliminate or minimize further releases to the groundwater,  to prevent exposure to the groundwater, or to remediate the groundwater to  concentrations that are technically practicable and significantly reduce  threats to human health or the environment. 
    4. After an evaluation of the proposed or revised plan, the  director will: 
    a. Approve the proposed corrective action plan as written;
    b. Approve the proposed corrective action plan as modified by  the owner or operator;
    c. Proceed with the permit amendment modification  process in accordance with 9VAC20-81-600 F 2; or 
    d. Disapprove the proposed corrective action plan and undertake  appropriate containment or clean up actions in accordance with § 10.1-1402  (18) of the Virginia Waste Management Act. 
    E. Remedy implementation. Upon completion of the permit amendment  modification action described under subdivision D 4 c of this section,  the owner or operator shall: 
    1. Monitoring program. Implement a corrective action  groundwater monitoring program meeting the requirements of subdivision D 1 c of  this section;
    2. Remedy. Implement the remedy described in the Corrective  Action Plan and the Permit as amended under subdivision D 4 c of this section;  and 
    3. Interim measures. Take any interim measures necessary to  ensure the protection of human health and the environment as described in  subsection F of this section.
    F. Interim measures. 
    1. To the greatest extent practicable, interim measures shall  be consistent with the objectives of and contribute to the performance of any  remedy that may be required pursuant to meeting the groundwater protection  standard. 
    2. Should the director require interim measures pursuant to  this section, the director will notify the owner or operator of the necessary  actions required. Such actions will be implemented as soon as practicable in  accordance with a schedule as specified by the director. 
    3. The following factors shall be considered in determining  whether interim measures are necessary: 
    a. Timeframes. Time required to develop or implement a final  remedy; 
    b. Exposure. Actual or potential exposure of nearby  populations or environmental receptors to hazardous constituents; 
    c. Drinking water. Actual or potential contamination of  drinking water supplies; 
    d. Resource degradation. Further degradation of the  groundwater that may occur if remedial action is not initiated expeditiously; 
    e. Migration potential. Weather conditions that may cause the  constituents to migrate or be released; 
    f. Accident. Risks of fire or explosion, or potential for  exposure to constituents as a result of an accident or failure of a container  or handling system; and 
    g. Other. Situations including the presence of wastes or other  contaminants that may pose threats to human health, sensitive ecosystems, and  the environment. 
    G. Remedy performance. 
    1. The owner or operator shall provide an evaluation of the  performance of the remedy consistent with the timeframes established in the  permit and present the findings in a Corrective Action Site Evaluation report.  The evaluation shall describe the progress toward achieving the groundwater  protection standards since implementation of the remedy. 
    2. An owner or operator or the director may determine, based  on information developed after implementation of the remedy or other  information contained in the evaluation, that compliance with requirements of  subdivision H 1 of this section are not being achieved through the remedy  selected. In such cases, the owner or operator shall implement other methods or  techniques that could practicably achieve compliance with the requirements,  unless the owner or operator makes the determination under subdivision G 3 of  this section. 
    3. If the owner or operator determines that groundwater  protection standards cannot be practically achieved with any currently  available methods, the owner or operator shall, within 90 days of recognizing  that condition: 
    a. Submit a report, certified by a qualified groundwater  scientist, for director approval, that demonstrates that compliance with  groundwater protection standards established under 9VAC20-81-250 A 6 cannot be  practically achieved with any currently available groundwater remedial methods;  
    b. Upon receiving director approval under subdivision 2 a  3 a of this subsection, implement alternate measures to control exposure  of humans or the environment to residual contamination that will remain as a  result of termination of remedial actions, as necessary to protect human health  and the environment;
    c. Implement alternate measures for removal or decontamination  of any remediation-related equipment, units, devices, or structures that are: 
    (1) Technically practicable; and 
    (2) Consistent with the overall objective of the remedy; and
    d. At least 14 days prior to implementing the alternate  measures, Submit submit a request for approval to the director  describing and justifying the alternate measures to be applied. 
    H. Remedy completion.
    1. The groundwater remedy implemented under corrective action  shall be considered complete when: 
    a. The owner or operator complies with the groundwater  protection standards at all points within the plume of contamination that lie  at or beyond the disposal unit boundary by demonstrating that no Table 3.1  Column B constituents have exceeded groundwater protection standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards as described under 9VAC20-81-250 D; and
    b. All other actions required as part of the remedy have been  satisfied or completed, and the owner or operator obtains the certification  required under subdivision H 2 of this section. 
    2. Upon completion of the remedy, the owner or operator shall  notify the director within 14 days by submitting a certification that the  remedy has been completed in compliance with the requirements of the Corrective  Action Plan and the permit as amended modified under subdivision  D 4 c of this section. 
    3. The certification shall be signed by the owner or operator  and by a qualified groundwater scientist, and shall include all data relevant  to the demonstration of a successful remedy completion. 
    4. If the director, based on the review of information presented  under subdivision H 3 of this section, determines that:
    a. The corrective action remedy has been completed in  accordance with the requirements of the Corrective Action Plan, the permit as  amended, and subdivision H 1 of this section, the director will release the  owner or operator from the requirements for financial assurance for corrective  action under 9VAC20-70; or
    b. The remedy has not yet achieved completion, the owner or  operator shall remain in corrective action and meet the financial assurance requirements  until such time as a successful demonstration and certification can be made. 
    Part IV 
  Other Solid Waste Management Facility Standards: 
  Compost Facilities; Solid Waste Transfer Stations; Centralized Waste Treatment  Facilities; Materials Recovery Facilities; Waste to Energy; Incineration  Facilities; Surface Impoundments and Lagoons; Waste Piles; Remediation Waste  Management Units; Landfill Mining; Miscellaneous Units; and Exempt Management  Facilities
    9VAC20-81-300. General.
    A. Any person who designs, constructs, or operates any solid  waste treatment or storage facility not otherwise exempt under 9VAC20-81-35  D 9VAC20-81-95 shall comply with the requirements of this part. In  addition, this part sets forth conditions that yard waste composting facilities  must meet to maintain their exempt status, where applicable, under 9VAC20-81-95  D 6. Further, all applications pursuant to these standards shall demonstrate  specific means proposed for compliance with requirements set forth in this  part.
    B. All facilities, except exempted facilities, shall be  maintained and operated in accordance with the permit issued or permit-by-rule  status pursuant to this regulation. All facilities shall be maintained and  operated in accordance with the approved design and intended use of the  facility. 
    C. Hazardous wastes shall not be disposed or managed in  facilities subject to this regulation unless specified in the permit or by  specific approval of the executive director. 
    D. Solid waste management facilities regulated under this  part that place solid wastes or residues on site for disposal, or leave such  wastes or residues in place after closure, are subject to the provisions of  Part III (9VAC20-81-100 et seq.) of this chapter, including:
    1. Groundwater monitoring requirements in 9VAC20-81-250;
    2. Closure and postclosure care requirements in 9VAC20-81-160  and 9VAC20-81-170; and
    3. Permitting requirements of Part V (9VAC20-81-400 et seq.)  of this chapter.
    E. All other facilities shall close in accordance with the  closure plan prepared per the requirements described in this part and  9VAC20-81-480, as applicable.
    F. Control program for unauthorized waste. Facilities  managing solid waste per activities exempted under the provisions of  9VAC20-81-95 are not required to implement the control program for unauthorized  waste as provided in this section.
    1. Solid waste treatment or storage facilities regulated under  this part shall implement a control program for unauthorized waste in  accordance with the following provisions. The owner or operator of the facility  shall:
    a. Place a written description of the control program for  unauthorized waste in the facility's operating manual; 
    b. Institute a control program (including measures such as  signs at all maintained access points indicating hours of operation and the  types of solid waste accepted and not accepted, monitoring, alternate  collection programs, passage of local laws, etc.) to assure that only solid  waste authorized by the department to be managed at the solid waste management  facility is being managed there; and
    c. Develop and implement a program to teach the solid waste  management facility's staff to recognize, remove, and report receipt of solid  waste not authorized by the department to be managed at the solid waste  management facilities.
    2. If unauthorized waste is observed in the waste delivered to  the facility prior to unloading, the owner or operator may refuse to accept the  waste. If the unauthorized waste is observed in the waste delivered to the  facility, the owner or operator shall segregate it, notify the generator,  document the incident in the operating record, make necessary arrangements to  have the material managed in accordance with applicable federal and state laws,  and notify the department of the incident to include the means of proper  handling. If the unauthorized waste is accepted, the owner or operator shall  remove it, segregate it, and provide to the department a record identifying  that waste and its final disposition. Any unauthorized waste accepted by the  owner or operator shall be managed in accordance with applicable federal or  state laws and regulations. Unauthorized waste that has been segregated shall  be adequately secured and contained to prevent leakage or contamination to the  environment. The solid waste management facility owner or operator shall have  the unauthorized waste removed or properly managed as soon as practicable, but  not to exceed 90 days after discovery. Removal shall be by a person authorized  to transport such waste to a waste management facility approved to receive it  for treatment, disposal, or transfer.
    3. Owners or operators of waste to energy or incinerator  facilities receiving waste generated outside of Virginia shall also comply with  the increased random inspection provisions in 9VAC20-81-340 E 3.
    G. Solid waste management facilities regulated under this  part that store waste tires shall also adhere to the requirements of  9VAC20-81-640 for the waste tire storage. 
    9VAC20-81-397. Exempt yard waste composting facilities.
    A. Applicability.
    1. The standards in subsection B of this section apply to  persons who compost vegetative waste in a manner described in the conditional  exemption set forth at 9VAC20-81-95 D.
    2. The standards in subsection C of this section apply to  persons who operate small vegetative waste disposal units on their property.
    B. Composting of yard waste. Additional requirements for  managing conditionally exempt yard waste compost facilities, described under  9VAC20-81-95 D 6, are as follows: 
    1. Owners or operators of agricultural operational activities  that accept only yard waste generated offsite are exempt from all other  provisions of this chapter as applied to the composting activities provided  that:
    a. The total time for composting process and storage of  material that is being composted shall not exceed 18 months prior to its field  application or sale as a horticultural or agricultural product;
    b. No waste material other than yard waste is received;
    c. The total amount of yard waste received from offsite never  exceeds 6,000 cubic yards in any consecutive 12-month period;
    d. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;
    e. They pose no nuisance or present or potential threat to  human health or the environment; and
    f. Before receiving any waste, the owner submits a complete  DEQ Form YW-3:
    2. Owners or operators of agricultural operations that accept  only Category I yard waste feedstocks and manures from herbivorous  animals generated offsite are exempt from all other provisions of this chapter  as applied to the composting activities provided that:
    a. The composting area is located not less 300 feet from a  property boundary of a parcel owned or controlled by another person, is located  not less than 1,000 feet from an occupied dwelling not located on the same  property as the composting area, and is not located within an area designated  as a flood plain;
    b. The agricultural operation has at least one acre of ground  suitable to receive yard waste for each 150 cubic yards of finished compost;
    c. The total time for the composting process and storage of  material that is being composted or has been composted shall not exceed 18  months prior to the field application or sale as horticultural or agricultural  product;
    d. The owner or operator of any agricultural operation that  receives in any 12-month period (consecutive) more than 6,000 cubic yards of  waste generated from property not within the control of the owner or the  operator shall submit by April 1 each year to the director an annual report in  accordance with subdivision 4 of this subsection describing the volume and  types of yard waste received for composting by the operation between January 1  and December 31 of the preceding consecutive 12 months and shall certify that  the yard waste composting facility complies with local ordinances; 
    e. No waste material other than yard waste and manures from  herbivorous animals are received;
    f. The quantities of offsite manures from herbivorous animals  brought onsite are limited to achieve a carbon to nitrogen ratio of 25:1 to  40:1. All manures must be incorporated into the compost within 24 hours of  delivery. No offsite manures may be stored onsite; and
    g. Prior to the receipt of solid waste generated offsite, the  owner or operator of the agricultural operation intending to operate under this  exemption shall submit a complete DEQ Form YW-4.
    3. Owners or other persons authorized by the owner of real  property who receive only yard waste generated offsite for the purpose of  producing compost on said property shall be exempt from all requirements of  this chapter as applied to the composting activity provided that: 
    a. Not more than 500 cubic yards of yard waste generated  offsite is received at the owner's said property in any consecutive 12-month  period; 
    b. No compensation will be received, either directly or  indirectly, by the owner or other persons authorized by the owner of said  property from parties providing yard waste generated off said property; 
    c. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;  and 
    d. They pose no nuisance or present or potential threat to  human health or the environment.
    4. Owners or operators of an agricultural composting operation  in accordance with subdivision 2 of this subsection, who are exempt from the  permitting requirements in accordance with 9VAC20-81-95 D and who may receive  more than 6,000 cubic yards of yard waste generated from property not within  the control of the owner or operator in any 12-month period shall submit an  annual report on DEQ Form YW-2. The report shall describe the volume and  types of yard waste received for composting. Completion and filing of the form  by July 15 April 1 for activities in the preceding 12 months  (January 1 through December 31) constitutes compliance with the requirements.  The annual report shall be submitted on DEQ Form YW-2.
    C. Small disposal units for vegetative wastes from land  clearing. Additional requirements for managing small disposal units for  vegetative waste from land clearing as exempted under 9VAC20-81-95 D 17 are as  follows:
    Owners of real property who operate small waste disposal  units that qualify under all the conditions of this subsection shall be exempt  from other provisions, including permitting, of this chapter as applied to  those units provided:
    1. No person other than the owner of the real property shall  be exempt under this section.
    2. All owners of the real property who hold title to property  at the time the disposal unit is initially opened or during the time the unit  remains open (limited to two calendar years below) shall, in the exercise of  this exemption, accept responsibility for maintaining compliance of the unit  with all requirements of this chapter as set out in this exemption.
    3. The owner agrees that he shall not sell, give, or otherwise  transfer the responsibility for the unit's compliance to any other party  throughout its active life, the postclosure care period, and the corrective  action period, and that he shall remain the principal party responsible for the  compliance of the unit with this chapter. 
    4. Only units that are in compliance with all requirements of  this section shall qualify, and units that are not in compliance with all  requirements of this section shall not qualify or shall cease to qualify. Units  that qualify for this exemption shall comply with the following requirements:
    a. Only vegetative waste or yard waste shall be placed in the  disposal unit; however, grass trimmings or bulk leaves shall not be placed in  the disposal unit.
    b. The waste disposal unit shall not be larger than 0.50 acres  in size.
    c. The waste disposal unit shall not be located within 1,000  feet of any other waste disposal unit of any type, including other disposal  units exempted by this chapter.
    d. The waste disposal unit shall not be located within 150  feet of any existing building or planned building. The waste disposal unit  shall not be located within 50 feet of any existing or planned subdivision lot  that may be used for the erection of a building.
    e. The waste disposal unit shall not be located within 100  feet of a flowing stream; body of water; any well, spring, sinkhole, or  unstable geologic feature. Also, it shall not be located within 200 feet of any  groundwater source of drinking water.
    f. The waste disposal unit shall be constructed to separate  all waste by at least two feet vertically from the seasonal high water table.
    g. The waste disposal unit should not obstruct the scenic view  from any public road and should be graded to present a good appearance.
    h. Mounding of the waste disposal unit shall not reach an  elevation more than 20 feet above the original elevation of the terrain before  the disposal began. The elevation of the original terrain should be based on  the general area and not the bottom of ravines and small depressions in the  disposal area.
    i. The waste received by the waste disposal unit shall be  limited to the following:
    (1) Waste generated onsite;
    (2) Waste generated by clearing the path of a roadway or  appurtenances to the roadway when buried within the right-of-way of the roadway  (waste shall not be buried in the structural roadway prism) or adjacent land  under a permanent easement and the terms of the easement incorporate the  construction of the disposal unit; and
    (3) Waste from property that is owned by the owner of the  disposal unit, within the same construction project, and generated not more  than two miles from the unit.
    j. The waste disposal unit shall be closed two calendar years  from the date it first receives waste. The closure shall include cover with two  feet of compacted soil, grading for good appearance with slopes that prevent  erosion, and seeding or revegetation. During the life of the unit, earthen material  should be applied periodically to prevent excessive subsidence of the waste  disposal unit when closed. Sides of the finished unit shall be sloped to  prevent erosion, and slopes shall not be steeper than one vertical foot to  three horizontal feet.
    k. The location plat and legal description, as set out in  subdivision 4 p of this subsection, of all units that are not located wholly  within the bed or right-of-way of a public road shall be recorded in the deed  book for the property in the court of record prior to the first receipt of  waste. Waste disposal shall not be allowed within the structural roadway prism.
    l. The owner shall maintain continuous control of access to  all disposal units from the time they are opened until they are closed in  accordance with this section. The owner shall prevent fires and provide standby  equipment and supplies sufficient to easily suppress a fire. Brush and small  limbs that might provide tinder for a fire shall be covered at the end of the  work day with one foot of soil.
    m. The owner shall not be exempt from the CDD landfill  groundwater monitoring and corrective action requirements of 9VAC20-81-250 and  9VAC20-81-260, respectively, to include required monitoring during the  postclosure period.
    n. The owner shall not be exempt from the decomposition gas  monitoring and venting requirements of 9VAC20-81-210. The owner of a small  waste disposal unit shall comply in all respects with the decomposition gas  monitoring and venting requirements as established in this chapter.
    o. The owner shall not be exempt from any requirement of the  Financial Assurance Regulations For Solid Waste Disposal Facilities,  (9VAC20-70), and shall comply with all financial assurance requirements.
    p. At least six weeks before beginning construction of a  vegetative waste disposal unit, the owner of the real property shall notify in  writing the director, the governing board of the city, county, or town wherein  the property lies, and all property owners whose parcel will abut the area of  the proposed disposal unit. The notice shall give the names and legal addresses  of the owners, the type of unit to be developed, and the projected date of  initial construction of the unit. The owner shall include a plat and legal  description of the disposal unit's metes and bounds prepared and stamped by a  Virginia licensed land surveyor. The plat and description shall follow all  standard practice such as inclusion of the nearest existing intersection of  state roads and existing fixed survey markers in the vicinity.
    q. Unless otherwise designated, all monitoring and reporting  requirements shall begin at the initiation of the disposal operations and all  reports shall be sent to the department and the chief executive of the local  government. 
    9VAC20-81-470. Part B permit application for solid waste l  disposal facilities.
    Part B permit application requirements for all solid waste  disposal facilities regulated under Part III (9VAC20-81-100 et seq.) are  contained in this section. The Part B applications shall include the following  requirements and documentation: 
    A. Plans submitted as part of the Part B application shall  include the following: 
    1. Design plans. Design plans shall be certified by a  professional engineer and shall consist of, at least, the following: 
    a. A title sheet indicating the project title, who prepared  the plans, the person for whom the plans were prepared, a table of contents,  and a location map showing the location of the site and the area to be served. 
    b. An existing site conditions plans sheet indicating site  conditions prior to development. 
    c. A base grade plan sheet indicating site base grades or the  appearance of the site if it were excavated in its entirety to the base  elevation, before installation of any engineering modifications or the  beginning of any filing. 
    d. An engineering modification plan sheet indicating the  appearance of the site after installation of engineering modifications. More  than one plan sheet may be required for complicated sites. This plan is  required only for those sites with engineering modifications. 
    e. A final site topography plan sheet indicating the  appearance of the site, and final contours of the site at closing including the  details necessary to prepare the site for long-term care. 
    f. A series of phasing plan sheets showing the progression of  site development through time. At a minimum, a separate plan shall be provided  for initial site preparations and for each subsequent major phase or new area  where substantial site preparation must be performed. Each such plan shall  include a list of construction items and quantities necessary to prepare the  phase indicated. 
    g. A site monitoring plan showing the location of all devices  for the monitoring of leachate production, groundwater quality, and gas  production and venting. This plan shall include a table indicating the  parameters to be monitored for the frequency of monitoring before and during  site development. The groundwater monitoring plan shall include information as  applicable under 9VAC20-81-250 or 9VAC20-81-260. 
    h. A series of site cross-sections shall be drawn  perpendicular and parallel to the site base line at a maximum distance of 500  feet between cross-sections and at points of grade break and important  construction features. The location of the cross-sections shall be shown on the  plan sheets and the section labeled using the site grid system. Where  applicable, each cross-section shall show existing, proposed base and final  grades; soil borings and monitoring wells that the section passes through or is  adjacent to; soil types, bedrock and water table; leachate control, collection,  and monitoring systems; limits of filling for each major waste type; drainage  control structures; access roads and ramps on the site parameter perimeter  and within the active fill area; the filling sequence or phases; and other site  features. 
    i. Detailed drawings and typical sections for drainage control  structures, access roads, fencing, leachate and gas control systems, and  monitoring devices, buildings, signs, and other construction details. 
    j. Plan sheets shall include: 
    (1) A survey grid with base lines and bench marks to be used  for field control. 
    (2) Limits of filling for each major waste type or fill area. 
    (3) All drainage patterns and surface water drainage control  structures both within the actual fill area and at the site perimeter. Such  structures may include berms, ditches, sedimentation basins, pumps, sumps,  culverts, pipes, inlets, velocity breaks, sodding, erosion matting, or other  methods of erosion control. 
    (4) Ground surface contours at the time represented by the  drawing. Spot elevations shall be indicated for key features. 
    (5) Areas to be cleared and grubbed and stripped of topsoil. 
    (6) Borrow areas for liner materials, gas venting materials,  berms, roadway construction, daily cover, and final cover. 
    (7) All soil stockpiles including daily and final cover,  topsoil, liner materials, gas venting materials, and other excavation. 
    (8) Access roads and traffic flow patterns to and within the  active fill area. 
    (9) All temporary and permanent fencing. 
    (10) The methods of screening such as berms, vegetation, or  special fencing. 
    (11) Leachate collection, control, storage, and treatment  systems that may include pipes, manholes, trenches, berms, collection sumps,  storage units, pumps, risers, liners, and liner splices. 
    (12) Gas, leachate, and groundwater monitoring devices and  systems. 
    (13) Severe weather solid waste disposal areas. 
    (14) Support buildings, scale, utilities, gates, and signs. 
    (15) Special waste handling areas. 
    (16) Construction notes and references to details. 
    (17) Other site features. 
    2. Closure plan. A detailed closure plan be prepared and  submitted. Such a plan shall be prepared in two parts, one reflecting those  measures to be accomplished at the midpoint of the permit period, and the other  when the useful life of the landfill is reached. The plan shall show how the  facility will be closed to meet the requirements of 9VAC20-81-160 and  9VAC20-81-170. The plan shall include the procedures to be followed in closing  the site, sequence of closure, time schedules, final plans of completion of  closure to include final contours, and long-term care plan sheets showing the  site at the completion of closing and indicating those items anticipated to be  performed during the period of long-term care for the site. The plans shall  include a table listing the items and the anticipated schedule for monitoring  and maintenance. In many instances this information can be presented on the  final site topography sheet. 
    3. Postclosure plan. A postclosure care plan containing  long-term care information including a discussion of the procedures to be  utilized for the inspection and maintenance of: run-off control structures;  settlement; erosion damage; gas and leachate control facilities; monitoring for  gas, leachate, and groundwater; and other long-term care needs. 
    B. A design report shall be submitted, which shall include  supplemental discussions and design calculations, to facilitate department  review and provide supplemental information including the following  information: 
    1. The design report shall identify the project title;  engineering consultants; site owner, permittee and operator; proposed permitted  acreage; hours of operation; wastes to be accepted; site life; design capacity;  and the daily disposal limit. It shall also identify any variances desired by  the applicant.
    2. A discussion of the basis for the design of the major  features of the site, such as traffic routing, base grade and relationships to  subsurface conditions, anticipated waste types and characteristics, phases  development, liner design, leachate management system design, facility  monitoring, and similar design features shall be provided. A list of the  conditions of site development as stated in the department determination of  site feasibility and the measures taken to meet the conditions shall be  included. A discussion of all calculations, such as refuse-cover balance  computations, stockpile sizing estimates, estimate of site life, and run-off  and leachate volume estimates shall be included. The calculations shall be  summarized with the detailed equations presented in an appendix.
    3. Specifications, including detailed instructions to the site  operator for all aspects of site construction.
    a. Initial site preparations including specifications for  clearing and grubbing, topsoil stripping, other excavations, berm construction,  drainage control structures, leachate collection system, access roads and  entrance, screening, fencing, groundwater monitoring, and other special design  features.
    b. A plan for initial site preparation including a discussion  of the field measurements, photographs to be taken, sampling and testing  procedures to be utilized to verify that the in-field conditions encountered  were the same as those defined in the feasibility report, and to document that  the site was constructed according to the engineering plans and specifications  submitted for department approval.
    C. Financial assurance documentation. When required by the  Financial Assurance Regulations of Solid Waste Disposal, Transfer, and  Treatment Facilities (9VAC20-70), the applicant shall provide the completed  documentation to demonstrate compliance with those regulations; proof of  financial responsibility must be for the entity identified in accordance with  9VAC20-81-450 B 10.
    D. DEQ Form SW PTB (Part B Permit Application Form). The  applicant shall submit a completed DEQ Form SW PTB.
    9VAC20-81-485. Operations manual requirements for solid waste  management facilities.
    A. Solid waste disposal facilities. An operations manual  shall be prepared and maintained in the operating record. The operations manual  shall include a certification page signed by a responsible official. This  signature shall certify the manual meets the requirements of this chapter. This  manual shall be reviewed and recertified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements, and shall be made available for review by the department upon  request. The operations manual for disposal facility operation shall contain at  least the following plans: 
    1. An operations plan that at a minimum includes:
    a. Explanation of how the design and construction plans will  be implemented from the initial phase of operation until closure;
    b. Municipalities, industries, and collection and  transportation agencies served; 
    c. Waste types and quantities to be disposed; 
    d. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the operational requirements  of Part III (9VAC20-81-100 et seq.) of this chapter are achieved. References to  specifications on the plan sheet shall be pointed out as well as additional  instructions included, where appropriate. At a minimum, the plan specifications  shall include: 
    (1) Daily operations including a discussion of the timetable  for development, waste types accepted or excluded, inspection of incoming  waste, typical waste handling techniques, hours of operation, traffic routing,  drainage and erosion control, windy, wet and cold weather operations, fire  protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, direction of  filling, salvaging, recordkeeping, parking for visitors and employees,  monitoring, maintenance, closure of filled areas, gas and leachate control  methods, backup equipment with names and telephone numbers where equipment may  be obtained, and other special design features; 
    (2) Development of subsequent phases; and 
    (3) Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan. 
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part III (9VAC20-81-100 et seq.) of this chapter. 
    b. The frequency of inspection based on the rate of potential  equipment deterioration or malfunction and the probability of an adverse  incident occurring if the deterioration or malfunction goes undetected between  inspections. The plan shall establish the minimum frequencies for inspections  required in 9VAC20-81-140. This plan shall identify areas of the facility  subject to spills such as loading and unloading areas and areas in which  significant adverse environmental or health consequences may result if  breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the requirements of  9VAC20-81-140.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses, and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates. 
    6. A landscaping plan that shall:
    a. Delineate existing site vegetation to be retained;
    b. Discuss methods to be employed in order to ensure protection  of vegetation to be retained during the clearing, grading and construction  phases of the project and the supplemental vegetation to be planted; and 
    c. Information relating to vegetation type, location and  purpose, such as for buffer, screening or aesthetics, and schedules for  planting, shall accompany the plan. 
    B. Other solid waste management facilities. An operations  manual shall be prepared and maintained in the operating record. The Operations  Manual shall include a certification page signed by a responsible official.  This signature shall certify the manual meets the requirements of this chapter.  This manual shall be reviewed and re-certified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements and shall be made available to the department upon request. The  manual for facility operation shall contain at least the following plans:
    1. An operations plan that at a minimum includes:
    a. An explanation of how the design and construction plans  will be implemented from the initial phase of operation until closure.
    b. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the applicable operational  requirements of Part IV (9VAC20-81-300 et seq.) are achieved. Daily operations  including a discussion of the timetable for development, waste types accepted  or excluded, typical waste handling techniques, hours of operation, traffic  routing, drainage and erosion control, windy, wet and cold weather operations,  fire protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, salvaging,  record keeping, parking for visitors and employees, monitoring, backup equipment  with names and telephone numbers where equipment may be obtained, and other  special design features. The daily operations section of the operations manual  may be developed as a removable section to improve accessibility for the site  operator. 
    c. Development of subsequent phases of the facility, if  applicable.
    d. Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan.
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part IV (9VAC20-81-300 et seq.) of this chapter. 
    b. The frequency of inspection shall be based on the rate of  potential equipment deterioration or malfunction and the probability of an  adverse incident occurring if the deterioration or malfunction goes undetected  between inspections. The plan shall establish the minimum frequencies for  inspections required in 9VAC20-81-140 9VAC20-81-340. This plan  shall identify areas of the facility subject to spills such as loading and  unloading areas and areas in which significant adverse environmental or health  consequences may result if breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the applicable  requirements of 9VAC20-81-340.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates.
    9VAC20-81-490. Effect of the permit.
    A. A completed permit for a solid waste management facility  shall be prepared at the conclusion of the procedures outlined in  9VAC20-81-450. The permit shall be prepared in detail to establish the  construction requirements, monitoring requirements, operating limitations or  guides, waste limitations if any, and any other details essential to the  operation and maintenance of the facility and its closure. Before receipt of  waste by the facility, the applicant must: 
    1. Notify the department, in writing, that construction has been  completed; and submit to the department a letter from a professional engineer  certifying that the facilities have been completed in accordance with the  approved plans and specifications and is ready to begin operation. This  certification letter is in addition to the CQA certification required in  9VAC20-81-130 Q 3 and must be provided by a different individual than the CQA  certification. This certification letter is typically provided by the design  engineer. 
    2. Arrange for a department representative to inspect the site  and confirm that the site is ready for operation. 
    B. Certificate-to-Operate (CTO). Following review of a  complete CQA certification and site inspection the department shall issue a CTO  authorizing the facility to begin receiving waste. The facility shall not  receive waste until a CTO has been issued by the department. 
    C. Inspections. Each facility permitted to accept solid waste  requires periodic inspection and review of records and reports. Such  requirements shall be set forth in the final permit issued by the department.  The permit applicant by accepting the permit, agrees to the specified periodic  inspections. 
    D. Compliance with a valid permit during its term constitutes  compliance, for purposes of enforcement, with the Virginia Waste Management  Act. However, a permit may be modified, revoked and reissued, or revoked for  cause as set forth in 9VAC20-81-570 and 9VAC20-81-600. 
    E. The issuance of a permit does not convey any property  rights of any sort, or any exclusive privilege. 
    F. The issuance of a permit does not authorize any injury to  persons or property or invasion of other private rights, or any infringement of  federal, Commonwealth, or local law or regulations. 
    G. A permit may be transferred by the permittee to a new  owner or operator only if the permit has been revoked and reissued, or a minor  modification made to identify the new permittee and incorporate such other  requirements as may be necessary. Upon presentation of the financial assurance  proof required by 9VAC20-70 by the new owner, the department will release the  old owner from his closure and financial responsibilities and acknowledge  existence of the new or modified permit in the name of the new owner. 
    H. This section provides for the approval of permits or  permit modifications that include a time allowance for the permittee to achieve  the new standards contained in the approved permit or permit modification.
    1. The permit may specify a schedule of compliance leading to  compliance with this chapter. 
    a. Any schedules of compliance under this subsection shall  require compliance as soon as possible. 
    b. Except as otherwise provided, if a permit establishes a  schedule of compliance that exceeds one year from the date of permit issuance,  the schedule shall set forth interim requirements and the dates for their  achievement. 
    (1) The time between interim dates shall not exceed one year;  and 
    (2) If the time necessary for completion of any interim  requirement is more than one year and is not readily divisible into stages of  completion, the permit shall specify interim dates for the submission of  reports of progress toward completion of the interim requirements and indicate  a projected completion date. 
    c. The permit shall be written to require that no later than  14 days following each interim date and the final date of compliance, a  permittee shall notify the department, in writing, of his compliance or  noncompliance with the interim or final requirements. 
    2. A permit applicant or permittee may cease conducting  regulated activities (by receiving a terminal volume of solid waste, and, in  case of treatment or storage facilities, closing pursuant to applicable  requirements, or, in case of disposal facilities, closing and conducting  postclosure care pursuant to applicable requirements) rather than continue to  operate and meet permit requirements as follows: 
    a. If the permittee decides to cease conducting regulated  activities at a specified time for a permit that has already been issued: 
    (1) The permit may be modified to contain a new or additional  schedule leading to timely cessation of activities; or 
    (2) The permittee shall cease conducting permitted activities  before noncompliance with any interim or final compliance schedule requirement  already specified in the permit. 
    b. If the decision to cease conducting regulated activities is  made before the issuance of a permit whose terms will include the termination  date, the permit shall contain a schedule leading to termination that will  ensure timely compliance with applicable requirements. 
    c. If the permittee is undecided whether to cease conducting  regulated activities, the director may issue or modify a permit to continue two  schedules as follows: 
    (1) Both schedules shall contain an identical interim deadline  requiring a final decision on whether to cease conducting regulated activities  no later than a date that ensures sufficient time to comply with applicable  requirements in a timely manner if the decision is to continue conducting  regulated activities; 
    (2) One schedule shall lead to timely compliance with  applicable requirements; 
    (3) The second schedule shall lead to cessation of regulated  activities by a date that will ensure timely compliance with applicable  requirements; and
    (4) Each permit containing two schedules shall include a  requirement that, after the permittee has made a final decision, he shall  follow the schedule leading to compliance if the decision is to continue  conducting regulated activities, and follow the schedule leading to termination  if the decision is to cease conducting regulated activities. 
    d. The applicant's decisions to cease conducting regulated  activities shall be evidenced by a firm public commitment satisfactory to the  department, such as a resolution of the board of directors of a corporation.
    9VAC20-81-530. Recording and reporting required of a permitee  permittee.
    A. A permit shall specify: 
    1. Required monitoring, including type, intervals and  frequency, sufficient to yield data that are representative of the monitored  activity; 
    2. Requirements concerning the proper use, maintenance, and  installation of monitoring equipment or methods, including biological  monitoring methods when appropriate; and
    3. Applicable reporting requirements based upon the impact of  the regulated activity and as specified in this chapter. 
    B. A permittee shall be subject to the following whenever  monitoring is required by the permit: 
    1. The permittee shall retain records at the permitted  facility or another location approved by the department. Records shall include  all records required by the facility permit, these regulations, or other  applicable regulations. Records of all required monitoring information,  including all calibration and maintenance records will be maintained for at  least three years from the sample or measurement date. The director may request  that this period be extended. For operating landfills, records of the most  recent gas and groundwater monitoring event will be maintained at the facility.  
    2. Records of monitoring information shall include: 
    a. The date, exact place, and time of sampling or  measurements; 
    b. The individuals who performed the sampling or measurements;  
    c. The dates analyses were performed; 
    d. The individuals who performed the analyses; 
    e. The analytical techniques or methods used; and 
    f. The results of such analyses. 
    3. Required monitoring results shall be maintained on file for  inspection by the department. 
    C. A permittee shall be subject to the following reporting  requirements: 
    1. Written notice of any planned physical alterations to the  permitted facility shall be submitted to the department and approved before  such alterations are to occur, unless such items were included in the plans and  specifications approved by the department.
    2. Reports of compliance or noncompliance with, or any  progress reports on, interim and final requirements contained in any compliance  schedule of the permit, shall be submitted no later than 14 days following each  schedule date. 
    3. The permittee shall report to the department any  noncompliance or unusual condition that may endanger health or environment. Any  information shall be provided orally within 24 hours from the time the  permittee becomes aware of the circumstances. A written submission shall also  be provided within five days of the time the permittee becomes aware of the  circumstances. The written submission shall contain a description of the  circumstances and its cause; the period of occurrence, including exact dates  and times, and, if the circumstance has not been corrected, the anticipated time  it is expected to continue. It shall also contain steps taken or planned to  reduce, eliminate, and prevent reoccurrence of the circumstances resulting in  an unusual condition or noncompliance. 
    D. Copies of all reports required by the permit, and records  of all data used to complete the permit application must be retained by the  permittee for at least three years from the date of the report or application.  The director may request that this period be extended. 
    E. When the permittee becomes aware that he failed to submit  any relevant facts or submitted incorrect information in a permit application  or in any report to the director, he shall promptly submit such omitted facts  or the correct information with an explanation.
    9VAC20-81-600. Modification of permits.
    A. Permits may be modified at the request of any interested  person or upon the director's initiative. However, permits may only be modified  for the reasons specified in subsections E and F of this section. All requests  shall be in writing and shall contain facts or reasons supporting the request.  Any permit modification authorizing expansion of an existing sanitary landfill  shall incorporate the conditions required for a disposal capacity guarantee in  § 10.1-1408.1 P of the Code of Virginia. This provision does not apply to  permit applications from one or more political subdivisions that will only  accept waste from within those political subdivisions' jurisdiction or  municipal solid waste generated within other political subdivisions pursuant to  an interjurisdictional agreement. 
    B. If the director decides the request is not justified, he  shall send the requester a response providing justification for the decision. 
    C. If the director tentatively decides to modify, he shall  prepare a draft permit incorporating the proposed changes. The director may  request additional information and may require the submission of an updated  permit application. In a permit modification under subsection E of this  section, only those conditions to be modified shall be reopened when a new  draft permit is prepared. All other aspects of the existing permit shall remain  in effect. During any modification proceeding the permittee shall comply with  all conditions of the existing permit until the modified permit is issued. 
    D. When the director receives any information, he may  determine whether or not one or more of the causes listed for modification  exist. If cause exists, the director may modify the permit on his own  initiative subject to the limitations of subsection E of this section and may  request an updated application if necessary. If a permit modification satisfies  the criteria in subsection F of this section for minor modifications, the  permit may be modified without a draft permit or public review. Otherwise, a  draft permit shall be prepared and other appropriate procedures followed. 
    E. Causes for modification. The director may modify a permit  upon his own initiative or at the request of a third party: 
    1. When there are material and substantial alterations or  additions to the permitted facility or activity that occurred after permit  issuance that justify the application of permit conditions that are different  or absent in the existing permit; 
    2. When there is found to be a possibility of pollution  causing significant adverse effects on the air, land, surface water, or  groundwater; 
    3. When an investigation has shown the need for additional  equipment, construction, procedures and testing to ensure the protection of the  public health and the environment from adverse effects; 
    4. If the director has received information pertaining to  circumstances or conditions existing at the time the permit was issued that was  not included in the administrative record and would have justified the  application of different permit conditions, the permit may be modified  accordingly if in the judgment of the director such modification is necessary  to prevent significant adverse effects on public health or the environment; 
    5. When the standards or regulations on which the permit was  based have been changed by promulgation of amended standards or regulations or  by judicial decision after the permit was issued; 
    6. When the director determines good cause exists for  modification of a compliance schedule, such as an act of God, strike, flood, or  material shortage or other events over which the permittee has little or no  control and for which there is no reasonably available remedy; 
    7. When a modification of a closure plan is required under  9VAC20-81-160 or 9VAC20-81-360 and the permittee has failed to submit a permit  modification request within the specified period; 
    8. When the corrective action program specified in the permit  under 9VAC20-81-260 has not brought the facility into compliance with the  groundwater protection standard within a reasonable period of time; or 
    9. When cause exists for revocation under 9VAC20-81-570 and  the director determines that a modification is more appropriate. 
    F. Permit modification at the request of the permittee. 
           |      TABLE 5.2     PERMIT MODIFICATIONS      |    
       |      MAJOR      |          1. Implementation of a groundwater corrective action program    as required by 9VAC20-81-260      |    
       |      2. Change in the remedy applied as part of the groundwater    corrective action program      |    
       |      3. Groundwater monitoring plan for an existing facility    where no written plan has previously been provided      |    
       |      4. Changes to the design of final closure cover      |    
       |      5. Landfill mining      |    
       |      6. Reduction in the postclosure care period      |    
       |      7. Changes in postclosure use of the property with    disturbance of cover      |    
       |      8. All new or modifications of a leachate collection tank or    a leachate collection surface impoundment      |    
       |      9. Addition of new landfill units      |    
       |      10. Expansion or increase in capacity      |    
       |      11. Increase in daily disposal limit      |    
       |      12. Addition or modification of a liner, leachate collection    system, leachate detection system      |    
       |      13. Incorporation or modification of a Research,    Development, and Demonstration Plan       |    
       |      MINOR      |          Any change not specified as    major modification (above) or a permittee change (below)      |    
       |      PERMITTEE CHANGE      |          1. Correction of typographical errors      |    
       |      2. Equipment replacement or upgrade with functionally    equivalent components      |    
       |      3. Replacement of an existing leachate tank with a tank that    meets the same design standards and has a capacity within +/-10% of the    replaced tank      |    
       |      4. Replacement with functionally equivalent, upgrade, or    relocation of emergency equipment      |    
       |      5. Changes in name, address, or phone number of contact    personnel      |    
       |      6. Replacement of an existing well that has been damaged or    rendered nonoperable, without change to location, design, or depth of the    well      |    
       |      7. Changes to the expected year of final closure, where    other permit conditions are not changed      |    
       |      8. Changes in postclosure use of the property, without    disturbance of the cover      |    
       |      9. Modification of a leachate tank management practice      |    
  
    1. Permittee change. Items listed under Permittee Change in  Table 5.2 may be implemented without approval of the department. If a permittee  changes such an item, the permittee shall: 
    a. Notify the department of the change at least 14 calendar  days before the change is put into effect, indicating the affected permit  conditions; and
    b. Notify the governing body of the county, city, or town in  which the facility is located, within 90 calendar days after the change is put  into effect.
    2. Minor modifications. 
    a. Minor modifications apply to minor changes that keep the  permit current with routine changes to the facility or its operation. These  changes do not substantially alter the permit conditions or reduce the capacity  of the facility to protect human health or the environment.
    b. Minor modifications may be requested for changes that will  result in a facility being more protective of human health and the environment  or equivalent to the standards contained in this chapter, unless otherwise  noted in Table 5.2. The request for such a minor permit modification will be  accompanied by a description of the desired change and an explanation of the  manner in which the health and environment will be protected in a greater  degree than required by the chapter.
    c. Minor permit modifications may be made only with the prior  written approval of the department. The permittee shall notify the department  that a minor modification is being requested. Notification of the department  shall be provided by certified mail or other means that establish proof of  delivery. This notice shall specify the changes being made to permit conditions  or supporting documents referenced by the permit and shall  include an  explanation of why they are necessary. Along with the notice, the permittee  shall provide the applicable information required by 9VAC20-81-460 and  9VAC20-81-470 or as required by 9VAC20-81-480.
    d. The permittee shall send a notice of the modification to  the governing body of the county, city or town in which the facility is  located. This notification shall be made within 90 days after the department  approves the request. 
    3. Major modifications. 
    a. Major modifications substantially alter the facility or its  operation. Major modifications are listed in Table 5.2. 
    b. The permittee shall submit a modification request to the  department that: 
    (1) Describes the exact change to be made to the permit  conditions and supporting documents referenced by the permit; 
    (2) Identifies that the alteration is a major modification; 
    (3) Contains an explanation of why the modification is needed;  and
    (4) Provides the applicable information required by  9VAC20-81-460 and 9VAC20-81-470 or as required by 9VAC20-81-480. 
    c. No later than 90 days after receipt of the notification  request, the director will determine whether the information submitted under  subdivision  3 b (4) of this subsection is adequate to formulate a  decision. If found to be inadequate, the permittee will be requested to furnish  additional information within 30 days of the request by the director to complete  the modification request record. The 30-day period may be extended at the  request of the applicant. After the completion of the record, the director will  either: 
    (1) Approve the modification request, with or without changes,  and draft a permit modification accordingly;
    (2) Deny the request; or 
    (3) Approve the request, with or without changes, as a  temporary authorization having a term of up to 180 days in accordance with  subdivision 3 of this subsection. 
    d. If the director proposes to approve the permit  modification, he will proceed with the permit issuance in accordance with  9VAC20-81-450 E. 
    e. The director may deny or change the terms of a major permit  modification request under subdivision  F 3 b of this section for the  following reasons: 
    (1) The modification request is incomplete; 
    (2) The requested modification does not comply with the  appropriate requirements of Part III (9VAC20-81-100 et seq.) or Part IV  (9VAC20-81-300 et seq.) of this chapter or other applicable requirements; or 
    (3) The conditions of the modification fail to protect human  health and the environment. 
    4. Temporary authorizations. 
    a. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of subdivision  4 of this subsection.  Temporary authorizations shall have a term of not more than 180 days. 
    b. (1) The permittee may request a temporary authorization for  any major modification that meets the criteria in subdivision 4 c (2) (a) or  (b) of this subsection; or that meets the criteria in subdivision 4 c (2) (c)  and (d) of this subsection and provides improved management or treatment of a  solid waste already listed in the facility permit. 
    (2) The temporary authorization request shall include: 
    (a) A description of the activities to be conducted under the  temporary authorization; 
    (b) An explanation of why the temporary authorization is  necessary; and 
    (c) Sufficient information to ensure compliance with Part III  (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et seq.) standards. 
    (3) The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven days of submission of the authorization  request. 
    c. The director shall approve or deny the temporary  authorization as quickly as practical. To issue a temporary authorization, the  director shall find: 
    (1) The authorized activities are in compliance with the  standards of Part III (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et  seq.) of this chapter. 
    (2) The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an modification  request: 
    (a) To facilitate timely implementation of closure or  corrective action activities; 
    (b) To prevent disruption of ongoing waste management  activities; 
    (c) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (d) To facilitate other changes to protect human health and  the environment. 
    d. A temporary authorization may be reissued for one  additional term of up to 180 days provided that the permittee has requested a  major permit modification for the activity covered in the temporary  authorization, and the director determines that the reissued temporary  authorization involving a major permit modification request is warranted to  allow the authorized activities to continue while the modification procedures  of subdivision 2 3 of this subsection are conducted. 
    5. The director's decision to grant or deny a permit  modification request under subdivision of this subsection may be appealed under  the case decision provisions of the Virginia Administrative Process Act  (§ 2.2-4000 et seq. of the Code of Virginia). 
    6. Newly defined or identified wastes. The permitted facility  is authorized to continue to manage wastes defined or identified as solid waste  under 9VAC20-81-95 if: 
    a. It was in existence as a solid waste management facility  with respect to the newly defined or identified solid waste on the effective  date of the final rule defining or identifying the waste; and 
    b. It is in compliance with the standards of Part III  (9VAC20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, submits a minor modification request  on or before the date on which the waste becomes subject to the new  requirements; or 
    c. It is not in compliance with the standards of Part III  (9VAC 20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, also submits a complete permit  modification request within 180 days after the effective date of the definition  or identifying the waste. 
    7. Research, development and demonstration plans. Research,  development and demonstration (RDD) plans may be submitted for sanitary  landfills that meet the applicability requirements. These plans shall be  submitted as a major permit modification application for existing sanitary  landfills or as a part of the Part B application for new sanitary landfills.
    a. Applicability.
    (1) RDD shall be restricted to permitted sanitary landfills  designed with a composite liner system, as required by 9VAC20-81-130 J 1. The  effectiveness of the liner system and leachate collection system shall be  demonstrated in the plan and shall be assessed at the end of the testing period  in order to compare the effectiveness of the systems to the start of the RDD  testing period.
    (2) Operating permitted sanitary landfills that have exceeded  groundwater protection standards at statistically significant levels in  accordance with 9VAC20-81-250 B, from any waste unit on site shall have  implemented a remedy in accordance with 9VAC20-81-260 C prior to the RDD plan  submittal. Operating permitted sanitary landfills that have an exceedance in  the concentration of methane gas migrating from the landfill in accordance with  9VAC20-81-200 shall have a gas control system in place per 9VAC20-81-200 B  prior to the RDD plan submittal. 
    (3) An owner or operator of a sanitary landfill that disposes  of 20 tons of municipal solid waste per day or less, based on annual average,  may not apply for a modification to include a RDD plan.
    (4) The sanitary landfill shall have a leachate collection  system designed and constructed to maintain less than a 30 cm depth of leachate  on the liner.
    b. Requirements.
    (1) RDD Plans may be submitted for activities such as:
    (a) The addition of liquids in addition to leachate and gas  condensate from the same landfill for accelerated decomposition of the waste  mass; prior to the RDD Plan submittal.
    (b) Allowing run-on water to flow into the landfill waste  mass; and
    (c) Allowing testing of the construction and infiltration  performance of alternative final cover systems. An RDD plan may be proposed  for; and
    (d) For other measures to be taken to enhance  stabilization of the waste mass.
    (2) No landfill owner or operator may continue to implement an  RDD plan beyond any time limit placed in the initial plan approval or any  renewal without issuance of written prior approval by the department.  Justification for renewals shall be based upon information in annual and final  reports as well as research and findings in technical literature.
    (3) RDD plans may not include changes to the approved design  and construction of subgrade preparation, liner system, leachate collection and  removal systems, final cover system, gas and leachate systems outside the  limits of waste, run-off controls, run-on controls, or environmental monitoring  systems exterior to the waste mass.
    (4) Implementation of an approved RDD plan shall comply with  the specific conditions of the RDD Plan as approved in the permit for the  initial testing period and any renewal.
    (5) Structures and features exterior to the waste mass or  waste final grades shall be removed at the end of the testing period, unless  otherwise approved by the department in writing.
    (6) The RDD plan may propose an alternate final cover  installation schedule.
    c. An RDD plan shall include the following details and  specifications. Processes other than adding liquids to the waste mass and  leachate recirculation may be practiced in conjunction with the RDD plan.
    (1) Initial applications for RDD plans shall be submitted for  review and approval prior to the initiation of the process to be tested. These  plans shall specify the process that will be tested, describe preparation and  operation of the process, describe waste types and characteristics that the  process will affect, describe desired changes and end points that the process  is intended to achieve, define testing methods and observations of the process  or waste mass that are necessary to assess effectiveness of the process, and  include technical literature references and research that support use of the  process. The plans shall specify the time period for which the process will be  tested. The plans shall specify the additional information, operating  experience, data generation, or technical developments that the process to be  tested is expected to generate. 
    (2) The test period for the initial application shall be  limited to a maximum of three years.
    (3) Renewals of testing periods shall be limited to a maximum  of three years each. The maximum number of renewals shall be limited to three.
    (4) Renewals shall require department review and approval of  reports of performance and progress on achievement of goals specified in the  RDD plan.
    (5) RDD Plans for addition of liquids, in addition to leachate  and gas condensate from the same landfill, for accelerated decomposition of the  waste mass and/or for allowing run-on water to flow into the landfill waste  mass shall demonstrate that there is no increased risk to human health and the  environment. The following minimum performance criteria shall be demonstrated.
    (a) Risk of contamination to groundwater or surface water will  not be greater than the risk without an approved RDD plan.
    (b) Stability analysis demonstrating the physical stability of  the landfill.
    (c) Landfill gas collection and control in accordance with  applicable Clean Air Act requirements (i.e., Title V, NSPS or EG rule, etc.).
    (d) For RDD plans that include the addition of offsite  nonhazardous waste liquids to the landfill, the following information shall be  submitted with the RDD plan: 
    (i) Demonstration of adequate facility liquid storage volume  to receive the offsite liquid;
    (ii) A list of proposed characteristics for screening the  accepted liquids is developed; and
    (iii) The quantity and quality of the liquids are compatible  with the RDD plan. 
    If offsite nonhazardous liquids are certified by the offsite  generator as stormwater uncontaminated by solid waste, screening is not  required for this liquid.
    (6) RDD plans for testing of the construction and infiltration  performance of alternative final cover systems shall demonstrate that there is  no increased risk to human health and the environment. The proposed final cover  system shall be as protective as the final cover system required by  9VAC20-81-160 D. The following minimum performance criteria shall be  demonstrated:
    (a) No build up of excess liquid in the waste and on the  landfill liner;
    (b) Stability analysis demonstrating the physical stability of  the landfill; 
    (c) No moisture will escape from the landfill to the surface  water or groundwater; and
    (d) Sufficient reduction in infiltration so that there will be  no leakage of leachate from the landfill.
    (7) RDD plans that evaluate introduction of liquids in  addition to leachate or gas condensate from the same landfill shall propose  measures to be integrated with any approved leachate recirculation plan and  compliance with requirements for leachate recirculation.
    (8) RDD plans shall include a description of warning symptoms  and failure thresholds that will be used to initiate investigation, stand-by,  termination, and changes to the process and any other landfill systems that  might be affected by the process, such as gas extraction and leachate  recirculation. Warning symptoms shall result in a reduction or suspension of liquids  addition, leachate recirculation, investigation, and changes to be implemented  before resuming the process being tested. Failure thresholds shall result in  termination of the process being tested, investigation, and changes that will  be submitted to the department for review and approval in writing prior to  resumption of the process being tested.
    (9) RDD plans shall include an assessment of the manner in  which the process to be tested might alter the impact that the landfill may  have on human health or environmental quality. The assessment shall include  both beneficial and deleterious effects that could result from the process.
    (10) RDD plans shall include a geotechnical stability analysis  of the waste mass and an assessment of the changes that the implementation of  the plan are expected to achieve. The geotechnical stability analysis and  assessment shall be repeated at the end of testing period, with alteration as  needed to include parameters and parameter values derived from field  measurements. The plan shall define relevant parameters and techniques for  field measurement.
    (11) RDD plans shall propose monitoring parameters,  frequencies, test methods, instrumentation, recordkeeping and reporting to the  department for purposes of tracking and verifying goals of the process selected  for testing.
    (12) RDD plans shall propose monitoring techniques and  instrumentation for potential movements of waste mass and settlement of waste  mass, including proposed time intervals and instrumentation, pertinent to the  process selected for testing. 
    (13) RDD plans shall propose construction documentation,  construction quality control and construction quality assurance measures, and  recordkeeping for construction and equipment installation that is part of the  process selected for testing. 
    (14) RDD plans shall propose operating practices and controls,  staffing, monitoring parameters, and equipment needed to support operations of  the process selected for testing. 
    (15) RDD plans that include aeration of the waste mass shall  include a temperature monitoring plan, a fire drill and safety program,  instructions for use of liquids for control of temperature and fires in the  waste mass, and instructions for investigation and repair of damage to the  liner and leachate collection system. 
    (16) RDD plans may include an alternate interim cover system  and final cover installation schedule. The interim cover system shall be  designed to account for weather conditions, slope stability, and leachate and  gas generation. The interim cover shall also control, at a minimum, disease  vectors, fires, odors, blowing litter, and scavenging.
    d. Reporting. An annual report shall be prepared for each year  of the RDD testing period, including any renewal periods, and a final report  shall be prepared for the end of the testing period. These reports shall assess  the attainment of goals proposed for the process selected for testing,  recommend changes, recommend further work, and summarize problems and their  resolution. Reports shall include a summary of all monitoring data, testing  data and observations of process or effects and shall include recommendations  for continuance or termination of the process selected for testing. Annual  reports shall be submitted to the department within three months after the  anniversary date of the approved permit or permit modification. Final reports  shall be submitted at least 90 days prior to the end of the testing period for  evaluation by the department. The department shall review this report within 90  days. If the department's evaluation indicates that the goals of the project  have been met, are reliable and predictable, the department will provide a  minor permit modification to incorporate the continued operation of the project  with the appropriate monitoring.
    e. Termination. The department may require modifications to or  immediate termination of the RDD process being tested if any of the following  conditions occur:
    (1) Significant and persistent odors;
    (2) Significant leachate seeps or surface exposure of  leachate;
    (3) Significant leachate head on the liner;
    (4) Excessively acidic leachate chemistry or gas production  rates or other monitoring data indicate poor waste decomposition conditions;
    (5) Instability in the waste mass; or 
    (6) Other persistent and deleterious effects.
    The RDD program is an optional participation program, by  accepting the modification or new permit, the applicant acknowledges that the  program is optional; and that they are aware the department may provide  suspension or termination of the RDD program for any reasonable cause, without  a public hearing. Notice of suspension or termination will be by letter for a  cause related to a technical problem, nuisance problem, or for protection of  human health or the environment as determined by the department.
    G. Facility siting. The suitability of the facility location  will not be considered at the time of permit modification unless new  information or standards indicate that an endangerment to human health or the  environment exists which was unknown at the time of permit issuance or the  modification is for an expansion or increase in capacity. 
    Part I 
  Definitions 
    9VAC20-85-10. Definitions as established in Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.). 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations 9VAC20-80-10 et seq., 9VAC20-81,  are incorporated by reference. 
    9VAC20-85-40. Applicability. 
    A. This chapter applies to all persons who use, reuse, or  reclaim fossil fuel combustion products by applying them to or placing them on  land in a manner other than addressed in 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations, 9VAC20-80-150 and 9VAC20-80-160. 9VAC20-80-150  9VAC20-81-95 provides for the beneficial use of waste materials such as  fossil fuel combustion products, and 9VAC20-80-160 provides for  conditional exemptions from regulation for fossil fuel combustion products. 
    B. This chapter establishes minimum standards for the owners  or operators of coal mining facilities that accept CCB for mine reclamation or  mine refuse disposal on a mine site permitted by the Virginia Department of  Mines, Minerals and Energy (DMME) unless otherwise exempt under 9VAC20-80-160  B 9VAC20-81-95 D 18 of the Solid Waste Management Regulations. If  the permit issued by the DMME in accordance with the Virginia Surface Mining  Regulations, 4VAC25-130-700.1 et seq., specifies the applicable conditions set  forth in Parts III and IV of this chapter, the permittee is exempt from this  chapter. 
    C. Conditions of applicability are as follows: 
    1. Persons using fossil fuel combustion products other than in  a manner prescribed under this chapter, or managing fossil fuel combustion  products containing any constituent at a level exceeding levels set forth in  Table 1 in Part IV of this chapter, shall manage their waste in accordance with  all applicable provisions of the Virginia Solid Waste Management  Regulations, 9VAC20-80 9VAC20-81; 
    2. Materials which are accumulated speculatively, materials  which are not utilized in a manner described in the operation plan required by  9VAC20-85-90 of this chapter, and off-specification materials which cannot be  utilized or reprocessed to make them usable shall be managed in accordance with  all appropriate provisions of the Virginia Solid Waste Management Regulations,  9VAC20-80 9VAC20-81; and 
    3. Storage, stockpiling, and other processing or handling of  fossil fuel combustion products, which may need to occur prior to their final  placement or use, reuse, or reclamation, shall be in a manner necessary to protect  human health and safety and the environment. For projects permitted by the  DMME, the storage, stockpiling, or handling of CCB shall be managed in  accordance with the Virginia Surface Mining Regulations, 4VAC25-130-700.1 et  seq. 
    9VAC20-85-50. Relationship to other regulations. 
    This chapter does not affect the Virginia Solid Waste  Management Regulations, 9VAC20-80-10 et seq. 9VAC20-81, or other  pertinent regulations of the department or other agencies of the Commonwealth,  except that persons subject to and in compliance with this chapter are exempt  from the Virginia Solid Waste Management Regulations and the Financial  Assurance Regulations for Solid Waste Facilities, 9VAC20-70-10 et seq. 9VAC20-70,  for those activities covered by this chapter. 
    9VAC20-85-60. Enforcement and appeals. 
    A. All administrative enforcement and appeals taken from  actions of the department relative to the provisions of this chapter shall be  governed by the Virginia Administrative Process Act (§ 2.2-4000 et seq. of the  Code of Virginia). 
    B. The owner or operator of the fossil fuel combustion  products site who violates any provision of this chapter will be considered to  be operating an unpermitted facility as provided for in 9VAC20-80-90 9VAC20-81-40  of the Solid Waste Management Regulations and shall be required to either  obtain a permit as required by Part VII V or close under Part V  III of this chapter 9VAC20-81. 
    C. The requirement to obtain a permit or to close the project  shall not preclude additional action for remediation or enforcement, including  (without limitations) the assessment of civil charges or civil penalties, as is  otherwise authorized by law. 
    Article 3 
  Operations 
    9VAC20-85-90. Operations. 
    The owner or operator of a fossil fuel combustion products  site shall prepare an operation plan. At a minimum, the plan shall address the  requirements contained in this section. 
    1. Tracking of mud or fossil fuel combustion products onto  public roads from the site shall be controlled at all times to minimize  nuisances. 
    2. The addition of any solid waste including but not limited  to hazardous, infectious, construction, debris, demolition, industrial,  petroleum-contaminated soil, or municipal solid waste to fossil fuel combustion  products is prohibited. This prohibition does not apply to solid wastes from  the extraction, beneficiation and processing of ores and minerals conditionally  exempted under 9VAC20-80-160 A 2 9VAC20-81-95 E 3 of the Solid  Waste Management Regulations. 
    3. Fugitive dust shall be controlled at the site so it does  not constitute nuisances or hazards. 
    4. After preparing the subbase, fossil fuel combustion  products shall be placed uniformly and compacted to standards, including insitu  density, compaction effort and relative density as specified by a registered  professional engineer based on the intended use of the fossil fuel combustion  products. The placement and compaction of CCB on coal mine sites shall be  subject to the applicable requirements of the Coal Surface Mining Reclamation  Regulations, 4VAC25-130-700.1 et seq. 
    5. A surface run on and runoff control program shall be  implemented to control and reduce the infiltration of surface water through the  fossil fuel combustion products and to control the runoff from the placement  area to other areas and to surface waters. 
    6. Runoff shall not be permitted to drain or discharge into  surface waters except when in accordance with 9VAC25-10-10 et seq., of the  State Water Control Board, or otherwise approved by the department. 
    7. Fossil fuel combustion products site development shall be  in accordance with the Virginia Erosion and Sediment Control Regulations,  4VAC50-30, or the Coal Surface Mining Reclamation Regulations, 4VAC25-130-700.1  et seq., as applicable. 
    Part IV 
  Administrative Requirements 
    9VAC20-85-150. General. 
    A. Notwithstanding any provisions of Part VII V  of the Virginia Solid Waste Management Regulations, 9VAC20-80 9VAC20-81,  the owner or operator of a site which manages only fossil fuel combustion  products allowed under 9VAC20-85-40 shall not be required to have a solid waste  management facility permit, neither must a fossil fuel combustion products  facility operator certified by the Board for Waste Management Facility  Operators directly supervise operations at the site, if the owner or operator at  least 30 days prior to initial placement of fossil fuel combustion products  provides to the appropriate department regional office and verifies receipt of:  
    1. A certification that it has legal control over the fossil  fuel combustion products site for the project life and the closure period. For  the purposes of this section, on a coal mine site permitted by the DMME,  demonstration of legal right to enter and begin surface coal mining and  reclamation operations shall constitute compliance with the provisions of this  section. 
    2. A certification from the governing body of the county,  city, or town in which the fossil fuel combustion products site is to be  located that the location and operation of the fossil fuel combustion products  site are consistent with all applicable ordinances, with the exception of  projects permitted by the DMME. 
    3. A general description of the intended use, reuse, or  reclamation of fossil fuel combustion products. Such description will include: 
    a. A description of the nature, purpose and location of the  fossil fuel combustion products site, including a topographic map showing the  site area and available soils, and geological maps. The description shall  include an explanation of how fossil fuel combustion products will be stored  prior to use, reuse or reclamation, if applicable; 
    b. The estimated beginning and ending dates for the operation;  
    c. An estimate of the volume of the fossil fuel combustion  products to be utilized; and 
    d. A description of the proposed type of fossil fuel combustion  products to be used, reused or reclaimed, including physical and chemical  characteristics of the fossil fuel combustion products. The chemical  description shall contain the results of TCLP analyses for the constituents  shown in Table 1. The description shall also contain a statement that the  project will not manage fossil fuel combustion products that contain any  constituent at a level exceeding those shown in the table. 
           |      TABLE 1.      LIST OF CONSTITUENTS AND MAXIMUM LEVELS.      |    
       |      Constituent      |          Level, mg/lit      |    
       |      Arsenic      |          5.0      |    
       |      Barium      |          100      |    
       |      Cadmium      |          1.0      |    
       |      Chromium      |          5.0      |    
       |      Lead      |          5.0      |    
       |      Mercury      |          0.2      |    
       |      Selenium      |          1.0      |    
       |      Silver      |          5.0      |    
  
    4. A certification by a professional engineer licensed to  practice by the Commonwealth that the project meets the locational restrictions  of 9VAC20-85-70. Such certificate shall contain no qualifications or exemptions  from the requirements. 
    5. A certificate signed by a professional engineer licensed to  practice by the Commonwealth that the project has been designed in accordance  with the standards of 9VAC20-85-80 if applicable. Such certificate shall  contain no qualifications or exceptions from the requirements and plans. 
    6. An operational plan describing how the standards of  9VAC20-85-90 will be met. 
    7. A closure plan describing how the standards of Article 4 of  Part III of this chapter will be met, if applicable. 
    8. A signed statement that the owner or operator shall allow  authorized representatives of the Commonwealth, upon presentation of  appropriate credentials, to have access to areas in which the activities  covered by this chapter will be, are being, or have been conducted to ensure  compliance. 
    B. The materials submitted under the provisions of subsection  A of this section will be evaluated for completeness within 30 days of receipt  by the appropriate department regional office. If the department notifies the  applicant of deficiencies within 30 days, the applicant shall postpone any  construction or activities proposed in the application for the department's  approval until the department's approval has been received. If the applicant  has not received a notice of deficiency within 30 days, the applicant can  proceed. 
    9VAC20-85-180. Administrative procedures. 
    The administrative procedures associated with the submission  of the variance petition, its processing and resolution will be accomplished in  accordance with the requirements of 9VAC20-80-790 Part VII  (9VAC20-81-700 et seq.) of the Solid Waste Management Regulations. 
    Part I 
  Definitions 
    9VAC20-120-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise.  Chapter 14 (§ 10.1-1400 et seq.) of Title 10.1 of the Code of Virginia defines  words and terms that supplement those in this chapter. The Virginia  Solid Waste Management Regulations, 9VAC20-80 9VAC20-81, define  additional words and terms that supplement those in the statutes and this  chapter. When the statutes, as cited, and the solid waste management  regulations, as cited, conflict, the definitions of the statutes are  controlling. 
    "Act" or "regulations" means the federal  or state law or regulation last cited in the context, unless otherwise  indicated. 
    "Alternative treatment method" means a method for  the treatment of regulated medical waste that is not incineration or steam  sterilization (autoclaving). 
    "Approved sanitary sewer system" means a network of  sewers serving a facility that has been approved in writing by the Virginia  Department of Health, including affiliated local health departments. Such sewer  systems may be approved septic tank/drainfield systems and on-site treatment  systems, or they may be a part of a collection system served by an NPDES  permitted treatment works. 
    "Associated" means two or more firms that share  staff members, management, directors, and assets or engage in joint ventures.  Holding companies and part owners are associated parties. 
    "Ash" means the residual waste material produced  from an incineration process or any combustion. 
    "ASTM" means the American Society For Testing and  Materials. 
    "Autoclave tape" means tape that changes color or  becomes striped when subjected to temperatures that will provide sterilization  of materials during treatment in an autoclave or similar device. 
    "Blood" means human blood, human blood components,  and products made from human blood. 
    "Board" means the Virginia Waste Management Board. 
    "Body fluids" means liquid emanating or derived  from humans including blood; cerebrospinal, synovial, pleural, peritoneal and  pericardial fluids; semen and vaginal secretions; amniotic fluid; urine; saliva  in dental procedures; and any other body fluids that are contaminated with  blood, and any other liquids emanating from humans that may be mixed or  combined with body fluids. 
    "Closure" means the act of securing a regulated  medical waste management facility pursuant to the requirements of these  regulations. 
    "Closure plan" means the plan for closure prepared  in accordance with the requirements of this chapter. 
    "Commonwealth" means the Commonwealth of Virginia. 
    "Container" means any portable enclosure in which a  material is stored, transported, treated, or otherwise handled. 
    "Contaminated" means the presence or the reasonably  anticipated presence of blood or other body fluids on an item or surface. 
    "Contingency plan" means a document setting out an  organized, planned and coordinated course of action to be followed in the event  of a fire, explosion, or release of regulated medical waste or regulated  medical waste constituents that could threaten human health or the environment.  
    "CWA" means the Clean Water Act (formerly referred  to as the Federal Water Pollution Control Act), 33 USC § 1251 et seq.; PL  92-500, PL 93-207, PL 93-243, PL 93-592, PL 94-238, PL 94-273, PL 94-558, PL  95-217, PL 95-576, PL 96-148, PL 96-478, PL 96-483, PL 96-510, PL 96-561, PL  97-35, PL 97-117, PL 97-164, PL 97-216, PL 97-272, PL 97-440, PL 98-45, PL  100-4, PL 100-202, PL 100-404, and PL 100-668. 
    "Decontamination" means the use of physical or  chemical means to remove, inactivate, or destroy human pathogens on a surface  or item to the point where they are no longer capable of transmitting disease  and the surface or item is rendered safe for handling, use, or disposal. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. 
    "Discard" means to throw away or reject. When a  material is soiled, contaminated or no longer usable and it is placed in a  waste receptacle for disposal or treatment prior to disposal, it is considered  discarded. 
    "Discharge" or "waste discharge" means  the accidental or intentional spilling, leaking, pumping, pouring, emitting,  emptying, or dumping of regulated medical waste into or on any land or state  waters. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters, including  ground waters. 
    "Disposal facility" means a facility or part of a  facility at which solid waste is intentionally placed into or on any land or  water, and at which the solid waste will remain after closure. 
    "Domestic sewage" means untreated sanitary wastes  that pass through a sewer system. 
    "Empty" means wastes have been removed from a  container using the practices commonly employed to remove materials of that  type. 
    "EPA" means the U.S. Environmental Protection  Agency. 
    "Etiologic agents" means the specific organisms  defined to be etiologic agents in 42 CFR 72.3. In general, etiologic agents as  defined in 42 CFR 72.1 means a viable microorganism or its toxin which causes  or may cause human disease. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Generate" means to cause waste to become subject  to regulation. When regulated medical waste is first discarded, it must be  appropriately packaged in accordance with this regulation. At the point a  regulated medical waste is discarded it has been generated. 
    Note: Timeframes associated with storage and refrigeration  are no longer linked to the "date of generation." 
    "Generator" means any person, by site location,  whose act or process produces regulated medical waste identified or listed in  Part III (9VAC20-120-80 et seq.) of this chapter or whose act first causes a  regulated medical waste to become subject to this chapter. 
    "Hazardous material" means a substance or material  that has been so designated under 49 Parts CFR 171 and 173. 
    "Hazardous waste" means any solid waste defined as  a "hazardous waste" by the Virginia Hazardous Waste Management  Regulations. 
    "Health Care Professional" means a medical doctor  or nurse practicing under a license issued by the Department of Health  Professions. 
    "Highly leak resistant" means that leaks will not  occur in the container even if the container receives severe abuse and stress,  but remains substantially intact. 
    "Highly puncture resistant" means that punctures  will not penetrate the container even if the container receives severe abuse  and stress, but remains substantially intact. 
    "Motor vehicle" means a vehicle, machine, roll off  container, tractor, trailer, or semi-trailer, or any combination of them,  propelled or drawn by mechanical power and used in transportation or designed  for such use. 
    "Nonstationary health care providers" means those  persons who routinely provide health care at locations that change each day or  frequently. This term includes traveling doctors, nurses, midwives, and others  providing care in patients' homes, first aid providers operating from emergency  vehicles, and mobile blood service collection stations. 
    "NPDES" or "National Pollutant Discharge  Elimination System" means the national program for issuing, modifying,  revoking, reissuing, terminating, monitoring, and enforcing permits pursuant to  §§ 307, 402, 318, and 405 of the Clean Water Act. The term includes any state  or interstate program that has been approved by the Administrator of the United  States Environmental Protection Agency. 
    "Off-site" means any site that does not meet the  definition of on-site as defined in this part, including areas of a facility  that are not on geographically contiguous property or outside of the boundary  of the site. 
    "On-site" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same person  but connected by a right-of-way that he controls and to which the public does  not have access are also considered on-site property. 
    "Owner" means the person or persons who own a  regulated medical waste management facility or part of a regulated medical  waste management facility. 
    "Package" or "outside package" means a  package plus its contents. 
    "Packaging" means the assembly of one or more  containers and any other components necessary to assure compliance with minimum  packaging requirements under VRGTHM or this chapter. 
    "Permit by rule" means provisions of this chapter  stating that a facility or activity is deemed to have a permit if it meets the  requirements of the provision. 
    "Permitted waste management facility" or  "permitted facility" means a regulated medical waste treatment or  storage facility that has received a permit in accordance with the requirements  of the chapter. 
    "Physical construction" means excavation, movement  of earth, erection of forms or structures, the purchase of equipment, or any  other activity involving the actual preparation of the regulated medical waste management  facility. 
    "Processing" means preparation, treatment, or  conversion of regulated medical waste by a series of actions, changes, or  functions that bring about a decided result. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act (42 USC § 6901 et  seq.), the Hazardous and Solid Waste Amendments of 1984, and any other  applicable amendments to these laws. 
    "Regulated medical waste" means solid wastes  defined to be regulated medical wastes in Part III (9VAC20-120-80 et seq.) of  this chapter. 
    "Regulated medical waste management" means the  systematic administration of activities that provide for the collection, source  separation, storage, transportation, transfer, processing, treatment, and  disposal of regulated medical wastes whether or not such facility is associated  with facilities generating such wastes or otherwise. 
    "Regulated medical waste management facility" means  a solid waste management facility that manages regulated medical waste. 
    "Safe sharps program" means a program supported by  a city, county, town or public authority that is intended to enhance the safe  disposal of sharps discarded by private individuals. 
    "Sanitary sewer system" means a system for the  collection and transport of sewage, the construction of which was approved by  the Department of Health or other appropriate authority. 
    "Secondary container" means a storage device into  which a container can be placed for the purpose of containing any leakage from  the original container. 
    "Section" means a subpart of this chapter and when  referred to all portions of that part apply. 
    "Sharps" means needles, scalpels, knives, syringes  with attached needles, pasteur pipettes and similar items having a point or  sharp edge or that are likely to break during transportation and result in a  point or sharp edge. 
    "Shipment" means the movement or quantity conveyed  by a transporter of a regulated medical waste between a generator and a  designated facility or a subsequent transporter. 
    "Site" means the land or water area upon which a  facility or activity is physically located or conducted, including but not  limited to adjacent land used for utility systems such as repair, storage,  shipping, or processing areas, or other areas incident to the controlled facility  or activity. 
    "Solid waste" means any garbage, refuse, sludge and  other discarded material, including solid, liquid, semisolid or contained  gaseous material, resulting from industrial, commercial, mining and agriculture  operations, or community activities, but does not include (i) solid or  dissolved material in domestic sewage, (ii) solid or dissolved material in  irrigation return flows or in industrial discharges which are sources subject  to a permit from the State Water Control Board, or (iii) source, special  nuclear, or by-product material as defined by the Federal Atomic Energy Act of  1954, as amended 42 USC §§ 2011-2284. The definition of solid waste is further  clarified in the Virginia Solid Waste Management Regulations (9VAC20-80-140)  (9VAC20-81-95). 
    "Solid waste management" means the collection,  source separation, storage, transportation, transfer, processing, treatment,  and disposal of solid wastes or resource recovery. 
    "Spill" means any accidental or unpermitted  discharge, leaking, pumping, pouring, emitting, or dumping of wastes or  materials that, when spilled, become wastes. 
    "Start-up" or "cold start-up" means the  beginning of a combustion operation from a condition where the combustor unit  is not operating and less than 140°F in all areas. 
    "Storage" means the holding, including during  transportation, of more than 200 gallons of waste, at the end of which the  regulated medical waste is treated or stored elsewhere. 
    "Training" means formal instruction, supplementing  an employee's existing job knowledge, designed to protect human health and the  environment via attendance and successful completion of a course of instruction  in regulated medical waste management procedures, including contingency plan  implementation, relevant to those operations connected with the employee's  position at the facility. 
    "Transfer facility" means any transportation  related facility including loading docks, parking areas, storage areas, and  other similar areas where shipments of regulated medical waste are held during  the normal course of transportation. 
    "Transportation" or "transport" means the  movement of regulated medical waste by air, rail, highway, or water. 
    "Transport vehicle" means any vehicle used for the  transportation of cargo. 
    "Vector" means a living animal, insect or other  arthropod that may transmits an infectious disease from one organism to  another. 
    "VRGTHM" means Virginia Regulations Governing the  Transportation of Hazardous Materials promulgated by the Virginia Waste  Management Board as authorized by §§ 10.1-1450 through 10.1-1454 of the Code of  Virginia. 
    "Waste management facility" means all contiguous  land and structures, other appurtenances, and improvements on them used for  treating, storing, or disposing of waste. 
    "Waste management unit" means any unit at a  treatment or storage facility that possesses a permit, or that has received  regulated medical waste (as defined in this chapter) at any time, including  units that are not currently active. 
    9VAC20-120-70. Relationship to other bodies of regulation. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  address other requirements for regulated medical waste management. Any  regulated medical waste management facility must also conform to any applicable  sections of the solid waste management regulations issued by the board and any  special solid waste management regulations such as those defining financial  assurance requirements. If there is a conflict between the details of  regulations here and the others, this chapter is controlling. 
    B. Regulated medical waste management facility must also  comply with any applicable sections of the Hazardous Waste Management  Regulations (9VAC20-60) issued by the department. If there is a conflict  between the details of regulations here and the hazardous waste management  regulations, the latter regulations are controlling. 
    C. Intrastate shipment of hazardous materials is subject to  the Regulations Governing the Transportation of Hazardous Materials  (9VAC20-110) of the department. If there is a conflict between the details of  regulations here and the hazardous materials transportation regulations, the  latter are controlling. 
    D. Generators of regulated medical waste and regulated  medical waste management facilities may be subject to the general industry  standard for occupational exposure to bloodborne pathogens in  16VAC25-90-1910.1030 (29 CFR 1910.1030). 
    E. Persons transporting regulated medical waste are subject  to the federal hazardous material transportation requirements in 49 CFR 171  through 178. 
    F. If there is a conflict between the regulations here and  adopted regulations of another agency of the Commonwealth, the provisions of  these regulations are set aside to the extent necessary to allow compliance  with the regulations of the other agency. If neither regulation controls, the  more stringent standard applies. 
    G. Nothing here either precludes or enables a local governing  body to adopt ordinances. Compliance with one body of regulation does not  insure compliance with the other, and, normally, both bodies of regulation must  be complied with fully. 
    9VAC20-120-100. Recycled materials. 
    A. Untreated regulated medical wastes shall not be used,  reused, or reclaimed. 
    B. Wastes that have been treated in accord with these  regulations are no longer regulated medical waste and may be used, reused, or  reclaimed in accordance with the provisions of the Virginia Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81). 
    C. Bed linen, instruments, medical care equipment and other  materials that are routinely reused for their original purpose are not subject  to these regulations until they are discarded and are a solid waste. These  items do not include reusable carts or other devices used in the management of  regulated medical waste (see 9VAC20-120-260). 
    Article 6 
  Treatment and Disposal 
    9VAC20-120-300. Methods of treatment and disposal. 
    A. All regulated medical waste must be incinerated,  sterilized by steam, or treated by a method as described in Part VII  (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.), or IX (9VAC20-120-630  et seq.) of this chapter. 
    B. No regulated medical waste shall be disposed of in a solid  waste landfill or other solid waste management facility. Upon authorized  treatment and management in accord with this chapter, the solid waste or its  ash is not regulated medical waste and may be disposed of at any landfill or  other solid waste management facility permitted to receive municipal solid  waste or garbage, provided the disposal is in accordance with the Solid Waste  Management Regulations, 9VAC20-80 9VAC20-81, and other applicable  regulations and standards. 
    C. Regulated medical waste in closed bags or containers shall  not be compacted or subjected to violent mechanical stress; however, after it  is fully treated and it is no longer regulated medical waste, it may be  compacted in a closed container. Nothing in this section shall prevent the  puncturing of containers or packaging immediately prior to permitted treatment  in which grinding, shredding, or puncturing is integral to the process units;  however, all grinding, shredding and puncturing shall be done with safe and  sanitary methods. Nothing in this section shall prevent the use of devices that  grind, shred or compact to reduce volume at the point of generation. Devices  will be constructed in a manner that prevents employee exposure to the waste,  contains any aerosol or mist that may be caused by the process, and treats or  filters any air evacuated from the chamber during processing. These devices may  be employed at the point of generation and prior to enclosing the regulated  medical waste in plastic bags and other required packaging; however, the waste  remains regulated medical waste. Appropriate means must be employed to  appropriately protect workers and contain the waste when unloading regulated  medical wastes from such a device. 
    9VAC20-120-540. Analysis and management of the ash product;  procedure; results and records; disposition of ash; ash storage. 
    A. Once every eight hours of operation of a continuously fed  incinerator and once every batch or 24 hours of operation of a batch fed  incinerator, a representative sample of 250 milliliters of the bottom ash shall  be collected from the ash discharge or the ash discharge conveyer. Samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous Waste  Management Regulations for determining if a solid waste is a hazardous waste.  Also, the sample shall be tested for total organic carbon content. 
    At incinerators equipped with air pollution control devices  that remove and collect incinerator emissions control ash or dust, this ash  shall be held separately and not mixed with bottom ash. Once every eight hours  of operation of a continuously fed incinerator and once every batch or 24 hours  of operation of a batch fed incinerator, a representative sample of 250  milliliters of the air pollution control ash or dust shall be collected from  the pollution control ash discharge. Air pollution control ash or dust samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous  Waste Management Regulations for determining if a waste is a hazardous waste. 
    B. A log shall document the ash sampling, to include the date  and time of each sample collected; the date, time and identification number of  each composite sample; and the results of the analyses, including laboratory  identification. Results of analyses must be returned from the laboratory and  recorded within four weeks following collection of the composite sample. The  results and records described in this part shall be maintained for a period of  three years, and shall be available for review. 
    C. If a waste ash is found to be hazardous waste (based on a  sample and a confirmation sample) the waste ash shall be disposed of as a  hazardous waste in accord with the Virginia Hazardous Waste Management  Regulations. If ash is found not to be hazardous waste by analysis, it may be  disposed of in a solid waste landfill that is permitted to receive garbage,  municipal solid waste or incinerator ash, provided the disposal is in  accordance with the Solid Waste Management Regulations, 9VAC20-80 9VAC20-81.  If the ash is found to be hazardous waste, the operator shall notify the  Director of the Department of Environmental Quality within 24 hours. No later  than 15 calendar days following, the permittee shall submit a plan for treating  and disposing of the waste on hand at the facility and all unsatisfactorily  treated waste that has left the facility. The permittee may include with the  plan a description of the corrective actions to be taken to prevent further  unsatisfactory performance. No ash subsequently generated from the incinerator  waste stream that was found to be hazardous waste shall be sent to a  nonhazardous solid waste management facility in the Commonwealth without the  express written approval of the director. 
    D. Air pollution control ash and bottom ash shall be held  separately and not mixed; however, once both are determined not to be hazardous  waste, they may be combined and disposed of as other solid waste. Throughout  the storage of the untested material it shall be kept in covered highly leak  resistant containers. It should be held until the generator determines whether  the ash waste is hazardous waste. Areas where untested material containers are  placed must be constructed with a berm to prevent runoff from that area. 
    E. Regulated medical waste treated in compliance with Part  VII (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.) or IX  (9VAC20-120-630 et seq.) of this chapter shall be deemed to be treated in  accordance with this chapter. Regulated medical waste not treated in accordance  with this chapter shall not be transported, received for transport or disposal,  or disposed of in any solid waste management facility. 
    9VAC20-120-810. Amendment of permits. 
    A. Temporary authorizations. 
    1. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of this section. Temporary authorizations  shall have a term of not more than 180 calendar days. 
    2. a. The permittee may request a temporary authorization for:  
    (1) Any substantive amendment meeting the criteria in  subdivision 3 b (1) of this subsection; and 
    (2) Any major amendment that meets the criteria in subdivision  3 b (1) or (2) of this subsection; or that meets the criteria in subdivisions 3  b (3) and (4) of this subsection and provides improved management or treatment  of a regulated medical waste already listed in the facility permit. 
    b. The temporary authorization request shall include: 
    (1) A description of the activities to be conducted under the  temporary authorization; 
    (2) An explanation of why the temporary authorization is  necessary; and 
    (3) Sufficient information to ensure compliance with standards  in Part V (9VAC20-120-330 et seq.) or VI (9VAC20-120-400 et seq.) of this  chapter. 
    c. The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven calendar days of submission of the  authorization request. 
    3. The director shall approve or deny the temporary  authorization as quickly as is practical. To issue a temporary authorization,  the director shall find: 
    a. The authorized activities are in compliance with the  standards of Part V (9VAC20-120-330 et seq.), VII (9VAC20-120-520 et seq.),  VIII (9VAC20-120-580 et seq.) or IX (9VAC20-120-630 et seq.) of this chapter. 
    b. The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an amendment  request: 
    (1) To facilitate timely implementation of closure or  corrective action activities; 
    (2) To prevent disruption of ongoing waste management  activities; 
    (3) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (4) To facilitate other changes to protect human health and  the environment. 
    4. A temporary authorization may be reissued for one  additional term of up to 180 calendar days provided that the permittee has  requested a substantive or a major permit amendment for the activity covered in  the temporary authorization, and (i) the reissued temporary authorization  constitutes the director's decision on a substantive permit amendment in  accordance with the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  or (ii) the director determines that the reissued temporary authorization  involving a major permit amendment request is warranted to allow the authorized  activities to continue while the amendment procedures of the Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81) are conducted. 
    B. Newly defined or identified wastes. The permittee is  authorized to continue to manage wastes defined or identified as regulated  medical waste under Part III (9VAC20-120-80 et seq.) of this chapter if he: 
    1. Was in existence as a regulated medical waste management  facility with respect to the newly defined or identified regulated medical  waste on the effective date of the final rule defining or identifying the  waste; and 
    2. (i) Is in compliance with the standards of Part V, VII,  VIII or IX, as applicable, with respect to the new waste, submits a minor  modification request on or before the date on which the waste becomes subject  to the new requirements or (ii) is not in compliance with the standards of Part  V or VI, as applicable, with respect to the new waste, but submits a complete  permit amendment request within 180 calendar days after the effective date of  the definition or identifying the waste. 
    C. The suitability of the facility location will not be  considered at the time of permit amendment unless new information or standards  indicate that an endangerment to human health or the environment exists that  was unknown at the time of permit issuance. 
    9VAC20-130-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Board" means the Virginia Waste Management Board. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants  and shopping centers.
    "Compost" means a stabilized organic product  produced by composting in such a manner that the product can be handled,  stored, and/or applied to the land.
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes  include, but are not limited to, lumber, wire, sheetrock, broken brick,  shingles, glass, pipes, concrete, paving materials, and metal and plastics if  the metal or plastics are a part of the materials of construction or empty containers  for such materials. Paints, coatings, solvents, asbestos-containing material,  any liquid, compressed gases, or semi-liquids and garbage are not construction  wastes. 
    "Debris waste" means solid waste resulting from  land clearing operations. Debris wastes include, but are not limited to,  stumps, wood, brush, leaves, soil, and road spoils. 
    "Demolition waste" means solid waste produced by  the destruction of structures and their foundations and includes the same  materials as construction wastes. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. For purposes of submissions to the  director as specified in the Waste Management Act, submissions may be made to  the department.
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulation,  9VAC20-60. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts;  inorganic chemicals; iron and steel manufacturing; leather and leather  products; nonferrous metals manufacturing/foundries; organic chemicals;  plastics and resins manufacturing; pulp and paper industry; rubber and  miscellaneous plastic products; stone, glass, clay, and concrete products;  textile manufacturing; transportation equipment; and water treatment. This term  does not include mining waste or oil and gas waste. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Integrated waste management plan" means a  governmental plan that considers all elements of waste management during  generation, collection, transportation, treatment, storage, disposal, and  litter control and selects the appropriate methods of providing necessary  control and services for effective and efficient management of all wastes. An  "integrated waste management plan" must provide for source reduction,  reuse and recycling within the jurisdiction and the proper funding and  management of waste management programs. 
    "Jurisdiction" means a local governing body; city,  county or town; or any independent entity, such as a federal or state agency,  which join with local governing bodies to develop a waste management plan. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill (as these terms  are defined in the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    "Litter" means all waste material disposable  packages or containers, but not including the wastes of the primary processes  of mining, logging, farming, or manufacturing.
    "Market" or "markets" means interim or  end destinations for the recyclable materials, including a materials recovery  facility (MRF).
    "Market conditions" means business and system  related issues used to determine if materials can be targeted, collected, and  delivered to an interim or end market in an efficient manner. Issues may  include, but are not limited to: the cost of collection, storage and  preparation or both; the cost of transportation; accessible volumes of  materials targeted for recycling; market value of materials targeted for  collection/recycling; and distance to viable markets.
    "Materials recovery facility (MRF)" means, for the  purpose of this regulation, a facility for the collection, processing and  marketing of recyclable materials including, but not limited to: metal, paper,  plastics, and glass. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses, except composting as defined and regulated under the Solid  Waste Management Regulations (9VAC20-80) or the Vegetative Waste Management  and Yard Waste Composting Regulations (9VAC20-101) (9VAC20-81). 
    "Municipal solid waste" means waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from the combustion of these wastes. 
    "Permit" means the written permission of the  director to own, operate or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Principal recyclable materials (PRMs)" means  paper, metal, plastic, glass, commingled yard waste, wood, textiles, tires,  used oil, used oil filters, used antifreeze, batteries, electronics, or  material as may be approved by the director. Commingled materials refers to  single stream collections of recyclables where sorting is done at a materials  recovery facility.
    "Recycling" means the process of separating a given  waste material from the waste stream and processing it so that it may be used  again as a raw material for a product, which may or may not be similar to the  original product. For the purpose of this chapter, recycling shall not include  processes that only involve size reduction. 
    "Recycling residue" means the (i) nonmetallic  substances, including but not limited to plastic, rubber, and insulation, which  remain after a shredder has separated for purposes of recycling the ferrous and  nonferrous metal from a motor vehicle, appliance or other discarded metallic  item and (ii) organic waste remaining after removal of metals, glass, plastics  and paper that are to be recycled as part of a resource recovery process for  municipal solid waste resulting in the production of a refuse derived fuel.
    "Regional boundary" means the boundary defining an  area of land that will be a unit for the purpose of developing a waste  management plan, and is established in accordance with 9VAC20-130-180 through  9VAC20-130-220. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Residential waste" means any waste material,  including garbage, trash and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds and day-use recreation  areas. Residential wastes do not include sanitary waste in septic tanks  (septage), that is regulated by other state agencies. 
    "Resource recovery system" means a solid waste  management system that provides for collection, separation, recycling and  recovery of energy or solid wastes, including disposal of nonrecoverable waste  residues. 
    "Reuse" means the process of separating a given  solid waste material from the waste stream and using it, without processing or  changing its form, other than size reduction, for the same or another end use. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste, which is so located, designed,  constructed and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste.  (Note: This term includes all sites whether they are planned and managed  facilities or open dumps.) 
    "Sludge" means any solid, semisolid or liquid waste  generated from a public, municipal, commercial or industrial  wastewater treatment plant, water supply treatment plant, or air pollution  control facility. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Solid Waste Management Regulations (9VAC20-80)  (9VAC20-81).
    "Solid waste planning unit" means each region or  locality that submits a solid waste management plan. 
    "Solid waste management facility  ("SWMF")" means a site used for planned treating, storing, or  disposing of solid waste. A facility may consist of several treatment, storage,  or disposal units. 
    "Source reduction" means any action that reduces or  eliminates the generation of waste at the source, usually within a process.  Source reduction measures include process modifications, feedstock  substitutions, improvements in feedstock purity, improvements in housekeeping  and management practices, increases in the efficiency of machinery, and  recycling within a process. Source reduction minimizes the material that must  be managed by waste disposal or nondisposal options by creating less waste.  "Source reduction" is also called "waste prevention,"  "waste minimization," or "waste reduction."
    "Source separation" means separation of recyclable  materials by the waste generator of materials that are collected for use,  reuse, reclamation, or recycling. 
    "Tons" means 2,000 pounds.
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, and woody wastes such as shrub and  tree prunings, bark, limbs, roots, and stumps. For more detail see Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101) the  Solid Waste Management Regulations (9VAC20-81).
    "Waste exchange" means any system to identify  sources of wastes with potential for use reuse, recycling or reclamation and to  facilitate its acquisition by persons who reuse, recycle or reclaim it, with a  provision for maintaining confidentiality of trade secrets. 
    "White goods" means any stoves, washers, hot water  heaters or other large appliances. For the purposes of this chapter, this  definition also includes, but is not limited to, such Freon-containing appliances  as refrigerators, freezers, air conditioners, and dehumidifiers. 
    "Yard waste" means decomposable waste materials  generated by yard and lawn care and includes leaves, grass trimmings, brush,  wood chips, and shrub and tree trimmings. Yard waste shall not include roots or  stumps that exceed six inches in diameter. 
    9VAC20-130-60. Applicability of regulations. 
    A. This chapter applies to all cities, counties, towns,  designated solid waste planning units (under 9VAC20-130-180) and permitted  solid waste facilities within the solid waste planning unit, including those  facilities covered under permit by rule procedures found in 9VAC20-80 9VAC20-81.  Any city, county, and town may mutually agree to unite for the purpose of solid  waste management planning, and upon joint written notification to the director,  shall be deemed to be a solid waste planning unit for development of a solid  waste management plan. 
    B. Any cities, counties, and towns may be represented by a  planning district, public service authority, or designated region that has been  adopted under 9VAC20-130-90 B. 
    C. The plan may (subject to statutory authority) specify that  all solid waste must be recycled at the rate established by the plan regardless  of the point of origin of the solid waste. Solid wastes from both public and  private sources shall be subject to such requirement. 
    9VAC20-130-120. Planning requirements. 
    A. Basic planning elements:
    1. Objectives for solid waste management within the planning  unit;
    2. A discussion as to how the plan will be implemented and  tracked, consisting of an integrated waste management strategy to support and  promote the hierarchy set forth at 9VAC20-130-30; giving preference to  alternatives in the following order of priority: source reduction, reuse,  recycling, resource recovery, incineration, and landfilling;
    3. Definition of incremental stages of progress toward the  objectives and schedule for their implementation, including, for compliance  with 9VAC20-80-500 9VAC20-81-450, specific solid waste management  facility names, facility capacities, and life based on 20-year need;
    4. Strategy for the provision of necessary funds and  resources;
    5. Descriptions of the funding and resources necessary,  including consideration of fees dedicated to future facility development;
    6. Strategy for public education and information on source  reduction, reuse, and recycling; and
    7. Consideration of public and private sector partnerships and  private sector participation in execution of the plan. Existing private sector  recycling operations should be incorporated in the plan and the expansion of  such operations should be encouraged. 
    B. A minimum recycling rate as specified in § 10.1-1411 of  the Code of Virginia for total municipal solid waste generated annually in each  solid waste planning unit shall be met and maintained. 
    1. The plan shall describe how the minimum recycling rate  shall be met or exceeded. The department may approve the solid waste management  plans of units that do not currently meet the minimum recycling rate only if all  other requirements of these regulations have been met and the solid waste  planning unit demonstrates its commitment to implementing a strong and detailed  action plan for recycling to meet the required rate.
    2. When a solid waste planning unit's annual recycling rate  falls below the minimum rate, it shall constitute evidence of a significant  deviation from the plan. The plan may be subject to revocation by the  department under 9VAC20-130-110 E unless the solid waste planning unit submits  a recycling action plan acceptable to the department per subsection I of this  section.
    C. The solid waste management plan shall include data and  analyses of the following type(s) for each jurisdiction. Each item below shall  be in a separate section and labeled as to content:
    1. Population information and projections for 20 years of  population growth and development patterns;
    2. Urban concentrations, geographic conditions, economic  growth and development, markets for the reuse and recycling of materials,  transportation conditions, and related factors;
    3. Estimates of solid waste generation from residential,  commercial institutional, industrial, construction, demolition, debris and  other types of sources, including the amounts reused, recycled, recovered as a  resource, incinerated and landfilled. Entities engaged in the collection,  processing, and marketing of recyclable materials should provide data for  incorporation into the recycling rate calculation, when requested by the  planning unit.
    4. A listing of existing and planned solid waste collection,  storage, treatment, transportation, disposal and other management facilities,  their projected capacities, expected life and systems for their use;
    5. All milestones in the implementation of the solid waste  management plan over the 20-year projection and the parties responsible for  each milestone;
    6. A description of programs for solid waste reduction, reuse,  recycling, resource recovery, incineration, storage, treatment, disposal and  litter control;
    7. A description of outreach programs for waste exchange,  public education and public participation;
    8. The procedures for and results of evaluating solid waste  collection, including transfer stations; and
    9. The assessment of all current and predicted needs for solid  waste management for a period of 20 years and a description of the action to be  taken to meet those needs.
    D. All known solid waste disposal sites, closed, inactive and  active, within the area of the solid waste management plan shall be documented  and recorded at a centralized archive authorized to receive and record  information and a copy shall be sent to the department. All new sites shall be  recorded at the same central data source.
    E. A methodology shall be utilized to monitor the amount of  solid waste of each type produced within the area of the solid waste management  plan and to record the annual production by solid waste types at a centralized  archive and a copy shall be sent to the department. 
    F. The solid waste management plan shall include, when  developed locally, a copy of the local governing body's resolution adopting the  solid waste management plan.
    G. The solid waste management plan shall include, when  developed regionally, a copy of the resolution approving the plan adopted in  accordance with the Virginia Area Development Act, the Virginia Water and Waste  Authorities Act, the provisions of the Code of Virginia governing joint  exercise of powers by political subdivisions (§ 15.2-1300 of the Code of  Virginia), or other authority as applicable.
    H. The solid waste management plan shall clearly and  explicitly demonstrate the manner in which the goals of the planning  requirements in these regulations shall be accomplished and actions to take if  these requirements are not met.
    I. A planning unit that does not meet the requirements of  these regulations shall submit an action plan, by mail or electronic mail, for  approval by the department. Such action plans shall include:
    1. A description of the deficiency that requires the  development of the action plan.
    2. A time schedule to resolve the deficiency(ies) associated  with the planning unit's failure to meet the requirements of the approved solid  waste management plan.
    3. A reporting requirement to the department, of a minimum of  once every six months, including activities or updates documenting how the  action plan requirements are being met.
    4. Plans and all subsequent reports and submittals shall be  reviewed by the department within 30 days of receipt by the department.
    5. All the department's requests for further information or  response(s) shall be provided within 30 days of receipt at the planning unit.  The department may grant reasonable extensions to these deadlines on a  case-by-case basis. 
    Part I 
  Definitions 
    9VAC20-140-10. Definition incorporated by reference. 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  are incorporated by reference. 
    9VAC20-150-10. Definitions. 
    A. The definitions set out in Part I of the Virginia  Solid Waste Management Regulations, 9VAC20-80-10 et seq., (9VAC20-81)  are incorporated by reference. 
    B. The following words and terms, when used in this chapter,  shall have the following meanings, unless the context clearly indicates  otherwise: 
    "Applicant" means any person or persons seeking  reimbursement under this chapter. 
    "Asphalt pavement containing recycled rubber" means  any hot mix or spray applied binder in asphalt paving mixture that contains  rubber from waste tire materials which is used for asphalt pavement base,  surface course or interlayer, or other road and highway related uses. 
    "Authorized signature" means the signature of an  individual who has authority to sign on behalf of, and bind, the applicant. 
    "Available funds" means for a given fiscal year, a  maximum of 80% of the previous fiscal year's collection of the waste tire tax  plus 85% of nonobligated carryover funds at the end of the previous fiscal  year. 
    "Burning" means the controlled burning of waste  tire materials for the purpose of energy recovery. 
    "Cost of use" means the equipment, leasehold  improvements, buildings, land, engineering, transportation, operating, taxes,  interest, and depreciation or replacement costs of using waste tire materials  incurred by the end user after deducting any tipping fee received by the end  user. 
    "Daily cover" means using waste tire material as an  alternate cover placed upon exposed solid waste to control disease vectors,  fires, odors, blowing litter and scavenging without presenting a threat to  human health and the environment. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or the director's designee. 
    "Embankment" means a raised earthen structure to  carry a roadway. 
    "End user" means: 
    1. For energy recovery: the person who utilizes the heat  content or other forms of energy from the burning or pyrolysis of waste tire  materials; 
    2. For other eligible uses: the last person who uses the  waste tire materials to make a product with economic value. If the waste tire  materials are processed by more than one person in becoming a product, the end  user is the last person to use the tire as waste tire materials. A person who  produces waste tire materials and gives or sells them to another person to use  is not an end user. 
    "Energy recovery" means utilizing the heat content  or other forms of energy from the burning or pyrolysis of waste tire materials.  
    "Fill material for construction" means the material  is used as a base or sub-base under the footprint of a structure, a paved  parking lot, sidewalk, walkway or similar application. 
    "Generator" means any person whose act or process  produces waste tires or whose act first causes a tire to become a solid waste. 
    "Hauler" means a person who picks up or transports  waste tires for the purpose of removal to a permitted storage, processing or  disposal facility. 
    "Partial reimbursement" means reimbursement that  does not exceed the purchase price of waste tire materials or the cost of use  if the waste tire materials were not purchased. 
    "Passenger tire equivalent" means a measure of  passenger, truck tires, and oversize tires where: One passenger car tire equals  20 pounds or 1/100 ton. One truck tire 20-24 inch rim equals 100 pounds or  1/200 ton and a tire with over 24-inch rim equals 200 pounds or greater as  computed by the end user. 
    "Processor" means a person engaged in the  processing of waste tires including, but not limited to, stamping, stripping,  shredding, or crumbing; that operates under a permit issued by the local, state,  or federal government; or is exempt from permit requirements. 
    "Pyrolysis" means thermal treatment of waste tire  materials to separate it into other components with economic value. 
    "Retreading" means processing a waste tire by  attaching a new tread to make a usable tire. 
    "Road bed base" means the foundation of a road  prepared for surfacing. 
    "Tipping fee" means a fee charged to a person for  disposal of a waste tire. 
    "Tire" means a continuous solid or pneumatic rubber  covering encircling the wheel of a vehicle in which a person or property is  transported, or by which they may be drawn on a highway. 
    "Tire pile" means an accumulation of waste tire  materials that violates the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81). 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. 
    "Waste tire materials" means whole waste tires or  waste tires that have been size reduced by physical or chemical process. This  term includes waste tires or chips or similar materials as specified in §§ 10.1-1422.3  and 10.1-1422.4 of the Code of Virginia. 
    "Waste Tire Trust Fund" means the nonreverting fund  set up by § 10.1-1422.3 of the Code of Virginia in which proceeds from the  waste tire tax are deposited. 
    Part II
  General Information 
    9VAC20-150-20. Purpose. 
    The purpose of this chapter is to define the types of uses  eligible for partial reimbursement, to establish the procedures for application  and processing of reimbursement, and to establish the amount of reimbursement. 
    9VAC20-150-40. End uses of waste tires eligible for  reimbursement. 
    A. The following uses of waste tire materials will be  eligible for the reimbursement if the use complies with applicable local  ordinances and regulations and the Virginia Solid Waste Management  Regulations, 9VAC20-80 (9VAC20-81) or the equivalent regulations  in another state. The eligible uses are: 
    1. Civil engineering applications, which utilize waste tire  materials as a substitute for soil, sand, or aggregate in a construction  project such as land or surface applications, road bed base and embankments;  fill material for construction projects; and daily cover and other  substitutions at a permitted solid waste facility if the facility's permit is  so modified; 
    2. Burning of waste tire materials for energy recovery; 
    3. Pyrolysis; and 
    4. Products made from waste tire materials such as molded  rubber products, rubberized asphalt, soil amendments, playground and horse  arena surfacing materials, mulches, mats, sealers, etc. 
    B. Uses that are not eligible for reimbursement include: 
    1. Reuse as a vehicle tire; 
    2. Retreading; 
    3. Burning without energy recovery; and 
    4. Landfilling, except use as specified in subdivision A 1 of  this section. 
    9VAC20-160-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise. 
    "Authorized agent" means any person who is  authorized in writing to fulfill the requirements of this program. 
    "Carcinogen" means a chemical classification for  the purpose of risk assessment as an agent that is known or suspected to cause  cancer in humans, including but not limited to a known or likely human  carcinogen or a probable or possible human carcinogen under an EPA  weight-of-evidence classification system. 
    "Certificate" means a written certification of  satisfactory completion of remediation issued by the director pursuant to § 10.1-1232  of the Code of Virginia. 
    "Completion" means fulfillment of the commitment  agreed to by the participant as part of this program. 
    "Contaminant" means any man-made or man-induced  alteration of the chemical, physical or biological integrity of soils,  sediments, air and surface water or groundwater including, but not limited to,  such alterations caused by any hazardous substance (as defined in the  Comprehensive Environmental Response, Compensation and Liability Act, 42 USC  § 9601(14)), hazardous waste (as defined in 9VAC20-60), solid waste (as  defined in 9VAC20-80-10) 9VAC20-81), petroleum (as defined in  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.))  of the Virginia State Water Control Law, or natural gas. 
    "Cost of remediation" means all costs incurred by  the participant pursuant to activities necessary for completion of voluntary  remediation at the site, based on an estimate of the net present value (NPV) of  the combined costs of the site investigation, report development, remedial  system installation, operation and maintenance, and all other costs associated  with participating in the program and addressing the contaminants of concern at  the site. 
    "Department" means the Department of Environmental  Quality of the Commonwealth of Virginia or its successor agency. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Engineering controls" means physical modification  to a site or facility to reduce or eliminate potential for exposure to  contaminants. These include, but are not limited to, stormwater conveyance  systems, pump and treat systems, slurry walls, liner systems, caps, monitoring  systems, and leachate collection systems. 
    "Hazard index (HI)" means the sum of more than one  hazard quotient for multiple contaminants or multiple exposure pathways or  both. The HI is calculated separately for chronic, subchronic, and shorter  duration exposures. 
    "Hazard quotient" means the ratio of a single  contaminant exposure level over a specified time period to a reference dose for  that contaminant derived from a similar period. 
    "Incremental upper-bound lifetime cancer risk  level" means a conservative estimate of the incremental probability of an  individual developing cancer over a lifetime. Upper-bound lifetime cancer risk  level is likely to overestimate "true risk." 
    "Institutional controls" means legal or contractual  restrictions on property use that remain effective after remediation is  completed, and are used to reduce or eliminate the potential for exposure to  contaminants. The term may include, but is not limited to, deed and water use  restrictions. 
    "Land use controls" means legal or physical  restrictions on the use of, or access to, a site to reduce or eliminate  potential for exposure to contaminants, or prevent activities that could  interfere with the effectiveness of remediation. Land use controls include but  are not limited to engineering and institutional controls. 
    "Noncarcinogen" means a chemical classification for  the purposes of risk assessment as an agent for which there is either  inadequate toxicological data or is not likely to be a carcinogen based on an  EPA weight-of-evidence classification system. 
    "Operator" means the person currently responsible  for the overall operations at a site, or any person responsible for operations  at a site at the time of, or following, the release. 
    "Owner" means any person currently owning or  holding legal or equitable title or possessory interest in a property,  including the Commonwealth of Virginia, or a political subdivision thereof,  including title or control of a property conveyed due to bankruptcy,  foreclosure, tax delinquency, abandonment, or similar means. 
    "Participant" means a person who has received  confirmation of eligibility and has remitted payment of the registration fee. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Program" means the Virginia Voluntary Remediation  Program. 
    "Property" means a parcel of land defined by the  boundaries in the deed. 
    "Reference dose" means an estimate of a daily  exposure level for the human population, including sensitive subpopulations,  that is likely to be without an appreciable risk of deleterious effects during  a lifetime. 
    "Registration fee" means the fee paid to enroll in  the Voluntary Remediation Program, based on 1.0% of the total cost of  remediation at a site, not to exceed the statutory maximum. 
    "Release" means any spilling, leaking, pumping,  pouring, emitting, emptying, discharging, injecting, escaping, leaching,  dumping or disposing of any contaminant into the environment. 
    "Remediation" means actions taken to cleanup,  mitigate, correct, abate, minimize, eliminate, control and contain or prevent a  release of a contaminant into the environment in order to protect human health  and the environment, including actions to investigate, study or assess any  actual or suspected release. Remediation may include, when appropriate and  approved by the department, land use controls. 
    "Remediation level" means the concentration of a  contaminant with applicable land use controls, that is protective of human  health and the environment. 
    "Report" means the Voluntary Remediation Report  required by 9VAC20-160-70. 
    "Restricted use" means any use other than  residential. 
    "Risk" means the probability that a contaminant  will cause an adverse effect in exposed humans or to the environment. 
    "Risk assessment" means the process used to  determine the risk posed by contaminants released into the environment.  Elements include identification of the contaminants present in the  environmental media, assessment of exposure and exposure pathways, assessment  of the toxicity of the contaminants present at the site, characterization of  human health risks, and characterization of the impacts or risks to the  environment. 
    "Site" means any property or portion thereof, as  agreed to and defined by the participant and the department, which contains or  may contain contaminants being addressed under this program. 
    "Termination" means the formal discontinuation of  participation in the Voluntary Remediation Program without obtaining a  certification of satisfactory completion. 
    "Unrestricted use" means the designation of  acceptable future use for a site at which the remediation levels, based on  either background or standard residential exposure factors, have been attained  throughout the site in all media. 
    9VAC20-160-30. Eligibility criteria. 
    A. Candidate sites shall meet eligibility criteria as defined  in this section. 
    B. Any persons who own, operate, have a security interest in  or enter into a contract for the purchase or use of an eligible site who wish  to voluntarily remediate that site may participate in the program. Any person  who is an authorized agent of any of the parties identified in this subsection  may participate in the program. 
    C. Sites are eligible for participation in the program if (i)  remediation has not been clearly mandated by the United States Environmental  Protection Agency, the department or a court pursuant to the Comprehensive  Environmental Response, Compensation and Liability Act (42 USC § 9601 et  seq.), the Resource Conservation and Recovery Act (42 USC § 6901 et seq.),  the Virginia Waste Management Act (§ 10.1-1400 et seq. of the Code of  Virginia), the Virginia State Water Control Law (§ 62.1-44.2 et seq. of the  Code of Virginia), or other applicable statutory or common law; or (ii)  jurisdiction of the statutes listed in clause (i) has been waived. 
    A site on which an eligible party has completed remediation  of a release is potentially eligible for the program if the actions can be  documented in a way which are equivalent to the requirements for prospective  remediation, and provided the site meets applicable remediation levels. 
    Petroleum or oil releases not mandated for remediation under  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.) of  the Virginia State Water Control Law may be eligible for participation in the  program. 
    Where an applicant raises a genuine issue based on documented  evidence as to the applicability of regulatory programs in subsection D of this  section, the site may be eligible for the program. Such evidence may include a  demonstration that: 
    1. It is not clear whether the release involved a waste  material or a virgin material; 
    2. It is not clear that the release occurred after the  relevant regulations became effective; or 
    3. It is not clear that the release occurred at a regulated  unit. 
    D. For the purposes of this chapter, remediation has been  clearly mandated if any of the following conditions exist, unless jurisdiction  for such mandate has been waived: 
    1. Remediation of the release is the subject of a permit  issued by the U.S. Environmental Protection Agency or the department, a pending  or existing closure plan, a pending or existing administrative order, a pending  or existing court order, a pending or existing consent order, or the site is on  the National Priorities List; 
    2. The site at which the release occurred is subject to the  Virginia Hazardous Waste Management Regulations (9VAC20-60) (VHWMR), is a  permitted facility, is applying for or should have applied for a permit, is  under interim status or should have applied for interim status, or was  previously under interim status, and is thereby subject to requirements of the  VHWMR; 
    3. The site at which the release occurred constitutes an open  dump or unpermitted solid waste management facility under Part IV  (9VAC20-80-170 et seq.) 9VAC20-81-45 of the Virginia Solid  Waste Management Regulations; 
    4. The director determines that the release poses an imminent  and substantial threat to human health or the environment; or 
    5. Remediation of the release is otherwise the subject of a  response action required by local, state, or federal law or regulation. 
    E. The director may determine that a site under subdivision D  3 of this section may participate in the program provided that such  participation complies with the substantive requirements of the applicable  regulations. 
    9VAC20-170-30. Applicability. 
    A. This chapter applies to each owner and/or operator of a  vessel transporting solid wastes or regulated medical wastes for the purposes  of commercial carriage as cargo, and each owner or operator of a receiving  facility. This chapter also applies to the receiving facilities and vessels  transporting solid wastes or regulated medical wastes upon the navigable waters  of the Commonwealth to the extent allowable under state law. 
    B. This chapter does not apply to a public vessel as defined  under 9VAC20-170-10, the owner and operator of a public vessel, vessels transporting  solid wastes or regulated medical wastes incidental to their predominant  business or purposes, vessels transporting solid wastes or regulated medical  wastes generated during normal operations of the vessel, solid wastes or  regulated medical wastes generated during the normal operations of the vessel,  and solid wastes excluded pursuant to 9VAC20-80-150 or conditionally  exempted pursuant to 9VAC20-80-160 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations. 
    9VAC20-170-40. Relationship to other regulations. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  prescribe requirements for the solid waste management facilities in general.  While a facility utilized to receive solid wastes or regulated medical wastes  transported, loaded, or unloaded upon the navigable waters of the Commonwealth,  to the extent allowable under state law, by a commercial transporter is a solid  waste management facility, this chapter herein prescribes specific  requirements, including siting, design/construction, operation, and permitting,  for this type of facilities. If there is any overlapping requirement between  these two regulations, whichever is more stringent shall apply. 
    B. The Regulated Medical Waste Management Regulations  (9VAC20-120) address special needs for regulated medical waste management. A  facility utilized to receive regulated medical waste transported, loaded, or  unloaded upon the navigable waters of the Commonwealth, to the extent allowable  under state law, by a commercial transporter is a regulated medical waste  facility and it must conform to any applicable sections of the Regulated  Medical Waste Management Regulations adopted by the board. If there is any  overlapping requirement between these two regulations, whichever is more stringent  shall apply. 
    C. This chapter does not exempt any receiving facility from  obtaining a Virginia Water Protection Permit as required by the Virginia Water  Protection Permit Program Regulation (9VAC25-210), whenever it is applicable. 
    VA.R. Doc. No. R11-2731; Filed June 8, 2011, 1:15 p.m. 
TITLE 9. ENVIRONMENT
VIRGINIA WASTE MANAGEMENT BOARD
Final Regulation
        REGISTRAR'S NOTICE: The  Virginia Waste Management Board is claiming an exemption from the  Administrative Process Act in accordance with § 2.2-4006 A 3,  which excludes regulations that consist only of changes in style or form or  corrections of technical errors. The Virginia Waste Management Board will  receive, consider, and respond to petitions by any interested person at any  time with respect to reconsideration or revision.
         Titles of Regulations: 9VAC20-60. Virginia Hazardous  Waste Management Regulations (amending 9VAC20-60-261).
    9VAC20-70. Financial Assurance Regulations for Solid Waste  Disposal, Transfer and Treatment Facilities (amending 9VAC20-70-10, 9VAC20-70-50,  9VAC20-70-70, 9VAC20-70-75, 9VAC20-70-90, 9VAC20-70-113, 9VAC20-70-210,  9VAC20-70-290).
    9VAC20-81. Solid Waste Management Regulations (amending 9VAC20-81-10, 9VAC20-81-35, 9VAC20-81-95,  9VAC20-81-140, 9VAC20-81-160, 9VAC20-81-250, 9VAC20-81-260, 9VAC20-81-300,  9VAC20-81-397, 9VAC20-81-470, 9VAC20-81-485, 9VAC20-81-490, 9VAC20-81-530,  9VAC20-81-600).
    9VAC20-85. Coal Combustion Byproduct Regulations (amending 9VAC20-85-10, 9VAC20-85-40,  9VAC20-85-50, 9VAC20-85-60, 9VAC20-85-90, 9VAC20-85-150, 9VAC20-85-180).
    9VAC20-120. Regulated Medical Waste Management Regulations (amending 9VAC20-120-10, 9VAC20-120-70,  9VAC20-120-100, 9VAC20-120-300, 9VAC20-120-540, 9VAC20-120-810).
    9VAC20-130. Solid Waste Planning and Recycling Regulations (amending 9VAC20-130-10, 9VAC20-130-60,  9VAC20-130-120).
    9VAC20-140. Regulations for the Certification of Recycling  Machinery and Equipment for Tax Exemption Purposes (amending 9VAC20-140-10).
    9VAC20-150. Waste Tire End User Reimbursement Regulation (amending 9VAC20-150-10, 9VAC20-150-20,  9VAC20-150-40).
    9VAC20-160. Voluntary Remediation Regulations (amending 9VAC20-160-10, 9VAC20-160-30).
    9VAC20-170. Transportation of Solid and Medical Wastes on  State Waters (amending 9VAC20-170-30, 9VAC20-170-40). 
    Statutory Authority: §§ 10.1-1232, 10.1-1402, 10.1-1410, 10.1-1411, 10.1-1422.3, 10.1-1422.4, and 58.1-3661 of the Code of  Virginia.
    Effective Date: August 3, 2011. 
    Agency Contact: Debra Miller, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4206, FAX (804) 698-4346, or email  debra.miller@deq.virginia.gov.
    Summary:
    Amendment 7 to the Solid Waste Management Regulations  amended and recodified these regulations creating 9VAC20-81, which became  effective March 16, 2011. This regulatory action makes necessary style and form  changes and technical corrections to that chapter and, as a secondary action,  makes the appropriate citations changes in other waste management regulations. 
    9VAC20-60-261. Adoption of 40 CFR Part 261 by reference. 
    A. Except as otherwise provided, the regulations of the  United States Environmental Protection Agency set forth in 40 CFR Part 261 are  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. Except as otherwise provided, all material definitions, reference  materials and other ancillaries that are a part of 40 CFR Part 261 are also  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. 
    B. In all locations in these regulations where 40 CFR Part  261 is incorporated by reference, the following additions, modifications and  exceptions shall amend the incorporated text for the purpose of its  incorporation into these regulations: 
    1. Any agreements required by 40 CFR 261.4(b)(11)(ii) shall be  sent to the United States Environmental Protection Agency at the address shown  and to the Department of Environmental Quality, P.O. Box 1105, Richmond,  Virginia 23218. 
    2. In 40 CFR 261.4(e)(3)(iii), the text "in the Region  where the sample is collected" shall be deleted. 
    3. In 40 CFR 261.4(f)(1), the term "Regional  Administrator" shall mean the regional administrator of Region III of the  United States Environmental Protection Agency or his designee. 
    4. In 40 CFR 261.6(a)(2), recyclable materials shall be  subject to the requirements of 9VAC20-60-270 and Part XII (9VAC20-60-1260 et  seq.) of this chapter. 
    5. No hazardous waste from a conditionally exempt small  quantity generator shall be managed as described in 40 CFR 261.5(g)(3)(iv) or  40 CFR 261.5(g)(3)(v) unless such waste management is in full compliance with  all requirements of the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    6. In 40 CFR 261.9 and wherever elsewhere in Title 40 of the  Code of Federal Regulations there is a listing of universal wastes or a listing  of hazardous wastes that are the subject of provisions set out in 40 CFR Part  273 as universal wastes, it shall be amended by addition of the following  sentence: "In addition to the hazardous wastes listed herein, the term  "universal waste" and all lists of universal waste or waste subject  to provisions of 40 CFR Part 273 shall include those hazardous wastes listed in  Part XVI (9VAC20-60-1495 et seq.) of the Virginia Hazardous Waste Management  Regulations as universal wastes, under such terms and requirements as shall  therein be ascribed." 
    7. In Subparts B and D of 40 CFR Part 261, the term  "Administrator" shall mean the administrator of the United States  Environmental Protection Agency, and the term "Director" shall not  supplant "Administrator" throughout Subparts B and D. 
    8. Regardless of the provisions of 9VAC20-60-18, the revisions  to 40 CFR Part 261 as promulgated by U.S. EPA on October 30, 2008, (73 FR 64757  - 64788) (definition of solid waste rule) are not adopted herein.
    Part I 
  Definitions 
    9VAC20-70-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings, unless the context clearly indicates otherwise: 
    "Abandoned facility" means any inactive solid waste  management facility that has not met closure and post-closure care  requirements. 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at the completion  of closure activities required by 9VAC20-80-10 et seq the Solid Waste  Management Regulations (9VAC20-81). Active life does not include the  post-closure care monitoring period. 
    "Anniversary date" means the date of issuance of a  financial mechanism. 
    "Assets" means all existing and all probable future  economic benefits obtained or controlled by a particular entity. 
    "Authority" means an authority created under the  provisions of the Virginia Water and Waste Authorities Act, Chapter 51 (§ 15.2-5100  et seq.) of Title 15.2 of the Code of Virginia, or, if any such authority shall  be abolished, the board, body, or commission succeeding to the principal  functions thereof or to whom the powers given by the Virginia Water and Waste  Authorities Act to such authority shall be given by law. 
    "Board" means the Virginia Waste Management Board. 
    "Cash plus marketable securities" means all the  cash plus marketable securities held on the last day of a fiscal year,  excluding cash and marketable securities designed to satisfy past obligations  such as pensions. 
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of 9VAC20-80-10  et seq., 9VAC20-101-10 et seq., 9VAC20-120-10 et seq., or 9VAC20-170-10 et seq.  the Solid Waste Management Regulations (9VAC20-81), the Regulated Medical  Waste Management Regulations (9VAC20-120), or the Transportation of Solid and  Medical Wastes on State Waters Regulations (9VAC20-170). A closed facility  may be undergoing post-closure care. 
    "Closure" means the act of securing a solid waste  management facility pursuant to the requirements of this chapter and any other  applicable solid waste management standards. 
    "Commercial transporter" means any person who  transports for the purpose of commercial carriage of solid wastes or regulated  medical wastes as cargo. 
    "Corrective action" means all actions necessary to  mitigate the public health or environmental threat from a release to the  environment of solid waste or constituents of solid waste from an operating,  abandoned, or closed solid waste management facility and to restore the  environmental conditions as required. 
    "Current annual inflation factor" means the annual  inflation factor derived from the most recent Implicit Price Deflator for Gross  National Product published by the U.S. Department of Commerce in its Survey of  Current Business. 
    "Current assets" means cash or other assets or  resources commonly identified as those which are reasonably expected to be  realized in cash or sold or consumed during the normal operating cycle of the  business. 
    "Current closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-111. 
    "Current dollars" means the figure represented by  the total of the cost estimate multiplied by the current annual inflation  factor. 
    "Current liabilities" means obligations whose  liquidation is reasonably expected to require the use of existing resources  properly classifiable as current assets or the creation of other current  liabilities. 
    "Current post-closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-112. 
    "Current year expenses for closure" means  expenditures documented by the facility during the previous fiscal year for  construction-related activities associated with closing the facility. Expenses  for closure must be detailed and identified in an approved closure plan. 
    "Debt service" means the amount of principal and  interest due on a loan in a given time period, typically the current year. 
    "Deficit" means total annual revenues less total  annual expenditures. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent thereof may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means any solid waste management facility  unless the context clearly indicates otherwise. The term "facility"  includes transfer stations. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Governmental unit" means any department,  institution or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.  
    "Groundwater" means any water, except capillary  moisture or unsaturated zone moisture, beneath the land surface in the zone of  saturation or beneath the bed of any stream, lake, reservoir or other body of  surface water within the boundaries of this Commonwealth, whatever may be the  subsurface geologic structure in which such water stands, flows, percolates or  otherwise occurs. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60). 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill as defined by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Leachate" means a liquid that has passed through  or emerged from solid waste and that contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation for disposal in an off-site facility is regulated as septage,  and leachate discharged into a wastewater collection system is regulated as  industrial wastewater. 
    "Liabilities" means probable future sacrifices of  economic benefits arising from present obligations to transfer assets or  provide services to other entities in the future as a result of past  transactions or events. 
    "Local government" means a county, city or town or  any authority, commission, or district created by one or more counties, cities  or towns. 
    "Net working capital" means current assets minus  current liabilities. 
    "Net worth" means total assets minus total  liabilities and is equivalent to owner's equity. 
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means a person who owns a solid waste  management facility or part of a solid waste management facility. For the  purposes of this chapter, all individuals, corporations, companies, partnerships,  societies or associations, and any federal agency or governmental unit of the  Commonwealth having any title or interest in any solid waste management  facility or the services or facilities to be rendered thereby shall be  considered an owner. 
    "Parent corporation" means a corporation that  directly owns at least 50% of the voting stock of the corporation that is the  facility owner or operator; the latter corporation is deemed a  "subsidiary" of the parent corporation. 
    "Permit" means the written permission of the  director to own, operate, modify, or construct a solid waste management  facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Post-closure care" means the requirements placed  upon an owner or operator of a solid waste disposal facility after closure to  ensure environmental and public health and safety are protected for a specified  number of years after closure. 
    "Receiving facility" means a facility, vessel or  operation that receives solid wastes or regulated medical wastes transported,  loaded or unloaded upon the navigable waters of the Commonwealth, to the extent  allowable under state law, by a commercial transporter. A receiving facility is  considered as a solid waste management facility. A facility that receives solid  waste from a ship, barge or other vessel and is regulated under § 10.1-1454.1  of the Code of Virginia shall be considered a transfer facility for purposes of  this chapter. 
    "Regulated medical waste" means solid waste so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120) as promulgated by the Virginia Waste  Management Board. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of solid waste which is so located, designed,  constructed and operated to contain and isolate the solid waste so that it does  not pose a substantial present or potential hazard to human health or the  environment. 
    "Signature" means the name of a person written with  his own hand. 
    "Site" means all land and structures, other  appurtenances, and improvements thereon used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the property  boundary used for utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Virginia Waste Management Act and the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility (SWMF)" means a  site used for planned treating, storing, or disposing of solid waste. A  facility may consist of several treatment, storage, or disposal units. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Substantial business relationship" means the  extent of a business relationship necessary under applicable Virginia law to  make a guarantee contract incident to that relationship valid and enforceable.  A "substantial business relationship" shall arise from a pattern of recent  and on-going business transactions, in addition to the guarantee itself, such  that a currently existing business relationship between the guarantor and the  owner or operator is demonstrated to the satisfaction of the director. 
    "Tangible net worth" means the tangible assets that  remain after deducting liabilities; such assets would not include intangibles  such as goodwill and rights to patents or royalties. 
    "Total expenditures" means all expenditures  excluding capital outlays and debt repayment. 
    "Total revenue" means revenue from all taxes and  fees but does not include the proceeds from borrowing or asset sales, excluding  revenue from funds managed on behalf of a specific third party. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Treatment" means any method, technique, or  process, including incineration or neutralization, designed to change the  physical, chemical, or biological character or composition of any waste to  neutralize it or render it less hazardous or nonhazardous, safer for transport,  or more amenable to use, reuse, reclamation or recovery. 
    "Unit" means a discrete area of land used for the  management of solid waste. 
    9VAC20-70-50. Applicability of chapter. 
    A. This chapter applies to all persons who own, operate, or  allow the following permitted or unpermitted facilities to be operated on their  property: 
    1. Solid waste treatment, transfer and disposal facilities  regulated under the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81);
    2. Facilities Vegetative waste management facilities  regulated under the Vegetative Waste Management and Yard Waste Composting  Regulations (9VAC20-101-10 et seq.) Solid Waste Management Regulations  (9VAC20-81);
    3. Medical waste treatment, transfer or disposal facilities  regulated under the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120); or 
    4. Receiving facilities as defined herein.
    B. Exemptions. 
    1. Owners or operators of facilities who are federal or state  government entities whose debts and liabilities are the debts or liabilities of  the United States or the Commonwealth, are exempt from this chapter; 
    2. Owners and operators of facilities conditionally exempt  under 9VAC20-80-60 D 9VAC20-81-95 of the Virginia Solid  Waste Management Regulations are exempt from this chapter so long as they meet  the conditions of the exemption; 
    3. Owners and operators of facilities that manage solely  wastes excluded under 9VAC20-80-150 or conditionally exempt under 9VAC20-80-160  9VAC20-81-95 of the Virginia Solid Waste Management Regulations  are exempt from this chapter; 
    4. Owners or operators of facilities exempt under  9VAC20-120-120 or excluded under 9VAC20-120-130 of the Virginia  Regulated Medical Waste Management Regulations (9VAC20-120-10 et seq.) (9VAC20-120)  are exempt from this chapter; 
    5. Owners and operators of yard waste composting facilities  exempt under 9VAC20-101-60 and 9VAC20-101-70 of the Vegetative Waste  Management and Yard Waste Composting Regulations 9VAC20-81-95 of the  Solid Waste Management Regulations are exempt from this chapter; and 
    6. Owners and operators of hazardous waste management units  regulated under the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60) are exempt from this chapter as far as such  units are concerned. 
    C. Owners and operators of facilities or units that treat or  dispose of wastes which are exempted from the Virginia Hazardous Waste  Management Regulations (9VAC20-60-12 et seq.) (9VAC20-60) are  subject to these regulations unless also exempted herein. 
    D. Facilities with separate ownership and operation. If  separate, nonexempt persons own and operate a facility subject to this chapter,  the owner and operator shall be jointly and severally liable for meeting the  requirements of this chapter. If either the owner or operator is exempt, as  provided in 9VAC20-70-50 B, then the other person shall be liable for meeting  the requirements of this chapter. If both the owner and the operator are  exempt, as provided in 9VAC20-70-50 B, then the requirements of this chapter  are not applicable to that facility. 
    E. Exemptions for facilities owned and operated by local  governments. 
    1. Closed facilities. Owners and operators of facilities who  are local governmental entities or regional authorities that have completed  closure by October 9, 1994, are exempt from all the requirements of this  chapter, provided they: 
    a. Have (i) disposed of less than 100 tons per day of solid  waste during a representative period prior to October 9, 1993; (ii) disposed of  less than 100 tons per day of solid waste each month between October 9, 1993,  and April 9, 1994; (iii) ceased to accept solid waste prior to April 9, 1994;  and (iv) whose units are not on the National Priority List as found in Appendix  B to 40 CFR Part 300; or 
    b. Have (i) disposed of more than 100 tons per day of solid  waste prior to October 9, 1993, and (ii) ceased to accept solid waste prior to  that date. 
    2. All other facilities. Owners and operators of facilities  who are local governmental entities or regional authorities that are not exempt  under subdivision 1 of this subsection are subject to the requirements of this  chapter. 
    9VAC20-70-70. Suspensions and revocations. 
    The director may revoke, suspend, or amend any permit for  cause as set in § 10.1-1409 of the Code of Virginia and as provided for in  9VAC20-80-600 9VAC20-81-570 and 9VAC20-80-620 9VAC20-81-600  of the Virginia Solid Waste Management Regulations, 9VAC20-120-790 and  9VAC20-120-810 of the Regulated Medical Waste Management Regulations, 9VAC20-101-200  of the Vegetative Waste Management and Yard Waste Composting Regulations,  and any other applicable regulations. Failure to provide or maintain adequate  financial assurance in accordance with these regulations shall be a basis for  revocation of such facility permit. Failure to provide or maintain adequate  financial assurance in accordance with this chapter, taken with other relevant  facts and circumstances, may be a basis for summary suspension of such facility  permit pending a hearing to amend or revoke the permit, or to issue any other appropriate  order. 
    9VAC20-70-75. Forfeitures. 
    Forfeiture of any financial obligation imposed pursuant to  this chapter shall not relieve any owner or operator of a solid waste  management facility from any obligations to comply with provisions of the Solid  Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  or the Regulated Medical Waste Management Regulations (9VAC20-120-10 et  seq.), the Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.) (9VAC20-120), and any other applicable  regulations or any other legal obligations for the consequences of abandonment  of any facility. 
    Article 2 
  Closure, Post-Closure Care and Corrective Action Requirements 
    9VAC20-70-90. Closure, post-closure care and corrective action  requirements. 
    A. The owner or operator shall close his facility in a manner  that minimizes the need for further maintenance; and controls, minimizes or  eliminates, to the extent necessary to protect human health and the  environment, the post-closure escape of uncontrolled leachate, surface runoff,  or waste decomposition products to the groundwater, surface water, or to the  atmosphere. The owner or operator shall close his facility in accordance with  all applicable regulations. 
    The closure standards applicable to the solid waste  management facilities are described in 9VAC20-80-210 B, 9VAC20-80-210 B 2,  9VAC20-80-250 E, 9VAC20-80-260 E, 9VAC20-80-270 E, 9VAC20-80-330 E,  9VAC20-80-340 E, 9VAC20-80-360 E, 9VAC20-80-370 E, 9VAC20-80-380 B, and  9VAC20-80-470 E 9VAC20-81-160, 9VAC20-81-360, and 9VAC20-81-370 of  the Solid Waste Management Regulations. The closure requirements applicable to  the regulated medical waste facilities are specified in 9VAC20-120-290 of the  Regulated Medical Waste Management Regulations. The closure requirements for  vegetative waste management and yard waste composting facilities are specified  in 9VAC20-101-150 of the Vegetative Waste Management and Yard Waste Composting  Regulations. 
    B. Following closure of each solid waste disposal unit, the  owner or operator shall conduct post-closure care in accordance with the  requirements of 9VAC20-80-250 F, 9VAC20-80-260 F, or 9VAC20-80-270 F 9VAC20-81-170  of the Solid Waste Management Regulations, as applicable. 
    C. The owner or operator shall institute a corrective action  program when required to do so by 9VAC20-80-190, 9VAC20-80-210 B 2, or  9VAC20-80-310 9VAC20-81-45 or 9VAC20-81-260 of the Solid Waste  Management Regulations, as applicable. 
    D. During any re-examination of a determination of the amount  of financial assurance required, the owner or operator of a landfill facility  not closed in accordance with 9VAC20-80-10 et seq. 9VAC20-81  shall demonstrate financial assurance by using one or more of the approved  mechanisms listed in Article 4 (9VAC20-70-140 et seq.) of this part for the  lesser of the following: 
    1. The amount requested by the director; or 
    2. The following default amounts: 
    a. $200,000 per acre of fill for sanitary landfills; or 
    b. $150,000 per acre of fill for construction demolition  debris landfills and industrial landfills. 
    9VAC20-70-113. Financial assurance for corrective action. 
    A. Within 120 days of a facility's finding or the director's  determining (whichever first occurs) that Groundwater Protection Standards  established as required by 9VAC20-80-250 D 6, or Appendix 5.6 D of  9VAC20-80-10 et seq. as applicable 9VAC20-81-250 have been  statistically exceeded, an owner or operator of a landfill or other unit  subject to groundwater monitoring shall provide additional financial assurance  in the amount of $1 million to the department using the mechanisms listed under  Article 4 (9VAC20-70-140 et seq.) of this part. The director shall release the  owner or operator from this requirement after the director has determined: 
    1. The owner or operator is providing financial assurance for  a corrective action program using one or more mechanisms listed under Article 4  (9VAC20-70-140 et seq.) of this part, as required under 9VAC20-70-90 C and  subsections B and C of this section; or 
    2. The owner of operator has achieved compliance with  Groundwater Protection Standards by demonstrating that concentrations of APPENDIX  5.1 constituents of 9VAC20-80-10 et seq. Table 3.1, Column B of  9VAC20-81-250 have not exceeded the Groundwater Protection Standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards. 
    B. An owner or operator of a solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  prepare and submit to the director a detailed written estimate, in current  dollars, of the cost of hiring a third party to perform the corrective action.  The corrective action cost estimate shall account for the total costs of  corrective action activities as described in the corrective action plan for the  entire corrective action period. The owner or operator shall notify the  director that the estimate has been placed in the operating record unless  corrective action is proceeding under Part IV of the Solid Waste Management  Regulations (9VAC20-80-10 et seq.) 9VAC20-81-45. In the latter case,  the new corrective action cost estimate shall be submitted to the director  within 30 days of its preparation. The corrective action cost estimate shall be  approved by the director. 
    1. The owner or operator shall adjust the estimate annually  for inflation within 60 days prior to the anniversary date of the establishment  of the financial mechanism used to comply with this part until the corrective  action program is completed. For owners or operators using the financial test  or guarantee, the corrective action cost estimate shall be updated for  inflation within 30 days after the close of the owner's or operator's fiscal  year. The adjustment process to be used is described in 9VAC20-70-111 B. 
    2. The owner or operator shall increase the corrective action  cost estimate and the amount of financial assurance provided under this  subsection no later than 30 days after revisions to the corrective action  program or where a change in the solid waste management unit conditions  increase the maximum costs of corrective action. 
    3. The owner or operator may request a reduction in the amount  of the corrective action cost estimate and the amount of financial assurance  provided under this subsection if the cost estimate exceeds the maximum  remaining costs of corrective action. The owner or operator shall submit a  revised cost estimate with the justification for the reduction to the director  when requesting a reduction in the amount of the corrective action cost  estimate and the amount of financial assurance provided. The justification  shall include an itemization of all corrective action costs. No reduction  request shall be reviewed until a complete cost estimate acceptable to the  department has been submitted. A request for a reduction in the corrective  action cost estimate shall be reviewed in a timely manner. 
    C. The owner or operator of each solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  establish financial assurance in the amount specified by the most recently  approved cost estimate for the selected remedy in accordance with  9VAC20-70-140. The owner or operator shall provide continuous coverage for  corrective action until released from financial assurance requirements for  corrective action by the director. 
    9VAC20-70-210. Local government financial test. 
    An owner or operator that satisfies the requirements of  subdivisions 1 through 3 of this section may demonstrate financial assurance  using the local government financial test up to the amount specified in  subdivision 4 of this section. 
    1. Financial component. 
    a. The owner or operator shall satisfy the provisions of  subdivision 1 a of this section, as applicable: 
    (1) If the owner or operator has outstanding, rated, general  obligation bonds that are not secured by insurance, a letter of credit, or  other collateral or guarantee, he shall supply the director with documentation  demonstrating that the owner or operator has a current rating of Aaa, Aa, A, or  Baa, as issued by Moody's, or AAA, AA, A, or BBB, as issued by Standard and  Poor's on all such general obligation bonds; or 
    (2) If the owner or operator does not have outstanding, rated  general obligation bonds, he shall satisfy each of the following financial  ratios based on the owner's or operator's most recent audited annual financial  statement: 
    (a) A ratio of cash plus marketable securities to total  expenditures greater than or equal to 0.05; and 
    (b) A ratio of annual debt service to total expenditures less  than or equal to 0.20. 
    b. The owner or operator shall prepare his financial  statements in conformity with Generally Accepted Accounting Principles for  governments and have its financial statements audited by an independent  certified public accountant or by the Auditor of Public Accounts. 
    c. An owner or operator is not eligible to assure its  obligations under this section if he: 
    (1) Is currently in default on any outstanding general  obligation bonds; 
    (2) Has any outstanding general obligation bonds rated lower  than Baa as issued by Moody's or BBB as issued by Standard and Poor's; 
    (3) Operated at a deficit equal to 5.0% or more of total  annual revenue in each of the past two fiscal years; or 
    (4) Receives an adverse opinion, disclaimer of opinion, or  other qualified opinion from the independent certified public accountant or  Auditor of Public Accounts auditing its financial statement as required under  subdivision 1 b of this section. However, the director may evaluate qualified  opinions on a case-by-case basis and allow use of the financial test in cases  where the director deems the qualification insufficient to warrant disallowance  of the test. 
    2. Public notice component. The local government owner or  operator shall place a reference to the closure, post-closure care, or  corrective action costs assured through the financial test into the next  comprehensive annual financial report (CAFR) after January 7, 1998, or prior to  the initial receipt of waste at the facility, whichever is later. Disclosure  shall include the nature and source of closure and post-closure requirements,  the reported liability at the balance sheet date, the estimated total closure  and post-closure care cost remaining to be recognized, the percentage of  landfill capacity used to date, and the estimated landfill life in years. A  reference to corrective action cost shall be placed in CAFR no later than 120  days after the corrective action remedy has been selected in accordance with 9VAC20-80-310  9VAC20-81-260. For the first year the financial test is used to assure  costs at a particular facility, the reference may instead be placed in the  operating record until issuance of the next available CAFR if timing does not  permit the reference to be incorporated into the most recently issued CAFR or  budget. For closure and post-closure care costs, conformance with Government  Accounting Standards Board Statement 18 assures compliance with this public  notice component. 
    3. Recordkeeping and reporting requirements. 
    a. The local government owner or operator must submit to the  department the following items and place copies of the items in the facility's  operating record: 
    (1) An original letter signed by the local government's chief  financial officer worded as specified in 9VAC20-70-290 G; 
    (2) The local government's independently audited year-end  financial statements for the latest fiscal year, including the unqualified  opinion of the auditor who must be an independent, certified public accountant  or an appropriate state agency that conducts equivalent comprehensive audits; 
    (3) A report to the local government from the local  government's independent certified public accountant (CPA) or the Auditor of  Public Accounts based on performing an agreed upon procedures engagement  relative to the financial ratios required by subdivision 1 a (3) of this  section, if applicable, and the requirements of subdivisions 1 b, 1 c (3) and 1  c (4) of this section. The CPA or state agency's report shall state the  procedures performed and the CPA or state agency's findings; 
    (4) A copy of the comprehensive annual financial report (CAFR)  used to comply with subdivision 2 of this section or certification that the  requirements of General Accounting Standards Board Statement 18 have been met; 
    (5) A certification from the local government's chief  executive officer stating in detail the method selected by the local government  for funding closure and post-closure costs. If the method selected by the local  government is a trust fund, escrow account or similar mechanism, there shall be  included a certification from the local government's chief financial officer  indicating the current reserve obligated to closure and post-closure care cost.  If the method selected by local governments is the use of annual operating  budget and Capital Investment Funds, there shall be a certification from the  local government's chief financial officer so indicating. Nothing herein shall  be construed to prohibit the local government from revising its plan for  funding closure and post-closure care costs if such revision provides economic  benefit to the local government and if such revision provides adequate means  for funding closure and post-closure care cost. This certification shall be  worded as specified in 9VAC20-70-290 H; and 
    (6) If the local government is required under this section to  fund a restricted sinking fund, escrow account, or to obtain an irrevocable  letter of credit, an original letter signed by the local government's chief  financial officer and worded as specified in 9VAC20-70-290 I must be submitted.  
    b. The items required in subdivision 3 a of this section shall  be submitted to the department and placed in the facility operating record as  follows: 
    (1) In the case of closure and post-closure care, either  before January 7, 1998, or prior to the initial receipt of waste at the  facility, whichever is later; or 
    (2) In the case of corrective action, not later than 120 days  after the corrective action remedy is selected in accordance with the  requirements of 9VAC20-80-310 9VAC20-81-260. 
    c. After the initial submission of the items, the local  government owner or operator must update the information, place a copy of the  updated information in the operating record, and submit the updated  documentation described in subdivisions 3 a (1) through (6) of this section to  the department within 180 days following the close of the owner or operator's  fiscal year. 
    d. The local government owner or operator is no longer  required to meet the requirements of subdivision 3 of this section when: 
    (1) The owner or operator substitutes alternate financial  assurance as specified in this section; or 
    (2) The owner or operator is released from the requirements of  this section in accordance with 9VAC20-70-111 E, 9VAC20-70-112 B, or  9VAC20-70-113 C. 
    e. A local government shall satisfy the requirements of the  financial test at the close of each fiscal year. If the local government owner  or operator no longer meets the requirements of the local government financial  test it must, within 210 days following the close of the owner or operator's  fiscal year, obtain alternative financial assurance that meets the requirements  of this section, place a copy of the financial assurance mechanism in the  operating record, and submit the original financial assurance mechanism to the  director. 
    f. The director, based on a reasonable belief that the local  government owner or operator may no longer meet the requirements of the local  government financial test, may require additional reports of financial  condition from the local government at any time. If the director finds, on the  basis of such reports or other information, that the owner or operator no  longer meets the requirements of the local government financial test, the local  government shall provide alternate financial assurance in accordance with this  article. 
    4. Calculation of costs to be assured. The portion of the  closure, post-closure, and corrective action costs for which an owner or  operator can assure under subdivision 1 of this section is determined as  follows: 
    a. If the local government owner or operator does not assure  other environmental obligations through a financial test, it may assure  closure, post-closure, and corrective action costs that equal up to 43% of the  local government's total annual revenue or the sum of total revenues of  constituent governments in the case of regional authorities. If the local  government assures closure, post-closure, and corrective action costs that  exceed 20% (but do not exceed 43%) of the local government's total annual  revenue or the sum of the revenue of constituent governments in the case of  regional authorities, the locality must also establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    b. If the local government assures other environmental obligations  through a financial test, including those associated with UIC facilities under  40 CFR 144.62, petroleum underground storage tank facilities under  9VAC25-590-10 et seq., PCB storage facilities under 40 CFR Part 761, and  hazardous waste treatment, storage, and disposal facilities under Part IX or X  of the Virginia Hazardous Waste Management Regulations (9VAC20-60-12 et  seq.) (9VAC20-60), it shall add those costs to the closure,  post-closure, and corrective action costs it seeks to assure under subdivision  1 of this section. The total shall not exceed 43% of the local government's  total annual revenue. If the local government's total environmental liabilities  assured through financial tests exceed 20% (but do not exceed 43%) of the local  government's total annual revenue or the sum of the revenue of constituent  governments in the case of regional authorities, the locality must also  establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    c. The owner or operator shall obtain an alternate financial  assurance mechanism for those costs that exceed the limits set in subdivisions  4 a and 4 b of this section. 
    9VAC20-70-290. Wording of financial mechanisms. 
    A. Wording of trust agreements. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    TRUST AGREEMENT 
    Trust agreement, the "Agreement," entered into as  of (date) by and between (name of the owner or operator), a (State)  (corporation, partnership, association, proprietorship), the  "Grantor," and (name of corporate trustee), a (State corporation)  (national bank), the "Trustee." 
    Whereas, the Virginia Waste Management Board has established  certain regulations applicable to the Grantor, requiring that the owner or operator  of a (solid) (regulated medical) (yard) waste (transfer station) (receiving)  (management) facility must provide assurance that funds will be available when  needed for (closure, post-closure care, or corrective action) of the facility, 
    Whereas, the Grantor has elected to establish a trust to  provide (all or part of) such financial assurance for the facility identified  herein, 
    Whereas, the Grantor, acting through its duly authorized  officers, has selected the Trustee to be the trustee under this agreement, and  the Trustee is willing to act as trustee, 
    Now, therefore, the Grantor and the Trustee agree as follows:  
    Section 1. Definitions. As used in this Agreement: 
    A. The term "fiduciary" means any person who  exercises any power of control, management, or disposition or renders  investment advice for a fee or other compensation, direct or indirect, with  respect to any moneys or other property of this trust fund, or has any  authority or responsibility to do so, or who has any authority or  responsibility in the administration of this trust fund. 
    B. The term "Grantor" means the owner or operator  who enters into this Agreement and any successors or assigns of the Grantor. 
    C. The term "Trustee" means the Trustee who enters  into this Agreement and any successor Trustee. 
    Section 2. Identification of Facility and Cost Estimates.  This Agreement pertains to facility(ies) and cost estimates identified on  attached Schedule A. 
    (NOTE: On Schedule A, for each facility list, as applicable,  the permit number, name, address, and the current closure, post-closure,  corrective action cost estimates, or portions thereof, for which financial  assurance is demonstrated by this Agreement.) 
    Section 3. Establishment of Fund. The Grantor and the Trustee  hereby establish a trust fund, the "Fund," for the benefit of the  Department of Environmental Quality, Commonwealth of Virginia. The Grantor and  the Trustee intend that no third party have access to the Fund except as herein  provided. The Fund is established initially as property consisting of cash or  securities, which are acceptable to the Trustee, described in Schedule B  attached hereto. Such property and any other property subsequently transferred  to the Trustee is referred to as the fund, together with all earnings and  profits thereon, less any payments or distributions made by the Trustee  pursuant to this Agreement. The Fund will be held by the Trustee, IN TRUST, as  hereinafter provided. The Trustee undertakes no responsibility for the amount  or adequacy of, nor any duty to collect from the Grantor, any payments to  discharge any liabilities of the Grantor established by the Commonwealth of  Virginia's Department of Environmental Quality. 
    Section 4. Payment for (Closure, Post-Closure Care, or  Corrective Action). The Trustee will make such payments from the Fund as the  Department of Environmental Quality, Commonwealth of Virginia will direct, in  writing, to provide for the payment of the costs of (closure, post-closure  care, corrective action) of the facility covered by this Agreement. The Trustee  will reimburse the Grantor or other persons as specified by the Department of  Environmental Quality, Commonwealth of Virginia, from the Fund for (closure,  post-closure care, corrective action) expenditures in such amounts as the  Department of Environmental Quality will direct, in writing. In addition, the  Trustee will refund to the Grantor such amounts as the Department of  Environmental Quality specifies in writing. Upon refund, such funds will no  longer constitute part of the Fund as defined herein. 
    Section 5. Payments Comprising the Fund. Payments made to the  Trustee for the fund will consist of cash or securities acceptable to the  Trustee. 
    Section 6. Trustee Management. The Trustee will invest and  reinvest the principal and income of the Fund and keep the Fund invested as a  single fund, without distinction between principal and income, in accordance  with investment guidelines and objectives communicated in writing to the  Trustee from time to time by the Grantor, subject, however, to the provisions  of this Section. In investing, reinvesting, exchanging, selling and managing  the Fund, the Trustee or any other fiduciary will discharge his duties with  respect to the trust fund solely in the interest of the beneficiary and with  the care, skill, prudence, and diligence under the circumstances then  prevailing which persons of prudence, acting in a like capacity and familiar  with such matters, would use in the conduct of any enterprise of a like  character and with like aims; except that: 
    A. Securities or other obligations of the Grantor, or any  other owner or operator of the facility, or any of their affiliates as defined  in the Investment Company Act of 1940, as amended, 15 USC § 80a-2(a), will not  be acquired or held, unless they are securities or other obligations of the  federal or a state government; 
    B. The Trustee is authorized to invest the Fund in time or  demand deposits of the Trustee, to the extent insured by an agency of the  federal or state government; and 
    C. The Trustee is authorized to hold cash awaiting investment  or distribution uninvested for a reasonable time and without liability for the  payment of interest thereon. 
    Section 7. Commingling and Investment. The Trustee is  expressly authorized in its discretion: 
    A. To transfer from time to time any or all of the assets of  the Fund to any common, commingled or collective trust fund created by the  Trustee in which the Fund is eligible to participate subject to all of the  provisions thereof, to be commingled with the assets of other trusts  participating herein. To the extent of the equitable share of the Fund in any  such commingled trust, such commingled trust will be part of the Fund; and 
    B. To purchase shares in any investment company registered  under the Investment Company Act of 1940, 15 USC § 80a-1 et seq., of one which  may be created, managed, underwritten, or to which investment advice is  rendered or the shares of which are sold by the Trustee. The Trustees may vote  such shares in its discretion. 
    Section 8. Express Powers of Trustee. Without in any way  limiting the powers and discretions conferred upon the Trustee by the other  provisions of this Agreement or by law, the Trustee is expressly authorized and  empowered: 
    A. To sell, exchange, convey, transfer or otherwise dispose of  any property held by it, by private contract or at public auction. No person  dealing with the Trustee will be bound to see to the application of the  purchase money or to inquire into the validity or expediency of any such sale  or other dispositions; 
    B. To make, execute, acknowledge and deliver any and all  documents of transfer and conveyance and any and all other instruments that may  be necessary or appropriate to carry out the powers herein granted; 
    C. To register any securities held in the fund in its own name  or in the name of a nominee and to hold any security in bearer form or in book  entry, or to combine certificates representing such securities with  certificates of the same issue held by the Trustee in other fiduciary  capacities, or to deposit or arrange for the deposit of such securities in a  qualified central depository even though, when so deposited, such securities  may be merged and held in bulk in the name of the nominee of such depository  with other securities deposited therein by another person, or to deposit or  arrange for the deposit of any securities issued by the United State  government, or any agency or instrumentality thereof with a Federal Reserve  Bank, but the books and records of the Trustee will at all times show that all  such securities are part of the Fund; 
    D. To deposit any cash in the fund in interest-bearing  accounts maintained or savings certificates issued by the Trustee, in its  separate corporate capacity, or in any other banking institution affiliated  with the Trustee, to the extent insured by an agency of the Federal or State  government; and 
    E. To compromise or otherwise adjust all claims in favor of or  against the Fund. 
    Section 9. Taxes and Expenses. All taxes of any kind that may  be assessed or levied against or in respect of the Fund and all brokerage  commissions incurred by the Fund will be paid from the Fund. All other expenses  incurred by the Trustee in connection with the administration of this Trust,  including fees for legal services rendered to the Trustee, the compensation of  the Trustee to the extent not paid directly by the Grantor, and all other  proper charges and disbursements of the Trustee will be paid from the Fund. 
    Section 10. Annual Valuation. The Trustee will annually, at  the end of the month coincident with or preceding the anniversary date of  establishment of the Fund, furnish the Grantor and to the director of the  Department of Environmental Quality, Commonwealth of Virginia, a statement  confirming the value of the Trust. Any securities in the Fund will be valued at  market value as of no more than 30 days prior to the date of the statement. The  failure of the Grantor to object in writing to the Trustee within 90 days after  the statement has been furnished to the Grantor and the director of the  Department of Environmental Quality, Commonwealth of Virginia will constitute a  conclusively binding assent by the Grantor, barring the Grantor from asserting  any claim or liability against the Trustee with respect to matters disclosed in  the statement. 
    Section 11. Advice of Counsel. The Trustee may from time to  time consult with counsel, who may be counsel to the Grantor, with respect to  any question arising as to the construction of this Agreement or any action to  be taken hereunder. The Trustee will be fully protected, to the extent  permitted by law, in acting upon the advice of counsel. 
    Section 12. Trustee Compensation. The Trustee will be  entitled to reasonable compensation for its services as agreed upon in writing  from time to time with the Grantor. 
    Section 13. Successor Trustee. The Trustee may resign or the  Grantor may replace the Trustee, but such resignation or replacement shall not  be effective until the Grantor has appointed a successor trustee and this  successor accepts the appointment. The successor trustee shall have the same  powers and duties as those conferred upon the Trustee hereunder. Upon  acceptance of the appointment by the successor trustee, the Trustee will  assign, transfer and pay over to the successor trustee the funds and properties  then constituting the Fund. If for any reason the grantor cannot or does not  act in the event of the resignation of the Trustee, the Trustee may apply to a  court of competent jurisdiction for the appointment of a successor trustee or  for instructions. The successor trustee and the date on which he assumes  administration of the trust will be specified in writing and sent to the  Grantor, the director of the Department of Environmental Quality, Commonwealth  of Virginia, and the present trustees by certified mail 10 days before such  change becomes effective. Any expenses incurred by the Trustee as a result of  any of the acts contemplated by this section will be paid as provided in Part  IX. 
    Section 14. Instructions to the Trustee. All orders, requests  and instructions by the Grantor to the Trustee will be in writing, signed by  such persons as are designated in the attached Exhibit A or such other  designees as the grantor may designate by amendment to Exhibit A. The Trustee  will be fully protected in acting without inquiry in accordance with the  Grantor's orders, requests and instructions. All orders, requests, and  instructions by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, to the Trustee will be in writing, signed by the  Director and the Trustee will act and will be fully protected in acting in  accordance with such orders, requests and instructions. The Trustee will have  the right to assume, in the absence of written notice to the contrary, that no  event constituting a change or a termination of the authority of any person to  act on behalf of the Grantor or the Commonwealth of Virginia's Department of  Environmental Quality hereunder has occurred. The Trustee will have no duty to  act in the absence of such orders, requests and instructions from the Grantor  and/or the Commonwealth of Virginia's Department of Environmental Quality,  except as provided for herein. 
    Section 15. Notice of Nonpayment. The Trustee will notify the  Grantor and the Director of the Department of Environmental Quality,  Commonwealth of Virginia, by certified mail within 10 days following the  expiration of the 30-day period after the anniversary of the establishment of  the Trust, if no payment is received from the Grantor during that period. After  the pay-in period is completed, the Trustee is not required to send a notice of  nonpayment. 
    Section 16. Amendment of Agreement. This Agreement may be  amended by an instrument in writing executed by the Grantor, the Trustee, and  the Director of the Department of Environmental Quality, Commonwealth of  Virginia, or by the Trustee and the Director of the Department of Environmental  Quality, Commonwealth of Virginia, if the Grantor ceases to exist. 
    Section 17. Irrevocability and Termination. Subject to the  right of the parties to amend this Agreement as provided in Section 16, this  Trust will be irrevocable and will continue until terminated at the written  agreement of the Grantor, the Trustee, and the Director of the Department of  Environmental Quality, Commonwealth of Virginia, or by the Trustee and the  Director if the Grantor ceases to exist. Upon termination of the Trust, all  remaining trust property, less final trust administration expenses, will be  delivered to the Grantor. 
    Section 18. Immunity and Indemnification. The Trustee will  not incur personal liability of any nature in connection with any act or  omission, made in good faith, in the administration of this Trust, or in  carrying out any directions by the Grantor or the Director of the Department of  Environmental Quality, Commonwealth of Virginia, issued in accordance with this  Agreement. The Trustee will be indemnified and saved harmless by the Grantor or  from the Trust Fund, or both, from and against any personal liability to which  the Trustee may be subjected by reason of any act or conduct in its official  capacity, including all expenses reasonably incurred in its defense in the  event the Grantor fails to provide such defense. 
    Section 19. Choice of Law. This Agreement will be  administered, construed and enforced according to the laws of the Commonwealth  of Virginia. 
    Section 20. Interpretation. As used in the Agreement, words  in the singular include the plural and words in the plural include the  singular. The descriptive headings for each section of this Agreement will not  affect the interpretation of the legal efficacy of this Agreement. 
    In witness whereof the parties have caused this Agreement to  be executed by their respective officers duly authorized and their corporate  seals to be hereunto affixed and attested as of the date first above written.  The parties below certify that the wording of this Agreement is identical to  the wording specified in 9VAC20-70-290 A of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer and Treatment Facilities, as such regulations  were constituted on the date shown immediately below. 
           |      (Signature of Grantor)      |                 |    
       |      By: (Title)      |          (Date)      |    
       |      Attest:      |                 |    
       |      (Title)      |          (Date)      |    
       |      (Seal)      |                 |    
       |      (Signature of Trustee)      |                 |    
       |      By      |                 |    
       |      Attest:      |                 |    
       |      (Title)      |                 |    
       |      (Seal)      |          (Date)      |    
  
    Certification of Acknowledgment: 
    COMMONWEALTH OF VIRGINIA 
    STATE OF __________ 
    CITY/COUNTY OF __________ 
    On this date, before me personally came (owner or operator)  to me known, who being by me duly sworn, did depose and say that she/he resides  at (address), that she/he is (title) of (corporation), the corporation  described in and which executed the above instrument; that she/he knows the  seal of said corporation; that the seal affixed to such instrument is such  corporate seal; that it was so affixed by order of the Board of Directors of said  corporation, and that she/he signed her/his name thereto by like order. 
    (Signature of Notary Public) 
    B. Wording of surety bond guaranteeing performance or  payment. 
    (NOTE: instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    PERFORMANCE OR PAYMENT BOND 
    Date bond executed: __________ 
    Effective date: __________ 
    Principal: (legal name and business address) _____________ 
    Type of organization: (insert "individual,"  "joint venture," "partnership," or "corporation")  _____________ 
    State of incorporation: __________ 
    Surety: (name and business address) _____________ 
    Name, address, permit number, if any, and (closure,  post-closure care, or corrective action) cost estimate for the facility:  _____________ 
    Penal sum of bond: $________ 
    Surety's bond number: __________ 
    Know all men by these present, That we, the Principal and  Surety hereto are firmly bound to the Department of Environmental Quality,  Commonwealth of Virginia, (hereinafter called the Department) in the above  penal sum for the payment of which we bind ourselves, our heirs, executors,  administrators, successors and assigns, jointly and severally; provided that,  where the Surety(ies) are corporations acting as co-sureties, we, the Sureties,  bind ourselves in such sum "jointly and severally" only for the  purpose of allowing a joint action or actions against any or all of us, and for  all other purposes each Surety binds itself, jointly and severally with the  Principal, for the payment of each sum only as is set forth opposite the name  of such Surety, but if no limit of liability is indicated, the limit of  liability shall be the full amount of the penal sum. 
    Whereas, said Principal is required to have a permit from the  Department of Environmental Quality, Commonwealth of Virginia, in order to own  or operate the (solid, regulated medical, yard) waste management facility  identified above, and 
    Whereas, said Principal is required to provide financial  assurance for (closure, post-closure care, corrective action) of the facility  as a condition of the permit or an order issued by the department, 
    Now, therefore the conditions of this obligation are such  that if the Principal shall faithfully perform (closure, post-closure care,  corrective action), whenever required to do so, of the facility identified  above in accordance with the order or the (closure, post-closure care,  corrective action) plan submitted to receive said permit and other requirements  of said permit as such plan and permit may be amended or renewed pursuant to  all applicable laws, statutes, rules, and regulations, as such laws, statutes,  rules, and regulations may be amended, 
    Or, if the Principal shall faithfully perform (closure,  post-closure care, corrective action) following an order to begin (closure,  post-closure care, corrective action) issued by the Commonwealth of Virginia's  Department of Environmental Quality or by a court, or following a notice of  termination of the permit, 
    Or, if the Principal shall provide alternate financial assurance  as specified in the Department's regulations and obtain the director's written  approval of such assurance, within 90 days of the date notice of cancellation  is received by the Director of the Department of Environmental Quality from the  Surety, then this obligation will be null and void, otherwise it is to remain  in full force and effect for the life of the management facility identified  above. 
    The Surety shall become liable on this bond obligation only  when the Principal has failed to fulfill the conditions described above. Upon  notification by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, that the Principal has been found in violation of the  requirements of the Department's regulations, the Surety must either perform  (closure, post-closure care, corrective action) in accordance with the approved  plan and other permit requirements or forfeit the (closure, post-closure care,  corrective action) amount guaranteed for the facility to the Commonwealth of  Virginia. 
    Upon notification by the Director of the Department of  Environmental Quality, Commonwealth of Virginia, that the Principal has been  found in violation of an order to begin (closure, post-closure care, corrective  action), the Surety must either perform (closure, post-closure care, corrective  action) in accordance with the order or forfeit the amount of the (closure,  post-closure care, corrective action) guaranteed for the facility to the  Commonwealth of Virginia. 
    The Surety hereby waives notification of amendments to the  (closure, post-closure care, corrective action) plans, orders, permit,  applicable laws, statutes, rules, and regulations and agrees that such  amendments shall in no way alleviate its obligation on this bond. 
    For purposes of this bond, (closure, post-closure care,  corrective action) shall be deemed to have been completed when the Director of  the Department of Environmental Quality, Commonwealth of Virginia, determines  that the conditions of the approved plan have been met. 
    The liability of the Surety shall not be discharged by any  payment or succession of payments hereunder, unless and until such payment or  payments shall amount in the aggregate to the penal sum of the bond, but the  obligation of the Surety hereunder shall not exceed the amount of said penal  sum unless the Director of the Department of Environmental Quality,  Commonwealth of Virginia, should prevail in an action to enforce the terms of  this bond. In this event, the Surety shall pay, in addition to the penal sum  due under the terms of the bond, all interest accrued from the date the  Director of the Department of Environmental Quality, Commonwealth of Virginia,  first ordered the Surety to perform. The accrued interest shall be calculated  at the judgment rate of interest pursuant to § 6.1-330.54 6.2-302  of the Code of Virginia. 
    The Surety may cancel the bond by sending written notice of  cancellation to the owner or operator and to the Director of the Department of  Environmental Quality, Commonwealth of Virginia, provided, however, that cancellation  cannot occur (1) during the 120 days beginning on the date of receipt of the  notice of cancellation by the director as shown on the signed return receipt;  or (2) while an enforcement action is pending. 
    The Principal may terminate this bond by sending written  notice to the Surety, provided, however, that no such notice shall become  effective until the Surety receives written authorization for termination of  the bond by the Director of the Department of Environmental Quality,  Commonwealth of Virginia. 
    In witness whereof, the Principal and Surety have executed  this Performance Bond and have affixed their seals on the date set forth above.  
    The persons whose signatures appear below hereby certify that  they are authorized to execute this surety bond on behalf of the Principal and  Surety and I hereby certify that the wording of this surety bond is identical  to the wording specified in 9VAC20-70-290 B of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    Principal 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Surety 
    Name and Address: __________ 
    State of Incorporation: __________ 
    Liability Limit: $___ 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Seal: 
    C. Wording of irrevocable standby letter of credit. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    IRREVOCABLE STANDBY LETTER OF CREDIT 
    Director 
    Department of Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia 23240-0009 
    Dear (Sir or Madam): 
    We hereby establish our Irrevocable Letter of Credit No......  in your favor at the request and for the account of (owner's or operator's name  and address) up to the aggregate amount of (in words) U.S. dollars $____,  available upon presentation of 
    1. Your sight draft, bearing reference to this letter of  credit No ____ together with 
    2. Your signed statement declaring that the amount of the  draft is payable pursuant to regulations issued under the authority of the  Department of Environmental Quality, Commonwealth of Virginia. 
    The following amounts are included in the amount of this  letter of credit: (Insert the facility permit number, if any, name and address,  and the closure, post-closure care, corrective action cost estimate, or  portions thereof, for which financial assurance is demonstrated by this letter  of credit.) 
    This letter of credit is effective as of (date) and will  expire on (date at least one year later), but such expiration date will be  automatically extended for a period of (at least one year) on (date) and on  each successive expiration date, unless, at least 120 days before the current  expiration date, we notify you and (owner or operator's name) by certified mail  that we decide not to extend the Letter of Credit beyond the current expiration  date. In the event you are so notified, unused portion of the credit will be  available upon presentation of your sight draft for 120 days after the date of  receipt by you as shown on the signed return receipt or while a compliance  procedure is pending, whichever is later. 
    Whenever this letter of credit is drawn on under and in  compliance with the terms of this credit, we will duly honor such draft upon  presentation to us, and we will pay to you the amount of the draft promptly and  directly. 
    I hereby certify that I am authorized to execute this letter  of credit on behalf of (issuing institution) and I hereby certify that the  wording of this letter of credit is identical to the wording specified in  9VAC20-70-290 C of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities as such regulations were  constituted on the date shown immediately below. 
    Attest: 
    (Print name and title of official of issuing institution)  (Date) 
        This credit is subject to (insert "the most recent  edition of the Uniform Customs and Practice for Documentary Credits, published by  the International Chamber of Commerce," of "the Uniform Commercial  Code.") 
    D. Assignment of certificate of deposit account. 
    City _______________________ ____________, 20___ 
    FOR VALUE RECEIVED, the undersigned assigns all right, title  and interest to the Virginia Department of Environmental Quality, Commonwealth  of Virginia, and its successors and assigns the Virginia Department of  Environmental Quality the principal amount of the instrument, including all  monies deposited now or in the future to that instrument, indicated below: 
    ( ) If checked here, this assignment includes all interest  now and hereafter accrued. 
    Certificate of Deposit Account No. _____________________ 
    This assignment is given as security to the Virginia  Department of Environmental Quality in the amount of _______________________  Dollars ($_____________). 
    Continuing Assignment. This assignment shall continue to  remain in effect for all subsequent terms of the automatically renewable  certificate of deposit. 
    Assignment of Document. The undersigned also assigns any  certificate or other document evidencing ownership to the Virginia Department  of Environmental Quality. 
    Additional Security. This assignment shall secure the payment  of any financial obligation of the (name of owner/operator) to the Virginia  Department of Environmental Quality for ("closure" "post closure  care" "corrective action") at the (facility name and permit  number) located (physical address) 
    Application of Funds. The undersigned agrees that all or any  part of the funds of the indicated account or instrument may be applied to the  payment of any and all financial assurance obligations of (name of  owner/operator) to the Virginia Department of Environmental Quality for  ("closure" "post closure care" "corrective  action") at the (facility name and address). The undersigned authorizes  the Virginia Department of Environmental Quality to withdraw any principal  amount on deposit in the indicated account or instrument including any  interest, if indicated, and to apply it in the Virginia Department of  Environmental Quality's discretion to fund ("closure" "post  closure care" "corrective action") at the (facility name) or in  the event of (owner or operator's) failure to comply with the Virginia Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities, 9VAC20-70-10 et seq 9VAC20-70. The undersigned agrees  that the Virginia Department of Environmental Quality may withdraw any  principal and/or interest from the indicated account or instrument without demand  or notice. (The undersigned) agrees to assume any and all loss of penalty due  to federal regulations concerning the early withdrawal of funds. Any partial  withdrawal of principal or interest shall not release this assignment. 
    The party or parties to this Assignment set their hand or  seals, or if corporate, has caused this assignment to be signed in its  corporate name by its duly authorized officers and its seal to be affixed by  authority of its Board of Directors the day and year above written. 
           |             |                 |          SEAL       |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
       |             |                 |          SEAL      |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
  
    THE FOLLOWING SECTION IS TO BE COMPLETED BY THE BRANCH OR  LENDING OFFICE: 
    The signature(s) as shown above compare correctly with the  name(s) as shown on record as owner(s) of the Certificate of Deposit indicated  above. The above assignment has been properly recorded by placing a hold in the  amount of $ _______________________ for the benefit of the Department of  Environmental Quality. 
    ( ) If checked here, the accrued interest on the Certificate  of Deposit indicated above has been maintained to capitalize versus being  mailed by check or transferred to a deposit account. 
           |             |                 |                 |    
       |      (Signature)      |                 |          (Date)      |    
       |             |                 |                 |    
       |      (print name)      |                 |                 |    
       |             |                 |                 |    
       |      (Title)      |                 |                 |    
  
    E. Wording of certificate of insurance. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    CERTIFICATE OF INSURANCE 
    Name and Address of Insurer (herein called the  "Insurer"): 
    _____________ 
    _____________
    Name and Address of Insured (herein called the  "Insured"): 
    _____________ 
    _____________ 
    _____________
    Facilities Covered: (List for each facility: Permit number  (if applicable), name, address and the amount of insurance for closure,  post-closure care, or corrective action. (These amounts for all facilities  covered shall total the face amount shown below.)) 
    Face Amount: $___ 
    Policy Number: __________ 
    Effective Date: __________ 
    The Insurer hereby certifies that it has issued to the  Insured the policy of insurance identified above to provide financial assurance  for (insert "closure," "post-closure care,"  "corrective action") for the facilities identified above. The Insurer  further warrants that such policy conforms in all respects with the requirements  of 9VAC20-70-190 of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities ("Regulations") (9VAC20-70-10  et seq.) (9VAC20-70), as such regulations were constituted on the  date shown immediately below. It is agreed that any provision of the policy  inconsistent with such regulations is hereby amended to eliminate such  inconsistency. 
    Whenever requested by the Director, the Insurer agrees to  furnish to the Director a duplicate original of the policy listed above,  including all endorsements thereon. 
    I hereby certify that the wording of this certificate is  identical to the wording specified in 9VAC20-70-290 E of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Authorized signature for Insurer) 
    (Name of person signing) 
    (Title of person signing) 
    Signature of witness or notary: 
    (Date) 
    F. Wording of letter from chief financial officer. 
    (NOTE: Instructions in  parentheses are to be replaced with the relevant information and the  parentheses removed.) 
    Director 
    Department of  Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia  23240-0009 
    Dear (Sir, Madam): 
    I am the chief financial officer of (name and address of  firm). This letter is in support of this firm's use of the financial test to  demonstrate financial assurance, as specified in 9VAC20-70-200 of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities (9VAC20-70-10 et seq.) (9VAC20-70)  ("Regulations"). 
    (Fill out the following four paragraphs regarding solid  waste, regulated medical waste, yard waste composting, hazardous waste,  underground injection (regulated under the federal program in 40 CFR Part 144,  or its equivalent in other states), petroleum underground storage (9VAC25-590-10  et seq.) (9VAC25-590), above ground storage facilities (9VAC25-640-10  et seq.) (9VAC25-640) and PCB storage (regulated under 40 CFR Part  761) facilities and associated cost estimates. If your firm has no facilities  that belong in a particular paragraph, write "None" in the space  indicated. For each facility, include its name, address, permit number, if any,  and current closure, post-closure care, corrective action or any other  environmental obligation cost estimates. Identify each cost estimate as to  whether it is for closure, post-closure care, corrective action or other  environmental obligation.) 
    1. This firm is the owner or operator of the following  facilities for which financial assurance is demonstrated through the corporate  test specified in 9VAC20-70-200 or its equivalent in other applicable  regulations. The current cost estimates covered by the test are shown for each  facility: 
    2. This firm guarantees, through the corporate guarantee  specified in 9VAC20-70-220, the financial assurance for the following  facilities owned or operated by subsidiaries of this firm. The current cost  estimates so guaranteed are shown for each facility: 
    3. This firm, as owner or operator or guarantor, is  demonstrating financial assurance for the following facilities through the use  of a financial test. The current cost estimates covered by such a test are  shown for each facility: 
    4. This firm is the owner or operator of the following waste  management facilities for which financial assurance is not demonstrated through  the financial test or any other financial assurance mechanism. The current cost  estimates for the facilities which are not covered by such financial assurance  are shown for each facility: 
    This firm (insert "is required" or "is not  required") to file a Form 10K with the Securities and Exchange Commission  (SEC) for the latest fiscal year. 
    The fiscal year of this firm ends on (month, day). The  figures for the following items marked with an asterisk are derived from this  firm's independently audited, year-end financial statements for the latest  completed fiscal year, ended (date). 
           |      1) Sum of current closure, post-closure care, corrective    action or other environmental obligations cost estimates (total of all cost    estimates shown in the four paragraphs above.)       |          $__________      |    
       |      2) Tangible net worth*       |          $__________      |    
       |      3) Total assets located in the United States*       |          $__________      |    
       |             |           YES      |          NO      |    
       |      Line 2 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
       |      Line 3 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
        |      |      |      |    
  
    (Fill in Alternative I if the criteria of 9VAC20-70-200 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-200 1 a (2)  are used. Fill in Alternative III if the criteria of 9VAC20-70-200 1 a (3) are  used.) 
    ALTERNATIVE I 
    Current bond rating of this firm's senior unsubordinated debt  and name of rating service 
    Date of issuance of bond 
    Date of maturity of bond 
           |      ALTERNATIVE II       |    
       |      4) Total liabilities* (if any portion of the closure,    post-closure care, corrective action or other environmental obligations cost    estimates is included in total liabilities, you may deduct the amount of that    portion from this line and add that amount to line 5.)       |          $___________      |    
       |      5) Net worth*       |          $___________      |    
       |      Is line 4 divided by line 5 less than 1.5?      |          YES      |          NO      |    
        |      |      |      |    
  
     
     
                    ALTERNATIVE III       |    
       |      6) Total liabilities*        |          $___________      |    
       |      7) The sum of net income plus depreciation, depletion, and    amortization minus $10 million*      |                 |          $___________      |    
       |      Is line 7 divided by line 6 less than 0.1?      |           YES      |          NO      |                 |    
        |      |      |      |    
  
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 F of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name) 
    (Title) 
    (Date) 
    G. Wording of the local government letter from chief  financial officer. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    LETTER FROM CHIEF FINANCIAL OFFICER 
    I am the chief financial officer of (insert: name and address  of local government owner or operator, or guarantor). This letter is in support  of the use of the financial test to demonstrate financial responsibility for  ("closure care" "post-closure care" "corrective action  costs") arising from operating a solid waste management facility. 
    The following facilities are assured by this financial test:  (List for each facility: the name and address of the facility, the permit  number, the closure, post-closure and/or corrective action costs, whichever  applicable, for each facility covered by this instrument). 
    This owner's or operator's financial statements were prepared  in conformity with Generally Accepted Accounting Principles for governments and  have been audited by ("an independent certified public accountant"  "Auditor of Public Accounts"). The owner or operator has not received  an adverse opinion or a disclaimer of opinion from ("an independent  certified public accountant" "Auditor of Public Accounts") on  its financial statements for the latest completed fiscal year. 
    This owner or operator is not currently in default on any  outstanding general obligation bond. Any outstanding issues of general  obligation, if rated, have a Moody's rating of Aaa, Aa, A, or Baa or a Standard  and Poor's rating of AAA, AA, A or BBB; if rated by both firms, the bonds have  a Moody's rating of Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA,  AA, A, or BBB. 
    The fiscal year of this owner or operator ends on (month,  day). The figures for the following items marked with the asterisk are derived  from this owner's or operator's independently audited, year-end financial  statements for the latest completed fiscal year ended (date). 
    (Please complete Alternative I or Alternative II.) 
    (Fill in Alternative I if the criteria in 9VAC20-70-210 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-210 1 a (2)  are used.) 
    ALTERNATIVE I—BOND RATING TEST 
    The details of the issue date, maturity, outstanding amount,  bond rating, and bond rating agency of all outstanding general obligation bond  issues that are being used by (name of local government owner or operator, or  guarantor) to demonstrate financial responsibility are as follows: (complete  table): 
           |      Issue Date      |          Maturity Date      |          Outstanding Amount      |          Bond Rating      |          Rating Agency      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
  
    Any outstanding issues of general obligation bonds, if rated,  have a Moody's rating of Aaa, Aa, A, or Baa or a Standard and Poor's rating of  AAA, AA, A or BBB; if rated by both firms, the bonds have a Moody's rating of  Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA, AA, A or BBB. 
           |      1) Sum of current closure,    post-closure and corrective action cost estimates (total of all cost    estimates listed above)      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |             |           YES      |          NO      |                 |    
       |      5) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |                 |    
       |      6) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |                 |    
       |      7) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |                 |    
       |      8) Is (line 1 + line 4e) <= (line 3a x 0.20)?      |          ____      |          ____      |                 |    
        |      |      |      |      |      |    
  
    If the answer to line 7 is yes and the answer to line 8 is  no, please attach documentation from the agent/trustee /issuing institution  stating the current balance of the account/fund /irrevocable letter of credit  as of the latest fiscal reporting year to this form as required by  9VAC20-70-210. 
    ALTERNATIVE II—FINANCIAL RATIO  TEST 
           |      1) Sum of current closure, post-closure and corrective    action cost estimates      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |      *5) Cash plus marketable securities      |          $_______________      |    
       |      *6) Total Expenditures      |          $_______________      |    
       |      *7) Annual Debt Service      |          $_______________      |    
       |             |          YES      |          NO      |    
       |      8) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |    
       |      9) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |    
       |      10) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |    
       |      11) Is (line 5 / line 6) >= 0.05?      |          ____      |          ____      |    
       |      12) Is (line 7 / line 6) <= 0.20?      |          ____      |          ____      |    
       |      13) Is (line 1 + line 4e) <= (line 3a x.20)      |          ____      |          ____      |    
  
    If the answer to line 13 is no, please attach documentation  from the agent/trustee/issuing institution stating the current balance of the  account/fund/irrevocable letter of credit as of the latest fiscal reporting  year to this form as required by 9VAC20-70-210. 
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 G of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    H. Certification of funding. 
    CERTIFICATION OF FUNDING 
    I certify the following information details the current plan  for funding closure and post closure at the solid waste management facilities  listed below. 
           |       Facility Permit #       |                 |          Source for funding closure and post closure       |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |      Name of Locality or Corporation:    _______________________________________      |    
       |             |                 |                 |                 |                 |    
       |      Signature      |                 |          Printed Name      |                 |          Date      |    
       |             |                 |                 |                 |                 |    
       |      Title      |                 |                 |                 |                 |    
        |      |      |      |      |      |      |      |    
  
    I. Certification of escrow/sinking fund /irrevocable letter  of credit balance. 
    CERTIFICATION OF ESCROW/SINKING FUND BALANCE OR AMOUNT OF  IRREVOCABLE LETTER OF CREDIT 
    I am the Chief Financial Officer of (name of locality) and  hereby certify that as of (date) the current balance in the restricted sinking  (type of fund) fund or the escrow account or the amount of the irrevocable  letter of credit restricted to landfill closure costs is $_____________ 
    The calculation used to determine the amount required to be  funded is as follows: 
    (Show the values that were used in the following formula: 
    (CE * CD) - E 
    Where CE is the current closure cost estimate, CD is the  percentage of landfill capacity used to date, and E is current year expenses  for closure.) 
    Therefore, this account has been funded or an irrevocable  letter of credit has been obtained in accordance with the Financial Assurance  Regulations for Solid Waste Disposal, Transfer and Treatment Facilities, 9VAC20-70-10  et seq 9VAC20-70. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    J. Wording of corporate guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    CORPORATE GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a business corporation organized under the laws of the state of (insert name of  state), herein referred to as guarantor. This guarantee is made on behalf of  the (owner or operator) of (business address), which is (one of the following:  "our subsidiary"; "a subsidiary of (name and address of common  parent corporation) of which guarantor is a subsidiary"; or "an  entity with which the guarantor has a substantial business relationship, as  defined in Part I of the Virginia Financial Assurance Regulations for Solid  Waste Disposal, Transfer, and Treatment Facilities (9VAC20-70-10 et seq.)  (9VAC20-70)") to the Virginia Department of Environmental Quality  ("Department"), obligee, on behalf of our subsidiary (owner or  operator) of (business address). 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-200 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-220 of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer, and Treatment Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care, corrective  action or other environmental obligations.) 
    3. "Closure plans", "post-closure care  plans" and "corrective action plans" as used below refer to the  plans maintained as required by the Solid Waste Management Regulations (9VAC20-80-10  et seq.), (9VAC20-81), or the Regulated Medical Waste Management  Regulations (9VAC20-120-10 et seq.), (9VAC20-120) or  Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.). 
    4. For value received from (owner or operator), guarantor guarantees  to the Department that in the event that (owner or operator) fails to perform  (insert "closure," "post-closure care," or "corrective  action") of the above facility(ies) in accordance with the closure or  post-closure care plans and other (requirements of the) permit or (the order)  whenever required to do so, the guarantor shall do so or establish a trust fund  as specified in 9VAC20-70-140 in the name of (owner or operator) in the amount  of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (Bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure, post-closure or corrective action plan, amendment or modification of  the permit, amendment or modification of the order, the extension or reduction  of the time of performance of closure, post-closure, or corrective action or  any other modification or alteration of an obligation of the owner or operator  pursuant to the (Virginia Solid or Regulated Medical Waste Management or  Vegetative Waste Management and Yard Waste Composting Regulations or § 10.1-1454.1 of the Code of Virginia) (Solid Waste Management Regulations  or Regulated Medical Waste Management Regulations or § 10.1-1454.1 of the  Code of Virginia). 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. (Insert the following language if the guarantor is (a) a  direct or higher-tier corporate parent, or (b) a firm whose parent corporation  is also the parent corporation of the owner or operator:) Guarantor may  terminate this guarantee by sending notice by certified mail to the Director of  the Department of Environmental Quality and to the (owner or operator),  provided that this guarantee may not be terminated unless and until (the owner  or operator) obtains and the director approves, alternate (closure,  post-closure, corrective action) coverage complying with the requirements of 9VAC20-70-10  et seq 9VAC20-70. (Insert the following language if the guarantor is  a firm qualifying as a guarantor due to its "substantial business  relationship" with the owner or operator:) Guarantor may terminate this  guarantee 120 days following the receipt of notification, through certified  mail, by the director and by (the owner or operator). 
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of the  Regulations, and obtain written approval of such assurance from the director  within 90 days after a notice of cancellation by the guarantor is received by  the director from guarantor, guarantor shall provide such alternate financial  assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording in 9VAC20-70-290 J of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    (Name of guarantor) 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    K. Wording of local government guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    LOCAL GOVERNMENT GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a local government created under the laws of the state of Virginia, herein  referred to as guarantor. This guarantee is made on behalf of the (owner or  operator) of (address), to the Virginia Department of Environmental Quality  ("Department"), obligee. 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-210 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-230 of the Financial Assurance Regulations  for Solid Waste Disposal, Treatment and Transfer Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care,  corrective action or other environmental obligations.) 
    3. "Closure plans" and "post-closure care  plans" as used below refer to the plans maintained as required by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.), or Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101-10 et seq.)  (9VAC20-81).
    4. For value received from (owner or operator), guarantor  guarantees to the Department that in the event that (owner or operator) fails  to perform (insert "closure," "post-closure care," or  "corrective action") of the above facility(ies) in accordance with  the closure or post-closure care plans and other (requirements of the) permit  or (the order) whenever required to do so, the guarantor shall do so or  establish a trust fund as specified in 9VAC20-70-150 in the name of (owner or  operator) in the amount of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations in  the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure or post-closure plan, amendment or modification of the closure or  post-closure plan, amendment or modification of the permit, amendment or  modification of the order, the extension or reduction of the time of performance  of the closure or post-closure, or any other modification or alteration of an  obligation of the owner or operator pursuant to the Virginia (Solid Waste  Management or Regulated Medical Waste Management) or Vegetative  Waste Management and Yard Waste Composting) Regulations. 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. Guarantor may terminate this guarantee by sending notice  by certified mail to the Director of the Department of Environmental Quality  and to the (owner or operator), provided that this guarantee may not be  terminated unless and until (the owner or operator) obtains and the director  approves, alternate (closure, post-closure, corrective action,) coverage  complying with the requirements of 9VAC20-70-10 et seq 9VAC20-70.  
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of  the Regulations, and obtain written approval of such assurance from the  director with 90 days after a notice of cancellation by the guarantor is  received by the director from guarantor, guarantor shall provide such alternate  financial assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording specified in 9VAC20-70-290 K of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Name of guarantor) __________ 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    Part I 
  Definitions 
    9VAC20-81-10. Definitions.
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at completion of  closure activities required by this chapter. 
    "Active portion" means that part of a facility or  unit that has received or is receiving wastes and that has not been closed in  accordance with this chapter. 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Airport" means, for the purpose of this chapter, a  military airfield or a public-use airport open to the public without prior  permission and without restrictions within the physical capacities of available  facilities.
    "Aquifer" means a geologic formation, group of  formations, or a portion of a formation capable of yielding significant  quantities of groundwater to wells or springs.
    "Ash" means the fly ash or bottom ash residual  waste material produced from incineration or burning of solid waste or from any  fuel combustion. 
    "Base flood" see "Hundred-year flood."
    "Bedrock" means the rock that underlies soil or  other unconsolidated, superficial material at a site. 
    "Benchmark" means a permanent monument constructed  of concrete and set in the ground surface below the frostline with identifying  information clearly affixed to it. Identifying information will include the  designation of the benchmark as well as the elevation and coordinates on the  local or Virginia state grid system. 
    "Beneficial use" means a use that is of benefit as  a substitute for natural or commercial products and does not contribute to  adverse effects on health or environment. 
    "Bioremediation" means remediation of contaminated  media by the manipulation of biological organisms to enhance the degradation of  contaminants. 
    "Bird hazard" means an increase in the likelihood  of bird/aircraft collisions that may cause damage to the aircraft or injury to  its occupants. 
    "Board" means the Virginia Waste Management Board. 
    "Bottom ash" means ash or slag that has been  discharged from the bottom of the combustion unit after combustion. 
    "Capacity" means the maximum permitted volume of  solid waste, inclusive of daily and intermediate cover, that can be disposed in  a landfill. This volume is measured in cubic yards.
    "Captive industrial landfill" means an industrial  landfill that is located on property owned or controlled by the generator of  the waste disposed of in that landfill.
    "Clean wood" means solid waste consisting of  untreated wood pieces and particles that do not contain paint, laminate,  bonding agents, or chemical preservatives or are otherwise unadulterated.
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of  this chapter. 
    "Closure" means that point in time when a permitted  landfill has been capped, certified as properly closed by a professional  engineer, inspected by the department, and closure notification is performed by  the department in accordance with 9VAC20-81-160 D. 
    "Coal combustion byproducts" or "CCB"  means residuals, including fly ash, bottom ash, boiler slag, and flue gas  emission control waste produced by burning coal. 
    "Combustion unit" means an incinerator, waste heat  recovery unit, or boiler. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants,  and shopping centers. 
    "Compliance schedule" means a time schedule for  measures to be employed on a solid waste management facility that will  ultimately upgrade it to conform to this chapter. 
    "Compost" means a stabilized organic product  produced by a controlled aerobic decomposition process in such a manner that  the product can be handled, stored, and/or applied to the land without  adversely affecting public health or the environment. 
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Conditionally exempt small quantity generator"  means a generator of hazardous waste who has been so defined in 40 CFR 261.5,  as amended. That section applies to the persons who generate in that calendar  month no more than 100 kilograms of hazardous waste or one kilogram of acutely  hazardous waste. 
    "Construction" means the initiation of permanent  physical change at a property with the intent of establishing a solid waste  management unit. This does not include land-clearing activities, excavation for  borrow purposes, activities intended for infrastructure purposes, or activities  necessary to obtain Part A siting approval (i.e., advancing of exploratory  borings, digging of test pits, groundwater monitoring well installation, etc.).
    "Construction/demolition/debris landfill" or  "CDD landfill" means a land burial facility engineered, constructed  and operated to contain and isolate construction waste, demolition waste,  debris waste, split tires, and white goods or combinations of the above solid  wastes. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes include,  but are not limited to lumber, wire, sheetrock, broken brick, shingles, glass,  pipes, concrete, paving materials, and metal and plastics if the metal or  plastics are a part of the materials of construction or empty containers for  such materials. Paints, coatings, solvents, asbestos, any liquid, compressed  gases or semi-liquids and garbage are not construction wastes. 
    "Contaminated soil" means, for the purposes of this  chapter, a soil that, as a result of a release or human usage, has absorbed or  adsorbed physical, chemical, or radiological substances at concentrations above  those consistent with nearby undisturbed soil or natural earth materials. 
    "Container" means any portable device in which a  material is stored, transported, treated, or otherwise handled and includes  transport vehicles that are containers themselves (e.g., tank trucks) and  containers placed on or in a transport vehicle. 
    "Containment structure" means a closed vessel such  as a tank or cylinder. 
    "Convenience center" means a collection point for  the temporary storage of solid waste provided for individual solid waste  generators who choose to transport solid waste generated on their own premises  to an established centralized point, rather than directly to a disposal  facility. To be classified as a convenience center, the collection point may  not receive waste from collection vehicles that have collected waste from more  than one real property owner. A convenience center shall be on a system of  regularly scheduled collections.
    "Cover material" means compactable soil or other  approved material that is used to blanket solid waste in a landfill.
    "Daily disposal limit" means the amount of solid  waste that is permitted to be disposed at the facility and shall be computed on  the amount of waste disposed during any operating day.
    "Debris waste" means wastes resulting from  land-clearing operations. Debris wastes include, but are not limited to stumps,  wood, brush, leaves, soil, and road spoils. 
    "Decomposed vegetative waste" means a stabilized organic  product produced from vegetative waste by a controlled natural decay process in  such a manner that the product can be handled, stored, or applied to the land  without adversely affecting public health or the environment.
    "Demolition waste" means that solid waste that is  produced by the destruction of structures and their foundations and includes  the same materials as construction wastes. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. For purposes of submissions to the director as specified  in the Waste Management Act, submissions may be made to the department. 
    "Discard" means to abandon, dispose of, burn,  incinerate, accumulate, store, or treat before or instead of being abandoned,  disposed of, burned, or incinerated. 
    "Discarded material" means a material that is: 
    1. Abandoned by being: 
    a. Disposed of; 
    b. Burned or incinerated; or 
    c. Accumulated, stored, or treated (but not used, reused, or  reclaimed) before or in lieu of being abandoned by being disposed of, burned,  or incinerated; or
    2. Recycled used, reused, or reclaimed material as defined in  this part.
    "Disclosure statement" means a sworn statement or  affirmation as required by § 10.1-1400 of the Code of Virginia. (see DEQ  Form DISC-01 and 02 (Disclosure Statement)).
    "Displacement" means the relative movement of any  two sides of a fault measured in any direction. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Disposal unit boundary" or "DUB" means  the vertical plane located at the edge of the waste disposal unit. This  vertical plane extends down into the uppermost aquifer. The DUB must be  positioned within or coincident to the waste management boundary.
    "EPA" means the United States Environmental  Protection Agency. 
    "Exempt management facility" means a site used for  activities that are conditionally exempt from management as a solid waste under  this chapter. The facility remains exempt from solid waste management  requirements provided it complies with the applicable conditions set forth in  Parts II (9VAC20-81-20 et seq.) and IV (9VAC20-81-300 et seq.) of this chapter.
    "Expansion" means a horizontal expansion of the  waste management boundary as identified in the Part A application. If a  facility's permit was issued prior to the establishment of the Part A process,  an expansion is a horizontal expansion of the disposal unit boundary. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Facility boundary" means the boundary of the solid  waste management facility. For landfills, this boundary encompasses the waste  management boundary and all ancillary activities including, but not limited to  scales, groundwater monitoring wells, gas monitoring probes, and maintenance  facilities as identified in the facility's permit application. For facilities  with a permit-by-rule (PBR) the facility boundary is the boundary of the  property where the permit-by-rule activity occurs. For unpermitted solid waste  management facilities, the facility boundary is the boundary of the property  line where the solid waste is located.
    "Facility structure" means any building, shed, or  utility or drainage line on the facility. 
    "Fault" means a fracture or a zone of fractures in  any material along which strata on one side have been displaced with respect to  that on the other side. 
    "Floodplain" means the lowland and relatively flat  areas adjoining inland and coastal waters, including low-lying areas of  offshore islands where flooding occurs. 
    "Fly ash" means ash particulate collected from air  pollution attenuation devices on combustion units. 
    "Food-chain crops" means crops grown for human  consumption, tobacco, and crops grown for pasture and forage or feed for  animals whose products are consumed by humans. 
    "Fossil fuel combustion products" means coal  combustion byproducts as defined in this regulation, coal combustion byproducts  generated at facilities with fluidized bed combustion technology, petroleum  coke combustion byproducts, byproducts from the combustion of oil, byproducts  from the combustion of natural gas, and byproducts from the combustion of  mixtures of coal and "other fuels" (i.e., co-burning of coal with  "other fuels" where coal is at least 50% of the total fuel). For  purposes of this definition, "other fuels" means waste-derived fuel  product, auto shredder fluff, wood wastes, coal mill rejects, peat, tall oil,  tire-derived fuel, deionizer resins, and used oil. 
    "Free liquids" means liquids that readily separate  from the solid portion of a waste under ambient temperature and pressure as  determined by the Paint Filter Liquids Test, Method 9095, U.S. Environmental  Protection Agency, Publication SW-846. 
    "Garbage" means readily putrescible discarded  materials composed of animal, vegetable or other organic matter. 
    "Gas condensate" means the liquid generated as a  result of gas control or recovery processes at the solid waste management  facility. 
    "Governmental unit" means any department,  institution, or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.
    "Ground rubber" means material processed from waste  tires that is no larger than 1/4 inch in any dimension. This includes crumb  rubber that is measured in mesh sizes. 
    "Groundwater" means water below the land surface in  a zone of saturation. 
    "Hazardous constituent" means a constituent of  solid waste found listed in Appendix VIII of 9VAC20-60-261.
    "Hazardous waste" means a "hazardous  waste" as described by the Virginia Hazardous Waste Management Regulations  (9VAC20-60).
    "Holocene" means the most recent epoch of the  Quaternary period, extending from the end of the Pleistocene Epoch to the  present. 
    "Home use" means the use of compost for growing  plants that is produced and used on a privately owned residential site. 
    "Host agreement" means any lease, contract,  agreement, or land use permit entered into or issued by the locality in which  the landfill is situated that includes terms or conditions governing the  operation of the landfill. 
    "Household hazardous waste" means any waste  material derived from households (including single and multiple residences,  hotels, motels, bunkhouses, ranger stations, crew quarters, campgrounds, picnic  grounds, and day-use recreation areas) which, except for the fact that it is  derived from a household, would otherwise be classified as a hazardous waste in  accordance with 9VAC20-60.
    "Household waste" means any waste material,  including garbage, trash, and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds, and day-use recreation  areas. Household wastes do not include sanitary waste in septic tanks (septage)  that is regulated by other state agencies. 
    "Hundred-year flood" means a flood that has a 1.0%  or greater chance of recurring in any given year or a flood of magnitude  equaled or exceeded on the average only once in a hundred years on the average  over a significantly long period. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Incinerator" means a facility or device designed  for the treatment of solid waste by combustion. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts; inorganic  chemicals; iron and steel manufacturing; leather and leather products;  nonferrous metals manufacturing/foundries; organic chemicals; plastics and  resins manufacturing; pulp and paper industry; rubber and miscellaneous plastic  products; stone, glass, clay, and concrete products; textile manufacturing;  transportation equipment; and water treatment. This term does not include  mining waste or oil and gas waste. 
    "Industrial waste landfill" means a solid waste  landfill used primarily for the disposal of a specific industrial waste or a  waste that is a byproduct of a production process. 
    "Injection well" means, for the purposes of this  chapter, a well or bore hole into which fluids are injected into selected  geological horizons. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Interim cover systems" means temporary cover  systems applied to a landfill area when landfilling operations will be  temporarily suspended for an extended period (typically, longer than one year).  At the conclusion of the interim period, the interim cover system may be  removed and landfilling operations resume or final cover is installed.
    "Karst topography" means areas where karst terrane,  with its characteristic surface and subterranean features, is developed as the  result of dissolution of limestone, dolomite, or other soluble rock.  Characteristic physiographic features present in karst terranes include, but  are not limited to, sinkholes, sinking streams, caves, large springs, and blind  valleys. 
    "Key personnel" means the applicant itself and any  person employed by the applicant in a managerial capacity, or empowered to make  discretionary decisions, with respect to the solid waste or hazardous waste  operations of the applicant in Virginia, but shall not include employees  exclusively engaged in the physical or mechanical collection, transportation,  treatment, storage, or disposal of solid or hazardous waste and such other  employees as the director may designate by regulation. If the applicant has not  previously conducted solid waste or hazardous waste operations in Virginia, the  term also includes any officer, director, partner of the applicant, or any  holder of 5.0% or more of the equity or debt of the applicant. If any holder of  5.0% or more of the equity or debt of the applicant or of any key personnel is  not a natural person, the term includes all key personnel of that entity,  provided that where such entity is a chartered lending institution or a  reporting company under the Federal Security and Exchange Act of 1934, the term  does not include key personnel of such entity. Provided further that the term  means the chief executive officer of any agency of the United States or of any  agency or political subdivision of the Commonwealth, and all key personnel of  any person, other than a natural person, that operates a landfill or other  facility for the disposal, treatment, or storage of nonhazardous solid waste  under contract with or for one of those governmental entities. 
    "Lagoon" means a body of water or surface  impoundment designed to manage or treat waste water. 
    "Land-clearing activities" means the removal of  flora from a parcel of land.
    "Land-clearing debris" means vegetative waste  resulting from land-clearing activities. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill. 
    "Landfill gas" means gas generated as a byproduct  of the decomposition of organic materials in a landfill. Landfill gas consists  primarily of methane and carbon dioxide. 
    "Landfill mining" means the process of excavating  solid waste from an existing landfill. 
    "Leachate" means a liquid that has passed through  or emerged from solid waste and contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation to disposal in an off-site facility is regulated as septage,  leachate discharged into a waste water collection system is regulated as  industrial waste water and leachate that has contaminated groundwater is  regulated as contaminated groundwater. 
    "Lead acid battery" means, for the purposes of this  chapter, any wet cell battery. 
    "Lift" means the daily landfill layer of compacted  solid waste plus the cover material. 
    "Liquid waste" means any waste material that is  determined to contain "free liquids" as defined by this chapter. 
    "Lithified earth material" means all rock,  including all naturally occurring and naturally formed aggregates or masses of  minerals or small particles of older rock, that formed by crystallization of  magma or by induration of loose sediments. This term does not include manmade  materials, such as fill, concrete, and asphalt, or unconsolidated earth  materials, soil, or regolith lying at or near the earth's surface. 
    "Litter" means, for purposes of this chapter, any  solid waste that is discarded or scattered about a solid waste management  facility outside the immediate working area. 
    "Lower explosive limit" means the lowest  concentration by volume of a mixture of explosive gases in air that will  propagate a flame at 25°C and at atmospheric pressure. 
    "Materials recovery facility" means a solid waste  management facility for the collection, processing, and recovery of material  such as metals from solid waste or for the production of a fuel from solid  waste. This does not include the production of a waste-derived fuel product. 
    "Maximum horizontal acceleration in lithified earth  material" means the maximum expected horizontal acceleration depicted on a  seismic hazard map, with a 90% or greater probability that the acceleration  will not be exceeded in 250 years, or the maximum expected horizontal  acceleration based on a site-specific seismic risk assessment. 
    "Monitoring" means all methods, procedures, and  techniques used to systematically analyze, inspect, and collect data on  operational parameters of the facility or on the quality of air, groundwater,  surface water, and soils. 
    "Monitoring well" means a well point below the  ground surface for the purpose of obtaining periodic water samples from  groundwater for quantitative and qualitative analysis. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses except composting as defined and regulated under this  chapter. 
    "Municipal solid waste" means that waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from combustion of these wastes. 
    "New solid waste management facility" means a  facility or a portion of a facility that was not included in a previous  determination of site suitability (Part A approval). 
    "Nuisance" means an activity that unreasonably  interferes with an individual's or the public's comfort, convenience or  enjoyment such that it interferes with the rights of others by causing damage,  annoyance, or inconvenience. 
    "Offsite" means any site that does not meet the  definition of onsite as defined in this part. 
    "Onsite" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same  person, but connected by a right-of-way that he controls and to which the  public does not have access, are also considered onsite property. 
    "Open burning" means the combustion of solid waste  without:
    1. Control of combustion air to maintain adequate temperature  for efficient combustion;
    2. Containment of the combustion reaction in an enclosed  device to provide sufficient residence time and mixing for complete combustion;  and
    3. Control of the combustion products' emission. 
    "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.
    "Operating record" means records required to be  maintained in accordance with the facility permit or this part (see  9VAC20-81-530). 
    "Operation" means all waste management activities  at a solid waste management facility beginning with the initial receipt of  solid waste for treatment, storage, disposal, or transfer and ceasing with the  initiation of final closure activities at the solid waste management facility  subsequent to the final receipt of waste.
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means the person who owns a solid waste  management facility or part of a solid waste management facility.
    "PCB" means any chemical substance that is limited  to the biphenyl molecule that has been chlorinated to varying degrees or any  combination of substances that contain such substance (see 40 CFR 761.3, as  amended).
    "Perennial stream" means a well-defined channel  that contains water year round during a year of normal rainfall. Generally, the  water table is located above the streambed for most of the year and groundwater  is the primary source for stream flow. A perennial stream exhibits the typical  biological, hydrological, and physical characteristics commonly associated with  the continuous conveyance of water.
    "Permit" means the written permission of the  director to own, operate, or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation, or any  other legal entity. 
    "Point source" means any discernible, confined, and  discrete conveyance, including but not limited to any pipe, ditch, channel,  tunnel, conduit, well, discrete fissure, container, rolling stock, vessel, or  other floating craft, from which pollutants are or may be discharged. Return  flows from irrigated agriculture are not included. 
    "Pollutant" means any substance that causes or  contributes to, or may cause or contribute to, environmental degradation when  discharged into the environment. 
    "Poor foundation conditions" means those areas  where features exist that indicate that a natural or man-induced event may  result in inadequate foundation support for the structural components of a  solid waste management facility. 
    "Postclosure" means the requirements placed upon  solid waste disposal facilities after closure to ensure environmental and  public health safety for a specified number of years after closure. 
    "Process rate" means the maximum rate of waste  acceptance that a solid waste management facility can process for a  treatment and/or storage. This rate is limited by the capabilities of  equipment, personnel, and infrastructure. 
    "Processing" means preparation, treatment, or  conversion of waste by a series of actions, changes, or functions that bring  about a desired end result. 
    "Professional engineer" means an engineer licensed  to practice engineering in the Commonwealth as defined by the rules and  regulations set forth by the Board of Architects, Professional Engineers, Land  Surveyors, and Landscape Architects (18VAC10-20).
    "Professional geologist" means a geologist licensed  to practice geology in the Commonwealth as defined by the rules and regulations  set forth by the Board for Geology (18VAC70-20).
    "Progressive cover" means cover material placed  over the working face of a solid waste disposal facility advancing over the  deposited waste as new wastes are added keeping the exposed area to a minimum. 
    "Putrescible waste" means solid waste that contains  organic material capable of being decomposed by micro-organisms and cause  odors. 
    "Qualified groundwater scientist" means a scientist  or engineer who has received a baccalaureate or postgraduate degree in the  natural sciences or engineering and has sufficient training and experience in  groundwater hydrology and related fields as may be demonstrated by professional  certifications, or completion of accredited university programs that enable  that individual to make sound professional judgments regarding groundwater  monitoring, contaminant fate and transport, and corrective action. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act of 1976 (42 USC  § 6901 et seq.), the Hazardous and Solid Waste Amendments of 1984, and any  other applicable amendments to these laws. 
    "Reclaimed material" means a material that is  processed or reprocessed to recover a usable product or is regenerated to a  usable form. 
    "Refuse" means all solid waste products having the  character of solids rather than liquids and that are composed wholly or  partially of materials such as garbage, trash, rubbish, litter, residues from  clean up of spills or contamination, or other discarded materials. 
    "Refuse-derived fuel (RDF)" means a type of  municipal solid waste produced by processing municipal solid waste through  shredding and size classification. This includes all classes of refuse-derived  fuel including low-density fluff refuse-derived fuel through densified  refuse-derived fuel and pelletized refuse-derived fuel.
    "Regulated hazardous waste" means a solid waste  that is a hazardous waste, as defined in the Virginia Hazardous Waste  Management Regulations (9VAC20-60), that is not excluded from those regulations  as a hazardous waste. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Release" means, for the purpose of this chapter,  any spilling, leaking, pumping, pouring, emitting, emptying, discharging,  injection, escaping, leaching, dumping, or disposing into the environment solid  wastes or hazardous constituents of solid wastes (including the abandonment or  discarding of barrels, containers, and other closed receptacles containing  solid waste). This definition does not include any release that results in  exposure to persons solely within a workplace; release of source, byproduct, or  special nuclear material from a nuclear incident, as those terms are defined in  the Atomic Energy Act of 1954 (68 Stat. 923); and the normal application of  fertilizer. For the purpose of this chapter, release also means substantial  threat of release. 
    "Remediation waste" means all solid waste,  including all media (groundwater, surface water, soils, and sediments) and  debris, that are managed for the purpose of remediating a site in accordance  with 9VAC20-81-45 or Part III (9VAC20-81-100 et seq.) of this chapter or under  the Voluntary Remediation Regulations (9VAC20-160) or other regulated  remediation program under DEQ oversight. For a given facility, remediation  wastes may originate only from within the boundary of that facility, and may  include wastes managed as a result of remediation beyond the boundary of the  facility. Hazardous wastes as defined in 9VAC20-60, as well as "new"  or "as generated" wastes, are excluded from this definition. 
    "Remediation waste management unit" or  "RWMU" means an area within a facility that is designated by the  director for the purpose of implementing remedial activities required under  this chapter or otherwise approved by the director. An RWMU shall only be used  for the management of remediation wastes pursuant to implementing such remedial  activities at the facility. 
    "Responsible official" means one of the following:
    1. For a business entity, such as a corporation, association,  limited liability company, or cooperative: a duly authorized representative of  such business entity if the representative is responsible for the overall  operation of one or more operating facilities applying for or subject to a  permit. The authority to sign documents must be assigned or delegated to such  representative in accordance with procedures of the business entity;
    2. For a partnership or sole proprietorship: a general partner  or the proprietor, respectively; or
    3. For a municipality, state, federal, or other public agency:  a duly authorized representative of the locality if the representative is responsible  for the overall operation of one or more operating facilities applying for or  subject to a permit. The authority to sign documents must be assigned or  delegated to such representative in accordance with procedures of the locality.
    "Rubbish" means combustible or slowly putrescible  discarded materials that include but are not limited to trees, wood, leaves,  trimmings from shrubs or trees, printed matter, plastic and paper products,  grass, rags and other combustible or slowly putrescible materials not included  under the term "garbage." 
    "Runoff" means any rainwater, leachate, or other  liquid that drains over land from any part of a solid waste management  facility. 
    "Run-on" means any rainwater, wastewater, leachate,  or other liquid that drains over land onto any part of the solid waste  management facility. 
    "Salvage" means the authorized, controlled removal  of waste materials from a solid waste management facility. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste that is so located, designed,  constructed, and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Saturated zone" means that part of the earth's crust  in which all voids are filled with water. 
    "Scavenging" means the unauthorized or uncontrolled  removal of waste materials from a solid waste management facility. 
    "Scrap metal" means metal parts such as bars, rods,  wire, empty containers, or metal pieces that are discarded material and can be  used, reused, or reclaimed. 
    "Secondary containment" means an enclosure into  which a container or tank is placed for the purpose of preventing discharge of  wastes to the environment. 
    "Seismic impact zone" means an area with a 10% or  greater probability that the maximum horizontal acceleration in lithified earth  material, expressed as a percentage of the earth's gravitational pull (g), will  exceed 0.10g in 250 years. 
    "Semiannual" means an interval corresponding to  approximately 180 days. For the purposes of scheduling monitoring activities,  sampling within 30 days of the 180-day interval will be considered semiannual. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Sludge" means any solid, semi-solid or liquid  waste generated from a municipal, commercial or industrial wastewater treatment  plant, water supply treatment plant, or air pollution control facility  exclusive of treated effluent from a wastewater treatment plant. 
    "Small landfill" means a landfill that disposed of  100 tons/day or less of solid waste during a representative period prior to  October 9, 1993, and did not dispose of more than an average of 100 tons/day of  solid waste each month between October 9, 1993, and April 9, 1994. 
    "Solid waste" means any of those materials defined  as "solid waste" in 9VAC20-81-95. 
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility" or  "SWMF" means a site used for planned treating, storing, or disposing  of solid waste. A facility may consist of several treatment, storage, or  disposal units. 
    "Special wastes" means solid wastes that are  difficult to handle, require special precautions because of hazardous  properties, or the nature of the waste creates waste management problems in  normal operations. (See Part VI (9VAC20-81-610 et seq.) of this chapter.) 
    "Speculatively accumulated material" means any  material that is accumulated before being used, reused, or reclaimed or in  anticipation of potential use, reuse, or reclamation. Materials are not being  accumulated speculatively when they can be used, reused, or reclaimed, have a  feasible means of use, reuse, or reclamation available and 75% of the materials  accumulated are being removed from the facility annually. 
    "State waters" means all water, on the surface and  under the ground, wholly or partially within, or bordering the Commonwealth, or  within its jurisdiction. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Structural fill" means an engineered fill with a  projected beneficial end use, constructed using soil or fossil fuel combustion  products spread and compacted with proper equipment and covered with a  vegetated soil cap. 
    "Sudden event" means a one-time, single event such  as a sudden collapse or a sudden, quick release of contaminants to the  environment. An example would be the sudden loss of leachate from an impoundment  into a surface stream caused by failure of a containment structure. 
    "Surface impoundment or impoundment" means a  facility or part of a facility that is a natural topographic depression,  manmade excavation, or diked area formed primarily of earthen materials  (although it may be lined with manmade materials), that is designed to hold an  accumulation of liquid wastes or wastes containing free liquids and that is not  an injection well. 
    "Surface waters" means all state waters that are  not groundwater as defined in § 62.1-255 of the Code of Virginia.
    "SW-846" means Test Methods for Evaluating Solid  Waste, Physical/Chemical Methods, EPA Publication SW-846, Second Edition, 1982  as amended by Update I (April, 1984), and Update II (April, 1985) and the third  edition, November, 1986, as amended. 
    "Tank" means a stationary device, designed to  contain an accumulation of liquid or semi-liquid components of solid waste that  is constructed primarily of nonearthen materials that provide structural  support. 
    "TEF" or "Toxicity Equivalency Factor"  means a factor developed to account for different toxicities of structural  isomers of polychlorinated dibenzodioxins and dibenzofurans and to relate them  to the toxicity of 2,3,7,8-tetrachloro dibenzo-p-dioxin. 
    "Terminal" means the location of transportation  facilities such as classification yards, docks, airports, management offices,  storage sheds, and freight or passenger stations, where solid waste that is  being transported may be loaded, unloaded, transferred, or temporarily stored. 
    "Thermal treatment" means the treatment of solid  waste in a device that uses elevated temperature as the primary means to change  the chemical, physical, or biological character, or composition of the solid  waste. 
    "Tire chip" means a material processed from waste  tires that is a nominal two square inches in size, and ranges from 1/4 inch to  four inches in any dimension. Tire chips contain no wire protruding more than  1/4 inch. 
    "Tire shred" means a material processed from waste  tires that is a nominal 40 square inches in size, and ranges from 4 inches to  10 inches in any dimension. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration, or resource recovery. 
    "Trash" means combustible and noncombustible  discarded materials and is used interchangeably with the term rubbish. 
    "Treatment" means, for the purpose of this chapter,  any method, technique, or process, including but not limited to incineration,  designed to change the physical, chemical, or biological character or  composition of any waste to render it more stable, safer for transport, or more  amenable to use, reuse, reclamation, recovery, or disposal. 
    "Underground source of drinking water" means an  aquifer or its portion:
    1. Which contains water suitable for human consumption; or
    2. In which the groundwater contains less than 10,000 mg/liter  total dissolved solids. 
    "Unit" means a discrete area of land used for the  disposal of solid waste. 
    "Unstable area" means a location that is  susceptible to natural or human-induced events or forces capable of impairing  the integrity of some or all of the landfill structural components responsible  for preventing releases from a landfill. Unstable areas can include poor  foundation conditions, areas susceptible to mass movements, and karst terranes.  
    "Uppermost aquifer" means the geologic formation  nearest the natural ground surface that is an aquifer, as well as, lower  aquifers that are hydraulically interconnected with this aquifer within the  facility boundary. 
    "Used or reused material" means a material that is  either: 
    1. Employed as an ingredient (including use as an  intermediate) in a process to make a product, excepting those materials  possessing distinct components that are recovered as separate end products; or 
    2. Employed in a particular function or application as an  effective substitute for a commercial product or natural resources. 
    "Vector" means a living animal, insect, or other  arthropod that transmits an infectious disease from one organism to another. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, woody wastes such as shrub and tree  prunings, bark, limbs, roots, and stumps. 
    "Vermicomposting" means the controlled and managed  process by which live worms convert organic residues into fertile excrement.
    "Vertical design capacity" means the maximum design  elevation specified in the facility's permit or if none is specified in the  permit, the maximum elevation based on a 3:1 slope from the waste disposal unit  boundary. 
    "VPDES" (Virginia Pollutant Discharge Elimination  System) means the Virginia system for the issuance of permits pursuant to the  Permit Regulation (9VAC25-31), the State Water Control Law (§ 62.1-44.2 et  seq. of the Code of Virginia), and § 402 of the Clean Water Act (33 USC  § 1251 et seq.). 
    "Washout" means carrying away of solid waste by  waters of the base flood. 
    "Waste-derived fuel product" means a solid waste or  combination of solid wastes that have been treated (altered physically,  chemically, or biologically) to produce a fuel product with a minimum heating  value of 5,000 BTU/lb. Solid wastes used to produce a waste-derived fuel  product must have a heating value, or act as binders, and may not be added to  the fuel for the purpose of disposal. Waste ingredients may not be listed or  characteristic hazardous wastes. The fuel product must be stable at ambient  temperature, and not degraded by exposure to the elements. This material may  not be "refuse derived fuel (RDF)" as defined in 9VAC5-40-890. 
    "Waste management boundary" means the vertical  plane located at the boundary line of the area approved in the Part A  application for the disposal of solid waste and storage of leachate. This  vertical plane extends down into the uppermost aquifer and is within the  facility boundary.
    "Waste pile" means any noncontainerized  accumulation of nonflowing, solid waste that is used for treatment or storage. 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. (See 9VAC20-150 for other definitions dealing with the  waste tire program.) 
    "Wastewaters" means, for the purpose of this  chapter, wastes that contain less than 1.0% by weight total organic carbon  (TOC) and less than 1.0% by weight total suspended solids (TSS). 
    "Water pollution" means such alteration of the  physical, chemical, or biological properties of any state water as will or is  likely to create a nuisance or render such waters: 
    1. Harmful or detrimental or injurious to the public health,  safety, or welfare, or to the health of animals, fish, or aquatic life or  plants; 
    2. Unsuitable, with reasonable treatment, for use as present  or possible future sources of public water supply; or
    3. Unsuitable for recreational, commercial, industrial, agricultural,  or other reasonable uses, provided that:
    a. An alteration of the physical, chemical, or biological  properties of state waters or a discharge or deposit of sewage, industrial  wastes, or other wastes to state waters by any owner that by itself is not  sufficient to cause pollution but which in combination with such alteration or  discharge or deposit to state waters by other persons is sufficient to cause  pollution;
    b. The discharge of untreated sewage by any person into state  waters; and 
    c. The contribution to the degradation of water quality  standards duly established by the State Water Control Board, are  "pollution" for the terms and purposes of this chapter. 
    "Water table" means the upper surface of the zone  of saturation in groundwaters in which the hydrostatic pressure is equal to the  atmospheric pressure. 
    "Waters of the United States" or "waters of  the U.S." means:
    1. All waters that are currently used, were used in the past,  or may be susceptible to use in interstate or foreign commerce, including all  waters that are subject to the ebb and flow of the tide;
    2. All interstate waters, including interstate  "wetlands";
    3. All other waters such as intrastate lakes, rivers, streams  (including intermittent streams), mud flats, sand flats, "wetlands,"  sloughs, prairie potholes, wet meadows, playa lakes, or natural ponds the use,  degradation, or destruction of which would affect or could affect interstate or  foreign commerce including:
    a. Any such waters that are or could be used by interstate or  foreign travelers for recreational or other purposes;
    b. Any such waters from which fish or shellfish are or could  be taken and sold in interstate or foreign commerce;
    c. Any such waters that are used or could be used for  industrial purposes by industries in interstate commerce;
    d. All impoundments of waters otherwise defined as waters of  the United States under this definition; 
    e. Tributaries of waters identified in subdivisions 3 a  through d of this definition;
    f. The territorial sea; and 
    g. Wetlands adjacent to waters (other than waters that are  themselves wetlands) identified in subdivisions 3 a through f of this  definition. 
    "Wetlands" means those areas that are defined by  the federal regulations under 33 CFR Part 328, as amended. 
    "White goods" means any stoves, washers, hot water  heaters, and other large appliances. 
    "Working face" means that area within a landfill  that is actively receiving solid waste for compaction and cover. 
    "Yard waste" means a subset of vegetative waste and  means decomposable waste materials generated by yard and lawn care and includes  leaves, grass trimmings, brush, wood chips, and shrub and tree trimmings. Yard  waste shall not include roots or stumps that exceed 12 inches in diameter. 
    9VAC20-81-35. Applicability of chapter.
    A. This chapter applies to all persons who treat, store,  dispose, or otherwise manage solid wastes as defined in Part III  (9VAC20-81-100 et seq.) of this chapter 9VAC20-81-95. 
    B. All facilities that were permitted prior to March 15,  1993, and upon which solid waste has been disposed of prior to October 9, 1993,  may continue to receive solid waste until they have reached their vertical  design capacity or until the closure date established pursuant to § 10.1-1413.2  of the Code of Virginia, in Table 2.1 provided: 
    1. The facility is in compliance with the requirements for  liners and leachate control in effect at the time of permit issuance. 
    2. On or before October 9, 1993, the owner or operator of the  solid waste management facility submitted to the director: 
    a. An acknowledgment that the owner or operator is familiar  with state and federal law and regulations pertaining to solid waste management  facilities operating after October 9, 1993, including postclosure care,  corrective action, and financial responsibility requirements; 
    b. A statement signed by a professional engineer that he has  reviewed the regulations established by the department for solid waste  management facilities, including the open dump criteria contained therein, that  he has inspected the facility and examined the monitoring data compiled for the  facility in accordance with applicable regulations and that, on the basis of  his inspection and review, he has concluded: 
    (1) That the facility is not an open dump; 
    (2) That the facility does not pose a substantial present or  potential hazard to human health and the environment; and 
    (3) That the leachate or residues from the facility do not  pose a threat of contamination or pollution of the air, surface water, or  groundwater in a manner constituting an open dump or resulting in a substantial  present or potential hazard to human health or the environment; and 
    c. A statement signed by the owner or operator: 
    (1) That the facility complies with applicable financial  assurance regulations; and 
    (2) Estimating when the facility will reach its vertical  design capacity. 
    3. Enlargement or closure of these facilities shall conform  with the following subconditions:
    a. The facility may not be enlarged prematurely to avoid  compliance with this chapter when such enlargement is not consistent with past  operating practices, the permit, or modified operating practices to ensure good  management.
    b. The facility shall not dispose of solid waste in any  portion of a landfill disposal area that has received final cover or has not  received waste for a period of one year, in accordance with 9VAC20-81-160 C.  The facility shall notify the department, in writing, within 30 days, when an  area has received final cover or has not received waste for a one-year period,  in accordance with 9VAC20-81-160 C. However, a facility may apply for a permit,  and if approved, can construct and operate a new cell that overlays  ("piggybacks") over a closed area in accordance with the permit  requirements of this chapter.
    c. The facilities subject to the restrictions in this  subsection are listed in Table 2.1. The closure dates were established in:  Final Prioritization and Closure Schedule for HB 1205 Disposal Areas (DEQ,  September 2001). The publication of these tables is for the convenience of the  regulated community and does not change established dates. Any facility,  including, but not limited to those listed in Table 2.1, must cease operation  if that facility meets any of the open dump criteria listed in 9VAC20-81-45 A  1.
    d. Those facilities assigned a closure date in accordance with  § 10.1-1413.2 of the Code of Virginia shall designate on a map, plat, diagram,  or other engineered drawing, areas in which waste will be disposed of in  accordance with Table 2.1 until the latest cessation of waste acceptance date  as listed in Table 2.1 is achieved. This map or plat shall be placed in the  operating record and a copy shall be submitted upon request to the department  in order to track the progress of closure of these facilities. If the facility  already has provided this information under 9VAC20-81-160, then the facility  may refer to that information.
           |      TABLE 2.1      Final Prioritization and Closure Schedule For House Bill (HB) 1205 Disposal    Areas       |    
       |      Solid Waste Permit Number and    Site Name      |          Location      |          Department Regional Office1      |          Latest Cessation of Waste    Acceptance Date2      |    
       |      429 - Fluvanna County Sanitary    Landfill      |          Fluvanna County      |          VRO      |          12/31/2007      |    
       |      92 - Halifax County Sanitary    Landfill3      |          Halifax County      |          BRRO      |          12/31/2007      |    
       |      49 - Martinsville Landfill      |          City of Martinsville      |          BRRO      |          12/31/2007      |    
       |      14 - Mecklenburg County    Landfill      |          Mecklenburg County      |          BRRO      |          12/31/2007      |    
       |      228 - Petersburg City Landfill3      |          City of Petersburg      |          PRO      |          12/31/2007      |    
       |      31 - South Boston Sanitary    Landfill      |          Town of South Boston      |          BRRO      |          12/31/2007      |    
       |      204 - Waynesboro City Landfill      |          City of Waynesboro      |          VRO      |          12/31/2007      |    
       |      91 - Accomack County Landfill    – Bobtown South      |          Accomack County      |          TRO      |          12/31/2012      |    
       |      580 – Bethel Landfill3       |          City of Hampton      |          TRO      |          12/31/2012      |    
       |      182 - Caroline County Landfill      |          Caroline County      |          NVRO      |          12/31/2012      |    
       |      149 - Fauquier County Landfill      |          Fauquier County      |          NVRO      |          12/31/2012      |    
       |      405 - Greensville County    Landfill      |          Greensville County      |          PRO      |          12/31/2012      |    
       |      29 - Independent Hill Landfill3      |          Prince William County      |          NVRO      |          12/31/2012      |    
       |      1 - Loudoun County Sanitary    Landfill      |          Loudoun County      |          NVRO      |          12/31/2012      |    
       |      194 - Louisa County Sanitary    Landfill      |          Louisa County      |          NVRO      |          12/31/2012      |    
       |      227 - Lunenburg County    Sanitary Landfill      |          Lunenburg County      |          BRRO      |          12/31/2012      |    
       |      507 - Northampton County    Landfill      |          Northampton County      |          TRO      |          12/31/2012      |    
       |      90 - Orange County Landfill      |          Orange County      |          NVRO      |          12/31/2012      |    
       |      75 - Rockbridge County    Sanitary Landfill      |          Rockbridge County      |          VRO      |          12/31/2012      |    
       |      23 - Scott County Landfill      |          Scott County      |          SWRO      |          12/31/2012      |    
       |      587 - Shoosmith Sanitary    Landfill3      |          Chesterfield County      |          PRO      |          12/31/2012      |    
       |      417 - Southeastern Public    Service Authority Landfill3       |          City of Suffolk      |          TRO      |          12/31/2012      |    
       |      461 - Accomack County Landfill    #2      |          Accomack County      |          TRO      |          12/31/2020      |    
       |      86    - Appomattox County Sanitary Landfill      |          Appomattox    County      |          BRRO      |          12/31/2020      |    
       |      582 - Botetourt County    Landfill3      |          Botetourt County      |          BRRO      |          12/31/2020      |    
       |      498 - Bristol City Landfill      |          City of Bristol      |          SWRO      |          12/31/2020      |    
       |      72 - Franklin County Landfill      |          Franklin County      |          BRRO      |          12/31/2020      |    
       |      398 - Virginia Beach Landfill    #2 – Mount Trashmore II3      |          City of Virginia Beach      |          TRO      |          12/31/2020      |    
       |      Notes:       |                 |                 |                 |    
       |      1Department of Environmental Quality Regional Offices:      |    
       |      BRRO      |          Blue Ridge Regional Office      |    
       |      NVRO      |          Northern Virginia Regional    Office      |    
       |      PRO      |          Piedmont Regional Office       |    
       |      SWRO      |          Southwest Regional    Office       |    
       |      TRO      |          Tidewater Regional    Office       |    
       |      VRO      |          Valley Regional Office       |    
       |      2This date means the latest date that the disposal    area must cease accepting waste.       |    
       |      3A portion of these facilities operated under HB 1205    and another portion currently is compliant with Subtitle D    requirements.       |    
        |      |      |      |      |    
  
    C. Facilities are authorized to expand beyond the waste  boundaries existing on October 9, 1993, as follows: 
    1. Existing captive industrial landfills. 
    a. Existing nonhazardous industrial waste facilities that are  located on property owned or controlled by the generator of the waste disposed  of in the facility shall comply with all the provisions of this chapter except  as shown in subdivision 1 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a captive industrial landfill  beyond the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements in effect at  the time of permit issuance. 
    c. Owners or operators of facilities that are authorized under  subdivision 1 of this subsection to accept waste for disposal beyond the waste  boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120. 
    d. Facilities authorized for expansion in accordance with  subdivision 1 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    2. Other existing industrial waste landfills. 
    a. Existing nonhazardous industrial waste facilities that are  not located on property owned or controlled by the generator of the waste  disposed of in the facility shall comply with all the provisions of this  chapter except as shown in subdivision 2 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand an industrial landfill beyond  the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements of  9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 2 of this subsection to accept waste for disposal beyond the  waste boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120 and 9VAC20-81-130.
    e. Facilities authorized for expansion in accordance with  subdivision 2 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    3. Existing construction/demolition/debris landfills. 
    a. Existing facilities that accept only  construction/demolition/debris waste shall comply with all the provisions of  this chapter except as shown in subdivision 3 of this subsection.
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a  construction/demolition/debris landfill beyond the waste boundaries existing on  October 9, 1993. Liners and leachate collection systems constructed beyond the  waste boundaries existing on October 9, 1993, shall be constructed in  accordance with the requirements of 9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 3 of this subsection to accept waste for disposal beyond the  active portion of the landfill existing on October 9, 1993, shall ensure that  such expanded disposal areas maintain setback distances applicable to such  facilities in 9VAC20-81-120 and 9VAC20-81-130. 
    e. Facilities, or portions thereof, which have reached their  vertical design capacity shall be closed in compliance with 9VAC20-81-160. 
    f. Facilities authorized for expansion in accordance with  subdivision 3 of this subsection are limited to expansion to the permitted  disposal area existing on October 9, 1993, or the facility boundary existing on  October 9, 1993, if no discrete disposal area is defined in the facility  permit. 
    4. Facilities or units undergoing expansion in accordance with  the partial exemptions created by subdivision 1 b, 2 b, or 3 b of this  subsection may not receive hazardous wastes generated by the exempt small  quantity generators, as defined by the Virginia Hazardous Waste Management  Regulations ( 9VAC20-60), for disposal on the expanded portions of the  facility. Other wastes that require special handling in accordance with the  requirements of Part VI (9VAC20-81-610 et seq.) of this chapter or that contain  hazardous constituents that would pose a risk to health or environment, may  only be accepted with specific approval by the director. 
    5. Nothing in subdivisions 1 b, 2 b, and 3 b of this  subsection shall alter any requirement for ground water monitoring, financial  responsibility, operator certification, closure, postclosure care, operation,  maintenance, or corrective action imposed under this chapter, or impair the  powers of the director to revoke or modify a permit pursuant to § 10.1-1409  of the Virginia Waste Management Act or Part V (9VAC20-81-400 et seq.) of this  chapter. 
    D. An owner or operator of a previously unpermitted facility  or unpermitted activity that managed materials previously exempt or excluded  from this chapter shall submit a complete application for a solid waste  management facility permit, permit by rule or a permit modification, as  applicable, in accordance with Part V (9VAC20-81-430 et seq.) of this chapter  within six months after these materials have been defined or identified as  solid wastes. If the director finds that the application is complete, the owner  or operator may continue to manage the newly defined or identified waste until  a permit or permit modification decision has been rendered or until a date two  years after the change in definition whichever occurs sooner, provided however,  that in so doing he shall not operate or maintain an open dump, a hazard, or a  nuisance. 
    Owners or operators of solid waste management facilities in  existence prior to September 24, 2003, shall now be in compliance with this  chapter. Where conflicts exist between the existing facility permit and the new  requirements of the regulations, the regulations shall supersede the permit  except where the standards in the permit are more stringent than the  regulation. Language in an existing permit shall not act as a shield to  compliance with the regulation, unless a variance to the regulations has been  approved by the director in accordance with the provisions of Part VII  (9VAC20-81-700 et seq.) of this chapter. Existing facility permits will not be  required to be updated to eliminate requirements conflicting with the  regulation, except at the request of the director or if a permit is modified  for another reason. However, all sanitary landfills and incinerators that  accept waste from jurisdictions outside of Virginia must have submitted the  materials required under 9VAC20-81-100 E 4 by March 22, 2004. 
    E. This chapter is not applicable to landfill units closed in  accordance with regulations or permits in effect prior to December 21, 1988,  unless releases from these closed landfills meet the open dump criteria found  in 9VAC20-81-45, or the closed landfills are found to be a hazard or a nuisance  under subdivision 21 of § 10.1-1402 of the Code of Virginia, or a site  where improper waste management has occurred under subdivision 19 of  § 10.1-1402 of the Code of Virginia.
    9VAC20-81-95. Identification of solid waste.
    A. Wastes identified in this part section  are solid wastes that are subject to this chapter unless regulated  pursuant to other applicable regulations issued by the department. 
    B. Except as otherwise provided, the definition of solid  waste per 40 CFR 261.2 as incorporated by 9VAC20-60-261, as amended, is also  hereby incorporated as part of this chapter. Except as otherwise provided, all  material definitions, reference materials and other ancillaries that are a part  of 9VAC20-60-261, as amended, are also hereby incorporated as part of this  chapter as well.
    C. Except as otherwise modified or excepted by 9VAC20-60, the  materials listed in the regulations of the United States Environmental  Protection Agency set forth in 40 CFR 261.4 (a) are considered a solid waste  for the purposes of this chapter. However, these materials are not regulated  under the provisions of this chapter if all conditions specified therein are  met. This list and all material definitions, reference materials and other  ancillaries that are part of 40 CFR Part 261.4 (a), as incorporated, modified  and/or accepted by 9VAC20-60 are incorporated as part of this chapter. In  addition, the following materials are not solid wastes for the purpose of this  chapter:
    1. Materials generated by any of the following, which are  returned to the soil as fertilizers: 
    a. The growing and harvesting of agricultural crops. 
    b. The raising and husbanding of animals, including animal  manures and used animal bedding. 
    2. Mining overburden returned to the mine site. 
    3. Recyclable materials used in manner constituting disposal  per 9VAC20-60-266. 
    4. Wood wastes burned for energy recovery. 
    5. Materials that are:
    a. Used or reused, or prepared for use or reuse, as an  ingredient in an industrial process to make a product, or as effective  substitutes for commercial products or natural resources provided the materials  are not being reclaimed or accumulated speculatively; or 
    b. Returned to the original process from which they are  generated. 
    6. Materials that are beneficially used as determined by the  department under this subsection. The department may consider other waste  materials and uses to be beneficial in accordance with the provisions of  9VAC20-81-97. 
    7. The following materials and uses listed in this part are  exempt from this chapter as long as they are managed so they do not create an  open dump, hazard, or public nuisance. These materials and the designated use  are considered a beneficial use of waste materials: 
    a. Clean wood, wood chips, or bark from land clearing, logging  operations, utility line clearing and maintenance operations, pulp and paper  production, and wood products manufacturing, when these materials are placed in  commerce for service as mulch, landscaping, animal bedding, erosion control,  habitat mitigation, wetlands restoration, or bulking agent at a compost  facility operated in compliance with Part IV (9VAC20-81-300 et seq.) of this  chapter;
    b. Clean wood combustion residues when used for pH adjustment  in compost, liquid absorbent in compost, or as a soil amendment or fertilizer,  provided the application rate of the wood ash is limited to the nutrient need  of the crop grown on the land on which the wood combustion residues will be  applied and provided that such application meets the requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    c. Compost that satisfies the applicable requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    d. Nonhazardous, contaminated soil that has been excavated as  part of a construction project and that is used as backfill for the same  excavation or excavations containing similar contaminants at the same site, at  concentrations at the same level or higher. Excess contaminated soil from these  projects is subject to the requirements of this chapter; 
    e. Nonhazardous petroleum contaminated soil that has been  treated to the satisfaction of the department in accordance with 9VAC20-81-660;  
    f. Nonhazardous petroleum contaminated soil when incorporated  into asphalt pavement products; 
    g. Solid wastes that are approved in advance of the placement,  in writing, by the department or that are specifically mentioned in the  facility permit for use as alternate daily cover material or other protective  materials for landfill liner or final cover system components; 
    h. Fossil fuel combustion products when used as a material in  the manufacturing of another product (e.g., concrete, concrete products,  lightweight aggregate, roofing materials, plastics, paint, flowable fill) or as  a substitute for a product or material resource (e.g., blasting grit, roofing  granules, filter cloth pre-coat for sludge dewatering, pipe bedding); 
    i. Tire chips and tire shred when used as a sub base fill for  road base materials or asphalt pavements when approved by the Virginia  Department of Transportation or by a local governing body; 
    j. Tire chips, tire shred, and ground rubber used in the  production of commercial products such as mats, pavement sealers, playground  surfaces, brake pads, blasting mats, and other rubberized commercial products; 
    k. Tire chips and tire shred when used as backfill in landfill  gas or leachate collection pipes, recirculation lines, and drainage material in  landfill liner and cover systems, and gas interception or remediation  applications; 
    l. Waste tires, tire chips or tire shred when burned for  energy recovery or when used in pyrolysis, gasification, or similar treatment  process to produce fuel; 
    m. "Waste -derived fuel product,"  as defined in 9VAC20-81-10, derived from nonhazardous solid waste; 
    n. Uncontaminated concrete and concrete products, asphalt  pavement, brick, glass, soil, and rock placed in commerce for service as a  substitute for conventional aggregate; and
    o. Clean, ground gypsum wallboard when used as a soil  amendment or fertilizer, provided the following conditions are met:
    (1) No components of the gypsum wallboard have been glued,  painted, or otherwise contaminated from manufacture or use (e.g., waterproof or  fireproof drywall) unless otherwise processed to remove contaminants. 
    (2) The gypsum wallboard shall be processed so that 95% of the  gypsum wallboard is less than 1/4 inch by 1/4 inch in size, unless an alternate  size is approved by the department.
    (3) The gypsum wallboard shall be applied only to  agricultural, silvicultural, landscaped, or mined lands or roadway construction  sites that need fertilization.
    (4) The application rate for the ground gypsum wallboard shall  not exceed the following rates.
           |      Region      |          Rate      |    
       |      Piedmont, Mountains, and Ridge and Valley      |          250 lbs/1,000 ft2      |    
       |      Coastal Plain      |          50 lbs/1,000 ft2      |    
       |      Note: These weights are for dry ground gypsum wallboard.      |    
  
    D. The following activities are conditionally exempt from  this chapter provided no open dump, hazard, or public nuisance is created: 
    1. Composting of sewage sludge at the sewage treatment plant  of generation without addition of other types of solid wastes.
    2. Composting of household waste generated at a residence and  composted at the site of generation. 
    3. Composting activities performed for educational purposes as  long as no more than 100 cubic yards of materials are on site at any time.  Greater quantities will be allowed with suitable justification presented to the  department. For quantities greater than 100 cubic yards, approval from the  department will be required prior to composting.
    4. Composting of animal carcasses onsite at the farm of  generation.
    5. Composting of vegetative waste and/or yard waste generated  onsite by owners or operators of agricultural operations or owners of the real  property or those authorized by the owners of the real property provided:
    a. All decomposed vegetative waste and compost produced is  utilized on said property;
    b. No vegetative waste or other waste material generated from  other sources other than said property is received;
    c. All applicable standards of local ordinances that govern or  concern vegetative waste handling, composting, storage or disposal are  satisfied; and 
    d. They pose no nuisance or present no potential threat to  human health or the environment. 
    6. Composting of yard waste by owners or operators who accept  yard waste generated offsite shall be exempt from all other provisions of this  chapter as applied to the composting activities provided the requirements of  9VAC20-81-397 B are met.
    7. Composting of preconsumer food waste and kitchen culls  generated onsite and composted in containers designed to prohibit vector  attraction and prevent nuisance odor generation. 
    8. Vermicomposting, when used to process Category I, Category  II, or Category III feedstocks in containers designed to prohibit vector  attraction and prevent nuisance odor generation. If offsite feedstocks are  received no more than 100 cubic yards of materials may be onsite at any one  time. For quantities greater than 100 cubic yards, approval from the department  will be required prior to composting.
    9. Composting of sewage sludge or combinations of sewage  sludge with nonhazardous solid waste provided the composting facility is  permitted under the requirements of a Virginia Pollution Abatement (VPA) or  VPDES permit.
    10. Management of solid waste in appropriate containers at the  site of its generation, provided that: 
    a. Putrescible waste is not stored more than seven days  between time of collection and time of removal for disposal; 
    b. Nonputrescible wastes are not stored more than 90 days  between time of collection and time of removal for proper management; and
    c. Treatment of waste is conducted in accordance with the  following:
    (1) In accordance with a waste analysis plan that:
    (a) Contains a detailed chemical and physical analysis of a  representative sample of the waste being treated, and contains all records  necessary to treat the waste in accordance with the requirements of this part,  including the selected testing frequency; and
    (b) Is kept in the facility's onsite file and made available  to the department upon request.
    (2) Notification is made to the receiving waste management  facility that the waste has been treated.
    11. Using rocks, brick, block, dirt, broken concrete, crushed  glass, porcelain, and road pavement as clean fill. 
    12. Storage of less than 100 waste tires at the site of  generation provided that no waste tires are accepted from offsite and that the  storage will not present a hazard or a nuisance.
    13. Storage in piles of land-clearing debris including stumps  and brush, clean wood wastes, log yard scrapings consisting of a mixture of  soil and wood, cotton gin trash, peanut hulls, and similar organic wastes that  do not readily decompose, are exempt from this chapter if they meet the  following conditions at a minimum: 
    a. The wastes are managed in the following manner: 
    (1) They do not cause discharges of leachate, or attract  vectors. 
    (2) They cannot be dispersed by wind and rain. 
    (3) Fire is prevented. 
    (4) They do not become putrescent. 
    b. Any facility storing waste materials under the provisions  of this subsection shall obtain a storm water discharge permit if they are  considered a significant source under the provisions of 9VAC25-31-120 A 1 c. 
    c. No more than a total of 1/3 acre of waste material is  stored onsite and the waste pile does not exceed 15 feet in height above base  grade. 
    d. Siting provisions. 
    (1) All log yard scrapings consisting of a mixture of soil and  wood, cotton gin trash, peanut hulls, and similar organic wastes that do not  readily decompose are stored at the site of the industrial activity that  produces them; 
    (2) A 50-foot fire break is maintained between the waste pile  and any structure or tree line; 
    (3) The slope of the ground within the area of the pile and  within 50 feet of the pile does not exceed 4:1; 
    (4) No waste material may be stored closer than 50 feet to any  regularly flowing surface water body or river, floodplain, or wetland; and
    (5) No stored waste materials shall extend closer than 50 feet  to any property line. 
    e. If activities at the site cease, any waste stored at the  site must be properly managed in accordance with these regulations within 90  days. The director can approve longer time frames with appropriate  justification. Justification must be provided in writing no more than 30 days  after ceasing activity at the site. 
    f. Waste piles that do not meet these provisions are required  to obtain a permit in accordance with the permitting provisions in Part V  (9VAC20-81-400 et seq.) of this chapter and meet all of the applicable waste  pile requirements in Part IV (9VAC20-81-300 et seq.) of this chapter.  Facilities that do not comply with the provisions of this subsection and fail  to obtain a permit are subject to the provisions of 9VAC20-81-40.
    14. Storage of nonhazardous solid wastes and hazardous wastes,  or hazardous wastes from conditionally exempt small quantity generators as  defined in Virginia Hazardous Waste Management Regulations (9VAC20-60) at a  transportation terminal or transfer station in closed containers meeting the  U.S. Department of Transportation specifications is exempt from this section  and the permitting provisions of Part V (9VAC20-81-400 et seq.) of this chapter  provided such wastes are removed to a permitted storage or disposal facility  within 10 days from the initial receipt from the waste generator. To be  eligible for this exemption, each shipment must be properly documented to show  the name of the generator, the date of receipt by the transporter, and the date  and location of the final destination of the shipment. The documentation shall  be kept at the terminal or transfer station for at least three years after the  shipment has been completed and shall be made available to the department upon  request. All such activities shall comply with any local ordinances.
    15. Open burning in accordance with the requirements of  9VAC5-130-40. 
    16. Open burning of vegetative waste is allowed at a closed  landfill that has not been released from postclosure care. The activity shall  be included in the text of the postclosure plan and conducted in accordance  with § 10.1-1410.3 of the Code of Virginia.
    17. Placement of trees, brush, or other vegetation from land  used for agricultural or silvicultural purposes on the same property or other  property of the same landowner. 
    18. Using fossil fuel combustion products in one or more of  the following applications or when handled, processed, transported, or  stockpiled for the following uses: 
    a. As a base, sub-base or fill material under a paved road,  the footprint of a structure, a paved parking lot, sidewalk, walkway or similar  structure, or in the embankment of a road. In the case of roadway embankments,  materials will be placed in accordance with VDOT specifications, and exposed  slopes not directly under the surface of the pavement must have a minimum of 18  inches of soil cover over the fossil fuel combustion products, the top six  inches of which must be capable of sustaining the growth of indigenous plant  species or plant species adapted to the area. The use, reuse, or reclamation of  unamended coal combustion byproduct shall not be placed in an area designated  as a 100-year flood plain;
    b. Processed with a cementitious binder to produce a  stabilized structural fill product that is spread and compacted with proper  equipment for the construction of a project with a specified end use; or
    c. For the extraction or recovery of materials and compounds  contained within the fossil fuel combustion products.
    E. The following solid wastes are exempt from this chapter  provided that they are managed in accordance with the requirements promulgated  by other applicable state or federal agencies: 
    1. Management of wastes regulated by the State Board of  Health, the State Water Control Board, the Air Pollution Control Board, the  Department of Mines, Minerals and Energy, Department of Agriculture and  Consumer Services, or any other state or federal agency with such authority.
    2. Drilling fluids, produced waters, and other wastes  associated with the exploration, development, or production of crude oil,  natural gas, or geothermal energy. 
    3. Solid waste from the extraction, beneficiation, and  processing of ores and minerals, including coal. 
    4. Fossil fuel combustion products used for mine reclamation,  mine subsidence, or mine refuse disposal on a mine site permitted by the  Virginia Department of Mines, Minerals and Energy (DMME) when used in  accordance with the standards.
    5. Solid waste management practices that involve only the  onsite placing of solid waste from mineral mining activities at the site of  those activities and in compliance with a permit issued by the DMME, that do  not include any municipal solid waste, are accomplished in an environmentally  sound manner, and do not create an open dump, hazard or public nuisance are  exempt from all requirements of this chapter.
    6. Waste or byproduct derived from an industrial process that  meets the definition of fertilizer, soil amendment, soil conditioner, or  horticultural growing medium as defined in § 3.2-3600 of the Code of Virginia,  or whose intended purpose is to neutralize soil acidity (see § 3.2-3700 of the  Code of Virginia), and that is regulated under the authority of the Virginia  Department of Agriculture and Consumer Services. 
    7. Fossil fuel combustion products bottom ash or boiler slag  used as a traction control material or road surface material if the use is  consistent with Virginia Department of Transportation practices.
    8. Waste tires generated by and stored at salvage yards  licensed by the Department of Motor Vehicles provided that such storage  complies with requirements set forth in § 10.1-1418.2 and such storage  does not pose a hazard or nuisance. 
    9. Tire chips used as the drainage material in construction of  septage drain fields regulated under the authority of the Virginia Department  of Health.
    F. The following solid wastes are exempt from this chapter  provided that they are reclaimed or temporarily stored incidentally to  reclamation, are not accumulated speculatively, and are managed without  creating an open dump, hazard, or a public nuisance: 
    1. Paper and paper products; 
    2. Clean wood waste that is to undergo size reduction in order  to produce a saleable product, such as mulch;
    3. Cloth;
    4. Glass;
    5. Plastics;
    6. Tire chips, tire shred, ground rubber; and
    7. Mixtures of above materials only. Such mixtures may include  scrap metals excluded from regulation in accordance with the provisions of  subsection C of this section.
    9VAC20-81-140. Operation requirements.
    The operation of all sanitary, CDD, and industrial landfills  shall be governed by the standards set forth in this section. Landfill  operations will be detailed in an operations manual that shall be maintained in  the operating record in accordance with 9VAC20-81-485. This operations manual  will include an operations plan, an inspection plan, a health and safety plan,  an unauthorized waste control plan, an emergency contingency plan, and a  landscaping plan meeting the requirements of this section and 9VAC20-81-485.  This manual shall be made available to the department when requested. If the  applicable standards of this chapter and the landfill's Operations Manual  conflict, this chapter shall take precedence.
    A. Landfill operational performance standards.
    1. Safety hazards to operating personnel shall be controlled  through an active safety program consistent with the requirements of 29 CFR  Part 1910, as amended. 
    2. A groundwater monitoring program meeting the requirements  of 9VAC20-81-250 shall be implemented, as applicable. 
    3. A corrective action program meeting the requirements of  9VAC20-81-260 is required whenever the groundwater protection standard is  exceeded at statistically significant levels.
    4. Open burning at active landfills. 
    a. Owners or operators shall ensure that the units do not  violate any applicable requirements developed by the State Air Pollution  Control Board or promulgated by the EPA administrator pursuant to § 110 of the  Clean Air Act, as amended (42 USC §§ 7401 to 7671q). 
    b. Open burning of solid waste, except for infrequent burning  of agricultural wastes, silvicultural wastes, land-clearing debris, diseased  trees, or debris from emergency cleanup operations is prohibited. There shall  be no open burning permitted on areas where solid waste has been disposed of or  is being used for active disposal.
    c. The owner or operator shall be responsible for extinguishing  any fires that may occur at the facility. A fire control plan will be developed  that outlines the response of facility personnel to fires. The fire control  plan will be provided as an attachment to the emergency contingency plan  required under the provisions of 9VAC20-81-485. The fire control plan will be  available for review upon request by the public. There shall be no open burning  permitted on areas where solid waste has been disposed or is being used for  active disposal.
    5. Except as provided in 9VAC20-81-130 K, owners or operators  shall implement a gas management plan in accordance with 9VAC20-81-200  to  control landfill gas such that: 
    a. The concentration of methane gas generated by the landfill  does not exceed 25% of the lower explosive limit for methane in landfill  structures (excluding gas control or recovery system components); and 
    b. The concentration of methane gas does not exceed the lower  explosive limit for methane at the facility boundary. 
    6. Landfills shall not: 
    a. Allow leachate from the landfill to drain or discharge into  surface waters except when treated onsite and discharged into surface water as  authorized under a VPDES Permit (9VAC25-31). 
    b. Cause a discharge of pollutants into waters of the United  States, including wetlands, that violates any requirements of the Clean Water  Act (33 USC § 1251 et seq.), including, but not limited to, the VPDES  requirements and Virginia Water Quality Standards (9VAC25-260). 
    c. Cause the discharge of a nonpoint source of pollution to  waters of the United States, including wetlands, that violates any requirement  of an areawide or statewide water quality management plan that has been  approved under § 208 or 319 of the Clean Water Act (33 USC § 1251 et  seq.), as amended or violates any requirement of the Virginia Water Quality  Standards (9VAC25-260). 
    d. Allow solid waste to be deposited in or to enter any  surface waters or groundwaters.
    7. Owners or operators shall maintain the run-on/runoff  control systems designed and constructed in accordance with 9VAC20-81-130 H. 
    8. Access to sanitary, CDD, or noncaptive industrial landfills  shall be permitted only when an attendant is on duty and only during daylight  hours, unless otherwise specified in the landfill permit. 
    9. Fencing or other suitable control means shall be used to  control litter migration. All litter blown from the landfill operations shall  be collected on a weekly basis.
    10. Odors and vectors shall be effectively controlled so they  do not constitute nuisances or hazards. Odor hazard or nuisances shall be  controlled in accordance with 9VAC20-81-200 D. Disease vectors shall be  controlled using techniques for the protection of human health and the  environment. 
    11. If salvaging is allowed by a landfill, it shall not  interfere with operation of the landfill and shall not create hazards or  nuisances. 
    12. Fugitive dust and mud deposits on main offsite roads and  access roads shall be minimized at all times to limit nuisances. Dust shall be  controlled to meet the requirements of Article 1 (9VAC5-40-60 et seq.) of Part  II of 9VAC5-40.
    13. Internal roads in the landfill shall be maintained to be  passable in all weather by ordinary vehicles. All operation areas and units  shall be accessible.
    14. All landfill appurtenances listed in 9VAC20-81-130 shall be  properly maintained and operated as designed and approved in the facility's  permit. 
    15. Adequate numbers and types of properly maintained  equipment shall be available to a landfill for operation. Provision shall be  made for substitute equipment to be available or alternate means implemented to  achieve compliance with subdivision B 1, C 1, or D 1 of this section, as  applicable, within 24 hours should the former become inoperable or unavailable.  Operators with training appropriate to the tasks they are expected to perform  and in sufficient numbers for the complexity of the site shall be on the site  whenever it is in operation.
    16. Self-Inspection. Each landfill shall implement an  inspection routine including a schedule for inspecting all applicable major aspects  of facility operations necessary to ensure compliance with the requirements of  this chapter. Records of these inspections must be maintained in the operating  record and available for review. At a minimum, the following aspects of the  facility shall be inspected on a monthly basis: erosion and sediment controls,  storm water conveyance system, leachate collection system, safety and emergency  equipment, internal roads, and operating equipment. The groundwater monitoring  system and gas management system shall be inspected at a rate consistent with  the system's monitoring frequency.
    17. Records to include, at a minimum, date of receipt,  quantity by weight or volume, and origin shall be maintained on solid waste  received and processed to fulfill the applicable requirements of the Solid  Waste Information and Assessment Program under 9VAC20-81-80 and the Control  Program for Unauthorized Waste under 9VAC20-81-100 E. Such records shall be  made available to the department for examination or use when requested.
    B. In addition to the standards in subsection A of this  section, sanitary landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread into two-foot layers or less and compacted at the working face, which  shall be confined to the smallest area practicable. 
    b. Lift heights shall be sized in accordance with daily waste  volumes. Lift height is not recommended to exceed 10 feet. 
    c. Daily cover consisting of at least six inches of  compacted soil or other approved material shall be placed upon and maintained  on all exposed solid waste prior to the end of each operating day, or at more  frequent intervals if necessary, to control disease vectors, fires, odors,  blowing litter, and scavenging. Alternate materials of an alternate thickness  may be approved by the department if it has been demonstrated that the  alternate material and thickness control disease vectors, fires, odors, blowing  litter, and scavenging without presenting a threat to human health and the  environment. At least three days of acceptable cover soil or approved material  at the average usage rate shall be maintained at the landfill or readily  available at all times. 
    d. Intermediate cover of at least six inches of additional  compacted soil shall be applied and maintained whenever an additional lift of  refuse is not to be applied within 30 days. Further, all areas with  intermediate cover exposed shall be inspected as needed, but not less than  weekly. Additional cover material shall be placed on all cracked, eroded, and  uneven areas as required to maintain the integrity of the intermediate cover  system. 
    e. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    g. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33% unless steeper slopes are approved in the  permit. 
    2. The active working face of a sanitary landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    3. A sanitary landfill that is located within 10,000 feet of  any airport runway used for turbojet aircraft or 5,000 feet of any airport  runway used by only piston type aircraft, shall operate in such a manner that  the landfill does not increase or pose additional bird hazards to aircraft. 
    4. Sanitary landfills shall not dispose of the following  wastes, except as specifically authorized by the landfill permit or by the  department: 
    a. Free liquids. 
    (1) Bulk or noncontainerized liquid waste, unless: 
    (a) The waste is household waste; or 
    (b) The waste is gas condensate derived from that landfill;
    (c) The waste is leachate derived from that landfill and the landfill  is designed with a composite liner and leachate collection system as described  in 9VAC20-81-130 J 1 a and 9VAC20-81-130 L; or 
    (2) Containers holding liquid waste, unless: 
    (a) The container is a small container similar in size to that  normally found in household waste; 
    (b) The container is designed to hold liquids for use other  than storage; or 
    (c) The waste is household waste. 
    b. Regulated hazardous wastes as defined by the Virginia  Hazardous Waste Management Regulations (9VAC20-60).
    c. Solid wastes, residues, or soils containing more than 1.0  ppb (parts per billion) TEF (dioxins). 
    d. Solid wastes, residues, or soils containing 50.0 ppm (parts  per million) or more of PCB's except as allowed under the provisions of  9VAC20-81-630. 
    e. Sludges that have not been dewatered. 
    f. Contaminated soil unless approved by the department in  accordance with the requirements of 9VAC20-81-610 or 9VAC20-81-660. 
    g. Regulated medical waste as specified in the Regulated  Medical Waste Management Regulations (9VAC20-120).
    5. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    C. In addition to the standards in subsection A of this  section, Construction/demolition/debris landfills shall also comply with the  following:
    1. Compaction and cover requirements. 
    a. Waste materials shall be compacted in shallow layers during  the placement of disposal lifts to minimize differential settlement. 
    b. Compacted soil cover shall be applied as needed for safety  and aesthetic purposes. A minimum one-foot thick progressive cover shall be  maintained weekly such that the top of the lift is fully covered at the end of  the work week. If the landfill accepts Category I or II nonfriable  asbestos-containing material for disposal, daily soil cover shall be placed  upon all exposed Category I or II nonfriable asbestos-containing material prior  to the end of each operating day. The open working face of a landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    c. When waste deposits have reached final elevations, or  disposal activities are interrupted for 15 days or more, waste deposits shall  receive a one-foot thick intermediate cover unless soil has already been  applied in accordance with subdivision 1 b of this subsection and be graded to  prevent ponding and to accelerate surface run-off. 
    d. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    e. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    f. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33%. 
    2. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    D. In addition to the standards in subsection A of this  section, Industrial Landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread and compacted at the working face, which shall be confined to the  smallest area practicable. 
    b. Lift heights shall be sized according to the volume of  waste received daily and the nature of the industrial waste. A lift height is  not required for materials such as fly ash that are not compactable. 
    c. Where it is necessary for the specific waste, such as  Category I or II nonfriable asbestos-containing material, daily soil cover, or  other suitable material shall be placed upon all exposed solid waste prior to  the end of each operating day. For wastes such as fly ash and bottom ash from  burning of fossil fuels, periodic cover to minimize exposure to precipitation  and control dust or dust control measures such as surface wetting or crusting  agents shall be applied. At least three days of acceptable cover soil or  approved material at the average usage rate shall be maintained at the fill at  all times at facilities where daily cover is required unless an offsite supply  is readily available on a daily basis.
    d. Intermediate cover of at least one foot of compacted soil  shall be applied whenever an additional lift of refuse is not to be applied  within 30 days unless the owner or operator demonstrates to the satisfaction of  the director that an alternate cover material or an alternate schedule will be  protective of public health and the environment. In the case of facilities  where fossil fuel combustion products are removed for beneficial use,  intermediate cover must be applied in any area where ash has not been placed or  removed for 30 days or more. Further, all areas with intermediate cover exposed  shall be inspected as needed but not less than weekly and additional cover  material shall be placed on all cracked, eroded, and uneven areas as required  to maintain the integrity of the intermediate cover system. 
    e. Final cover construction will be initiated in accordance  with the requirements of 9VAC20-81-160 D 2 when the following pertain: 
    (1) When an additional lift of solid waste is not to be  applied within two years or a longer period as required by the facility's  phased development. 
    (2) When any area of a landfill attains final elevation and  within 90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) When a landfill's permit is terminated within 90 days of  such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  otherwise specified by the department when seasonal conditions do not otherwise  permit. Mowing will be conducted a minimum of once a year or at a frequency  suitable for the vegetation and climate.
    2. Incinerator and air pollution control residues containing  no free liquids shall be incorporated into the working face and covered at such  intervals as necessary to minimize them from becoming airborne. 
    9VAC20-81-160. Closure requirements.
    The closure of all sanitary, CDD and industrial landfills  shall be governed by the standards set forth in this section.
    A. Closure purpose. The owner or operator shall close the  landfill in a manner that minimizes the need for further maintenance and  provides for the protection of human health and the environment. Closure shall  eliminate the postclosure escape of uncontrolled leachate or of waste  decomposition products to the groundwater or surface water to the extent  necessary to protect human health and the environment. Closure shall also  control and/or minimize surface runoff and the escape of waste decomposition  products to the atmosphere. 
    B. Closure plan and modification of plan.
    1. The owner or operator of a solid waste disposal facility  shall have a written closure plan. This plan shall identify the steps necessary  to completely close the landfill at the time when the operation will be the  most extensive and at the end of its intended life. The closure plan shall  include, at least: 
    a. A schedule for final closure that shall include, as a  minimum, the anticipated date when wastes will no longer be received, the date  when completion of final closure is anticipated, and intervening milestone  dates that will allow tracking of the progress of closure. 
    b. An estimate of waste disposed onsite over the active life  of the landfill; 
    c. An estimate of the largest area ever requiring a final  cover as required at any time during the active life; 
    d. Description of Final Cover System design in accordance with  subsection D of this section;
    e. Description of storm water management to include design,  construction, and maintenance controls;
    f. Closure cost estimate for purpose of financial assurance. 
    2. The owner or operator may amend the closure plan at any  time during the active life of the landfill. The owner or operator shall so  amend his plan any time changes in operating plans or landfill design affect  the closure plan. The amended closure plan shall be placed in the operating  record and a copy provided to the department. 
    3. Closure plans and amended closure plans not previously  approved by the director shall be submitted to the department at least 180 days  before the date the owner or operator expects to begin construction activities  related to closure. The director will approve or disapprove the plan within 90  days of receipt. 
    4. If the owner or operator intends to use an alternate final  cover design, he shall submit a proposed design meeting the requirements of  subdivision D 2 e f of this section to the department at least  180 days before the date he expects to begin closure. The department will  approve or disapprove the plan within 90 days of receipt. 
    5. At least 180 days prior to beginning closure of each solid  waste disposal unit, the owner or operator shall notify the department and the  solid waste planning unit of the intent to close. 
    C. Time allowed for closure. 
    1. The owner or operator shall begin closure activities of  each unit no later than 30 days after the date on which the unit receives the  known final receipt of wastes or, if the unit has remaining capacity and there  is a reasonable likelihood that the unit will receive additional wastes, no  later than one year after the most recent receipt of wastes. Extensions beyond  the one-year deadline for beginning closure may be granted by the director if  the owner or operator demonstrates that the unit has the capacity to receive  additional wastes and the owner or operator has taken and will continue to take  all steps necessary to prevent threats to human health and the environment from  the unclosed unit. 
    2. The owner or operator shall complete closure activities of  each unit in accordance with the closure plan and within six months after  receiving the final volume of wastes. The director may approve a longer closure  period if the owner or operator can demonstrate that the required or planned  closure activities will, of necessity, take longer than six months to complete;  and that he has taken all steps to eliminate any significant threat to human  health and the environment from the unclosed but inactive landfill.
    D. Closure implementation. 
    1. The owner or operator shall close each unit with a final  cover as specified in subdivision 2 of this subsection, grade the fill area to  prevent ponding, and provide a suitable vegetative cover. Vegetation shall be  deemed properly established when there are no large areas void of vegetation  and it is sufficient to control erosion. 
    2. Final cover system.
    a. The owner or operator shall install a final cover system  that is designed to achieve the performance requirements of this section. 
    b. Owners or operators of CDD landfill units used for the  disposal of wastes consisting only of stumps, wood, brush, and leaves from  landclearing operations may apply two feet of compacted soil as final cover  material in lieu of the final cover system specified in this section. The  provisions of this section shall not be applicable to any landfill with respect  to which the director has made a finding that continued operation of the  landfill constitutes a threat to the public health or the environment. 
    c. The final cover system shall be designed and constructed  to: 
    (1) Minimize infiltration through the closed disposal unit by  the use of an infiltration layer that is constructed of at least 18 inches of  earthen material; and which has a hydraulic conductivity less than or equal to  the hydraulic conductivity of any bottom liner system or natural subsoils  present, or a hydraulic conductivity no greater than 1x10-5 cm/sec,  whichever is less; and 
    (2) Minimize erosion of the final cover by the use of an  erosion layer that contains a minimum of six inches of earthen material that is  capable of sustaining native plant growth, and provide for protection of the  infiltration layer from the effects of erosion, frost, and wind. 
    d. The owner or operator of a sanitary landfill may choose to  use this alternate final cover system, which shall consist of at least the  following components:
    (1) An 18-inch soil infiltration layer with a hydraulic  conductivity no greater than 1x10-5 cm/sec or a geosynthetic clay  liner installed over the intermediate cover;
    (2) A barrier layer consisting of a geosynthetic membrane  having a minimum thickness of 40-mils;
    (3) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (4) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    e. The owner or operator of a CDD or industrial landfill may  choose to use this alternate final cover system, which shall consist of at  least the following components: 
    (1) A barrier layer consisting of a geosynthetic clay liner or  a geosynthetic membrane having a minimum thickness of 40 mils;
    (2) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (3) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    f. The director may approve an alternate final cover design  that includes: 
    (1) An infiltration layer that achieves an equivalent  reduction in infiltration as the infiltration layer specified in subdivision 2  c (1) of this subsection; and 
    (2) A minimum 24-inch erosion layer that is capable of  sustaining native plant growth and provide for protection of the infiltration  layer from the effects of erosion, frost, and wind.
    3. Finished side slopes shall be stable and be configured to  adequately control erosion and runoff. Slopes of 33% will be allowed provided  that adequate runoff controls are established. Steeper slopes may be considered  if supported by necessary stability calculations and appropriate erosion and  runoff control features. All finished slopes and runoff management facilities  shall be supported by necessary calculations and included in the design manual.  To prevent ponding of water, the top slope shall be at least 2.0% after  allowance for settlement. 
    4. Following construction of the final cover system for each  unit, the owner or operator shall submit to the department a certification,  signed by a professional engineer verifying that closure has been completed in  accordance with the closure plan requirements of this part. This certification  shall include the results of the CQA/QC requirements under 9VAC20-81-130 Q 1 b  (6). 
    5. Following the closure of all units the owner or operator  shall: 
    a. Post one sign at the entrance of the landfill notifying all  persons of the closing, and the prohibition against further receipt of waste  materials. Further, suitable barriers shall be installed at former accesses to  prevent new waste from being deposited.
    b. Within 90 days after closure is completed, submit to the  local land recording authority a survey plat prepared by a professional land  surveyor registered by the Commonwealth or a person qualified in accordance  with Title 54.1 of the Code of Virginia indicating the location and dimensions  of landfills. Groundwater monitoring well and landfill gas monitoring  probe locations shall be included and identified by the number on the survey  plat. The plat filed with the local land recording authority shall contain a  note, prominently displayed, which states the owner's or operator's future  obligation to restrict disturbance of the site as specified.
    c. Record a notation on the deed to the landfill property, or  on some other instrument which is normally examined during title searches,  notifying any potential purchaser of the property that the land has been used  to manage solid waste and its use is restricted under 9VAC20-81-170 A 2 c. A  copy of the deed notation as recorded shall be submitted to the department. 
    d. Submit to the department a certification, signed by a  professional engineer, verifying that closure has been completed in accordance  with the requirements of subdivisions 5 a, b, and c of this subsection and the  landfill closure plan. 
    6. The department shall inspect all solid waste management  facilities at the time of closure to confirm that the closing is complete and  adequate. It shall notify the owner or operator of a closed landfill, in  writing, if the closure is satisfactory, and shall require any construction or  such other steps necessary to bring unsatisfactory sites into compliance with  these regulations. Notification by the department that the closure is  satisfactory does not relieve the owner or operator of responsibility for  corrective action to prevent or abate problems caused by the landfill. 
    9VAC20-81-250. Groundwater monitoring program.
    A. General requirements. 
    1. Applicability. 
    a. Existing landfills. Owners or operators of all existing  landfills shall be in compliance with the groundwater monitoring requirements  specified in this section, except as provided for in subdivision 1 c of this  subsection. Owners or operators of landfills that were permitted prior to  December 21, 1988, but were closed in accordance with the requirements of their  permit or existing regulation prior to December 21, 1988, are not required to  be in compliance with the groundwater monitoring requirements specified in this  section, unless conditions are recognized that classify the landfill as an Open  Dump as defined under 9VAC20-81-45. 
    b. New landfills. Owners or operators of new facilities shall  be in compliance with the groundwater monitoring requirements specified in this  section before waste can be placed in the landfill except as provided for in  subdivision 1 c of this subsection.
    c. No migration potential exemption. Groundwater monitoring  requirements under this section may be suspended by the director if the owner  or operator can demonstrate that there is no potential for migration of any  Table 3.1 constituents to the uppermost aquifer during the active life and the  postclosure care period of the landfill. This demonstration shall be certified  by a qualified groundwater scientist and shall be based upon: 
    (1) Site-specific field collected measurements including  sampling and analysis of physical, chemical, and biological processes affecting  contaminant fate and transport; and 
    (2) Contaminant fate and transport predictions that maximize  contaminant migration and consider impacts on human health and the environment.  
    2. General requirements. 
    a. Purpose. Owners or operators shall install, operate, and  maintain a groundwater monitoring system that is capable of determining the  landfill's impact on the quality of groundwater in the uppermost aquifer at the  disposal unit boundary during the active life and postclosure care period of  the landfill. 
    b. Program requirements. The groundwater monitoring program  shall meet the requirements of subdivision 3 of this subsection and comply with  all other applicable requirements of this section. 
    c. Director authority. The groundwater monitoring and  reporting requirements set forth here are minimum requirements. The director  may require, by amending modifying the permit as allowed under  9VAC20-81-600 E, any owner or operator to install, operate, and maintain a  groundwater monitoring system and conduct a monitoring program that contains  requirements more stringent than this chapter imposes whenever it is determined  that such requirements are necessary to protect human health and the  environment. 
    3. Groundwater monitoring system. 
    a. System requirements. A groundwater monitoring system shall  be installed consisting of a sufficient number of monitoring wells, at  appropriate locations and depths, capable of yielding sufficient quantities of  groundwater for sampling and analysis purposes from the uppermost aquifer that:  
    (1) Represent the quality of background groundwater that has  not been affected by a release from the landfill; and 
    (2) Represent the quality of groundwater at the disposal unit  boundary. The downgradient monitoring system shall be installed at the disposal  unit boundary in a manner that ensures detection of groundwater contamination  in the uppermost aquifer unless a variance has been granted by the director  under 9VAC20-81-740. 
    (3) When physical obstacles preclude installation of  groundwater monitoring wells at the disposal unit boundary, the downgradient  monitoring wells may be installed at the closest practicable distance  hydraulically downgradient from the boundary in locations that ensure detection  of groundwater contamination in the uppermost aquifer. 
    b. Multiunit systems. The director may approve a groundwater  monitoring system that covers multiple waste disposal units instead of  requiring separate groundwater monitoring systems for each unit when the  landfill has several units, provided the multiunit groundwater monitoring  system meets the requirement of subdivision 3 of this subsection and can be  demonstrated to be equally protective of human health and the environment as  individual monitoring systems. The system for each waste disposal unit would be  based on the following factors: 
    (1) Number, spacing, and orientation of the waste disposal  units; 
    (2) Hydrogeologic setting; 
    (3) Site history; 
    (4) Engineering design of the waste disposal units; and 
    (5) Type of waste accepted at the waste disposal units. 
    c. Well construction. All monitoring wells shall be of a size  adequate for sampling and shall be cased and grouted in a manner that maintains  the integrity of the monitoring well bore hole. This casing shall be screened  or perforated, and packed with gravel or sand where necessary, to enable sample  collection at depths where appropriate aquifer flow zones exist. The annular  space above the sampling depth shall be sealed with a suitable material to  prevent contamination of samples and the groundwater. 
    d. Boring logs. A log shall be made of each newly installed  monitoring well describing the soils or rock encountered, and the hydraulic  conductivity of the geologic units (formations) encountered. A copy of the  final log(s) with appropriate maps, including at a minimum a site plan showing  the location of all monitoring wells, the total depth of monitoring well, the  location of the screened interval, the top and bottom of sand or gravel pack,  and the top and bottom of the seal shall be sent to the department with the  certification required under subdivision 3 g of this subsection. 
    e. Well maintenance. The monitoring wells, piezometers, and  other groundwater measurement, sampling, and analytical devices shall be  operated and maintained in a manner that allows them to perform to design  specifications throughout the duration of the groundwater monitoring program.  Nonfunctioning monitoring wells must be replaced or repaired upon recognition  of damage or nonperformance. Well repair or replacement shall be coordinated  with the department for approval prior to initiating the action. 
    f. Network specifics. The network shall include at least  one upgradient monitoring well and at least three downgradient monitoring  wells. The number, spacing, and depths of monitoring wells included in a  landfill's network shall be determined based on: 
    (1) Site-specific technical information that shall include  thorough characterization by the owner or operator of: 
    (a) The thickness of any unsaturated geologic units or fill  materials that may overlay the uppermost aquifer; 
    (b) The thickness and description of materials comprising the  uppermost aquifer;
    (c) Materials comprising the confining unit defining the lower  boundary of the uppermost aquifer, including, but not limited to, thicknesses,  stratigraphy, lithology, hydraulic conductivities, porosities, and effective  porosities; and
    (d) the calculated groundwater flow rate and direction within  the uppermost aquifer including any seasonal and temporal fluctuations in  groundwater flow. 
    (2) At least one upgradient and at least three downgradient  monitoring wells. 
    (3) A The lateral spacing between downgradient  monitoring wells based on site-specific information supplied under subdivision  3 f (1) of this subsection. 
    g. Monitoring well certification. The groundwater monitoring  well(s) shall, within 30 days of well(s) installation, be certified by a  qualified groundwater scientist noting that all wells have been installed in  accordance with the documentation submitted under subdivision 3 d of this  subsection. Within 14 days of completing this certification, the owner or  operator shall transmit the certification to the department. 
    4. The groundwater sampling and analysis requirements for the  groundwater monitoring system are as follows: 
    a. Quality assurance and control. The groundwater monitoring  program shall include consistent field sampling and laboratory analysis  procedures that are designed to ensure monitoring results that provide an  accurate representation of the groundwater quality at the background and  downgradient wells. At a minimum the program shall include procedures and  techniques for: 
    (1) Sample collection; 
    (2) Sample preservation and shipment; 
    (3) Analytical procedures; 
    (4) Chain of custody control; and 
    (5) Quality assurance and quality control. 
    b. Analytical methods. The groundwater monitoring program  shall include sampling and analytical methods that are appropriate for  groundwater sampling and that accurately measure solid waste constituents in  groundwater samples. Groundwater samples obtained pursuant to 9VAC20-81-250 B  or C shall not be filtered prior to laboratory analysis. The sampling, analysis  and quality control/quality assurance methods set forth in EPA document SW-846,  as amended, shall be used. The department may require re-sampling if it  believes the samples were not properly sampled or analyzed. 
    c. Groundwater rate and flow. Groundwater elevations at each  monitoring well shall be determined immediately prior to purging each time a  sample is obtained. The owner or operator shall determine the rate and  direction of groundwater flow each time groundwater is sampled pursuant to  subsection B or C of this section or 9VAC20-81-260. Groundwater  elevations in wells that monitor the same waste management area disposal  unit or units shall be measured within a period of time short enough to  avoid temporal variations in groundwater flow, which could preclude  accurate determination of groundwater flow rate and direction. 
    d. Background data. The owner or operator shall establish  background groundwater quality in a hydraulically upgradient or background  well, or wells, for each of the monitoring parameters or constituents required  in the particular groundwater monitoring program that applies to the landfill.  Background groundwater quality may be established at wells that are not located  hydraulically upgradient from the landfill if they meet the requirements of  subdivision 4 e of this subsection. 
    e. Alternate well provision. A determination of background  quality may be based on sampling of wells that are not upgradient from the  waste management area disposal unit or units where: 
    (1) Hydrogeologic conditions do not allow the owner or  operator to determine what wells are upgradient; and 
    (2) Sampling at these wells will provide an indication of  background groundwater quality that is as representative or more representative  than that provided by the upgradient wells. 
    f. Sampling and statistics. The number of samples collected to  establish groundwater quality data shall be consistent with the appropriate  statistical procedures determined pursuant to subdivision 4 g of this  subsection. 
    g. Statistical methods. The owner or operator shall specify in  the Groundwater Monitoring Plan the statistical method(s) listed in subsection  D of this section that will be used in evaluating groundwater monitoring data  for each monitoring constituent. The statistical test(s) chosen shall be  applied separately for each groundwater constituent in each well after each  individual sampling event required under subdivision B 2 or 3, C 2 or 3, or as  required under 9VAC20-81-260 E 1.
    h. Evaluation and response. After each sampling event required  under subsection B or C of this section, the owner or operator shall determine  whether or not there is a statistically significant increase over background  values for each groundwater constituent required in the particular groundwater  monitoring program by comparing the groundwater quality of each constituent at  each monitoring well installed pursuant to subdivision 3 a of this subsection  to the background value of that constituent. In determining whether a  statistically significant increase has occurred, the owner or operator shall:
    (1) Ensure the sampling result comparisons are made according  to the statistical procedures and performance standards specified in subsection  D of this section; 
    (2) Ensure that within 30 days of completion of sampling and  laboratory analysis actions, the determination of whether there has been a  statistically significant increase over background at each monitoring well has  been completed; and
    (3) If identified, the statistically significant increase  shall be reported to the department within the notification timeframes  identified in subsection B or C of this section and discussed in the quarterly  or semi-annual report submission described under subdivision E 2 c of this  section. Notifications qualified as being "preliminary,"  "suspect," "unverified," or otherwise not a final  determination of a statistical exceedance will not be accepted. 
    i. Verification sampling. The owner or operator may at any  time within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this section, obtain verification  samples if the initial review of analytical data suggests results that might  not be an accurate reflection of groundwater quality at the disposal unit  boundary. Undertaking verification sampling is a voluntary action on the part  of the owner or operator and shall not alter the timeframes associated with  determining or reporting a statistically significant increase as otherwise  defined under subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    j. Data validation. The owner or operator may at any time  within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this subsection, undertake third-party  data validation of the analytical data received from the laboratory.  Undertaking such validation efforts is a voluntary action on the part of the  owner or operator and shall not alter the timeframes associated with determining  or reporting a statistically significant increase as otherwise defined under  subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    5. Alternate source demonstration allowance. 
    a. Allowance. As a result of any statistically significant  increase identified while monitoring groundwater under subdivision B 2 or 3, or  C 2 or 3 of this section, or at anytime within the Corrective Action process  under 9VAC20-81-260, the owner or operator has the option of submitting an  Alternate Source Demonstration report, certified by a qualified groundwater  scientist, demonstrating:
    (1) A source other than the landfill caused the statistical  exceedance; 
    (2) The exceedance resulted from error in sampling, analysis,  or evaluation; or
    (3) The exceedance resulted from a natural variation in  groundwater quality. 
    b. Timeframes. A successful demonstration must be made within  90 days of noting a statistically significant increase. The director may  approve a longer timeframe for submittal and approval of the Alternate Source  Demonstration with appropriate justification. 
    c. Evaluation and response. Based on the information submitted  in accordance with subdivision 5 a of this subsection, the director will: 
    (1) In the case of the successful demonstration of an error in  sampling, analysis, or evaluation, allow the owner or operator to continue  monitoring groundwater in accordance with the monitoring program in place at  the time of the statistical exceedance. 
    (2) In the case of a successful demonstration of an alternate  source for the release or natural variability in the aquifer matrix:
    (a) Require changes in the groundwater monitoring system as  needed to accurately reflect the groundwater conditions and allow the owner or  operator to continue monitoring groundwater in accordance with the monitoring  program in place at the time of the statistical exceedance; 
    (b) Require any changes to the monitoring system be completed  prior to the next regularly scheduled groundwater monitoring event or within 90  days (whichever is greater); and
    (c) Require any changes to the monitoring system be approved  via the amendment modification process under 9VAC20-81-600 within  90 days of the approval of the alternate source demonstration. 
    (3) In the case of an unsuccessful Alternate Source Demonstration,  require the owner or operator to initiate the actions that would otherwise be  required as a result of the statistically significant increase noted under  subdivision B 2 or 3, or C 2 or 3 of this section as appropriate. 
    6. Establishment of groundwater protection standards. 
    a. Requirement. Upon recognition of a statistically  significant increase over background and while monitoring in the Assessment or  Phase II monitoring programs defined under subdivision B 3 or C 3 of this  section, the owner or operator shall propose a groundwater protection standard  for all detected Table 3.1 Column B constituents. The proposed standards shall  be submitted to the department by a qualified groundwater scientist and be  accompanied by relevant historical groundwater sampling data to justify the  proposed concentration levels. 
    b. Establishment process. The groundwater protection standards  shall be established in the following manner: 
    (1) For constituents for which a maximum contaminant level  (MCL) has been promulgated under § 1412 of the Safe Drinking Water Act (40 CFR  Part 141), the MCL for that constituent shall be automatically established as  the groundwater protection standard upon submission of the proposed standards. 
    (2) If the owner or operator determines that a site-specific  background concentration is greater than the MCL associated with that  constituent under subdivision 6 b (1) of this subsection, the background value  may be substituted for use as the groundwater protection standard in lieu of  the MCL for that constituent upon receiving written department approval. 
    (3) For constituents for which no MCL has been promulgated,  site-specific background concentration value(s) may be used upon receiving  written department approval. 
    (4) For constituents for which no MCL has been promulgated, a  risk-based alternate concentration levels may be used if approved by the  director as long as: 
    (a) The owner or operator submits a request to the department  asking for approval to use risk-based alternate concentration levels for a  specific list of constituents and identifies that these constituents lack an  MCL. In the request the owner or operator shall specify whether site-specific,  independently calculated, risk-based alternate concentration levels will be  applied, or if the facility will accept the default department-provided limits.  
    (b) Both the The alternate concentration levels  that may be provided as default values by the department and those  independently calculated by the owner or operator are demonstrated to meet the  following criteria or factors before they can be used as groundwater protection  standards: 
    (i) Groundwater quality - The potential for adverse quality  effects considering the physical and chemical characteristics of the waste in  the landfill, its potential for migration in the aquifer; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the proximity and withdrawal rates of groundwater users; the  current and future uses of groundwater in the area; the existing quality of  groundwater, including other sources of contamination and their cumulative  impact on the groundwater quality. 
    (ii) Human exposure - Potential for health risks caused by  exposure to waste constituents released from the landfill using federal  guidelines for assessing the health risks of environmental pollutants;  scientifically valid studies conducted in accordance with the Toxic Substances  Control Act Good Laboratory Practice Standards (40 CFR Part 792); or equivalent  standards. For carcinogens, the alternate concentration levels must be set  based on a lifetime cancer risk level due to continuous lifetime exposure  within the 1x10-4 to 1x10-6 range. For systemic  toxicants, alternate concentration levels must be demonstrated to be levels to  which the human population (including sensitive subgroups) could be exposed to  on a daily basis without the likelihood of appreciable risk of deleterious  effects during a lifetime.
    (iii) Surface water - The potential adverse effect on  hydraulically connected surface water quality based on the volume, physical and  chemical characteristics of the waste in the landfill; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the patterns of rainfall in the region; the proximity of the  landfill to surface waters; the current and future uses of surface waters in  the area and any water quality standards established for those surface waters;  the existing quality of surface water, including other sources of contamination  and the cumulative impact on surface water quality. 
    (iv) Other adverse effects - Potential damage to wildlife,  crops, vegetation, and physical structures caused by exposure to waste  constituents; the persistence and permanence of the potential adverse effects;  and the potential for health risks caused by human exposure to waste  constituents using factors shown in subdivision b (4) (b) (ii) of this  subsection. 
    (5) In making any determination regarding the use of alternate  concentration levels under this section, the director will:
    (a) Consider any identification of underground sources of  drinking water as identified by EPA under 40 CFR 144.7,
    (b) Consider additional or modified monitoring requirements or  control measures, 
    (c) Include a schedule for the periodic review of the  alternate concentration levels, or
    (d) Approve the alternate concentration levels as proposed or  issue modified alternate concentration levels.
    c. Implementation. Groundwater protection standards shall be  considered established for the facility upon completion of the actions  described under either subdivision A 6 b (1), (2), (3) or if necessary (4) and  shall be placed in the facility Operating Record and shall be used during  subsequent comparisons of groundwater sampling data consistent with the  requirements of subdivision B 3 f or C 3 e of this section. 
    d. MCL and background revisions. After establishment of  groundwater protection standards under subdivision B 6 b, if the standards are  modified as a result of revisions to any MCL or department-approved background,  the facility shall update its listing of groundwater protection standards and  shall place the new list in the Operating Record and shall use the new values  during subsequent comparisons of sampling data consistent with the requirements  of subdivision B 3 f or C 3 e of this section. 
    e. Alternate concentration levels revisions. After  establishment of groundwater protection standards under subdivision B 6 b of  this section, if the department-approved alternate concentration levels change  based on information released by EPA, to the extent practical, the department  will issue revisions to the alternate concentration levels for facility use no  more often than an annual basis. The facility shall use the alternate  concentration levels listing in effect at the time the sampling event takes  place when comparing the results against the groundwater protection standards  under subdivision B 3 f or C 3 e of this section. 
    B. Monitoring for sanitary landfills. 
    1. Applicability. 
    a. Existing facilities. Except for those sanitary landfills  identified in subdivision C 1 of this section, existing sanitary landfill  facilities and closed facilities that have accepted waste on or after October  9, 1993, and in the case of 'small' landfills on or after April 9, 1994, shall  be in compliance with the detection monitoring requirements specified in  subdivision 2 of this subsection unless existing sampling data requires a move  to assessment monitoring described under subdivision 3 of this subsection. 
    b. New facilities. Facilities placed in operation to receive  waste after October 9, 1993, shall be in compliance with the detection  monitoring requirements specified in subdivision 2 of this section before waste  can be placed in the landfill unless existing sampling data requires a move to  assessment monitoring described under subdivision 3 of this subsection. 
    c. Closed facilities. Unless an extension to the deadline  above has been granted by the director, closed facilities that have ceased to  accept any waste on or before October 9, 1993, and in the case of a  "small" landfill, before April 9, 1994, may comply with the  "State Monitoring Program" monitoring requirements specified in  subdivision C 2 or 3 of this section. 
    d. Other facilities. Owners or operators of disposal  facilities not subject to the federal groundwater monitoring requirements  prescribed under 40 CFR Parts 257 and 258 must perform the groundwater  monitoring described in subdivision C 2 or 3 of this section. 
    e. Proximity to wetlands. Owners or operators of sanitary  landfills that accepted waste after June 30, 1999, must:
    (1) Perform quarterly groundwater monitoring unless the  director determines that less frequent monitoring is necessary consistent with  the requirements of the special provisions regarding wetlands in  § 10.1-1408.5 of the Code of Virginia.
    (2) The quarterly monitoring frequency shall remain in effect  until the department is notified waste is no longer being accepted at the  sanitary landfill. 
    (3) This requirement will not limit the authority of the Waste  Management Board or the director to require more frequent groundwater  monitoring if required to protect human health and the environment. 
    (4) For purposes of this subdivision "proximity to  wetlands" shall be defined as landfills that were constructed on a  wetland, have a potential hydrologic connection to such a wetland in the event  of an escape of liquids from the facility, or are within a mile of such a  wetland.
    2. Detection monitoring program.
    a. Sampling requirements. All sanitary landfills shall  implement detection monitoring except as otherwise provided in subdivision 1 of  this subsection. The monitoring frequency for all constituents listed in Table  3.1 Column A shall be as follows: 
    (1) Initial sampling period. 
    (a) For facilities that monitor groundwater on a semi-annual  basis, a minimum of four independent samples from each well (background and  downgradient) shall be collected and analyzed for the Table 3.1 Column A  constituents during the first semi-annual sampling period. A semi-annual period  is defined under 9VAC20-81-10. 
    (b) For facilities that monitor groundwater on a quarterly  basis as a result of subdivision 1 e of this subsection, a minimum of four  samples from each well (background and downgradient) shall be collected and  analyzed for the Table 3.1 Column A constituents. The samples shall be  collected within the first quarterly period, using a schedule that ensures, to  the greatest extent possible, an accurate calculation of background concentrations.  
    (2) Subsequent sampling events. At least one sample from each  well (background and downgradient) shall be collected and analyzed during  subsequent semi-annual or quarterly events during the active life and  postclosure period. Data from subsequent background sampling events may be  added to the previously calculated background data so that the facility  maintains the most accurate representation of background groundwater quality  with which to carry out statistical analysis required under subdivision A 4 h  of this section. 
    (3) Alternate sampling events. The director may specify an  appropriate alternate frequency for repeated sampling and analysis during the  active life (including closure) and the postclosure care period. The alternate  frequency during the active life (including closure) and the postclosure period  shall be no less than annual. The alternate frequency shall be based on  consideration of the following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); and 
    (e) Resource value of the aquifer. 
    b. Evaluation and response. If the owner or operator  determines under subdivision A 4 h of this section, that there is:
    (1) A statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this section,  for one or more of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event, the owner or operator shall: 
    (a) Within 14 days of this finding, notify the department of  this fact, indicating which constituents have shown statistically significant  increases over background levels; and 
    (b) Within 90 days, (i) establish an assessment monitoring  program meeting the requirements of subdivision 3 of this subsection, or (ii)  submit an Alternate Source Demonstration as specified in subdivision A 5 of  this section. If, after 90 days, a successful demonstration has not been made,  the owner or operator shall initiate an assessment monitoring program as  otherwise required in subdivision 3 of this subsection. The 90-day Alternate  Source Demonstration period may be extended by the director for good cause. 
    (2) No statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this  section, for any of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event; the owner or operator may remain in detection monitoring and  include a discussion of the sampling results and statistical analysis in the  semi-annual or quarterly report required under subdivision E 2 c of this  section. 
    3. Assessment monitoring program. The owner or operator shall  implement the assessment monitoring program whenever a statistically  significant increase over background has been detected during monitoring  conducted under the detection monitoring program.
    a. Sampling requirements. Within 90 days of recognizing a  statistically significant increase over background for one or more of the  constituents listed in Table 3.1 Column A, the owner or operator shall, unless  in receipt of an approval to an Alternate Source Demonstration under  subdivision A 5 of this section or a director-approved extension, conduct the initial  assessment monitoring sampling event for the constituents found in Table 3.1  Column B. A minimum of one sample from each well installed under subdivision A  3 a of this section shall be collected and analyzed during the initial and all  subsequent annual Table 3.1 Column B sampling events.
    b. Director provisions: 
    (1) The owner or operator may request that the director  approve an appropriate subset of monitoring wells that may remain in detection  monitoring defined under subdivision 2 of this subsection, based on the results  of the initial, or subsequent annual Table 3.1 Column B sampling events.  Monitoring wells may be considered for the subset if:
    (a) They show no detections of Table 3.1 Column B constituents  other than those already previously detected in detection monitoring defined  under subdivision 2 of this subsection; and 
    (b) They display no statistically significant increases over  background for any constituents on the Table 3.1 Column A list. If an increase  is subsequently recognized in a well approved for the subset, the well shall no  longer be considered part of the detection monitoring subset. 
    (2) The owner or operator may request the director delete any  of the Table 3.1 Column B monitoring constituents from the assessment  monitoring program if the owner or operator demonstrates that the deleted  constituents are not reasonably expected to be in or derived from the waste. 
    (3) The director may specify an appropriate alternate  frequency for repeated sampling and analysis for the full set of Table 3.1  Column B constituents required by subdivision 3 a of this subsection during the  active life and postclosure care period based on the consideration of the  following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); 
    (e) Resource value of the aquifer; and 
    (f) Nature (fate and transport) of any constituents detected  in response to subdivision 3 f of this subsection. 
    c. Development of background. After obtaining the results from  the initial or subsequent annual sampling events required in subdivision 3 a of  this subsection, the owner or operator shall: 
    (1) Within 14 days, notify the department identifying the  Table 3.1 Column B constituents that have been detected; 
    (2) Within 90 days, and on at least a semi-annual basis  thereafter, resample all wells installed under subdivision A 3 a of this  section, conduct analyses for all constituents in Table 3.1 Column A as well as  those constituents in Column B that are detected in response to subdivision 3 a  of this subsection and subsequent Table 3.1 Column B sampling events as may be  required of this section, and report this data in the semi-annual or quarterly  report defined under subdivision E 2 c of this section;
    (3) Within 180 days of the initial sampling event, establish  background concentrations for any Table 3.1 Column B constituents detected  pursuant to subdivision B 3 a of this subsection. A minimum of four independent  samples from each well (background and downgradient) shall be collected and  analyzed to establish background for the detected constituents. 
    d. Establishment of groundwater protection standards. Within  30 days of establishing background under subdivision 3 c (3) of this  subsection, submit proposed groundwater protection standards for all  constituents detected under Assessment monitoring. The groundwater protection  standards shall be approved by the director in accordance with the provisions  of subdivision A 6 of this section. 
    e. Groundwater monitoring plan. No later than 60 days after  approval of the groundwater protection standard standards in  accordance with subdivision A 6 of this section, the owner or operator shall  submit an updated Groundwater Monitoring Plan that details the site monitoring  well network and sampling and analysis procedures undertaken during groundwater  monitoring events. The owner or operator shall additionally: 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, request a permit amendment modification  to incorporate the plan and related groundwater monitoring modules into the  landfill's permit in accordance with 9VAC20-81-600. The department may waive  the requirement for a permit amendment modification if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (2) If the 30-day timeframe specified in subdivision 3 e (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    f. Evaluation and response. 
    (1) If the concentrations of all Table 3.1 Column B constituents  are shown to be at or below background values, using the statistical procedures  in subsection D of this section, for two consecutive Table 3.1 Column B  sampling events, the owner or operator shall notify the director of this  finding in the semi-annual or quarterly monitoring report and may return to  detection monitoring defined under subdivision 2 of this subsection. 
    (2) If the concentrations of any Table 3.1 Column B  constituents are found to be above background values, but below the groundwater  protection standards established under subdivision A 6 of this section using  the statistical procedures in subsection D of this section, the owner or  operator shall continue in assessment monitoring in accordance with this  section and present the findings to the department in the semi-annual or  quarterly report. 
    (3) If one or more Table 3.1 Column B constituents are  detected at statistically significant levels above the groundwater protection  standard established under subdivision A 6 of this section using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Within 14 days of this finding, notify the department  identifying the Table 3.1 Column B constituents that have exceeded the  groundwater protection standard. The notification will include a statement that  within 90 days the owner or operator will either: 
    (i) Undertake characterization and assessment actions required  under 9VAC20-81-260 C 1; or 
    (ii) Submit an Alternate Source Demonstration as specified in  subdivision A 5 of this section. If a successful demonstration is made within  90 days, the owner or operator may continue monitoring in accordance with the  assessment monitoring program pursuant to subdivision 3 of this subsection. If  the 90-day period passes without demonstration approval, the owner or operator  shall comply with the actions under 9VAC20-81-260 C within the timeframes  specified unless the director has granted an extension to those timeframes. 
    (b) Describe the results in the semi-annual or quarterly report.  
    C. Monitoring for CDD, industrial, and State Monitoring  Program sanitary landfills. 
    1. Applicability. 
    a. Sanitary landfills. Owners or operators of sanitary  disposal facilities that have ceased to accept solid waste prior to the  federally imposed deadline of October 9, 1993, and or in the case  of a "small landfill" before April 9, 1994, are eligible, with the  director's approval, to conduct the state groundwater monitoring program  described in this section in lieu of the groundwater monitoring program  required under subdivision B 2 or 3 of this section. 
    b. CDD and industrial landfills. Owners or operators of CDD  and industrial landfills not subject to the federal groundwater monitoring  requirements prescribed under 40 CFR Parts 257 and 258 will shall  perform the groundwater monitoring described in this section. 
    c. Other landfills. All other landfills excluding sanitary  landfills, including those that accepted hazardous waste from conditionally  exempt small quantity generators after July 1, 1998, will shall  perform the groundwater monitoring described in this section. 
    2. First determination monitoring program. 
    a. Sampling requirements. A first determination monitoring  program shall consist of a background-establishing period followed by  semi-annual sampling and analysis for the constituents shown in Table 3.1  Column A at all wells installed under subdivision A 3 a of this section. Within  14 days of each event during first determination monitoring, notify the  department identifying the Table 3.1 Column A constituents that have been  detected. 
    b. Development of background. Within 360 days of the initial  first determination sampling event: 
    (1) Establish background concentrations for any constituents  detected pursuant to subdivision 2 a of this subsection. 
    (a) A minimum of four independent samples from each well  (background and downgradient) shall be collected and analyzed to establish  background concentrations for the detected constituents using the procedures in  subsection D of this section. 
    (b) In those cases where new wells are installed downgradient  of waste disposal units that already have received waste, but these wells have  not yet undergone their initial sampling event, collection of four independent  samples for background development will not be required. 
    (2) Within 30 days of completing the background calculations  required under subdivision 2 b (1) (a) of this subsection, submit a first  determination report, signed by a qualified groundwater scientist, to the  department which must include a summary of the background concentration data  developed during the background sampling efforts as well as the statistical  calculations for each constituent detected in the groundwater during the  background sampling events. 
    c. Semi-annual sampling and analysis. Within 90 days of the  last sampling event during the background-establishing period and at least  semi-annually thereafter, sample each monitoring well in the compliance network  for analysis of the constituents in Table 3.1 Column A. 
    d. Evaluation and response. Upon determination of site  background under subdivision 2 b (1) (a) of this subsection, the results of all  subsequent first determination monitoring events shall be assessed as follows: 
    (1) If no Table 3.1 Column A constituents are found to have entered  the groundwater at statistically significant levels over background, the owner  or operator shall:
    (a) Remain in first determination monitoring; and 
    (b) May request the director delete any Table 3.1 Column A  constituents from the semi-annual sampling list if the owner or operator  demonstrates that the proposed deleted constituents are not reasonably expected  to be in or derived from the waste. 
    (2) If the owner or operator recognizes a statistically  significant increase over background for any Table 3.1 Column A constituent,  within 14 days of this finding, the owner or operator shall notify the  department identifying the Table 3.1 Column A constituents that have exceeded  background levels. The notification will include a statement that within 90 days  the owner or operator will shall:
    (a) Initiate a Phase II sampling program; or 
    (b) Submit an Alternate Source Demonstration under subdivision  A 5 of this section. 
    (3) If a successful demonstration is made and approved within  the timeframes established under subdivision A 5 of this section, the owner or  operator may remain in First Determination monitoring. 
    (4) If a successful demonstration is not made and approved  within the timeframes established under subdivision A 5 of this section, the  owner or operator shall initiate Phase II monitoring in accordance with the  timeframes in subdivision C 3 of this section. The director may approve a  longer timeframe with appropriate justification. 
    3. Phase II monitoring. 
    a. Sampling requirements. The owner or operator shall:
    (1) Within 90 days of noting the exceedance over background  determined under subdivision C 2 d of this section, sample the groundwater in  all monitoring wells installed under subdivision A 3 a of this section for all  Table 3.1 Column B constituents; 
    (2) After completing the initial Phase II sampling event,  continue to sample and analyze groundwater on a semi-annual basis within the  Phase II monitoring program; 
    b. Background development. If no additional Table 3.1 Column B  constituents are detected other than those previously detected under Column A,  which already have established their background levels, the owner or operator  shall follow the requirements under subdivision 3 c of this subsection  regarding groundwater protection standard establishment while continuing to  sample for the Table 3.1 Column A list on a semi-annual basis. If one or more  additional Table 3.1 Column B constituents are detected during the initial  Phase II sampling event:
    (1) Within 360 days, establish a background value for each  additional detected Table 3.1 Column B constituent. 
    (2) Submit a Phase II Background report within 30 days of  completing the background calculations including a summary of the background  concentration data for each constituent detected in the groundwater during the  Table 3.1 Column B background sampling events.
    (3) If any detected Table 3.1 Column B constituent is  subsequently not detected for a period of two years, the owner or operator may  petition the director to delete the constituent from the list of detected Table  3.1 Column B constituents that must be sampled semi-annually. 
    c. Establishment of groundwater protection standards. No later  than:
    (1) Thirty days after submitting the Phase II Background  report required under the provisions of subdivision 3 b (2) of this subsection,  or within 30 days of obtaining the results from the initial Table 3.1 Column B  sampling event indicating no further sampling for background determination is  necessary, the owner or operator shall propose a groundwater protection  standard for all detected Table 3.1 constituents. 
    (2) The groundwater protection standard proposed shall be  established in a manner consistent with the provisions in subdivision A 6 of  this section. 
    d. Groundwater monitoring plan. No later than 60 days after  establishment of groundwater protection standards in accordance with  subdivision A 6 of this section, the owner or operator shall submit an updated  Groundwater Monitoring Plan that details the site monitoring well network and  sampling and analysis procedures undertaken during groundwater monitoring  events. The department may waive the requirement for an updated plan if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, the owner or operator shall request a permit amendment  modification to incorporate the updated plan and related groundwater  monitoring modules into the landfill's permit in accordance with 9VAC20-81-600.  
    (2) If the 30-day timeframe specified in subdivision 3 d (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    e. Evaluation and response. After each subsequent Phase II  monitoring event following establishment of groundwater protection standards,  the concentration of Table 3.1 Column B constituents found in the groundwater  at each monitoring well installed pursuant to subdivision A 3 a of this section  will be evaluated against the groundwater protection standards. The evaluation  will be presented to the department in a semi-annual Phase II report. The  evaluation will be as follows: 
    (1) If all Table 3.1 constituents are shown to be at or below  background values, using the statistical procedures in subsection D of this  section, for two consecutive Table 3.1 Column B sampling events, the owner or  operator shall notify the director of this finding in the semi-annual report  and may return to first determination monitoring; 
    (2) If any Table 3.1 Column B constituents are found to be  above background values, but are below the established groundwater protection  standard using the statistical procedures in subsection D of this section, the  owner or operator shall continue semi-annual Phase II monitoring and present  the findings in a semi-annual report; 
    (3) If one or more Table 3.1 Column B constituents are above  the established groundwater protection standard using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Notify the department within 14 days of this finding. The  notification will include a statement that within 90 days the owner or operator  will either: (i) undertake the characterization and assessment actions required  under 9VAC20-81-260 C 1; or (ii) submit an alternate source demonstration as  specified in subdivision A 5 of this section. If a successful demonstration is  made within 90 days, the owner or operator may continue monitoring in  accordance with Phase II monitoring program. If the 90-day period is exceeded,  the owner or operator shall comply with the timeframes of 9VAC20-81-260 C  unless the director has granted an extension to those timeframes; and
    (b) Present the findings in the semi-annual report. 
    D. Statistical methods and constituent lists. 
    1. Acceptable test methods. The following statistical test  methods may be used to evaluate groundwater monitoring data: 
    a. A parametric analysis of variance (ANOVA) followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's mean and the background mean levels  for each constituent. 
    b. An analysis of variance (ANOVA) based on ranks followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's median and the background median  levels for each constituent. 
    c. A tolerance or prediction interval procedure in which an  interval for each constituent is established from the distribution of the  background data, and the level of each constituent in each compliance well is  compared to the upper tolerance or prediction limit. 
    d. A control chart approach that gives control limits for each  constituent. 
    e. Another statistical test method that meets the performance  standards specified below. Based on the justification submitted to the  department, the director may approve the use of an alternative test. The  justification must demonstrate that the alternative method meets the  performance standards in subdivision 2 of this subsection. 
    2. Performance standards. Any statistical method chosen by the  owner or operator shall comply with the following performance standards, as  appropriate: 
    a. The statistical method used to evaluate groundwater  monitoring data shall be appropriate for the distribution of monitoring  parameters or constituents. If the distribution is shown by the owner or  operator to be inappropriate for a normal theory test, then the data shall be  transformed or a distribution-free theory test shall be used. If the  distributions for the constituents differ, more than one statistical method may  be needed. 
    b. If an individual well comparison procedure is used to  compare an individual compliance well constituent concentration with background  constituent concentrations or a groundwater protection standard, the test shall  be done at a Type I error level no less than 0.01 for each testing period. If a  multiple comparisons procedure is used, the Type I experiment-wise error rate  for each testing period shall be no less than 0.05; however, the Type I error  of no less than 0.01 for individual well comparisons must be maintained. 
    c. If a control chart approach is used to evaluate groundwater  monitoring data, the specific type of control chart and its associated  parameter values shall be protective of human health and the environment. The  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    d. If a tolerance interval or a predictional interval is used  to evaluate groundwater monitoring data, the levels of confidence and, for  tolerance intervals, the percentage of the population that the interval must  contain, shall be protective of human health and the environment. These  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    e. The statistical method shall account for data below the  limit of detection with one or more statistical procedures that are protective  of human health and the environment. Any estimated quantitation limit (EQL)  that is used in the statistical method shall be the lowest concentration level  that can be reliably achieved within specified limits of precision and accuracy  during routine laboratory operating conditions that are available to the  landfill. 
    f. If necessary, the statistical method shall include  procedures to control or correct for seasonal and spatial variability as well  as temporal correlation in the data.
    E. Recordkeeping and reporting. 
    1. Records pertaining to groundwater monitoring activities on  site shall be retained at a specified location by the owner or operator  throughout the active life and postclosure care period of the landfill, and  shall include at a minimum: 
    a. All historical groundwater surface elevation data obtained  from wells installed pursuant to subdivision A 3 a of this section; 
    b. All historical laboratory analytical results for  groundwater sampling events required under the groundwater monitoring programs  as described in this section; 
    c. All records of well installation, repair, or abandonment  actions; 
    d. All department correspondence to the landfill; and 
    e. All approved variances, well subsets, wetlands, or other  such director/department approvals. 
    2. Reporting requirements. 
    a. Annual report. 
    (1) An Annual Groundwater Monitoring Report shall be submitted  by the owner or operator to the department no later than 120 days from the  completion of sampling and analysis conducted under subdivision A 4 h of this  section for the second semi-annual event or fourth quarterly event during each  calendar year and shall by accompanied by:
    (a) A signature page; and 
    (b) A completed QA/QC DEQ Form ARSC-01.
    (2) The technical content of the annual report shall at a  minimum, contain the following topical content: 
    (a) The landfill's name, type, permit number, current owner or  operator, and location keyed to a USGS topographic map; 
    (b) Summary of the design type (i.e., lined versus unlined),  operational history (i.e., trench fill versus area fill), and size (acres) of  the landfill including key dates such as beginning and termination of waste  disposal actions and dates different groundwater monitoring phases were  entered;
    (c) Description of the surrounding land use noting whether any  adjoining land owners utilize private wells as a potable water source;
    (d) A discussion of the topographic, geologic, and hydrologic  setting of the landfill including a discussion on the nature of the uppermost  aquifer (i.e., confined versus unconfined) and proximity to surface waters;
    (e) A discussion of the monitoring wells network noting any  modifications that were made to the network during the year or any  nonperformance issues and a statement noting that the monitoring well network  meets (or did not meet) the requirements of subdivision A 3 of this section; 
    (f) A listing of the groundwater sampling events undertaken  during the previous calendar year; 
    (g) A historical table listing the detected constituents, and  their concentrations identified in each well during the sampling period; and
    (h) Evaluations of and appropriate responses to the  groundwater elevation data; groundwater flow rate as calculated using the prior  years elevation data; groundwater flow direction (as illustrated on a  potentiometric surface map); and sampling and analytical data obtained during  the past calendar year. 
    b. Semi-annual or quarterly report. 
    (1) After each sampling event has been completed for the 1st  semi-annual or first, second and third quarterly groundwater sampling events, a  semi-annual or quarterly monitoring report shall be submitted under separate  cover by the owner or operator to the department no later than 120 days from  the completion of sampling and analysis conducted under subdivision A 4 h of  this section, unless as allowed under a director-approved extension. The report  shall at a minimum contain the following items: 
    (a) Signature page signed by a professional geologist or  qualified groundwater scientist; 
    (b) Landfill name and permit number;
    (c) Statement noting whether or not all monitoring points  within the permitted network installed to meet the requirements of subdivision  A 3 a of this section were sampled as required under subdivision B 2 or 3 or C  2 or 3 during the event;
    (d) Calculated rate of groundwater flow during the sampling  period as required under subdivision A 4 c of this section;
    (e) The groundwater flow direction as determined during the  sampling period as required under subdivision A 4 c of this section presented  as either plain text or graphically as a potentiometric surface map;
    (f) Statement noting whether or not there were statistically  significant increases over background or groundwater protection standards  during the sampling period, the supporting statistical calculations, and  reference to the date the director was notified of the increase pursuant to  timeframes in subdivision B 2 or 3 or C 2 or 3, if applicable; 
    (g) Copy of the full Laboratory Analytical Report including  dated signature page (laboratory manager or representative) to demonstrate  compliance with the timeframes of subdivision A 4 h of this section. The  department will accept the lab report in CD-ROM format. 
    (2) In order to reduce the reporting burden on the owner or  operator and potential redundancy within the operating record, a discussion of  the second semi-annual or fourth quarterly sampling event results may be  presented in the Annual Report submission.
    c. Other submissions. Statistically significant increase  notifications, well certifications, the first determination report, alternate  source demonstration, nature and extent study, assessment of corrective  measures, presumptive remedy proposal, corrective action plan or monitoring  plan, or other such report or notification types as may be required under  9VAC20-81-250 or 9VAC20-81-260, shall be submitted in a manner which achieves  the timeframe requirements as listed in 9VAC20-81-250 or 9VAC20-81-260. 
         
                 |      TABLE 3.1      GroundWater Solid Waste Constituent Monitoring List       |    
       |      Column A – Common Name1, 2      |          Column B – Common Name1, 2      |          CAS RN3      |    
       |             |          Acenaphthene      |          83-32-9      |    
       |             |          Acenaphthylene      |          208-96-8      |    
       |      Acetone      |          Acetone      |          67-64-1      |    
       |             |          Acetonitrile; Methyl cyanide      |          75-05-8      |    
       |             |          Acetophenone      |          98-86-2      |    
       |             |          2-Acetylaminofluorene; 2-AAF      |          53-96-3      |    
       |             |          Acrolein      |          107-02-8      |    
       |      Acrylonitrile      |          Acrylonitrile      |          107-13-1      |    
       |             |          Aldrin      |          309-00-2      |    
       |             |          Allyl chloride      |          107-05-1      |    
       |             |          4-Aminobiphenyl      |          92-67-1      |    
       |             |          Anthracene      |          120-12-7      |    
       |      Antimony      |          Antimony      |          (Total)      |    
       |      Arsenic      |          Arsenic      |          (Total)      |    
       |      Barium      |          Barium      |          (Total)      |    
       |      Benzene      |          Benzene      |          71-43-2      |    
       |             |          Benzo[a]anthracene; Benzanthracene      |          56-55-3      |    
       |             |          Benzo[b]fluoranthene      |          205-99-2      |    
       |             |          Benzo[k]fluoranthene      |          207-08-9      |    
       |             |          Benzo[ghi]perylene      |          191-24-2      |    
       |             |          Benzo[a]pyrene      |          50-32-8      |    
       |             |          Benzyl alcohol      |          100-51-6      |    
       |      Beryllium      |          Beryllium      |          (Total)      |    
       |             |          alpha-BHC      |          319-84-6      |    
       |             |          beta-BHC      |          319-85-7      |    
       |             |          delta-BHC      |          319-86-8      |    
       |             |          gamma-BHC; Lindane      |          58-89-9      |    
       |             |          Bis(2-chloroethoxy)methane      |          111-91-1      |    
       |             |          Bis(2-chloroethyl) ether; Dichloroethyl ether      |          111-44-4      |    
       |             |          Bis(2-chloro-1-methylethyl) ether; 2, 2'-Dichlorodiisopropyl    ether; DCIP      |          108-60-1, See note 4      |    
       |             |          Bis(2-ethylhexyl)phthalate      |          117-81-7      |    
       |      Bromochloromethane;.Chlorobromomethane      |          Bromochloromethane;.Chlorobromomethane      |          74-97-5      |    
       |      Bromodichloromethane;.Dibromochloromethane      |          Bromodichloromethane;.Dibromochloromethane      |          75-27-4      |    
       |      Bromoform; Tribromomethane      |          Bromoform; Tribromomethane      |          75-25-2      |    
       |             |          4-Bromophenyl phenyl ether      |          101-55-3      |    
       |             |          Butyl benzyl phthalate; Benzyl butyl phthalate      |          85-68-7      |    
       |      Cadmium      |          Cadium Cadmium      |          (Total)      |    
       |      Carbon disulfide      |          Carbon disulfide      |          75-15-0      |    
       |      Carbon tetrachloride      |          Carbon tetrachloride      |          56-23-5      |    
       |             |          Chlordane      |          Note 5      |    
       |             |          p-Chloroaniline      |          106-47-8      |    
       |      Chlorobenzene      |          Chlorobenzene      |          108-90-7      |    
       |             |          Chlorobenzilate      |          510-15-6      |    
       |             |          p-Chloro-m-cresol; 4-Chloro-3-methylphenol      |          59-50-7      |    
       |      Chloroethane; Ethyl chloride      |          Chloroethane; Ethyl chloride      |          75-00-3      |    
       |      Chloroform; Trichloromethane      |          Chloroform; Trichloromethane      |          67-66-3      |    
       |             |          2-Chloronaphthalene      |          91-58-7      |    
       |             |          2-Chlorophenol      |          95-57-8      |    
       |             |          4-Chlorophenyl phenyl ether      |          7005-72-3      |    
       |             |          Chloroprene      |          126-99-8      |    
       |      Chromium      |          Chromium      |          (Total)      |    
       |             |          Chrysene      |          218-01-9      |    
       |      Cobalt      |          Cobalt      |          (Total)      |    
       |      Copper      |          Copper      |          (Total)      |    
       |             |          m-Cresol; 3-methyphenol      |          108-39-4      |    
       |             |          o-Cresol; 2-methyphenol      |          95-48-7      |    
       |             |          p-Cresol; 4-methyphenol      |          106-44-5      |    
       |             |          Cyanide      |          57-12-5      |    
       |             |          2,4-D; 2,4-Dichlorophenoxyacetic acid      |          94-75-7      |    
       |             |          4,4'-DDD      |          72-54-8      |    
       |             |          4,4'-DDE      |          72-55-9      |    
       |             |          4,4'-DDT      |          50-29-3      |    
       |             |          Diallate      |          2303-16-4      |    
       |             |          Dibenz[a,h]anthracene      |          53-70-3      |    
       |             |          Dibenzofuran      |          132-64-9      |    
       |      Dibromochloromethane; Chlorodibromomethane      |          Dibromochloromethane; Chlorodibromomethane      |          124-48-1      |    
       |      1,2-Dibromo-3-chloropropane; DBCP      |          1,2-Dibromo-3-chloropropane; DBCP      |          96-12-8      |    
       |      1,2-Dibrimoethane; Ethylene dibromide; EDB      |          1,2-Dibrimoethane; Ethylene dibromide; EDB      |          106-93-4      |    
       |             |          Di-n-butyl phthalate      |          84-74-2      |    
       |      o-Dichlorobenzene; 1,2-Dichlorobenzene      |          o-Dichlorobenzene; 1,2-Dichlorobenzene      |          95-50-1      |    
       |             |          m-Dichlorobenzene; 1,3-Dichlorobenzene      |          541-73-1      |    
       |      p-Dichlorobenzene; 1,4-Dichlorobenzene      |          p-Dichlorobenzene; 1,4-Dichlorobenzene      |          106-46-7      |    
       |             |          3,3'-Dichlorobenzidine      |          91-94-2      |    
       |      trans-1,4-Dichloro-2-butene      |          trans-1,4-Dichloro-2-butene      |          110-57-6      |    
       |             |          Dichlorodifluoromethane; CFC 12;      |          75-71-8      |    
       |      1.1-Dichloroethane; Ethylidene chloride      |          1,1-Dichloroethane; Ethylidene chloride      |          75-34-3      |    
       |      1,2-Dichloroethane; Ethylene dichloride      |          1,2-Dichloroethane; Ethylene dichloride      |          107-06-2      |    
       |      1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          75-35-4      |    
       |      cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          156-59-2      |    
       |      trans-1,2-Dichloroethylene      |          trans-1,2-Dichloroethylene; trans-1,2-Dichroroethene      |          156-60-5      |    
       |             |          2,4-Dichlorophenol      |          120-83-2      |    
       |             |          2,6-Dichlorophenol      |          87-65-0      |    
       |      1,2-Dichloropropane; Propylene dichloride      |          1,2-Dichloropropane; Propylene dichloride      |          78-87-5      |    
       |             |          1,3-Dichloropropane; Trimethylene dichloride      |          142-28-9      |    
       |             |          2, 2-Dichloropropane; isopropylidene chloride      |          594-20-7      |    
       |             |          1,1-Dichloropropene      |          563-58-6      |    
       |      cis-1,3-Dichloropropene      |          cis-1,3-Dichloropropene      |          10061-01-5      |    
       |      trans-1,3-Dichloropropene      |          trans-1,3-Dichloropropene      |          10061-02-6      |    
       |             |          Dieldrin      |          60-57-1      |    
       |             |          Diethyl phthalate      |          84-66-2      |    
       |             |          O,O-Diethyl O-2-pyrazinyl phosphorothioate; Thionazin      |          297-97-2      |    
       |             |          Dimethoate      |          60-51-5      |    
       |             |          p-(Dimethylamino)azobenzene      |          60-11-7      |    
       |             |          7,12-Dimethylbenz[a]anthracene      |          57-97-6      |    
       |             |          3,3'-Dimethylbenzidine      |          119-93-7      |    
       |             |          2,4-Dimethylphenol; m-Xylenol      |          105-67-9      |    
       |             |          Dimethyl phthalate      |          131-11-3      |    
       |             |          m-Dinitrobenzene      |          99-65-0      |    
       |             |          4,6-Dinitro-o-cresol; 4,6-Dinitro-2-methylphenol      |          534-52-1      |    
       |             |          2,4-Dinitrophenol      |          51-28-5      |    
       |             |          2,4-Dinitrotoluene      |          121-14-2      |    
       |             |          2,6-Dinitrotoluene      |          606-20-2      |    
       |             |          Dinoseb; DNBP; 2-sec-Butyl-4,6-dinitrophenol      |          88-85-7      |    
       |             |          Di-n-octyl phthalate      |          117-84-0      |    
       |             |          Diphenylamine      |          122-39-4      |    
       |             |          Disulfoton      |          298-04-4      |    
       |             |          Endosulfan I      |          959-96-8      |    
       |             |          Endosulfan II      |          33213-65-9      |    
       |             |          Endosulfan sulfate      |          1031-07-8      |    
       |             |          Endrin      |          72-20-8      |    
       |             |          Endrin aldehyde      |          7421-93-4      |    
       |      Ethylbenzene      |          Ethylbenzene      |          100-41-4      |    
       |             |          Ethyl methacrylate      |          97-63-2      |    
       |             |          Ethylmethanesulfonate      |          62-50-0      |    
       |             |          Famphur      |          52-85-7      |    
       |             |          Fluoranthene      |          206-44-0      |    
       |             |          Fluorene      |          86-73-7      |    
       |             |          Heptachlor      |          76-44-8      |    
       |             |          Heptachlor epoxide      |          1024-57-3      |    
       |             |          Hexachlorobenzene      |          118-74-1      |    
       |             |          Hexachlorobutadiene      |          87-68-3      |    
       |             |          Hexachlorocyclopentadiene      |          77-47-4      |    
       |             |          Hexachloroethane      |          67-72-1      |    
       |             |          Hexachloropropene      |          1888-71-7      |    
       |      2-Hexanone; Methyl butyl ketone      |          2-Hexanone; Methyl butyl ketone      |          591-78-6      |    
       |             |          Indeno[1,2,3-cd]pyrene      |          193-39-5      |    
       |             |          Isobutyl alcohol      |          78-83-1      |    
       |             |          Isodrin      |          465-73-6      |    
       |             |          Isophorone      |          78-59-1      |    
       |             |          Isosafrole      |          120-58-1      |    
       |             |          Kepone      |          143-50-0      |    
       |      Lead      |          Lead      |          (Total)      |    
       |             |          Mercury      |          (Total)      |    
       |             |          Methacrylonitrile      |          126-98-7      |    
       |             |          Methapyrilene      |          91-80-5      |    
       |             |          Methoxychlor      |          72-43-5      |    
       |      Methyl bromide; Bromomethane      |          Methyl bromide; Bromomethane      |          74-83-9      |    
       |      Methyl chloride; Chloromethane      |          Methyl chloride; Chloromethane      |          74-87-3      |    
       |             |          3-Methylcholanthrene      |          56-49-5      |    
       |      Methyl ethyl ketone; MEK; 2-Butanone      |          Methyl ethyl ketone; MEK; 2-Butanone      |          78-93-3      |    
       |      Methyl iodide; Iodomethane      |          Methyl iodide; Iodomethane      |          74-88-4      |    
       |             |          Methyl methacrylate      |          80-62-6      |    
       |             |          Methyl methanesulfonate      |          66-27-3      |    
       |             |          2-Methylnaphthalene      |          91-57-6      |    
       |             |          Methyl parathion; Parathion methyl methyl      |          298-00-0      |    
       |      4-Methyl-2-pentanone; Methyl isobutyl ketone      |          4-Methyl-2-pentanone; Methyl isobutyl ketone      |          108-10-1      |    
       |      Methylene bromide; Dibromomethane      |          Methylene bromide; Dibromomethane      |          74-95-3      |    
       |      Methylene chloride; Dichloromethane      |          Methylene chloride; Dichloromethane      |          75-09-2      |    
       |             |          Naphthalene      |          91-20-3      |    
       |             |          1,4-Naphthoquinone      |          130-15-4      |    
       |             |          1- Naphthylamine      |          134-32-7      |    
       |             |          2-Napthylamine      |          91-59-8      |    
       |      Nickel      |          Nickel      |          (Total)      |    
       |             |          o-Nitroaniline; 2-Nitroaniline      |          88-74-4      |    
       |             |          m-Nitroaniline; 3-Nitroaniline      |          99-09-2      |    
       |             |          p-Nitroaniline; 4-Nitroaniline      |          100-01-6      |    
       |             |          Nitrobenzene      |          98-95-3      |    
       |             |          o-Nitrophenol; 2-Nitrophenol      |          88-75-5      |    
       |             |          p-Nitrophenol; 4-Nitrophenol      |          100-02-7      |    
       |             |          N-Nitrosodi-n-butylamine      |          924-16-3      |    
       |             |          N-Nitrosodiethylamine      |          55-18-5      |    
       |             |          N-Nitrosodimethylamine      |          62-75-9      |    
       |             |          N-Nitrosodiphenylamine      |          86-30-6      |    
       |             |          N-Nitrosodipropylamine; N-Nitroso-N-dipropylamine;    Di-n-propylnitrosamine      |          621-64-7      |    
       |             |          N-Nitrosomethylethalamine      |          10595-95-6      |    
       |             |          N-Nitrosopiperidine      |          100-75-4      |    
       |             |          N-Nitrosopyrrolidine      |          930-55-2      |    
       |             |          5-Nitro-o-toluidine      |          99-55-8      |    
       |             |          Parathion      |          56-38-2      |    
       |             |          Pentachlorobenzene      |          608-93-5      |    
       |             |          Pentachloronitrobenzene      |          82-68-8      |    
       |             |          Pentachlorophenol      |          87-86-5      |    
       |             |          Phenacetin      |          62-44-2      |    
       |             |          Phenanthrene      |          85-01-8      |    
       |             |          Phenol      |          108-95-2      |    
       |             |          p-Phenylenediamine      |          106-50-3      |    
       |             |          Phorate      |          298-02-2      |    
       |             |          Polychlorinated biphenyls; PCBS; Aroclors      |          Note 6      |    
       |             |          Pronamide      |          23950-58-5      |    
       |             |          Propionitrile; Ethyl cyanide      |          107-12-0      |    
       |             |          Pyrene      |          129-00-0      |    
       |             |          Safrole      |          94-59-7      |    
       |      Selenium      |          Selenium      |          (Total)      |    
       |      Silver      |          Silver      |          (Total)      |    
       |             |          Silvex; 2,4,5-TP      |          93-72-1      |    
       |      Styrene      |          Styrene      |          100-42-5      |    
       |             |          Sulfide      |          18496-25-8      |    
       |             |          2,4,5-T; 2,4,5-Trichlorophenoxyacetic acid      |          93-76-5      |    
       |             |          1,2,4,5-Tetrachlorobenzene      |          95-94-3      |    
       |      1,1,1,2-Tetrachloroethane      |          1,1,1,2-Tetrachloroethane      |          630-20-6      |    
       |      1,1,2,2-Tetrachloroethane      |          1,1,2,2-Tetrachloroethane      |          79-34-5      |    
       |      Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          127-18-4      |    
       |             |          2,3,4,6-Tetrachlorophenol      |          58-90-2      |    
       |      Thallium      |          Thallium      |          (Total)      |    
       |             |          Tin      |          (Total)      |    
       |      Toluene      |          Toluene      |          108-88-3      |    
       |             |          o-Toluidine      |          95-53-4      |    
       |             |          Toxaphene      |          Note 7      |    
       |             |          1,2,4-Trichlorobenzene      |          120-82-1      |    
       |      1,1,1-Trichloroethane; Methychloroform      |          1,1,1-Trichloroethane; Methychloroform      |          71-55-6      |    
       |      1,1,2-Trichloroethane      |          1,1,2-Trichloroethane      |          79-00-5      |    
       |      Trichloroethylene; Trichloroethene ethene      |          Trichloroethylene; Trichloroethene ethane      |          79-01-6      |    
       |      Trichlorofluoromethane; CFC-11      |          Trichlorofluoromethane; CFC-11      |          75-69-4      |    
       |             |          2,4,5-Trichlorophenol      |          95-95-4      |    
       |             |          2,4,6-Trichlorophenol      |          88-06-2      |    
       |      1,2,3-Trichloropropane      |          1,2,3-Trichloropropane      |          96-18-4      |    
       |             |          O,O,O-Triethyl phosphorothioate      |          126-68-1      |    
       |             |          sym-Trinitrobenzene      |          99-35-4      |    
       |      Vanadium      |          Vanadium      |          (Total)      |    
       |      Vinyl acetate      |          Vinyl acetate      |          108-05-4      |    
       |      Vinyl chloride; Chloroethene      |          Vinyl chloride; Chloroethene      |          75-01-4      |    
       |      Xylene(total)      |          Xylene(total)      |          Note 8      |    
       |      Zinc      |          Zinc      |          (Total)      |    
  
    NOTES:
    1Common names are those widely used in government  regulations, scientific publications, and commerce; synonyms exist for many  chemicals.
    2The corresponding Chemical Abstracts Service Index  name as used in the 9th Collective Index, may be found in Appendix II of 40 CFR  258.
    3Chemical Abstracts Service Registry Number. Where  "Total" is entered, all species in the groundwater that contains this  element are included.
    4This substance is often called  Bis(2-chloroisopropyl) ether, the name Chemical Abstracts Service applies to  its noncommercial isomer, Propane, 2.2'-oxybis2-chloro (CAS RN 39638-32-9).
    5Chlordane: This entry includes alpha-chlordane (CAS  RN 5103-71-9), beta-chlordane (CAS RN 5103-74-2), gamma-chlordane (CAS RN  5566-34-7), and constituents of chlordane (CAS RN 57-74-9 and CAS RN  12739-03-6).
    6Polychlorinated biphenyls (CAS RN 1336-36-3); this  category contains congener chemicals, including constituents of Aroclor 1016  (CAS RN 12674-11-2), Aroclor 1221 (CAS RN 11104-28-2), Aroclor 1232 (CAS RN  11141-16-5), Aroclor 1242 (CAS RN 53469-21-9), Aroclor 1248 (CAS RN  12672-29-6), Aroclor 1254 (CAS RN 11097-69-1), and Arclor 1260 (CAS RN  11096-82-5).
    7Toxaphene: This entry includes congener chemicals  contained in technical toxaphene (CAS RN 8001-35-2), i.e., chlorinated  camphene.
    8Xylene (total): This entry includes o-xylene (CAS  RN 96-47-6), m-xylene (CAS RN 108-38-3), p-xylene (CAS RN 106-42-3), and  unspecified xylenes (dimethylbenzenes) (CAS RN 1330-20-7).
         
          9VAC20-81-260. Corrective action program.
    A. Corrective action is required whenever one or more  groundwater protection standard is exceeded at statistically significant  levels. An owner or operator of a landfill may elect to initiate corrective  action at any time; however, prior to such initiation, the appropriate  groundwater protection standards for all Table 3.1 constituents shall be  established consistent with 9VAC20-81-250 A 6. At any time during the  corrective action process, the owner or operator may elect to pursue, or the  director can determine that, interim measures as defined under subsection F of  this section are required in accordance with subdivision E 3 of this section.
    B. The director may require periodic progress reports when a  corrective action program is required but not yet implemented. At any time  during the corrective action process, the owner or operate may elect to pursue,  or the director can determine that, interim measures as defined under  subsection F of this section are required in accordance with subdivision E 3 of  this section. 
    C. Characterization and assessment requirements. 
    1. Upon notifying the department that one or more of the  constituents listed in Table 3.1 Column B has been detected at a statistically  significant level exceeding the groundwater protection standards, the owner or  operator shall, unless department approval of an Alternate Source Demonstration  has been received as noted under 9VAC20-81-250 B 3 f (3) (a) (ii) or  9VAC20-81-250 C 3 c (3) (a) (ii):
    a. Characterization. Within 90 days, install additional  monitoring wells as necessary including the installation of at least one  additional monitoring well at the facility boundary in the direction of  contaminant migration sufficient to define the vertical and horizontal  extent of the release of constituents at statistically significant levels  exceeding the groundwater protection standards including the installation of  at least one additional monitoring well at the facility boundary in the  direction of contaminant migration. 
    b. Notification. Notify all persons who own the land or reside  on the land that directly overlies any part of the release if contaminants have  migrated offsite as indicated by the results of sampling of the  characterization wells installed under subdivision 1 a of this subsection  within 15 days of completion of the characterization sampling and analysis  efforts. 
    c. Assessment. Within 90 days, initiate an assessment of  corrective measures or a proposal for presumptive remedy. 
    d. Financial assurance. Within 120 days, provide additional  financial assurance in the amount of $1 million to the department using the  mechanisms required in 9VAC20-70-140 of the Financial Assurance Requirements  for Solid Waste Disposal, Transfer, and Treatment Facilities. 
    e. Public meeting. Prior to submitting the document required  under subdivision 1 f of this subsection, schedule and hold a public meeting to  discuss the draft results of the corrective measures assessment or the proposal  for presumptive remedy, prior to the final selection of remedy. The meeting  shall be held to the extent practicable in the vicinity of the landfill. The  process to be followed for scheduling and holding the public hearing is  described under subdivision 4 of this subsection. 
    f. Submission requirements. Within 180 days, submit the  completed assessment of corrective measures defined under subdivision 3 of this  subsection, or the proposal for presumptive remedies defined under subdivision  2 of this subsection, including any responses to public comments received. 
    g. Director allowance. The submission timeframe noted in  subdivision 1 f of this subsection may be extended by the director for good cause  upon request of the owner or operator. 
    2. Presumptive remedy  allowance. 
    a. Applicability. To expedite corrective action, in lieu of an  analysis meeting the requirements of subdivision 3 of this subsection, the  owner or operator of any facility monitoring groundwater in accordance with  9VAC20-81-250 C may propose a presumptive remedy for the landfill. 
    b. Options. The presumptive remedy for solid waste landfills  shall be limited to one or more of the following: 
    (1) Containment of the landfill mass, including an impermeable  cap; 
    (2) Control of the landfill leachate; 
    (3) Control of the migration of contaminated groundwater; 
    (4) Collection and treatment of landfill gas; and 
    (5) Reduction of saturation of the landfill mass. 
    Containment may be selected as a sole or partial remedy until  a determination is made under subdivision F 1 of this section that another  remedy shall be employed to meet the requirements of subdivision G 1 of this  section concerning remediation completion. Upon recognition that presumptive  remedies may not be able to achieve the groundwater protection standards, an  assessment of corrective measures shall be initiated within 90 days.
    c. Restrictions. Presumptive remedies are not applicable to:
    (1) Landfills monitoring groundwater under the Federal  Subtitle D equivalent program defined under 9VAC20-81-250 B when the use of the  presumptive remedy will be the sole remedy applied to the groundwater release;  or
    (2) Landfills that may monitor groundwater under 9VAC20-81-250  C but that exhibit contamination beyond facility boundaries unless the proposed  presumptive remedy option under subdivision 2 b of this subsection can be  demonstrated to show it will address the reduction of contamination already  present beyond the facility boundary, and the demonstration is approved by the  department. 
    d. Submission requirements. Owner or operators who wish to  propose use of the presumptive remedy allowance shall submit with the proposal,  signed by a qualified groundwater professional, an: 
    (1) Assessment of risks resulting from the contamination at  the disposal unit boundary and at the facility boundary; 
    (2) Evaluation of the current trends in groundwater quality  data with respect to the established groundwater protection standards; and
    (3) Anticipated schedule for initiating and completing  presumptive remedy-based remedial activities. 
    e. Implementation. Upon conducting a public meeting as  required under subdivision 4 of this subsection, submitting a corrective action  monitoring plan meeting subdivision D 1 of this section, and amending modifying  the landfill permit in accordance with 9VAC20-81-600 F 2, the owner or operator  may proceed with the implementation of the remedy in accordance with  subdivision E 1 of this section. 
    f. Evaluation and response. The owner or operator shall  provide an evaluation of the performance of the implemented presumptive remedy  every three years, unless an alternate schedule is approved by the director, in  a Corrective Action Site Evaluation report containing, at a minimum, the  following information: 
    (a) A description of how the presumptive remedy is performing  with respect to the conditions in subdivision H 1 of this section;
    (b) Current and historical groundwater data and analysis; 
    (c) An evaluation of the changes seen in groundwater  contamination after the implementation of the remedy and a projection of when  the conditions in subdivision H 1 of this section will be achieved; and 
    (d) The progress toward achieving the schedule required in  subdivision C 2 d (3) of this section. 
    3. Assessment of corrective measures. 
    a. Purpose. The assessment shall include an analysis of the  effectiveness of several potential corrective measures in meeting all of the  requirements and objectives of the remedy as described under this subsection,  addressing at least the following: 
    (1) The performance, reliability, implementation ease, and  potential impacts of appropriate potential remedies, including safety impacts,  cross-media impacts, and control of exposure to any residual contamination; 
    (2) The time required to begin and complete the remedy; 
    (3) The costs of remedy implementation; and 
    (4) The institutional requirements such as state or local  permit requirements or other environmental or public health requirements that  may substantially affect implementation of the remedies. 
    b. Requirements. As part of the assessment of corrective  measures submitted to the department for review, the owner or operator must  demonstrate that one or more possible groundwater remedy has been evaluated for  potential application on site. These remedies may include a specific technology  or combination of technologies that achieve or may achieve the standards for  remedies specified in subdivision 3 c (1) of this subsection given appropriate  consideration of the factors specified in subdivision D 1 a of this section. 
    c. Selection of remedy. As part of submission of the  assessment of corrective measures document, the owner or operator shall select  a remedy that, at a minimum, meets the standards listed in subdivision H 1 of  this section. 
    (1) The selected remedies to be included in the corrective  action plan shall: 
    (a) Be protective of human health and the environment; 
    (b) Attain the groundwater protection standard as specified  pursuant to 9VAC20-81-250 A 6; 
    (c) Control the sources of releases so as to reduce or  eliminate, to the maximum extent practicable, further releases of solid waste  constituents into the environment that may pose a threat to human health or the  environment; and 
    (d) Comply with standards for management of wastes. 
    d. Evaluation and response. The department shall review the  assessment of corrective measures to evaluate the proposed remedy and may  require revisions to the assessment. If the assessment is approved without  revision, the department will notify the owner or operator to prepare a written  corrective action plan based on the proposed remedy and such plan will be  submitted within 180 days of the department's notification of approval of the  assessment of corrective measures. 
    4. Public meeting process. As part of the public meeting  process completed prior to the submission of a proposal for presumptive remedy  or assessment of corrective measures: 
    a. Newspaper notice. The owner or operator must publish a  notice once a week for two consecutive weeks in a major local newspaper of  general circulation inviting public comment on the results of the corrective  measures assessment or proposal for presumptive remedy as applicable. The  notice shall include: 
    (1) The name of the landfill, its location, and the date,  time, and place for the public meeting, and the beginning and ending dates for  the 30-day comment period. The public meeting shall be held at a time  convenient to the public. The comment period will begin on the date the owner  or operator publishes the notice in the local newspaper;
    (2) The name, telephone, and address of the owner's or  operator's representative who can be contacted by the interested persons to  answer questions or where comments shall be sent; 
    (3) Location where copies of the documentation to be submitted  to the department in support of the corrective measures assessment or proposal  of presumptive remedy can be viewed and copied prior to the meeting; 
    (4) A statement indicating that the need to perform the  corrective measures assessment or presumptive remedy is a result of a  statistically significant increase in one or more groundwater protection  standards; and 
    (5) A statement that the purpose of the public meeting is to  acquaint the public with the technical aspects of the proposal, describe how  the requirements of these regulations will be met, identify issues of concern,  facilitate communication, and establish a dialogue between the permittee and  persons who may be affected by the landfill.
    b. Document review. The owner or operator shall place a copy  of the report and supporting documentation in a location accessible to the  public during the public comment period in the vicinity of the proposed  landfill. 
    c. Meeting timeframe. The owner or operator shall hold a  public meeting within a timeframe that allows for the submission of a completed  assessment of corrective measures or presumptive remedy within 180 days of  notifying the department of a groundwater protection standard exceedance or as  granted under subdivision 1 g of this subsection. The meeting must be scheduled  and held:
    (1) No earlier than 15 days after the publication of the  notice; and
    (2) No later than seven days before the close of the 30-day  comment period.
    D. Corrective action plan and monitoring plan. 
    1. The owner or operator shall submit to the department a  Corrective Action Plan (CAP) and related Corrective Action Monitoring Plan  (CAMP) consistent with the findings as presented in the assessment of  corrective measures required under subdivision C 3 of this section, or proposal  for presumptive remedy described under subdivision C 2 of this section.
    a. Requirements. In preparing a proposed corrective action  plan, the owner or operator will consider the following evaluation factors: 
    (1) The long-term and short-term effectiveness and  protectiveness of the potential remedies, along with the degree of certainty  that the remedy will prove successful based on consideration of the following: 
    (a) Magnitude of reduction of existing risks; 
    (b) Magnitude of residual risks in terms of likelihood of  further releases due to waste remaining following implementation of a remedy; 
    (c) The type and degree of long-term management required,  including monitoring, operation, and maintenance; 
    (d) Short-term risks that might be posed to the community,  workers, or the environment during implementation of such a remedy, including  potential threats to human health and the environment associated with  excavation, transportation, and redisposal or containment; 
    (e) Time until full protection is achieved; 
    (f) Potential for exposure of humans and environmental  receptors to remaining wastes, considering the potential threat to human health  and the environment associated with excavation, transportation, re-disposal, or  containment; 
    (g) Long-term reliability of the engineering and institutional  controls; and 
    (h) Potential need for replacement of the remedy. 
    (2) The effectiveness of the remedy in controlling the source  to reduce further releases based on consideration of the following factors: 
    (a) The extent to which containment practices will reduce  further releases; 
    (b) The extent to which treatment technologies may be used; 
    (c) Magnitude of reduction of existing risks; and 
    (d) Time until full protection is achieved. 
    (3) The ease or difficulty of implementing a potential remedy  based on consideration of the following types of factors: 
    (a) Degree of difficulty associated with constructing the  technology; 
    (b) Expected operational reliability of the technologies; 
    (c) Need to coordinate with and obtain necessary approvals and  permits from other agencies; 
    (d) Availability of necessary equipment and specialists; and 
    (e) Available capacity and location of needed treatment,  storage, and disposal services. 
    (4) Practicable capability of the owner or operator, including  a consideration of the technical and economic capability. At a minimum the  owner or operator must consider capital costs, operation and maintenance costs,  net present value of capital and operation and maintenance costs, and potential  future remediation costs. 
    (5) Ensure that all solid wastes that are managed while  undergoing corrective action or an interim measure shall be managed in a  manner: 
    (a) That is protective of human health and the environment;  and 
    (b) That complies with all applicable federal and Virginia  requirements. 
    (6) The degree to which community concerns raised as the  result of the public meeting required by subdivision C 4 of this section are  addressed by the potential remedy. 
    b. Implementation and completion timeframes. The owner or  operator shall specify as part of the selected remedy a schedule for initiating  and completing remedial activities. Such a schedule shall require the  initiation of remedial activities within a reasonable period of time taking into  consideration the factors set forth in this section. The owner or operator  shall consider the following factors in determining the schedule of remedial  activities: 
    (1) Extent and nature Nature and extent of  contamination; 
    (2) Practical capabilities of remedial technologies in  achieving compliance with groundwater protection standards established under  9VAC20-81-250 A 6 and other objectives of the remedy; 
    (3) Availability of treatment or disposal capacity for wastes  managed during implementation of the remedy; 
    (4) Desirability of utilizing technologies that are not  currently available, but which may offer significant advantages over already  available technologies in terms of effectiveness, reliability, safety, or  ability to achieve remedial objectives; 
    (5) Potential risks to human health and the environment from  exposure to contamination prior to completion of the remedy; 
    (6) Resource value of the aquifer including: 
    (a) Current and future uses; 
    (b) Proximity and withdrawal rates of users; 
    (c) Groundwater quantity and quality; 
    (d) The potential damage to wildlife, crops, vegetation, and  physical structures caused by exposure to the waste constituents; 
    (e) The hydrological characteristics of the landfill and  surrounding land; 
    (f) Groundwater removal and treatment costs; and 
    (g) The cost and availability of alternate water supplies; 
    (7) Practical capability of the owner or operator; 
    (8) Timeframes for periodic progress reports during design,  construction, operation, and maintenance. Items to consider when preparing the  reports include but are not limited to: 
    (a) Progress of remedy implementation; 
    (b) Results of monitoring and sampling activities; 
    (c) Progress in meeting cleanup standards; 
    (d) Descriptions of remediation activities; 
    (e) Problems encountered during the reporting period and  actions taken to resolve problems; 
    (f) Work for next reporting period;
    (g) Copies of laboratory reports including drilling logs,  QA/QC documentation, and field data; and
    (9) Other relevant factors. 
    c. Corrective action monitoring program. Any groundwater  monitoring program to be employed during the corrective action process: 
    (1) Shall at a minimum, meet the requirements of the  applicable groundwater monitoring program described under 9VAC20-81-250 B 3 or  C 3; 
    (2) Shall determine the horizontal and vertical extent of the  plume of contamination for constituents at statistically significant levels  exceeding background concentrations; 
    (3) Can be used to demonstrate the effectiveness of the  implemented corrective action remedy; and 
    (4) Shall demonstrate compliance with the groundwater  protection standard established under 9VAC20-81-250 A 6. 
    2. The proposed corrective action plan shall be submitted to  the director for approval. Prior to rendering his approval, the director may: 
    a. Request an evaluation of one or more alternative remedies; 
    b Request technical modification of the monitoring program; 
    c. Request a change in the time schedule; or 
    d. Determine that the remediation of the release of Table 3.1  constituents is not necessary if the owner or operator demonstrates to the  satisfaction of the director that: 
    (1) The groundwater is additionally contaminated by substances  that have originated from a source other than the landfill in a demonstration  meeting the requirements of 9VAC20-81-250 A 5 and those substances are present  in concentrations such that cleanup of the release from the landfill would  provide no significant reduction in risk to actual or potential receptors;
    (2) The constituent is present in groundwater that is not  currently or reasonably expected to be a source of drinking water and not  hydraulically connected with waters to which the constituents are migrating or  are likely to migrate in a concentration that would exceed the groundwater  protection standards established;
    (3) Remediation of the release is technically impracticable;  or 
    (4) Remediation results in unacceptable cross-media impacts. 
    3. A determination by the director pursuant to subdivision 2 d  of this subsection shall not affect the authority of the state to require the  owner or operator to undertake source control measures or other measures that  may be necessary to eliminate or minimize further releases to the groundwater,  to prevent exposure to the groundwater, or to remediate the groundwater to  concentrations that are technically practicable and significantly reduce  threats to human health or the environment. 
    4. After an evaluation of the proposed or revised plan, the  director will: 
    a. Approve the proposed corrective action plan as written;
    b. Approve the proposed corrective action plan as modified by  the owner or operator;
    c. Proceed with the permit amendment modification  process in accordance with 9VAC20-81-600 F 2; or 
    d. Disapprove the proposed corrective action plan and undertake  appropriate containment or clean up actions in accordance with § 10.1-1402  (18) of the Virginia Waste Management Act. 
    E. Remedy implementation. Upon completion of the permit amendment  modification action described under subdivision D 4 c of this section,  the owner or operator shall: 
    1. Monitoring program. Implement a corrective action  groundwater monitoring program meeting the requirements of subdivision D 1 c of  this section;
    2. Remedy. Implement the remedy described in the Corrective  Action Plan and the Permit as amended under subdivision D 4 c of this section;  and 
    3. Interim measures. Take any interim measures necessary to  ensure the protection of human health and the environment as described in  subsection F of this section.
    F. Interim measures. 
    1. To the greatest extent practicable, interim measures shall  be consistent with the objectives of and contribute to the performance of any  remedy that may be required pursuant to meeting the groundwater protection  standard. 
    2. Should the director require interim measures pursuant to  this section, the director will notify the owner or operator of the necessary  actions required. Such actions will be implemented as soon as practicable in  accordance with a schedule as specified by the director. 
    3. The following factors shall be considered in determining  whether interim measures are necessary: 
    a. Timeframes. Time required to develop or implement a final  remedy; 
    b. Exposure. Actual or potential exposure of nearby  populations or environmental receptors to hazardous constituents; 
    c. Drinking water. Actual or potential contamination of  drinking water supplies; 
    d. Resource degradation. Further degradation of the  groundwater that may occur if remedial action is not initiated expeditiously; 
    e. Migration potential. Weather conditions that may cause the  constituents to migrate or be released; 
    f. Accident. Risks of fire or explosion, or potential for  exposure to constituents as a result of an accident or failure of a container  or handling system; and 
    g. Other. Situations including the presence of wastes or other  contaminants that may pose threats to human health, sensitive ecosystems, and  the environment. 
    G. Remedy performance. 
    1. The owner or operator shall provide an evaluation of the  performance of the remedy consistent with the timeframes established in the  permit and present the findings in a Corrective Action Site Evaluation report.  The evaluation shall describe the progress toward achieving the groundwater  protection standards since implementation of the remedy. 
    2. An owner or operator or the director may determine, based  on information developed after implementation of the remedy or other  information contained in the evaluation, that compliance with requirements of  subdivision H 1 of this section are not being achieved through the remedy  selected. In such cases, the owner or operator shall implement other methods or  techniques that could practicably achieve compliance with the requirements,  unless the owner or operator makes the determination under subdivision G 3 of  this section. 
    3. If the owner or operator determines that groundwater  protection standards cannot be practically achieved with any currently  available methods, the owner or operator shall, within 90 days of recognizing  that condition: 
    a. Submit a report, certified by a qualified groundwater  scientist, for director approval, that demonstrates that compliance with  groundwater protection standards established under 9VAC20-81-250 A 6 cannot be  practically achieved with any currently available groundwater remedial methods;  
    b. Upon receiving director approval under subdivision 2 a  3 a of this subsection, implement alternate measures to control exposure  of humans or the environment to residual contamination that will remain as a  result of termination of remedial actions, as necessary to protect human health  and the environment;
    c. Implement alternate measures for removal or decontamination  of any remediation-related equipment, units, devices, or structures that are: 
    (1) Technically practicable; and 
    (2) Consistent with the overall objective of the remedy; and
    d. At least 14 days prior to implementing the alternate  measures, Submit submit a request for approval to the director  describing and justifying the alternate measures to be applied. 
    H. Remedy completion.
    1. The groundwater remedy implemented under corrective action  shall be considered complete when: 
    a. The owner or operator complies with the groundwater  protection standards at all points within the plume of contamination that lie  at or beyond the disposal unit boundary by demonstrating that no Table 3.1  Column B constituents have exceeded groundwater protection standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards as described under 9VAC20-81-250 D; and
    b. All other actions required as part of the remedy have been  satisfied or completed, and the owner or operator obtains the certification  required under subdivision H 2 of this section. 
    2. Upon completion of the remedy, the owner or operator shall  notify the director within 14 days by submitting a certification that the  remedy has been completed in compliance with the requirements of the Corrective  Action Plan and the permit as amended modified under subdivision  D 4 c of this section. 
    3. The certification shall be signed by the owner or operator  and by a qualified groundwater scientist, and shall include all data relevant  to the demonstration of a successful remedy completion. 
    4. If the director, based on the review of information presented  under subdivision H 3 of this section, determines that:
    a. The corrective action remedy has been completed in  accordance with the requirements of the Corrective Action Plan, the permit as  amended, and subdivision H 1 of this section, the director will release the  owner or operator from the requirements for financial assurance for corrective  action under 9VAC20-70; or
    b. The remedy has not yet achieved completion, the owner or  operator shall remain in corrective action and meet the financial assurance requirements  until such time as a successful demonstration and certification can be made. 
    Part IV 
  Other Solid Waste Management Facility Standards: 
  Compost Facilities; Solid Waste Transfer Stations; Centralized Waste Treatment  Facilities; Materials Recovery Facilities; Waste to Energy; Incineration  Facilities; Surface Impoundments and Lagoons; Waste Piles; Remediation Waste  Management Units; Landfill Mining; Miscellaneous Units; and Exempt Management  Facilities
    9VAC20-81-300. General.
    A. Any person who designs, constructs, or operates any solid  waste treatment or storage facility not otherwise exempt under 9VAC20-81-35  D 9VAC20-81-95 shall comply with the requirements of this part. In  addition, this part sets forth conditions that yard waste composting facilities  must meet to maintain their exempt status, where applicable, under 9VAC20-81-95  D 6. Further, all applications pursuant to these standards shall demonstrate  specific means proposed for compliance with requirements set forth in this  part.
    B. All facilities, except exempted facilities, shall be  maintained and operated in accordance with the permit issued or permit-by-rule  status pursuant to this regulation. All facilities shall be maintained and  operated in accordance with the approved design and intended use of the  facility. 
    C. Hazardous wastes shall not be disposed or managed in  facilities subject to this regulation unless specified in the permit or by  specific approval of the executive director. 
    D. Solid waste management facilities regulated under this  part that place solid wastes or residues on site for disposal, or leave such  wastes or residues in place after closure, are subject to the provisions of  Part III (9VAC20-81-100 et seq.) of this chapter, including:
    1. Groundwater monitoring requirements in 9VAC20-81-250;
    2. Closure and postclosure care requirements in 9VAC20-81-160  and 9VAC20-81-170; and
    3. Permitting requirements of Part V (9VAC20-81-400 et seq.)  of this chapter.
    E. All other facilities shall close in accordance with the  closure plan prepared per the requirements described in this part and  9VAC20-81-480, as applicable.
    F. Control program for unauthorized waste. Facilities  managing solid waste per activities exempted under the provisions of  9VAC20-81-95 are not required to implement the control program for unauthorized  waste as provided in this section.
    1. Solid waste treatment or storage facilities regulated under  this part shall implement a control program for unauthorized waste in  accordance with the following provisions. The owner or operator of the facility  shall:
    a. Place a written description of the control program for  unauthorized waste in the facility's operating manual; 
    b. Institute a control program (including measures such as  signs at all maintained access points indicating hours of operation and the  types of solid waste accepted and not accepted, monitoring, alternate  collection programs, passage of local laws, etc.) to assure that only solid  waste authorized by the department to be managed at the solid waste management  facility is being managed there; and
    c. Develop and implement a program to teach the solid waste  management facility's staff to recognize, remove, and report receipt of solid  waste not authorized by the department to be managed at the solid waste  management facilities.
    2. If unauthorized waste is observed in the waste delivered to  the facility prior to unloading, the owner or operator may refuse to accept the  waste. If the unauthorized waste is observed in the waste delivered to the  facility, the owner or operator shall segregate it, notify the generator,  document the incident in the operating record, make necessary arrangements to  have the material managed in accordance with applicable federal and state laws,  and notify the department of the incident to include the means of proper  handling. If the unauthorized waste is accepted, the owner or operator shall  remove it, segregate it, and provide to the department a record identifying  that waste and its final disposition. Any unauthorized waste accepted by the  owner or operator shall be managed in accordance with applicable federal or  state laws and regulations. Unauthorized waste that has been segregated shall  be adequately secured and contained to prevent leakage or contamination to the  environment. The solid waste management facility owner or operator shall have  the unauthorized waste removed or properly managed as soon as practicable, but  not to exceed 90 days after discovery. Removal shall be by a person authorized  to transport such waste to a waste management facility approved to receive it  for treatment, disposal, or transfer.
    3. Owners or operators of waste to energy or incinerator  facilities receiving waste generated outside of Virginia shall also comply with  the increased random inspection provisions in 9VAC20-81-340 E 3.
    G. Solid waste management facilities regulated under this  part that store waste tires shall also adhere to the requirements of  9VAC20-81-640 for the waste tire storage. 
    9VAC20-81-397. Exempt yard waste composting facilities.
    A. Applicability.
    1. The standards in subsection B of this section apply to  persons who compost vegetative waste in a manner described in the conditional  exemption set forth at 9VAC20-81-95 D.
    2. The standards in subsection C of this section apply to  persons who operate small vegetative waste disposal units on their property.
    B. Composting of yard waste. Additional requirements for  managing conditionally exempt yard waste compost facilities, described under  9VAC20-81-95 D 6, are as follows: 
    1. Owners or operators of agricultural operational activities  that accept only yard waste generated offsite are exempt from all other  provisions of this chapter as applied to the composting activities provided  that:
    a. The total time for composting process and storage of  material that is being composted shall not exceed 18 months prior to its field  application or sale as a horticultural or agricultural product;
    b. No waste material other than yard waste is received;
    c. The total amount of yard waste received from offsite never  exceeds 6,000 cubic yards in any consecutive 12-month period;
    d. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;
    e. They pose no nuisance or present or potential threat to  human health or the environment; and
    f. Before receiving any waste, the owner submits a complete  DEQ Form YW-3:
    2. Owners or operators of agricultural operations that accept  only Category I yard waste feedstocks and manures from herbivorous  animals generated offsite are exempt from all other provisions of this chapter  as applied to the composting activities provided that:
    a. The composting area is located not less 300 feet from a  property boundary of a parcel owned or controlled by another person, is located  not less than 1,000 feet from an occupied dwelling not located on the same  property as the composting area, and is not located within an area designated  as a flood plain;
    b. The agricultural operation has at least one acre of ground  suitable to receive yard waste for each 150 cubic yards of finished compost;
    c. The total time for the composting process and storage of  material that is being composted or has been composted shall not exceed 18  months prior to the field application or sale as horticultural or agricultural  product;
    d. The owner or operator of any agricultural operation that  receives in any 12-month period (consecutive) more than 6,000 cubic yards of  waste generated from property not within the control of the owner or the  operator shall submit by April 1 each year to the director an annual report in  accordance with subdivision 4 of this subsection describing the volume and  types of yard waste received for composting by the operation between January 1  and December 31 of the preceding consecutive 12 months and shall certify that  the yard waste composting facility complies with local ordinances; 
    e. No waste material other than yard waste and manures from  herbivorous animals are received;
    f. The quantities of offsite manures from herbivorous animals  brought onsite are limited to achieve a carbon to nitrogen ratio of 25:1 to  40:1. All manures must be incorporated into the compost within 24 hours of  delivery. No offsite manures may be stored onsite; and
    g. Prior to the receipt of solid waste generated offsite, the  owner or operator of the agricultural operation intending to operate under this  exemption shall submit a complete DEQ Form YW-4.
    3. Owners or other persons authorized by the owner of real  property who receive only yard waste generated offsite for the purpose of  producing compost on said property shall be exempt from all requirements of  this chapter as applied to the composting activity provided that: 
    a. Not more than 500 cubic yards of yard waste generated  offsite is received at the owner's said property in any consecutive 12-month  period; 
    b. No compensation will be received, either directly or  indirectly, by the owner or other persons authorized by the owner of said  property from parties providing yard waste generated off said property; 
    c. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;  and 
    d. They pose no nuisance or present or potential threat to  human health or the environment.
    4. Owners or operators of an agricultural composting operation  in accordance with subdivision 2 of this subsection, who are exempt from the  permitting requirements in accordance with 9VAC20-81-95 D and who may receive  more than 6,000 cubic yards of yard waste generated from property not within  the control of the owner or operator in any 12-month period shall submit an  annual report on DEQ Form YW-2. The report shall describe the volume and  types of yard waste received for composting. Completion and filing of the form  by July 15 April 1 for activities in the preceding 12 months  (January 1 through December 31) constitutes compliance with the requirements.  The annual report shall be submitted on DEQ Form YW-2.
    C. Small disposal units for vegetative wastes from land  clearing. Additional requirements for managing small disposal units for  vegetative waste from land clearing as exempted under 9VAC20-81-95 D 17 are as  follows:
    Owners of real property who operate small waste disposal  units that qualify under all the conditions of this subsection shall be exempt  from other provisions, including permitting, of this chapter as applied to  those units provided:
    1. No person other than the owner of the real property shall  be exempt under this section.
    2. All owners of the real property who hold title to property  at the time the disposal unit is initially opened or during the time the unit  remains open (limited to two calendar years below) shall, in the exercise of  this exemption, accept responsibility for maintaining compliance of the unit  with all requirements of this chapter as set out in this exemption.
    3. The owner agrees that he shall not sell, give, or otherwise  transfer the responsibility for the unit's compliance to any other party  throughout its active life, the postclosure care period, and the corrective  action period, and that he shall remain the principal party responsible for the  compliance of the unit with this chapter. 
    4. Only units that are in compliance with all requirements of  this section shall qualify, and units that are not in compliance with all  requirements of this section shall not qualify or shall cease to qualify. Units  that qualify for this exemption shall comply with the following requirements:
    a. Only vegetative waste or yard waste shall be placed in the  disposal unit; however, grass trimmings or bulk leaves shall not be placed in  the disposal unit.
    b. The waste disposal unit shall not be larger than 0.50 acres  in size.
    c. The waste disposal unit shall not be located within 1,000  feet of any other waste disposal unit of any type, including other disposal  units exempted by this chapter.
    d. The waste disposal unit shall not be located within 150  feet of any existing building or planned building. The waste disposal unit  shall not be located within 50 feet of any existing or planned subdivision lot  that may be used for the erection of a building.
    e. The waste disposal unit shall not be located within 100  feet of a flowing stream; body of water; any well, spring, sinkhole, or  unstable geologic feature. Also, it shall not be located within 200 feet of any  groundwater source of drinking water.
    f. The waste disposal unit shall be constructed to separate  all waste by at least two feet vertically from the seasonal high water table.
    g. The waste disposal unit should not obstruct the scenic view  from any public road and should be graded to present a good appearance.
    h. Mounding of the waste disposal unit shall not reach an  elevation more than 20 feet above the original elevation of the terrain before  the disposal began. The elevation of the original terrain should be based on  the general area and not the bottom of ravines and small depressions in the  disposal area.
    i. The waste received by the waste disposal unit shall be  limited to the following:
    (1) Waste generated onsite;
    (2) Waste generated by clearing the path of a roadway or  appurtenances to the roadway when buried within the right-of-way of the roadway  (waste shall not be buried in the structural roadway prism) or adjacent land  under a permanent easement and the terms of the easement incorporate the  construction of the disposal unit; and
    (3) Waste from property that is owned by the owner of the  disposal unit, within the same construction project, and generated not more  than two miles from the unit.
    j. The waste disposal unit shall be closed two calendar years  from the date it first receives waste. The closure shall include cover with two  feet of compacted soil, grading for good appearance with slopes that prevent  erosion, and seeding or revegetation. During the life of the unit, earthen material  should be applied periodically to prevent excessive subsidence of the waste  disposal unit when closed. Sides of the finished unit shall be sloped to  prevent erosion, and slopes shall not be steeper than one vertical foot to  three horizontal feet.
    k. The location plat and legal description, as set out in  subdivision 4 p of this subsection, of all units that are not located wholly  within the bed or right-of-way of a public road shall be recorded in the deed  book for the property in the court of record prior to the first receipt of  waste. Waste disposal shall not be allowed within the structural roadway prism.
    l. The owner shall maintain continuous control of access to  all disposal units from the time they are opened until they are closed in  accordance with this section. The owner shall prevent fires and provide standby  equipment and supplies sufficient to easily suppress a fire. Brush and small  limbs that might provide tinder for a fire shall be covered at the end of the  work day with one foot of soil.
    m. The owner shall not be exempt from the CDD landfill  groundwater monitoring and corrective action requirements of 9VAC20-81-250 and  9VAC20-81-260, respectively, to include required monitoring during the  postclosure period.
    n. The owner shall not be exempt from the decomposition gas  monitoring and venting requirements of 9VAC20-81-210. The owner of a small  waste disposal unit shall comply in all respects with the decomposition gas  monitoring and venting requirements as established in this chapter.
    o. The owner shall not be exempt from any requirement of the  Financial Assurance Regulations For Solid Waste Disposal Facilities,  (9VAC20-70), and shall comply with all financial assurance requirements.
    p. At least six weeks before beginning construction of a  vegetative waste disposal unit, the owner of the real property shall notify in  writing the director, the governing board of the city, county, or town wherein  the property lies, and all property owners whose parcel will abut the area of  the proposed disposal unit. The notice shall give the names and legal addresses  of the owners, the type of unit to be developed, and the projected date of  initial construction of the unit. The owner shall include a plat and legal  description of the disposal unit's metes and bounds prepared and stamped by a  Virginia licensed land surveyor. The plat and description shall follow all  standard practice such as inclusion of the nearest existing intersection of  state roads and existing fixed survey markers in the vicinity.
    q. Unless otherwise designated, all monitoring and reporting  requirements shall begin at the initiation of the disposal operations and all  reports shall be sent to the department and the chief executive of the local  government. 
    9VAC20-81-470. Part B permit application for solid waste l  disposal facilities.
    Part B permit application requirements for all solid waste  disposal facilities regulated under Part III (9VAC20-81-100 et seq.) are  contained in this section. The Part B applications shall include the following  requirements and documentation: 
    A. Plans submitted as part of the Part B application shall  include the following: 
    1. Design plans. Design plans shall be certified by a  professional engineer and shall consist of, at least, the following: 
    a. A title sheet indicating the project title, who prepared  the plans, the person for whom the plans were prepared, a table of contents,  and a location map showing the location of the site and the area to be served. 
    b. An existing site conditions plans sheet indicating site  conditions prior to development. 
    c. A base grade plan sheet indicating site base grades or the  appearance of the site if it were excavated in its entirety to the base  elevation, before installation of any engineering modifications or the  beginning of any filing. 
    d. An engineering modification plan sheet indicating the  appearance of the site after installation of engineering modifications. More  than one plan sheet may be required for complicated sites. This plan is  required only for those sites with engineering modifications. 
    e. A final site topography plan sheet indicating the  appearance of the site, and final contours of the site at closing including the  details necessary to prepare the site for long-term care. 
    f. A series of phasing plan sheets showing the progression of  site development through time. At a minimum, a separate plan shall be provided  for initial site preparations and for each subsequent major phase or new area  where substantial site preparation must be performed. Each such plan shall  include a list of construction items and quantities necessary to prepare the  phase indicated. 
    g. A site monitoring plan showing the location of all devices  for the monitoring of leachate production, groundwater quality, and gas  production and venting. This plan shall include a table indicating the  parameters to be monitored for the frequency of monitoring before and during  site development. The groundwater monitoring plan shall include information as  applicable under 9VAC20-81-250 or 9VAC20-81-260. 
    h. A series of site cross-sections shall be drawn  perpendicular and parallel to the site base line at a maximum distance of 500  feet between cross-sections and at points of grade break and important  construction features. The location of the cross-sections shall be shown on the  plan sheets and the section labeled using the site grid system. Where  applicable, each cross-section shall show existing, proposed base and final  grades; soil borings and monitoring wells that the section passes through or is  adjacent to; soil types, bedrock and water table; leachate control, collection,  and monitoring systems; limits of filling for each major waste type; drainage  control structures; access roads and ramps on the site parameter perimeter  and within the active fill area; the filling sequence or phases; and other site  features. 
    i. Detailed drawings and typical sections for drainage control  structures, access roads, fencing, leachate and gas control systems, and  monitoring devices, buildings, signs, and other construction details. 
    j. Plan sheets shall include: 
    (1) A survey grid with base lines and bench marks to be used  for field control. 
    (2) Limits of filling for each major waste type or fill area. 
    (3) All drainage patterns and surface water drainage control  structures both within the actual fill area and at the site perimeter. Such  structures may include berms, ditches, sedimentation basins, pumps, sumps,  culverts, pipes, inlets, velocity breaks, sodding, erosion matting, or other  methods of erosion control. 
    (4) Ground surface contours at the time represented by the  drawing. Spot elevations shall be indicated for key features. 
    (5) Areas to be cleared and grubbed and stripped of topsoil. 
    (6) Borrow areas for liner materials, gas venting materials,  berms, roadway construction, daily cover, and final cover. 
    (7) All soil stockpiles including daily and final cover,  topsoil, liner materials, gas venting materials, and other excavation. 
    (8) Access roads and traffic flow patterns to and within the  active fill area. 
    (9) All temporary and permanent fencing. 
    (10) The methods of screening such as berms, vegetation, or  special fencing. 
    (11) Leachate collection, control, storage, and treatment  systems that may include pipes, manholes, trenches, berms, collection sumps,  storage units, pumps, risers, liners, and liner splices. 
    (12) Gas, leachate, and groundwater monitoring devices and  systems. 
    (13) Severe weather solid waste disposal areas. 
    (14) Support buildings, scale, utilities, gates, and signs. 
    (15) Special waste handling areas. 
    (16) Construction notes and references to details. 
    (17) Other site features. 
    2. Closure plan. A detailed closure plan be prepared and  submitted. Such a plan shall be prepared in two parts, one reflecting those  measures to be accomplished at the midpoint of the permit period, and the other  when the useful life of the landfill is reached. The plan shall show how the  facility will be closed to meet the requirements of 9VAC20-81-160 and  9VAC20-81-170. The plan shall include the procedures to be followed in closing  the site, sequence of closure, time schedules, final plans of completion of  closure to include final contours, and long-term care plan sheets showing the  site at the completion of closing and indicating those items anticipated to be  performed during the period of long-term care for the site. The plans shall  include a table listing the items and the anticipated schedule for monitoring  and maintenance. In many instances this information can be presented on the  final site topography sheet. 
    3. Postclosure plan. A postclosure care plan containing  long-term care information including a discussion of the procedures to be  utilized for the inspection and maintenance of: run-off control structures;  settlement; erosion damage; gas and leachate control facilities; monitoring for  gas, leachate, and groundwater; and other long-term care needs. 
    B. A design report shall be submitted, which shall include  supplemental discussions and design calculations, to facilitate department  review and provide supplemental information including the following  information: 
    1. The design report shall identify the project title;  engineering consultants; site owner, permittee and operator; proposed permitted  acreage; hours of operation; wastes to be accepted; site life; design capacity;  and the daily disposal limit. It shall also identify any variances desired by  the applicant.
    2. A discussion of the basis for the design of the major  features of the site, such as traffic routing, base grade and relationships to  subsurface conditions, anticipated waste types and characteristics, phases  development, liner design, leachate management system design, facility  monitoring, and similar design features shall be provided. A list of the  conditions of site development as stated in the department determination of  site feasibility and the measures taken to meet the conditions shall be  included. A discussion of all calculations, such as refuse-cover balance  computations, stockpile sizing estimates, estimate of site life, and run-off  and leachate volume estimates shall be included. The calculations shall be  summarized with the detailed equations presented in an appendix.
    3. Specifications, including detailed instructions to the site  operator for all aspects of site construction.
    a. Initial site preparations including specifications for  clearing and grubbing, topsoil stripping, other excavations, berm construction,  drainage control structures, leachate collection system, access roads and  entrance, screening, fencing, groundwater monitoring, and other special design  features.
    b. A plan for initial site preparation including a discussion  of the field measurements, photographs to be taken, sampling and testing  procedures to be utilized to verify that the in-field conditions encountered  were the same as those defined in the feasibility report, and to document that  the site was constructed according to the engineering plans and specifications  submitted for department approval.
    C. Financial assurance documentation. When required by the  Financial Assurance Regulations of Solid Waste Disposal, Transfer, and  Treatment Facilities (9VAC20-70), the applicant shall provide the completed  documentation to demonstrate compliance with those regulations; proof of  financial responsibility must be for the entity identified in accordance with  9VAC20-81-450 B 10.
    D. DEQ Form SW PTB (Part B Permit Application Form). The  applicant shall submit a completed DEQ Form SW PTB.
    9VAC20-81-485. Operations manual requirements for solid waste  management facilities.
    A. Solid waste disposal facilities. An operations manual  shall be prepared and maintained in the operating record. The operations manual  shall include a certification page signed by a responsible official. This  signature shall certify the manual meets the requirements of this chapter. This  manual shall be reviewed and recertified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements, and shall be made available for review by the department upon  request. The operations manual for disposal facility operation shall contain at  least the following plans: 
    1. An operations plan that at a minimum includes:
    a. Explanation of how the design and construction plans will  be implemented from the initial phase of operation until closure;
    b. Municipalities, industries, and collection and  transportation agencies served; 
    c. Waste types and quantities to be disposed; 
    d. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the operational requirements  of Part III (9VAC20-81-100 et seq.) of this chapter are achieved. References to  specifications on the plan sheet shall be pointed out as well as additional  instructions included, where appropriate. At a minimum, the plan specifications  shall include: 
    (1) Daily operations including a discussion of the timetable  for development, waste types accepted or excluded, inspection of incoming  waste, typical waste handling techniques, hours of operation, traffic routing,  drainage and erosion control, windy, wet and cold weather operations, fire  protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, direction of  filling, salvaging, recordkeeping, parking for visitors and employees,  monitoring, maintenance, closure of filled areas, gas and leachate control  methods, backup equipment with names and telephone numbers where equipment may  be obtained, and other special design features; 
    (2) Development of subsequent phases; and 
    (3) Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan. 
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part III (9VAC20-81-100 et seq.) of this chapter. 
    b. The frequency of inspection based on the rate of potential  equipment deterioration or malfunction and the probability of an adverse  incident occurring if the deterioration or malfunction goes undetected between  inspections. The plan shall establish the minimum frequencies for inspections  required in 9VAC20-81-140. This plan shall identify areas of the facility  subject to spills such as loading and unloading areas and areas in which  significant adverse environmental or health consequences may result if  breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the requirements of  9VAC20-81-140.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses, and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates. 
    6. A landscaping plan that shall:
    a. Delineate existing site vegetation to be retained;
    b. Discuss methods to be employed in order to ensure protection  of vegetation to be retained during the clearing, grading and construction  phases of the project and the supplemental vegetation to be planted; and 
    c. Information relating to vegetation type, location and  purpose, such as for buffer, screening or aesthetics, and schedules for  planting, shall accompany the plan. 
    B. Other solid waste management facilities. An operations  manual shall be prepared and maintained in the operating record. The Operations  Manual shall include a certification page signed by a responsible official.  This signature shall certify the manual meets the requirements of this chapter.  This manual shall be reviewed and re-certified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements and shall be made available to the department upon request. The  manual for facility operation shall contain at least the following plans:
    1. An operations plan that at a minimum includes:
    a. An explanation of how the design and construction plans  will be implemented from the initial phase of operation until closure.
    b. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the applicable operational  requirements of Part IV (9VAC20-81-300 et seq.) are achieved. Daily operations  including a discussion of the timetable for development, waste types accepted  or excluded, typical waste handling techniques, hours of operation, traffic  routing, drainage and erosion control, windy, wet and cold weather operations,  fire protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, salvaging,  record keeping, parking for visitors and employees, monitoring, backup equipment  with names and telephone numbers where equipment may be obtained, and other  special design features. The daily operations section of the operations manual  may be developed as a removable section to improve accessibility for the site  operator. 
    c. Development of subsequent phases of the facility, if  applicable.
    d. Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan.
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part IV (9VAC20-81-300 et seq.) of this chapter. 
    b. The frequency of inspection shall be based on the rate of  potential equipment deterioration or malfunction and the probability of an  adverse incident occurring if the deterioration or malfunction goes undetected  between inspections. The plan shall establish the minimum frequencies for  inspections required in 9VAC20-81-140 9VAC20-81-340. This plan  shall identify areas of the facility subject to spills such as loading and  unloading areas and areas in which significant adverse environmental or health  consequences may result if breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the applicable  requirements of 9VAC20-81-340.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates.
    9VAC20-81-490. Effect of the permit.
    A. A completed permit for a solid waste management facility  shall be prepared at the conclusion of the procedures outlined in  9VAC20-81-450. The permit shall be prepared in detail to establish the  construction requirements, monitoring requirements, operating limitations or  guides, waste limitations if any, and any other details essential to the  operation and maintenance of the facility and its closure. Before receipt of  waste by the facility, the applicant must: 
    1. Notify the department, in writing, that construction has been  completed; and submit to the department a letter from a professional engineer  certifying that the facilities have been completed in accordance with the  approved plans and specifications and is ready to begin operation. This  certification letter is in addition to the CQA certification required in  9VAC20-81-130 Q 3 and must be provided by a different individual than the CQA  certification. This certification letter is typically provided by the design  engineer. 
    2. Arrange for a department representative to inspect the site  and confirm that the site is ready for operation. 
    B. Certificate-to-Operate (CTO). Following review of a  complete CQA certification and site inspection the department shall issue a CTO  authorizing the facility to begin receiving waste. The facility shall not  receive waste until a CTO has been issued by the department. 
    C. Inspections. Each facility permitted to accept solid waste  requires periodic inspection and review of records and reports. Such  requirements shall be set forth in the final permit issued by the department.  The permit applicant by accepting the permit, agrees to the specified periodic  inspections. 
    D. Compliance with a valid permit during its term constitutes  compliance, for purposes of enforcement, with the Virginia Waste Management  Act. However, a permit may be modified, revoked and reissued, or revoked for  cause as set forth in 9VAC20-81-570 and 9VAC20-81-600. 
    E. The issuance of a permit does not convey any property  rights of any sort, or any exclusive privilege. 
    F. The issuance of a permit does not authorize any injury to  persons or property or invasion of other private rights, or any infringement of  federal, Commonwealth, or local law or regulations. 
    G. A permit may be transferred by the permittee to a new  owner or operator only if the permit has been revoked and reissued, or a minor  modification made to identify the new permittee and incorporate such other  requirements as may be necessary. Upon presentation of the financial assurance  proof required by 9VAC20-70 by the new owner, the department will release the  old owner from his closure and financial responsibilities and acknowledge  existence of the new or modified permit in the name of the new owner. 
    H. This section provides for the approval of permits or  permit modifications that include a time allowance for the permittee to achieve  the new standards contained in the approved permit or permit modification.
    1. The permit may specify a schedule of compliance leading to  compliance with this chapter. 
    a. Any schedules of compliance under this subsection shall  require compliance as soon as possible. 
    b. Except as otherwise provided, if a permit establishes a  schedule of compliance that exceeds one year from the date of permit issuance,  the schedule shall set forth interim requirements and the dates for their  achievement. 
    (1) The time between interim dates shall not exceed one year;  and 
    (2) If the time necessary for completion of any interim  requirement is more than one year and is not readily divisible into stages of  completion, the permit shall specify interim dates for the submission of  reports of progress toward completion of the interim requirements and indicate  a projected completion date. 
    c. The permit shall be written to require that no later than  14 days following each interim date and the final date of compliance, a  permittee shall notify the department, in writing, of his compliance or  noncompliance with the interim or final requirements. 
    2. A permit applicant or permittee may cease conducting  regulated activities (by receiving a terminal volume of solid waste, and, in  case of treatment or storage facilities, closing pursuant to applicable  requirements, or, in case of disposal facilities, closing and conducting  postclosure care pursuant to applicable requirements) rather than continue to  operate and meet permit requirements as follows: 
    a. If the permittee decides to cease conducting regulated  activities at a specified time for a permit that has already been issued: 
    (1) The permit may be modified to contain a new or additional  schedule leading to timely cessation of activities; or 
    (2) The permittee shall cease conducting permitted activities  before noncompliance with any interim or final compliance schedule requirement  already specified in the permit. 
    b. If the decision to cease conducting regulated activities is  made before the issuance of a permit whose terms will include the termination  date, the permit shall contain a schedule leading to termination that will  ensure timely compliance with applicable requirements. 
    c. If the permittee is undecided whether to cease conducting  regulated activities, the director may issue or modify a permit to continue two  schedules as follows: 
    (1) Both schedules shall contain an identical interim deadline  requiring a final decision on whether to cease conducting regulated activities  no later than a date that ensures sufficient time to comply with applicable  requirements in a timely manner if the decision is to continue conducting  regulated activities; 
    (2) One schedule shall lead to timely compliance with  applicable requirements; 
    (3) The second schedule shall lead to cessation of regulated  activities by a date that will ensure timely compliance with applicable  requirements; and
    (4) Each permit containing two schedules shall include a  requirement that, after the permittee has made a final decision, he shall  follow the schedule leading to compliance if the decision is to continue  conducting regulated activities, and follow the schedule leading to termination  if the decision is to cease conducting regulated activities. 
    d. The applicant's decisions to cease conducting regulated  activities shall be evidenced by a firm public commitment satisfactory to the  department, such as a resolution of the board of directors of a corporation.
    9VAC20-81-530. Recording and reporting required of a permitee  permittee.
    A. A permit shall specify: 
    1. Required monitoring, including type, intervals and  frequency, sufficient to yield data that are representative of the monitored  activity; 
    2. Requirements concerning the proper use, maintenance, and  installation of monitoring equipment or methods, including biological  monitoring methods when appropriate; and
    3. Applicable reporting requirements based upon the impact of  the regulated activity and as specified in this chapter. 
    B. A permittee shall be subject to the following whenever  monitoring is required by the permit: 
    1. The permittee shall retain records at the permitted  facility or another location approved by the department. Records shall include  all records required by the facility permit, these regulations, or other  applicable regulations. Records of all required monitoring information,  including all calibration and maintenance records will be maintained for at  least three years from the sample or measurement date. The director may request  that this period be extended. For operating landfills, records of the most  recent gas and groundwater monitoring event will be maintained at the facility.  
    2. Records of monitoring information shall include: 
    a. The date, exact place, and time of sampling or  measurements; 
    b. The individuals who performed the sampling or measurements;  
    c. The dates analyses were performed; 
    d. The individuals who performed the analyses; 
    e. The analytical techniques or methods used; and 
    f. The results of such analyses. 
    3. Required monitoring results shall be maintained on file for  inspection by the department. 
    C. A permittee shall be subject to the following reporting  requirements: 
    1. Written notice of any planned physical alterations to the  permitted facility shall be submitted to the department and approved before  such alterations are to occur, unless such items were included in the plans and  specifications approved by the department.
    2. Reports of compliance or noncompliance with, or any  progress reports on, interim and final requirements contained in any compliance  schedule of the permit, shall be submitted no later than 14 days following each  schedule date. 
    3. The permittee shall report to the department any  noncompliance or unusual condition that may endanger health or environment. Any  information shall be provided orally within 24 hours from the time the  permittee becomes aware of the circumstances. A written submission shall also  be provided within five days of the time the permittee becomes aware of the  circumstances. The written submission shall contain a description of the  circumstances and its cause; the period of occurrence, including exact dates  and times, and, if the circumstance has not been corrected, the anticipated time  it is expected to continue. It shall also contain steps taken or planned to  reduce, eliminate, and prevent reoccurrence of the circumstances resulting in  an unusual condition or noncompliance. 
    D. Copies of all reports required by the permit, and records  of all data used to complete the permit application must be retained by the  permittee for at least three years from the date of the report or application.  The director may request that this period be extended. 
    E. When the permittee becomes aware that he failed to submit  any relevant facts or submitted incorrect information in a permit application  or in any report to the director, he shall promptly submit such omitted facts  or the correct information with an explanation.
    9VAC20-81-600. Modification of permits.
    A. Permits may be modified at the request of any interested  person or upon the director's initiative. However, permits may only be modified  for the reasons specified in subsections E and F of this section. All requests  shall be in writing and shall contain facts or reasons supporting the request.  Any permit modification authorizing expansion of an existing sanitary landfill  shall incorporate the conditions required for a disposal capacity guarantee in  § 10.1-1408.1 P of the Code of Virginia. This provision does not apply to  permit applications from one or more political subdivisions that will only  accept waste from within those political subdivisions' jurisdiction or  municipal solid waste generated within other political subdivisions pursuant to  an interjurisdictional agreement. 
    B. If the director decides the request is not justified, he  shall send the requester a response providing justification for the decision. 
    C. If the director tentatively decides to modify, he shall  prepare a draft permit incorporating the proposed changes. The director may  request additional information and may require the submission of an updated  permit application. In a permit modification under subsection E of this  section, only those conditions to be modified shall be reopened when a new  draft permit is prepared. All other aspects of the existing permit shall remain  in effect. During any modification proceeding the permittee shall comply with  all conditions of the existing permit until the modified permit is issued. 
    D. When the director receives any information, he may  determine whether or not one or more of the causes listed for modification  exist. If cause exists, the director may modify the permit on his own  initiative subject to the limitations of subsection E of this section and may  request an updated application if necessary. If a permit modification satisfies  the criteria in subsection F of this section for minor modifications, the  permit may be modified without a draft permit or public review. Otherwise, a  draft permit shall be prepared and other appropriate procedures followed. 
    E. Causes for modification. The director may modify a permit  upon his own initiative or at the request of a third party: 
    1. When there are material and substantial alterations or  additions to the permitted facility or activity that occurred after permit  issuance that justify the application of permit conditions that are different  or absent in the existing permit; 
    2. When there is found to be a possibility of pollution  causing significant adverse effects on the air, land, surface water, or  groundwater; 
    3. When an investigation has shown the need for additional  equipment, construction, procedures and testing to ensure the protection of the  public health and the environment from adverse effects; 
    4. If the director has received information pertaining to  circumstances or conditions existing at the time the permit was issued that was  not included in the administrative record and would have justified the  application of different permit conditions, the permit may be modified  accordingly if in the judgment of the director such modification is necessary  to prevent significant adverse effects on public health or the environment; 
    5. When the standards or regulations on which the permit was  based have been changed by promulgation of amended standards or regulations or  by judicial decision after the permit was issued; 
    6. When the director determines good cause exists for  modification of a compliance schedule, such as an act of God, strike, flood, or  material shortage or other events over which the permittee has little or no  control and for which there is no reasonably available remedy; 
    7. When a modification of a closure plan is required under  9VAC20-81-160 or 9VAC20-81-360 and the permittee has failed to submit a permit  modification request within the specified period; 
    8. When the corrective action program specified in the permit  under 9VAC20-81-260 has not brought the facility into compliance with the  groundwater protection standard within a reasonable period of time; or 
    9. When cause exists for revocation under 9VAC20-81-570 and  the director determines that a modification is more appropriate. 
    F. Permit modification at the request of the permittee. 
           |      TABLE 5.2     PERMIT MODIFICATIONS      |    
       |      MAJOR      |          1. Implementation of a groundwater corrective action program    as required by 9VAC20-81-260      |    
       |      2. Change in the remedy applied as part of the groundwater    corrective action program      |    
       |      3. Groundwater monitoring plan for an existing facility    where no written plan has previously been provided      |    
       |      4. Changes to the design of final closure cover      |    
       |      5. Landfill mining      |    
       |      6. Reduction in the postclosure care period      |    
       |      7. Changes in postclosure use of the property with    disturbance of cover      |    
       |      8. All new or modifications of a leachate collection tank or    a leachate collection surface impoundment      |    
       |      9. Addition of new landfill units      |    
       |      10. Expansion or increase in capacity      |    
       |      11. Increase in daily disposal limit      |    
       |      12. Addition or modification of a liner, leachate collection    system, leachate detection system      |    
       |      13. Incorporation or modification of a Research,    Development, and Demonstration Plan       |    
       |      MINOR      |          Any change not specified as    major modification (above) or a permittee change (below)      |    
       |      PERMITTEE CHANGE      |          1. Correction of typographical errors      |    
       |      2. Equipment replacement or upgrade with functionally    equivalent components      |    
       |      3. Replacement of an existing leachate tank with a tank that    meets the same design standards and has a capacity within +/-10% of the    replaced tank      |    
       |      4. Replacement with functionally equivalent, upgrade, or    relocation of emergency equipment      |    
       |      5. Changes in name, address, or phone number of contact    personnel      |    
       |      6. Replacement of an existing well that has been damaged or    rendered nonoperable, without change to location, design, or depth of the    well      |    
       |      7. Changes to the expected year of final closure, where    other permit conditions are not changed      |    
       |      8. Changes in postclosure use of the property, without    disturbance of the cover      |    
       |      9. Modification of a leachate tank management practice      |    
  
    1. Permittee change. Items listed under Permittee Change in  Table 5.2 may be implemented without approval of the department. If a permittee  changes such an item, the permittee shall: 
    a. Notify the department of the change at least 14 calendar  days before the change is put into effect, indicating the affected permit  conditions; and
    b. Notify the governing body of the county, city, or town in  which the facility is located, within 90 calendar days after the change is put  into effect.
    2. Minor modifications. 
    a. Minor modifications apply to minor changes that keep the  permit current with routine changes to the facility or its operation. These  changes do not substantially alter the permit conditions or reduce the capacity  of the facility to protect human health or the environment.
    b. Minor modifications may be requested for changes that will  result in a facility being more protective of human health and the environment  or equivalent to the standards contained in this chapter, unless otherwise  noted in Table 5.2. The request for such a minor permit modification will be  accompanied by a description of the desired change and an explanation of the  manner in which the health and environment will be protected in a greater  degree than required by the chapter.
    c. Minor permit modifications may be made only with the prior  written approval of the department. The permittee shall notify the department  that a minor modification is being requested. Notification of the department  shall be provided by certified mail or other means that establish proof of  delivery. This notice shall specify the changes being made to permit conditions  or supporting documents referenced by the permit and shall  include an  explanation of why they are necessary. Along with the notice, the permittee  shall provide the applicable information required by 9VAC20-81-460 and  9VAC20-81-470 or as required by 9VAC20-81-480.
    d. The permittee shall send a notice of the modification to  the governing body of the county, city or town in which the facility is  located. This notification shall be made within 90 days after the department  approves the request. 
    3. Major modifications. 
    a. Major modifications substantially alter the facility or its  operation. Major modifications are listed in Table 5.2. 
    b. The permittee shall submit a modification request to the  department that: 
    (1) Describes the exact change to be made to the permit  conditions and supporting documents referenced by the permit; 
    (2) Identifies that the alteration is a major modification; 
    (3) Contains an explanation of why the modification is needed;  and
    (4) Provides the applicable information required by  9VAC20-81-460 and 9VAC20-81-470 or as required by 9VAC20-81-480. 
    c. No later than 90 days after receipt of the notification  request, the director will determine whether the information submitted under  subdivision  3 b (4) of this subsection is adequate to formulate a  decision. If found to be inadequate, the permittee will be requested to furnish  additional information within 30 days of the request by the director to complete  the modification request record. The 30-day period may be extended at the  request of the applicant. After the completion of the record, the director will  either: 
    (1) Approve the modification request, with or without changes,  and draft a permit modification accordingly;
    (2) Deny the request; or 
    (3) Approve the request, with or without changes, as a  temporary authorization having a term of up to 180 days in accordance with  subdivision 3 of this subsection. 
    d. If the director proposes to approve the permit  modification, he will proceed with the permit issuance in accordance with  9VAC20-81-450 E. 
    e. The director may deny or change the terms of a major permit  modification request under subdivision  F 3 b of this section for the  following reasons: 
    (1) The modification request is incomplete; 
    (2) The requested modification does not comply with the  appropriate requirements of Part III (9VAC20-81-100 et seq.) or Part IV  (9VAC20-81-300 et seq.) of this chapter or other applicable requirements; or 
    (3) The conditions of the modification fail to protect human  health and the environment. 
    4. Temporary authorizations. 
    a. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of subdivision  4 of this subsection.  Temporary authorizations shall have a term of not more than 180 days. 
    b. (1) The permittee may request a temporary authorization for  any major modification that meets the criteria in subdivision 4 c (2) (a) or  (b) of this subsection; or that meets the criteria in subdivision 4 c (2) (c)  and (d) of this subsection and provides improved management or treatment of a  solid waste already listed in the facility permit. 
    (2) The temporary authorization request shall include: 
    (a) A description of the activities to be conducted under the  temporary authorization; 
    (b) An explanation of why the temporary authorization is  necessary; and 
    (c) Sufficient information to ensure compliance with Part III  (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et seq.) standards. 
    (3) The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven days of submission of the authorization  request. 
    c. The director shall approve or deny the temporary  authorization as quickly as practical. To issue a temporary authorization, the  director shall find: 
    (1) The authorized activities are in compliance with the  standards of Part III (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et  seq.) of this chapter. 
    (2) The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an modification  request: 
    (a) To facilitate timely implementation of closure or  corrective action activities; 
    (b) To prevent disruption of ongoing waste management  activities; 
    (c) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (d) To facilitate other changes to protect human health and  the environment. 
    d. A temporary authorization may be reissued for one  additional term of up to 180 days provided that the permittee has requested a  major permit modification for the activity covered in the temporary  authorization, and the director determines that the reissued temporary  authorization involving a major permit modification request is warranted to  allow the authorized activities to continue while the modification procedures  of subdivision 2 3 of this subsection are conducted. 
    5. The director's decision to grant or deny a permit  modification request under subdivision of this subsection may be appealed under  the case decision provisions of the Virginia Administrative Process Act  (§ 2.2-4000 et seq. of the Code of Virginia). 
    6. Newly defined or identified wastes. The permitted facility  is authorized to continue to manage wastes defined or identified as solid waste  under 9VAC20-81-95 if: 
    a. It was in existence as a solid waste management facility  with respect to the newly defined or identified solid waste on the effective  date of the final rule defining or identifying the waste; and 
    b. It is in compliance with the standards of Part III  (9VAC20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, submits a minor modification request  on or before the date on which the waste becomes subject to the new  requirements; or 
    c. It is not in compliance with the standards of Part III  (9VAC 20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, also submits a complete permit  modification request within 180 days after the effective date of the definition  or identifying the waste. 
    7. Research, development and demonstration plans. Research,  development and demonstration (RDD) plans may be submitted for sanitary  landfills that meet the applicability requirements. These plans shall be  submitted as a major permit modification application for existing sanitary  landfills or as a part of the Part B application for new sanitary landfills.
    a. Applicability.
    (1) RDD shall be restricted to permitted sanitary landfills  designed with a composite liner system, as required by 9VAC20-81-130 J 1. The  effectiveness of the liner system and leachate collection system shall be  demonstrated in the plan and shall be assessed at the end of the testing period  in order to compare the effectiveness of the systems to the start of the RDD  testing period.
    (2) Operating permitted sanitary landfills that have exceeded  groundwater protection standards at statistically significant levels in  accordance with 9VAC20-81-250 B, from any waste unit on site shall have  implemented a remedy in accordance with 9VAC20-81-260 C prior to the RDD plan  submittal. Operating permitted sanitary landfills that have an exceedance in  the concentration of methane gas migrating from the landfill in accordance with  9VAC20-81-200 shall have a gas control system in place per 9VAC20-81-200 B  prior to the RDD plan submittal. 
    (3) An owner or operator of a sanitary landfill that disposes  of 20 tons of municipal solid waste per day or less, based on annual average,  may not apply for a modification to include a RDD plan.
    (4) The sanitary landfill shall have a leachate collection  system designed and constructed to maintain less than a 30 cm depth of leachate  on the liner.
    b. Requirements.
    (1) RDD Plans may be submitted for activities such as:
    (a) The addition of liquids in addition to leachate and gas  condensate from the same landfill for accelerated decomposition of the waste  mass; prior to the RDD Plan submittal.
    (b) Allowing run-on water to flow into the landfill waste  mass; and
    (c) Allowing testing of the construction and infiltration  performance of alternative final cover systems. An RDD plan may be proposed  for; and
    (d) For other measures to be taken to enhance  stabilization of the waste mass.
    (2) No landfill owner or operator may continue to implement an  RDD plan beyond any time limit placed in the initial plan approval or any  renewal without issuance of written prior approval by the department.  Justification for renewals shall be based upon information in annual and final  reports as well as research and findings in technical literature.
    (3) RDD plans may not include changes to the approved design  and construction of subgrade preparation, liner system, leachate collection and  removal systems, final cover system, gas and leachate systems outside the  limits of waste, run-off controls, run-on controls, or environmental monitoring  systems exterior to the waste mass.
    (4) Implementation of an approved RDD plan shall comply with  the specific conditions of the RDD Plan as approved in the permit for the  initial testing period and any renewal.
    (5) Structures and features exterior to the waste mass or  waste final grades shall be removed at the end of the testing period, unless  otherwise approved by the department in writing.
    (6) The RDD plan may propose an alternate final cover  installation schedule.
    c. An RDD plan shall include the following details and  specifications. Processes other than adding liquids to the waste mass and  leachate recirculation may be practiced in conjunction with the RDD plan.
    (1) Initial applications for RDD plans shall be submitted for  review and approval prior to the initiation of the process to be tested. These  plans shall specify the process that will be tested, describe preparation and  operation of the process, describe waste types and characteristics that the  process will affect, describe desired changes and end points that the process  is intended to achieve, define testing methods and observations of the process  or waste mass that are necessary to assess effectiveness of the process, and  include technical literature references and research that support use of the  process. The plans shall specify the time period for which the process will be  tested. The plans shall specify the additional information, operating  experience, data generation, or technical developments that the process to be  tested is expected to generate. 
    (2) The test period for the initial application shall be  limited to a maximum of three years.
    (3) Renewals of testing periods shall be limited to a maximum  of three years each. The maximum number of renewals shall be limited to three.
    (4) Renewals shall require department review and approval of  reports of performance and progress on achievement of goals specified in the  RDD plan.
    (5) RDD Plans for addition of liquids, in addition to leachate  and gas condensate from the same landfill, for accelerated decomposition of the  waste mass and/or for allowing run-on water to flow into the landfill waste  mass shall demonstrate that there is no increased risk to human health and the  environment. The following minimum performance criteria shall be demonstrated.
    (a) Risk of contamination to groundwater or surface water will  not be greater than the risk without an approved RDD plan.
    (b) Stability analysis demonstrating the physical stability of  the landfill.
    (c) Landfill gas collection and control in accordance with  applicable Clean Air Act requirements (i.e., Title V, NSPS or EG rule, etc.).
    (d) For RDD plans that include the addition of offsite  nonhazardous waste liquids to the landfill, the following information shall be  submitted with the RDD plan: 
    (i) Demonstration of adequate facility liquid storage volume  to receive the offsite liquid;
    (ii) A list of proposed characteristics for screening the  accepted liquids is developed; and
    (iii) The quantity and quality of the liquids are compatible  with the RDD plan. 
    If offsite nonhazardous liquids are certified by the offsite  generator as stormwater uncontaminated by solid waste, screening is not  required for this liquid.
    (6) RDD plans for testing of the construction and infiltration  performance of alternative final cover systems shall demonstrate that there is  no increased risk to human health and the environment. The proposed final cover  system shall be as protective as the final cover system required by  9VAC20-81-160 D. The following minimum performance criteria shall be  demonstrated:
    (a) No build up of excess liquid in the waste and on the  landfill liner;
    (b) Stability analysis demonstrating the physical stability of  the landfill; 
    (c) No moisture will escape from the landfill to the surface  water or groundwater; and
    (d) Sufficient reduction in infiltration so that there will be  no leakage of leachate from the landfill.
    (7) RDD plans that evaluate introduction of liquids in  addition to leachate or gas condensate from the same landfill shall propose  measures to be integrated with any approved leachate recirculation plan and  compliance with requirements for leachate recirculation.
    (8) RDD plans shall include a description of warning symptoms  and failure thresholds that will be used to initiate investigation, stand-by,  termination, and changes to the process and any other landfill systems that  might be affected by the process, such as gas extraction and leachate  recirculation. Warning symptoms shall result in a reduction or suspension of liquids  addition, leachate recirculation, investigation, and changes to be implemented  before resuming the process being tested. Failure thresholds shall result in  termination of the process being tested, investigation, and changes that will  be submitted to the department for review and approval in writing prior to  resumption of the process being tested.
    (9) RDD plans shall include an assessment of the manner in  which the process to be tested might alter the impact that the landfill may  have on human health or environmental quality. The assessment shall include  both beneficial and deleterious effects that could result from the process.
    (10) RDD plans shall include a geotechnical stability analysis  of the waste mass and an assessment of the changes that the implementation of  the plan are expected to achieve. The geotechnical stability analysis and  assessment shall be repeated at the end of testing period, with alteration as  needed to include parameters and parameter values derived from field  measurements. The plan shall define relevant parameters and techniques for  field measurement.
    (11) RDD plans shall propose monitoring parameters,  frequencies, test methods, instrumentation, recordkeeping and reporting to the  department for purposes of tracking and verifying goals of the process selected  for testing.
    (12) RDD plans shall propose monitoring techniques and  instrumentation for potential movements of waste mass and settlement of waste  mass, including proposed time intervals and instrumentation, pertinent to the  process selected for testing. 
    (13) RDD plans shall propose construction documentation,  construction quality control and construction quality assurance measures, and  recordkeeping for construction and equipment installation that is part of the  process selected for testing. 
    (14) RDD plans shall propose operating practices and controls,  staffing, monitoring parameters, and equipment needed to support operations of  the process selected for testing. 
    (15) RDD plans that include aeration of the waste mass shall  include a temperature monitoring plan, a fire drill and safety program,  instructions for use of liquids for control of temperature and fires in the  waste mass, and instructions for investigation and repair of damage to the  liner and leachate collection system. 
    (16) RDD plans may include an alternate interim cover system  and final cover installation schedule. The interim cover system shall be  designed to account for weather conditions, slope stability, and leachate and  gas generation. The interim cover shall also control, at a minimum, disease  vectors, fires, odors, blowing litter, and scavenging.
    d. Reporting. An annual report shall be prepared for each year  of the RDD testing period, including any renewal periods, and a final report  shall be prepared for the end of the testing period. These reports shall assess  the attainment of goals proposed for the process selected for testing,  recommend changes, recommend further work, and summarize problems and their  resolution. Reports shall include a summary of all monitoring data, testing  data and observations of process or effects and shall include recommendations  for continuance or termination of the process selected for testing. Annual  reports shall be submitted to the department within three months after the  anniversary date of the approved permit or permit modification. Final reports  shall be submitted at least 90 days prior to the end of the testing period for  evaluation by the department. The department shall review this report within 90  days. If the department's evaluation indicates that the goals of the project  have been met, are reliable and predictable, the department will provide a  minor permit modification to incorporate the continued operation of the project  with the appropriate monitoring.
    e. Termination. The department may require modifications to or  immediate termination of the RDD process being tested if any of the following  conditions occur:
    (1) Significant and persistent odors;
    (2) Significant leachate seeps or surface exposure of  leachate;
    (3) Significant leachate head on the liner;
    (4) Excessively acidic leachate chemistry or gas production  rates or other monitoring data indicate poor waste decomposition conditions;
    (5) Instability in the waste mass; or 
    (6) Other persistent and deleterious effects.
    The RDD program is an optional participation program, by  accepting the modification or new permit, the applicant acknowledges that the  program is optional; and that they are aware the department may provide  suspension or termination of the RDD program for any reasonable cause, without  a public hearing. Notice of suspension or termination will be by letter for a  cause related to a technical problem, nuisance problem, or for protection of  human health or the environment as determined by the department.
    G. Facility siting. The suitability of the facility location  will not be considered at the time of permit modification unless new  information or standards indicate that an endangerment to human health or the  environment exists which was unknown at the time of permit issuance or the  modification is for an expansion or increase in capacity. 
    Part I 
  Definitions 
    9VAC20-85-10. Definitions as established in Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.). 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations 9VAC20-80-10 et seq., 9VAC20-81,  are incorporated by reference. 
    9VAC20-85-40. Applicability. 
    A. This chapter applies to all persons who use, reuse, or  reclaim fossil fuel combustion products by applying them to or placing them on  land in a manner other than addressed in 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations, 9VAC20-80-150 and 9VAC20-80-160. 9VAC20-80-150  9VAC20-81-95 provides for the beneficial use of waste materials such as  fossil fuel combustion products, and 9VAC20-80-160 provides for  conditional exemptions from regulation for fossil fuel combustion products. 
    B. This chapter establishes minimum standards for the owners  or operators of coal mining facilities that accept CCB for mine reclamation or  mine refuse disposal on a mine site permitted by the Virginia Department of  Mines, Minerals and Energy (DMME) unless otherwise exempt under 9VAC20-80-160  B 9VAC20-81-95 D 18 of the Solid Waste Management Regulations. If  the permit issued by the DMME in accordance with the Virginia Surface Mining  Regulations, 4VAC25-130-700.1 et seq., specifies the applicable conditions set  forth in Parts III and IV of this chapter, the permittee is exempt from this  chapter. 
    C. Conditions of applicability are as follows: 
    1. Persons using fossil fuel combustion products other than in  a manner prescribed under this chapter, or managing fossil fuel combustion  products containing any constituent at a level exceeding levels set forth in  Table 1 in Part IV of this chapter, shall manage their waste in accordance with  all applicable provisions of the Virginia Solid Waste Management  Regulations, 9VAC20-80 9VAC20-81; 
    2. Materials which are accumulated speculatively, materials  which are not utilized in a manner described in the operation plan required by  9VAC20-85-90 of this chapter, and off-specification materials which cannot be  utilized or reprocessed to make them usable shall be managed in accordance with  all appropriate provisions of the Virginia Solid Waste Management Regulations,  9VAC20-80 9VAC20-81; and 
    3. Storage, stockpiling, and other processing or handling of  fossil fuel combustion products, which may need to occur prior to their final  placement or use, reuse, or reclamation, shall be in a manner necessary to protect  human health and safety and the environment. For projects permitted by the  DMME, the storage, stockpiling, or handling of CCB shall be managed in  accordance with the Virginia Surface Mining Regulations, 4VAC25-130-700.1 et  seq. 
    9VAC20-85-50. Relationship to other regulations. 
    This chapter does not affect the Virginia Solid Waste  Management Regulations, 9VAC20-80-10 et seq. 9VAC20-81, or other  pertinent regulations of the department or other agencies of the Commonwealth,  except that persons subject to and in compliance with this chapter are exempt  from the Virginia Solid Waste Management Regulations and the Financial  Assurance Regulations for Solid Waste Facilities, 9VAC20-70-10 et seq. 9VAC20-70,  for those activities covered by this chapter. 
    9VAC20-85-60. Enforcement and appeals. 
    A. All administrative enforcement and appeals taken from  actions of the department relative to the provisions of this chapter shall be  governed by the Virginia Administrative Process Act (§ 2.2-4000 et seq. of the  Code of Virginia). 
    B. The owner or operator of the fossil fuel combustion  products site who violates any provision of this chapter will be considered to  be operating an unpermitted facility as provided for in 9VAC20-80-90 9VAC20-81-40  of the Solid Waste Management Regulations and shall be required to either  obtain a permit as required by Part VII V or close under Part V  III of this chapter 9VAC20-81. 
    C. The requirement to obtain a permit or to close the project  shall not preclude additional action for remediation or enforcement, including  (without limitations) the assessment of civil charges or civil penalties, as is  otherwise authorized by law. 
    Article 3 
  Operations 
    9VAC20-85-90. Operations. 
    The owner or operator of a fossil fuel combustion products  site shall prepare an operation plan. At a minimum, the plan shall address the  requirements contained in this section. 
    1. Tracking of mud or fossil fuel combustion products onto  public roads from the site shall be controlled at all times to minimize  nuisances. 
    2. The addition of any solid waste including but not limited  to hazardous, infectious, construction, debris, demolition, industrial,  petroleum-contaminated soil, or municipal solid waste to fossil fuel combustion  products is prohibited. This prohibition does not apply to solid wastes from  the extraction, beneficiation and processing of ores and minerals conditionally  exempted under 9VAC20-80-160 A 2 9VAC20-81-95 E 3 of the Solid  Waste Management Regulations. 
    3. Fugitive dust shall be controlled at the site so it does  not constitute nuisances or hazards. 
    4. After preparing the subbase, fossil fuel combustion  products shall be placed uniformly and compacted to standards, including insitu  density, compaction effort and relative density as specified by a registered  professional engineer based on the intended use of the fossil fuel combustion  products. The placement and compaction of CCB on coal mine sites shall be  subject to the applicable requirements of the Coal Surface Mining Reclamation  Regulations, 4VAC25-130-700.1 et seq. 
    5. A surface run on and runoff control program shall be  implemented to control and reduce the infiltration of surface water through the  fossil fuel combustion products and to control the runoff from the placement  area to other areas and to surface waters. 
    6. Runoff shall not be permitted to drain or discharge into  surface waters except when in accordance with 9VAC25-10-10 et seq., of the  State Water Control Board, or otherwise approved by the department. 
    7. Fossil fuel combustion products site development shall be  in accordance with the Virginia Erosion and Sediment Control Regulations,  4VAC50-30, or the Coal Surface Mining Reclamation Regulations, 4VAC25-130-700.1  et seq., as applicable. 
    Part IV 
  Administrative Requirements 
    9VAC20-85-150. General. 
    A. Notwithstanding any provisions of Part VII V  of the Virginia Solid Waste Management Regulations, 9VAC20-80 9VAC20-81,  the owner or operator of a site which manages only fossil fuel combustion  products allowed under 9VAC20-85-40 shall not be required to have a solid waste  management facility permit, neither must a fossil fuel combustion products  facility operator certified by the Board for Waste Management Facility  Operators directly supervise operations at the site, if the owner or operator at  least 30 days prior to initial placement of fossil fuel combustion products  provides to the appropriate department regional office and verifies receipt of:  
    1. A certification that it has legal control over the fossil  fuel combustion products site for the project life and the closure period. For  the purposes of this section, on a coal mine site permitted by the DMME,  demonstration of legal right to enter and begin surface coal mining and  reclamation operations shall constitute compliance with the provisions of this  section. 
    2. A certification from the governing body of the county,  city, or town in which the fossil fuel combustion products site is to be  located that the location and operation of the fossil fuel combustion products  site are consistent with all applicable ordinances, with the exception of  projects permitted by the DMME. 
    3. A general description of the intended use, reuse, or  reclamation of fossil fuel combustion products. Such description will include: 
    a. A description of the nature, purpose and location of the  fossil fuel combustion products site, including a topographic map showing the  site area and available soils, and geological maps. The description shall  include an explanation of how fossil fuel combustion products will be stored  prior to use, reuse or reclamation, if applicable; 
    b. The estimated beginning and ending dates for the operation;  
    c. An estimate of the volume of the fossil fuel combustion  products to be utilized; and 
    d. A description of the proposed type of fossil fuel combustion  products to be used, reused or reclaimed, including physical and chemical  characteristics of the fossil fuel combustion products. The chemical  description shall contain the results of TCLP analyses for the constituents  shown in Table 1. The description shall also contain a statement that the  project will not manage fossil fuel combustion products that contain any  constituent at a level exceeding those shown in the table. 
           |      TABLE 1.      LIST OF CONSTITUENTS AND MAXIMUM LEVELS.      |    
       |      Constituent      |          Level, mg/lit      |    
       |      Arsenic      |          5.0      |    
       |      Barium      |          100      |    
       |      Cadmium      |          1.0      |    
       |      Chromium      |          5.0      |    
       |      Lead      |          5.0      |    
       |      Mercury      |          0.2      |    
       |      Selenium      |          1.0      |    
       |      Silver      |          5.0      |    
  
    4. A certification by a professional engineer licensed to  practice by the Commonwealth that the project meets the locational restrictions  of 9VAC20-85-70. Such certificate shall contain no qualifications or exemptions  from the requirements. 
    5. A certificate signed by a professional engineer licensed to  practice by the Commonwealth that the project has been designed in accordance  with the standards of 9VAC20-85-80 if applicable. Such certificate shall  contain no qualifications or exceptions from the requirements and plans. 
    6. An operational plan describing how the standards of  9VAC20-85-90 will be met. 
    7. A closure plan describing how the standards of Article 4 of  Part III of this chapter will be met, if applicable. 
    8. A signed statement that the owner or operator shall allow  authorized representatives of the Commonwealth, upon presentation of  appropriate credentials, to have access to areas in which the activities  covered by this chapter will be, are being, or have been conducted to ensure  compliance. 
    B. The materials submitted under the provisions of subsection  A of this section will be evaluated for completeness within 30 days of receipt  by the appropriate department regional office. If the department notifies the  applicant of deficiencies within 30 days, the applicant shall postpone any  construction or activities proposed in the application for the department's  approval until the department's approval has been received. If the applicant  has not received a notice of deficiency within 30 days, the applicant can  proceed. 
    9VAC20-85-180. Administrative procedures. 
    The administrative procedures associated with the submission  of the variance petition, its processing and resolution will be accomplished in  accordance with the requirements of 9VAC20-80-790 Part VII  (9VAC20-81-700 et seq.) of the Solid Waste Management Regulations. 
    Part I 
  Definitions 
    9VAC20-120-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise.  Chapter 14 (§ 10.1-1400 et seq.) of Title 10.1 of the Code of Virginia defines  words and terms that supplement those in this chapter. The Virginia  Solid Waste Management Regulations, 9VAC20-80 9VAC20-81, define  additional words and terms that supplement those in the statutes and this  chapter. When the statutes, as cited, and the solid waste management  regulations, as cited, conflict, the definitions of the statutes are  controlling. 
    "Act" or "regulations" means the federal  or state law or regulation last cited in the context, unless otherwise  indicated. 
    "Alternative treatment method" means a method for  the treatment of regulated medical waste that is not incineration or steam  sterilization (autoclaving). 
    "Approved sanitary sewer system" means a network of  sewers serving a facility that has been approved in writing by the Virginia  Department of Health, including affiliated local health departments. Such sewer  systems may be approved septic tank/drainfield systems and on-site treatment  systems, or they may be a part of a collection system served by an NPDES  permitted treatment works. 
    "Associated" means two or more firms that share  staff members, management, directors, and assets or engage in joint ventures.  Holding companies and part owners are associated parties. 
    "Ash" means the residual waste material produced  from an incineration process or any combustion. 
    "ASTM" means the American Society For Testing and  Materials. 
    "Autoclave tape" means tape that changes color or  becomes striped when subjected to temperatures that will provide sterilization  of materials during treatment in an autoclave or similar device. 
    "Blood" means human blood, human blood components,  and products made from human blood. 
    "Board" means the Virginia Waste Management Board. 
    "Body fluids" means liquid emanating or derived  from humans including blood; cerebrospinal, synovial, pleural, peritoneal and  pericardial fluids; semen and vaginal secretions; amniotic fluid; urine; saliva  in dental procedures; and any other body fluids that are contaminated with  blood, and any other liquids emanating from humans that may be mixed or  combined with body fluids. 
    "Closure" means the act of securing a regulated  medical waste management facility pursuant to the requirements of these  regulations. 
    "Closure plan" means the plan for closure prepared  in accordance with the requirements of this chapter. 
    "Commonwealth" means the Commonwealth of Virginia. 
    "Container" means any portable enclosure in which a  material is stored, transported, treated, or otherwise handled. 
    "Contaminated" means the presence or the reasonably  anticipated presence of blood or other body fluids on an item or surface. 
    "Contingency plan" means a document setting out an  organized, planned and coordinated course of action to be followed in the event  of a fire, explosion, or release of regulated medical waste or regulated  medical waste constituents that could threaten human health or the environment.  
    "CWA" means the Clean Water Act (formerly referred  to as the Federal Water Pollution Control Act), 33 USC § 1251 et seq.; PL  92-500, PL 93-207, PL 93-243, PL 93-592, PL 94-238, PL 94-273, PL 94-558, PL  95-217, PL 95-576, PL 96-148, PL 96-478, PL 96-483, PL 96-510, PL 96-561, PL  97-35, PL 97-117, PL 97-164, PL 97-216, PL 97-272, PL 97-440, PL 98-45, PL  100-4, PL 100-202, PL 100-404, and PL 100-668. 
    "Decontamination" means the use of physical or  chemical means to remove, inactivate, or destroy human pathogens on a surface  or item to the point where they are no longer capable of transmitting disease  and the surface or item is rendered safe for handling, use, or disposal. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. 
    "Discard" means to throw away or reject. When a  material is soiled, contaminated or no longer usable and it is placed in a  waste receptacle for disposal or treatment prior to disposal, it is considered  discarded. 
    "Discharge" or "waste discharge" means  the accidental or intentional spilling, leaking, pumping, pouring, emitting,  emptying, or dumping of regulated medical waste into or on any land or state  waters. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters, including  ground waters. 
    "Disposal facility" means a facility or part of a  facility at which solid waste is intentionally placed into or on any land or  water, and at which the solid waste will remain after closure. 
    "Domestic sewage" means untreated sanitary wastes  that pass through a sewer system. 
    "Empty" means wastes have been removed from a  container using the practices commonly employed to remove materials of that  type. 
    "EPA" means the U.S. Environmental Protection  Agency. 
    "Etiologic agents" means the specific organisms  defined to be etiologic agents in 42 CFR 72.3. In general, etiologic agents as  defined in 42 CFR 72.1 means a viable microorganism or its toxin which causes  or may cause human disease. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Generate" means to cause waste to become subject  to regulation. When regulated medical waste is first discarded, it must be  appropriately packaged in accordance with this regulation. At the point a  regulated medical waste is discarded it has been generated. 
    Note: Timeframes associated with storage and refrigeration  are no longer linked to the "date of generation." 
    "Generator" means any person, by site location,  whose act or process produces regulated medical waste identified or listed in  Part III (9VAC20-120-80 et seq.) of this chapter or whose act first causes a  regulated medical waste to become subject to this chapter. 
    "Hazardous material" means a substance or material  that has been so designated under 49 Parts CFR 171 and 173. 
    "Hazardous waste" means any solid waste defined as  a "hazardous waste" by the Virginia Hazardous Waste Management  Regulations. 
    "Health Care Professional" means a medical doctor  or nurse practicing under a license issued by the Department of Health  Professions. 
    "Highly leak resistant" means that leaks will not  occur in the container even if the container receives severe abuse and stress,  but remains substantially intact. 
    "Highly puncture resistant" means that punctures  will not penetrate the container even if the container receives severe abuse  and stress, but remains substantially intact. 
    "Motor vehicle" means a vehicle, machine, roll off  container, tractor, trailer, or semi-trailer, or any combination of them,  propelled or drawn by mechanical power and used in transportation or designed  for such use. 
    "Nonstationary health care providers" means those  persons who routinely provide health care at locations that change each day or  frequently. This term includes traveling doctors, nurses, midwives, and others  providing care in patients' homes, first aid providers operating from emergency  vehicles, and mobile blood service collection stations. 
    "NPDES" or "National Pollutant Discharge  Elimination System" means the national program for issuing, modifying,  revoking, reissuing, terminating, monitoring, and enforcing permits pursuant to  §§ 307, 402, 318, and 405 of the Clean Water Act. The term includes any state  or interstate program that has been approved by the Administrator of the United  States Environmental Protection Agency. 
    "Off-site" means any site that does not meet the  definition of on-site as defined in this part, including areas of a facility  that are not on geographically contiguous property or outside of the boundary  of the site. 
    "On-site" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same person  but connected by a right-of-way that he controls and to which the public does  not have access are also considered on-site property. 
    "Owner" means the person or persons who own a  regulated medical waste management facility or part of a regulated medical  waste management facility. 
    "Package" or "outside package" means a  package plus its contents. 
    "Packaging" means the assembly of one or more  containers and any other components necessary to assure compliance with minimum  packaging requirements under VRGTHM or this chapter. 
    "Permit by rule" means provisions of this chapter  stating that a facility or activity is deemed to have a permit if it meets the  requirements of the provision. 
    "Permitted waste management facility" or  "permitted facility" means a regulated medical waste treatment or  storage facility that has received a permit in accordance with the requirements  of the chapter. 
    "Physical construction" means excavation, movement  of earth, erection of forms or structures, the purchase of equipment, or any  other activity involving the actual preparation of the regulated medical waste management  facility. 
    "Processing" means preparation, treatment, or  conversion of regulated medical waste by a series of actions, changes, or  functions that bring about a decided result. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act (42 USC § 6901 et  seq.), the Hazardous and Solid Waste Amendments of 1984, and any other  applicable amendments to these laws. 
    "Regulated medical waste" means solid wastes  defined to be regulated medical wastes in Part III (9VAC20-120-80 et seq.) of  this chapter. 
    "Regulated medical waste management" means the  systematic administration of activities that provide for the collection, source  separation, storage, transportation, transfer, processing, treatment, and  disposal of regulated medical wastes whether or not such facility is associated  with facilities generating such wastes or otherwise. 
    "Regulated medical waste management facility" means  a solid waste management facility that manages regulated medical waste. 
    "Safe sharps program" means a program supported by  a city, county, town or public authority that is intended to enhance the safe  disposal of sharps discarded by private individuals. 
    "Sanitary sewer system" means a system for the  collection and transport of sewage, the construction of which was approved by  the Department of Health or other appropriate authority. 
    "Secondary container" means a storage device into  which a container can be placed for the purpose of containing any leakage from  the original container. 
    "Section" means a subpart of this chapter and when  referred to all portions of that part apply. 
    "Sharps" means needles, scalpels, knives, syringes  with attached needles, pasteur pipettes and similar items having a point or  sharp edge or that are likely to break during transportation and result in a  point or sharp edge. 
    "Shipment" means the movement or quantity conveyed  by a transporter of a regulated medical waste between a generator and a  designated facility or a subsequent transporter. 
    "Site" means the land or water area upon which a  facility or activity is physically located or conducted, including but not  limited to adjacent land used for utility systems such as repair, storage,  shipping, or processing areas, or other areas incident to the controlled facility  or activity. 
    "Solid waste" means any garbage, refuse, sludge and  other discarded material, including solid, liquid, semisolid or contained  gaseous material, resulting from industrial, commercial, mining and agriculture  operations, or community activities, but does not include (i) solid or  dissolved material in domestic sewage, (ii) solid or dissolved material in  irrigation return flows or in industrial discharges which are sources subject  to a permit from the State Water Control Board, or (iii) source, special  nuclear, or by-product material as defined by the Federal Atomic Energy Act of  1954, as amended 42 USC §§ 2011-2284. The definition of solid waste is further  clarified in the Virginia Solid Waste Management Regulations (9VAC20-80-140)  (9VAC20-81-95). 
    "Solid waste management" means the collection,  source separation, storage, transportation, transfer, processing, treatment,  and disposal of solid wastes or resource recovery. 
    "Spill" means any accidental or unpermitted  discharge, leaking, pumping, pouring, emitting, or dumping of wastes or  materials that, when spilled, become wastes. 
    "Start-up" or "cold start-up" means the  beginning of a combustion operation from a condition where the combustor unit  is not operating and less than 140°F in all areas. 
    "Storage" means the holding, including during  transportation, of more than 200 gallons of waste, at the end of which the  regulated medical waste is treated or stored elsewhere. 
    "Training" means formal instruction, supplementing  an employee's existing job knowledge, designed to protect human health and the  environment via attendance and successful completion of a course of instruction  in regulated medical waste management procedures, including contingency plan  implementation, relevant to those operations connected with the employee's  position at the facility. 
    "Transfer facility" means any transportation  related facility including loading docks, parking areas, storage areas, and  other similar areas where shipments of regulated medical waste are held during  the normal course of transportation. 
    "Transportation" or "transport" means the  movement of regulated medical waste by air, rail, highway, or water. 
    "Transport vehicle" means any vehicle used for the  transportation of cargo. 
    "Vector" means a living animal, insect or other  arthropod that may transmits an infectious disease from one organism to  another. 
    "VRGTHM" means Virginia Regulations Governing the  Transportation of Hazardous Materials promulgated by the Virginia Waste  Management Board as authorized by §§ 10.1-1450 through 10.1-1454 of the Code of  Virginia. 
    "Waste management facility" means all contiguous  land and structures, other appurtenances, and improvements on them used for  treating, storing, or disposing of waste. 
    "Waste management unit" means any unit at a  treatment or storage facility that possesses a permit, or that has received  regulated medical waste (as defined in this chapter) at any time, including  units that are not currently active. 
    9VAC20-120-70. Relationship to other bodies of regulation. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  address other requirements for regulated medical waste management. Any  regulated medical waste management facility must also conform to any applicable  sections of the solid waste management regulations issued by the board and any  special solid waste management regulations such as those defining financial  assurance requirements. If there is a conflict between the details of  regulations here and the others, this chapter is controlling. 
    B. Regulated medical waste management facility must also  comply with any applicable sections of the Hazardous Waste Management  Regulations (9VAC20-60) issued by the department. If there is a conflict  between the details of regulations here and the hazardous waste management  regulations, the latter regulations are controlling. 
    C. Intrastate shipment of hazardous materials is subject to  the Regulations Governing the Transportation of Hazardous Materials  (9VAC20-110) of the department. If there is a conflict between the details of  regulations here and the hazardous materials transportation regulations, the  latter are controlling. 
    D. Generators of regulated medical waste and regulated  medical waste management facilities may be subject to the general industry  standard for occupational exposure to bloodborne pathogens in  16VAC25-90-1910.1030 (29 CFR 1910.1030). 
    E. Persons transporting regulated medical waste are subject  to the federal hazardous material transportation requirements in 49 CFR 171  through 178. 
    F. If there is a conflict between the regulations here and  adopted regulations of another agency of the Commonwealth, the provisions of  these regulations are set aside to the extent necessary to allow compliance  with the regulations of the other agency. If neither regulation controls, the  more stringent standard applies. 
    G. Nothing here either precludes or enables a local governing  body to adopt ordinances. Compliance with one body of regulation does not  insure compliance with the other, and, normally, both bodies of regulation must  be complied with fully. 
    9VAC20-120-100. Recycled materials. 
    A. Untreated regulated medical wastes shall not be used,  reused, or reclaimed. 
    B. Wastes that have been treated in accord with these  regulations are no longer regulated medical waste and may be used, reused, or  reclaimed in accordance with the provisions of the Virginia Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81). 
    C. Bed linen, instruments, medical care equipment and other  materials that are routinely reused for their original purpose are not subject  to these regulations until they are discarded and are a solid waste. These  items do not include reusable carts or other devices used in the management of  regulated medical waste (see 9VAC20-120-260). 
    Article 6 
  Treatment and Disposal 
    9VAC20-120-300. Methods of treatment and disposal. 
    A. All regulated medical waste must be incinerated,  sterilized by steam, or treated by a method as described in Part VII  (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.), or IX (9VAC20-120-630  et seq.) of this chapter. 
    B. No regulated medical waste shall be disposed of in a solid  waste landfill or other solid waste management facility. Upon authorized  treatment and management in accord with this chapter, the solid waste or its  ash is not regulated medical waste and may be disposed of at any landfill or  other solid waste management facility permitted to receive municipal solid  waste or garbage, provided the disposal is in accordance with the Solid Waste  Management Regulations, 9VAC20-80 9VAC20-81, and other applicable  regulations and standards. 
    C. Regulated medical waste in closed bags or containers shall  not be compacted or subjected to violent mechanical stress; however, after it  is fully treated and it is no longer regulated medical waste, it may be  compacted in a closed container. Nothing in this section shall prevent the  puncturing of containers or packaging immediately prior to permitted treatment  in which grinding, shredding, or puncturing is integral to the process units;  however, all grinding, shredding and puncturing shall be done with safe and  sanitary methods. Nothing in this section shall prevent the use of devices that  grind, shred or compact to reduce volume at the point of generation. Devices  will be constructed in a manner that prevents employee exposure to the waste,  contains any aerosol or mist that may be caused by the process, and treats or  filters any air evacuated from the chamber during processing. These devices may  be employed at the point of generation and prior to enclosing the regulated  medical waste in plastic bags and other required packaging; however, the waste  remains regulated medical waste. Appropriate means must be employed to  appropriately protect workers and contain the waste when unloading regulated  medical wastes from such a device. 
    9VAC20-120-540. Analysis and management of the ash product;  procedure; results and records; disposition of ash; ash storage. 
    A. Once every eight hours of operation of a continuously fed  incinerator and once every batch or 24 hours of operation of a batch fed  incinerator, a representative sample of 250 milliliters of the bottom ash shall  be collected from the ash discharge or the ash discharge conveyer. Samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous Waste  Management Regulations for determining if a solid waste is a hazardous waste.  Also, the sample shall be tested for total organic carbon content. 
    At incinerators equipped with air pollution control devices  that remove and collect incinerator emissions control ash or dust, this ash  shall be held separately and not mixed with bottom ash. Once every eight hours  of operation of a continuously fed incinerator and once every batch or 24 hours  of operation of a batch fed incinerator, a representative sample of 250  milliliters of the air pollution control ash or dust shall be collected from  the pollution control ash discharge. Air pollution control ash or dust samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous  Waste Management Regulations for determining if a waste is a hazardous waste. 
    B. A log shall document the ash sampling, to include the date  and time of each sample collected; the date, time and identification number of  each composite sample; and the results of the analyses, including laboratory  identification. Results of analyses must be returned from the laboratory and  recorded within four weeks following collection of the composite sample. The  results and records described in this part shall be maintained for a period of  three years, and shall be available for review. 
    C. If a waste ash is found to be hazardous waste (based on a  sample and a confirmation sample) the waste ash shall be disposed of as a  hazardous waste in accord with the Virginia Hazardous Waste Management  Regulations. If ash is found not to be hazardous waste by analysis, it may be  disposed of in a solid waste landfill that is permitted to receive garbage,  municipal solid waste or incinerator ash, provided the disposal is in  accordance with the Solid Waste Management Regulations, 9VAC20-80 9VAC20-81.  If the ash is found to be hazardous waste, the operator shall notify the  Director of the Department of Environmental Quality within 24 hours. No later  than 15 calendar days following, the permittee shall submit a plan for treating  and disposing of the waste on hand at the facility and all unsatisfactorily  treated waste that has left the facility. The permittee may include with the  plan a description of the corrective actions to be taken to prevent further  unsatisfactory performance. No ash subsequently generated from the incinerator  waste stream that was found to be hazardous waste shall be sent to a  nonhazardous solid waste management facility in the Commonwealth without the  express written approval of the director. 
    D. Air pollution control ash and bottom ash shall be held  separately and not mixed; however, once both are determined not to be hazardous  waste, they may be combined and disposed of as other solid waste. Throughout  the storage of the untested material it shall be kept in covered highly leak  resistant containers. It should be held until the generator determines whether  the ash waste is hazardous waste. Areas where untested material containers are  placed must be constructed with a berm to prevent runoff from that area. 
    E. Regulated medical waste treated in compliance with Part  VII (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.) or IX  (9VAC20-120-630 et seq.) of this chapter shall be deemed to be treated in  accordance with this chapter. Regulated medical waste not treated in accordance  with this chapter shall not be transported, received for transport or disposal,  or disposed of in any solid waste management facility. 
    9VAC20-120-810. Amendment of permits. 
    A. Temporary authorizations. 
    1. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of this section. Temporary authorizations  shall have a term of not more than 180 calendar days. 
    2. a. The permittee may request a temporary authorization for:  
    (1) Any substantive amendment meeting the criteria in  subdivision 3 b (1) of this subsection; and 
    (2) Any major amendment that meets the criteria in subdivision  3 b (1) or (2) of this subsection; or that meets the criteria in subdivisions 3  b (3) and (4) of this subsection and provides improved management or treatment  of a regulated medical waste already listed in the facility permit. 
    b. The temporary authorization request shall include: 
    (1) A description of the activities to be conducted under the  temporary authorization; 
    (2) An explanation of why the temporary authorization is  necessary; and 
    (3) Sufficient information to ensure compliance with standards  in Part V (9VAC20-120-330 et seq.) or VI (9VAC20-120-400 et seq.) of this  chapter. 
    c. The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven calendar days of submission of the  authorization request. 
    3. The director shall approve or deny the temporary  authorization as quickly as is practical. To issue a temporary authorization,  the director shall find: 
    a. The authorized activities are in compliance with the  standards of Part V (9VAC20-120-330 et seq.), VII (9VAC20-120-520 et seq.),  VIII (9VAC20-120-580 et seq.) or IX (9VAC20-120-630 et seq.) of this chapter. 
    b. The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an amendment  request: 
    (1) To facilitate timely implementation of closure or  corrective action activities; 
    (2) To prevent disruption of ongoing waste management  activities; 
    (3) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (4) To facilitate other changes to protect human health and  the environment. 
    4. A temporary authorization may be reissued for one  additional term of up to 180 calendar days provided that the permittee has  requested a substantive or a major permit amendment for the activity covered in  the temporary authorization, and (i) the reissued temporary authorization  constitutes the director's decision on a substantive permit amendment in  accordance with the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  or (ii) the director determines that the reissued temporary authorization  involving a major permit amendment request is warranted to allow the authorized  activities to continue while the amendment procedures of the Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81) are conducted. 
    B. Newly defined or identified wastes. The permittee is  authorized to continue to manage wastes defined or identified as regulated  medical waste under Part III (9VAC20-120-80 et seq.) of this chapter if he: 
    1. Was in existence as a regulated medical waste management  facility with respect to the newly defined or identified regulated medical  waste on the effective date of the final rule defining or identifying the  waste; and 
    2. (i) Is in compliance with the standards of Part V, VII,  VIII or IX, as applicable, with respect to the new waste, submits a minor  modification request on or before the date on which the waste becomes subject  to the new requirements or (ii) is not in compliance with the standards of Part  V or VI, as applicable, with respect to the new waste, but submits a complete  permit amendment request within 180 calendar days after the effective date of  the definition or identifying the waste. 
    C. The suitability of the facility location will not be  considered at the time of permit amendment unless new information or standards  indicate that an endangerment to human health or the environment exists that  was unknown at the time of permit issuance. 
    9VAC20-130-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Board" means the Virginia Waste Management Board. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants  and shopping centers.
    "Compost" means a stabilized organic product  produced by composting in such a manner that the product can be handled,  stored, and/or applied to the land.
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes  include, but are not limited to, lumber, wire, sheetrock, broken brick,  shingles, glass, pipes, concrete, paving materials, and metal and plastics if  the metal or plastics are a part of the materials of construction or empty containers  for such materials. Paints, coatings, solvents, asbestos-containing material,  any liquid, compressed gases, or semi-liquids and garbage are not construction  wastes. 
    "Debris waste" means solid waste resulting from  land clearing operations. Debris wastes include, but are not limited to,  stumps, wood, brush, leaves, soil, and road spoils. 
    "Demolition waste" means solid waste produced by  the destruction of structures and their foundations and includes the same  materials as construction wastes. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. For purposes of submissions to the  director as specified in the Waste Management Act, submissions may be made to  the department.
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulation,  9VAC20-60. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts;  inorganic chemicals; iron and steel manufacturing; leather and leather  products; nonferrous metals manufacturing/foundries; organic chemicals;  plastics and resins manufacturing; pulp and paper industry; rubber and  miscellaneous plastic products; stone, glass, clay, and concrete products;  textile manufacturing; transportation equipment; and water treatment. This term  does not include mining waste or oil and gas waste. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Integrated waste management plan" means a  governmental plan that considers all elements of waste management during  generation, collection, transportation, treatment, storage, disposal, and  litter control and selects the appropriate methods of providing necessary  control and services for effective and efficient management of all wastes. An  "integrated waste management plan" must provide for source reduction,  reuse and recycling within the jurisdiction and the proper funding and  management of waste management programs. 
    "Jurisdiction" means a local governing body; city,  county or town; or any independent entity, such as a federal or state agency,  which join with local governing bodies to develop a waste management plan. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill (as these terms  are defined in the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    "Litter" means all waste material disposable  packages or containers, but not including the wastes of the primary processes  of mining, logging, farming, or manufacturing.
    "Market" or "markets" means interim or  end destinations for the recyclable materials, including a materials recovery  facility (MRF).
    "Market conditions" means business and system  related issues used to determine if materials can be targeted, collected, and  delivered to an interim or end market in an efficient manner. Issues may  include, but are not limited to: the cost of collection, storage and  preparation or both; the cost of transportation; accessible volumes of  materials targeted for recycling; market value of materials targeted for  collection/recycling; and distance to viable markets.
    "Materials recovery facility (MRF)" means, for the  purpose of this regulation, a facility for the collection, processing and  marketing of recyclable materials including, but not limited to: metal, paper,  plastics, and glass. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses, except composting as defined and regulated under the Solid  Waste Management Regulations (9VAC20-80) or the Vegetative Waste Management  and Yard Waste Composting Regulations (9VAC20-101) (9VAC20-81). 
    "Municipal solid waste" means waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from the combustion of these wastes. 
    "Permit" means the written permission of the  director to own, operate or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Principal recyclable materials (PRMs)" means  paper, metal, plastic, glass, commingled yard waste, wood, textiles, tires,  used oil, used oil filters, used antifreeze, batteries, electronics, or  material as may be approved by the director. Commingled materials refers to  single stream collections of recyclables where sorting is done at a materials  recovery facility.
    "Recycling" means the process of separating a given  waste material from the waste stream and processing it so that it may be used  again as a raw material for a product, which may or may not be similar to the  original product. For the purpose of this chapter, recycling shall not include  processes that only involve size reduction. 
    "Recycling residue" means the (i) nonmetallic  substances, including but not limited to plastic, rubber, and insulation, which  remain after a shredder has separated for purposes of recycling the ferrous and  nonferrous metal from a motor vehicle, appliance or other discarded metallic  item and (ii) organic waste remaining after removal of metals, glass, plastics  and paper that are to be recycled as part of a resource recovery process for  municipal solid waste resulting in the production of a refuse derived fuel.
    "Regional boundary" means the boundary defining an  area of land that will be a unit for the purpose of developing a waste  management plan, and is established in accordance with 9VAC20-130-180 through  9VAC20-130-220. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Residential waste" means any waste material,  including garbage, trash and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds and day-use recreation  areas. Residential wastes do not include sanitary waste in septic tanks  (septage), that is regulated by other state agencies. 
    "Resource recovery system" means a solid waste  management system that provides for collection, separation, recycling and  recovery of energy or solid wastes, including disposal of nonrecoverable waste  residues. 
    "Reuse" means the process of separating a given  solid waste material from the waste stream and using it, without processing or  changing its form, other than size reduction, for the same or another end use. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste, which is so located, designed,  constructed and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste.  (Note: This term includes all sites whether they are planned and managed  facilities or open dumps.) 
    "Sludge" means any solid, semisolid or liquid waste  generated from a public, municipal, commercial or industrial  wastewater treatment plant, water supply treatment plant, or air pollution  control facility. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Solid Waste Management Regulations (9VAC20-80)  (9VAC20-81).
    "Solid waste planning unit" means each region or  locality that submits a solid waste management plan. 
    "Solid waste management facility  ("SWMF")" means a site used for planned treating, storing, or  disposing of solid waste. A facility may consist of several treatment, storage,  or disposal units. 
    "Source reduction" means any action that reduces or  eliminates the generation of waste at the source, usually within a process.  Source reduction measures include process modifications, feedstock  substitutions, improvements in feedstock purity, improvements in housekeeping  and management practices, increases in the efficiency of machinery, and  recycling within a process. Source reduction minimizes the material that must  be managed by waste disposal or nondisposal options by creating less waste.  "Source reduction" is also called "waste prevention,"  "waste minimization," or "waste reduction."
    "Source separation" means separation of recyclable  materials by the waste generator of materials that are collected for use,  reuse, reclamation, or recycling. 
    "Tons" means 2,000 pounds.
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, and woody wastes such as shrub and  tree prunings, bark, limbs, roots, and stumps. For more detail see Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101) the  Solid Waste Management Regulations (9VAC20-81).
    "Waste exchange" means any system to identify  sources of wastes with potential for use reuse, recycling or reclamation and to  facilitate its acquisition by persons who reuse, recycle or reclaim it, with a  provision for maintaining confidentiality of trade secrets. 
    "White goods" means any stoves, washers, hot water  heaters or other large appliances. For the purposes of this chapter, this  definition also includes, but is not limited to, such Freon-containing appliances  as refrigerators, freezers, air conditioners, and dehumidifiers. 
    "Yard waste" means decomposable waste materials  generated by yard and lawn care and includes leaves, grass trimmings, brush,  wood chips, and shrub and tree trimmings. Yard waste shall not include roots or  stumps that exceed six inches in diameter. 
    9VAC20-130-60. Applicability of regulations. 
    A. This chapter applies to all cities, counties, towns,  designated solid waste planning units (under 9VAC20-130-180) and permitted  solid waste facilities within the solid waste planning unit, including those  facilities covered under permit by rule procedures found in 9VAC20-80 9VAC20-81.  Any city, county, and town may mutually agree to unite for the purpose of solid  waste management planning, and upon joint written notification to the director,  shall be deemed to be a solid waste planning unit for development of a solid  waste management plan. 
    B. Any cities, counties, and towns may be represented by a  planning district, public service authority, or designated region that has been  adopted under 9VAC20-130-90 B. 
    C. The plan may (subject to statutory authority) specify that  all solid waste must be recycled at the rate established by the plan regardless  of the point of origin of the solid waste. Solid wastes from both public and  private sources shall be subject to such requirement. 
    9VAC20-130-120. Planning requirements. 
    A. Basic planning elements:
    1. Objectives for solid waste management within the planning  unit;
    2. A discussion as to how the plan will be implemented and  tracked, consisting of an integrated waste management strategy to support and  promote the hierarchy set forth at 9VAC20-130-30; giving preference to  alternatives in the following order of priority: source reduction, reuse,  recycling, resource recovery, incineration, and landfilling;
    3. Definition of incremental stages of progress toward the  objectives and schedule for their implementation, including, for compliance  with 9VAC20-80-500 9VAC20-81-450, specific solid waste management  facility names, facility capacities, and life based on 20-year need;
    4. Strategy for the provision of necessary funds and  resources;
    5. Descriptions of the funding and resources necessary,  including consideration of fees dedicated to future facility development;
    6. Strategy for public education and information on source  reduction, reuse, and recycling; and
    7. Consideration of public and private sector partnerships and  private sector participation in execution of the plan. Existing private sector  recycling operations should be incorporated in the plan and the expansion of  such operations should be encouraged. 
    B. A minimum recycling rate as specified in § 10.1-1411 of  the Code of Virginia for total municipal solid waste generated annually in each  solid waste planning unit shall be met and maintained. 
    1. The plan shall describe how the minimum recycling rate  shall be met or exceeded. The department may approve the solid waste management  plans of units that do not currently meet the minimum recycling rate only if all  other requirements of these regulations have been met and the solid waste  planning unit demonstrates its commitment to implementing a strong and detailed  action plan for recycling to meet the required rate.
    2. When a solid waste planning unit's annual recycling rate  falls below the minimum rate, it shall constitute evidence of a significant  deviation from the plan. The plan may be subject to revocation by the  department under 9VAC20-130-110 E unless the solid waste planning unit submits  a recycling action plan acceptable to the department per subsection I of this  section.
    C. The solid waste management plan shall include data and  analyses of the following type(s) for each jurisdiction. Each item below shall  be in a separate section and labeled as to content:
    1. Population information and projections for 20 years of  population growth and development patterns;
    2. Urban concentrations, geographic conditions, economic  growth and development, markets for the reuse and recycling of materials,  transportation conditions, and related factors;
    3. Estimates of solid waste generation from residential,  commercial institutional, industrial, construction, demolition, debris and  other types of sources, including the amounts reused, recycled, recovered as a  resource, incinerated and landfilled. Entities engaged in the collection,  processing, and marketing of recyclable materials should provide data for  incorporation into the recycling rate calculation, when requested by the  planning unit.
    4. A listing of existing and planned solid waste collection,  storage, treatment, transportation, disposal and other management facilities,  their projected capacities, expected life and systems for their use;
    5. All milestones in the implementation of the solid waste  management plan over the 20-year projection and the parties responsible for  each milestone;
    6. A description of programs for solid waste reduction, reuse,  recycling, resource recovery, incineration, storage, treatment, disposal and  litter control;
    7. A description of outreach programs for waste exchange,  public education and public participation;
    8. The procedures for and results of evaluating solid waste  collection, including transfer stations; and
    9. The assessment of all current and predicted needs for solid  waste management for a period of 20 years and a description of the action to be  taken to meet those needs.
    D. All known solid waste disposal sites, closed, inactive and  active, within the area of the solid waste management plan shall be documented  and recorded at a centralized archive authorized to receive and record  information and a copy shall be sent to the department. All new sites shall be  recorded at the same central data source.
    E. A methodology shall be utilized to monitor the amount of  solid waste of each type produced within the area of the solid waste management  plan and to record the annual production by solid waste types at a centralized  archive and a copy shall be sent to the department. 
    F. The solid waste management plan shall include, when  developed locally, a copy of the local governing body's resolution adopting the  solid waste management plan.
    G. The solid waste management plan shall include, when  developed regionally, a copy of the resolution approving the plan adopted in  accordance with the Virginia Area Development Act, the Virginia Water and Waste  Authorities Act, the provisions of the Code of Virginia governing joint  exercise of powers by political subdivisions (§ 15.2-1300 of the Code of  Virginia), or other authority as applicable.
    H. The solid waste management plan shall clearly and  explicitly demonstrate the manner in which the goals of the planning  requirements in these regulations shall be accomplished and actions to take if  these requirements are not met.
    I. A planning unit that does not meet the requirements of  these regulations shall submit an action plan, by mail or electronic mail, for  approval by the department. Such action plans shall include:
    1. A description of the deficiency that requires the  development of the action plan.
    2. A time schedule to resolve the deficiency(ies) associated  with the planning unit's failure to meet the requirements of the approved solid  waste management plan.
    3. A reporting requirement to the department, of a minimum of  once every six months, including activities or updates documenting how the  action plan requirements are being met.
    4. Plans and all subsequent reports and submittals shall be  reviewed by the department within 30 days of receipt by the department.
    5. All the department's requests for further information or  response(s) shall be provided within 30 days of receipt at the planning unit.  The department may grant reasonable extensions to these deadlines on a  case-by-case basis. 
    Part I 
  Definitions 
    9VAC20-140-10. Definition incorporated by reference. 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  are incorporated by reference. 
    9VAC20-150-10. Definitions. 
    A. The definitions set out in Part I of the Virginia  Solid Waste Management Regulations, 9VAC20-80-10 et seq., (9VAC20-81)  are incorporated by reference. 
    B. The following words and terms, when used in this chapter,  shall have the following meanings, unless the context clearly indicates  otherwise: 
    "Applicant" means any person or persons seeking  reimbursement under this chapter. 
    "Asphalt pavement containing recycled rubber" means  any hot mix or spray applied binder in asphalt paving mixture that contains  rubber from waste tire materials which is used for asphalt pavement base,  surface course or interlayer, or other road and highway related uses. 
    "Authorized signature" means the signature of an  individual who has authority to sign on behalf of, and bind, the applicant. 
    "Available funds" means for a given fiscal year, a  maximum of 80% of the previous fiscal year's collection of the waste tire tax  plus 85% of nonobligated carryover funds at the end of the previous fiscal  year. 
    "Burning" means the controlled burning of waste  tire materials for the purpose of energy recovery. 
    "Cost of use" means the equipment, leasehold  improvements, buildings, land, engineering, transportation, operating, taxes,  interest, and depreciation or replacement costs of using waste tire materials  incurred by the end user after deducting any tipping fee received by the end  user. 
    "Daily cover" means using waste tire material as an  alternate cover placed upon exposed solid waste to control disease vectors,  fires, odors, blowing litter and scavenging without presenting a threat to  human health and the environment. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or the director's designee. 
    "Embankment" means a raised earthen structure to  carry a roadway. 
    "End user" means: 
    1. For energy recovery: the person who utilizes the heat  content or other forms of energy from the burning or pyrolysis of waste tire  materials; 
    2. For other eligible uses: the last person who uses the  waste tire materials to make a product with economic value. If the waste tire  materials are processed by more than one person in becoming a product, the end  user is the last person to use the tire as waste tire materials. A person who  produces waste tire materials and gives or sells them to another person to use  is not an end user. 
    "Energy recovery" means utilizing the heat content  or other forms of energy from the burning or pyrolysis of waste tire materials.  
    "Fill material for construction" means the material  is used as a base or sub-base under the footprint of a structure, a paved  parking lot, sidewalk, walkway or similar application. 
    "Generator" means any person whose act or process  produces waste tires or whose act first causes a tire to become a solid waste. 
    "Hauler" means a person who picks up or transports  waste tires for the purpose of removal to a permitted storage, processing or  disposal facility. 
    "Partial reimbursement" means reimbursement that  does not exceed the purchase price of waste tire materials or the cost of use  if the waste tire materials were not purchased. 
    "Passenger tire equivalent" means a measure of  passenger, truck tires, and oversize tires where: One passenger car tire equals  20 pounds or 1/100 ton. One truck tire 20-24 inch rim equals 100 pounds or  1/200 ton and a tire with over 24-inch rim equals 200 pounds or greater as  computed by the end user. 
    "Processor" means a person engaged in the  processing of waste tires including, but not limited to, stamping, stripping,  shredding, or crumbing; that operates under a permit issued by the local, state,  or federal government; or is exempt from permit requirements. 
    "Pyrolysis" means thermal treatment of waste tire  materials to separate it into other components with economic value. 
    "Retreading" means processing a waste tire by  attaching a new tread to make a usable tire. 
    "Road bed base" means the foundation of a road  prepared for surfacing. 
    "Tipping fee" means a fee charged to a person for  disposal of a waste tire. 
    "Tire" means a continuous solid or pneumatic rubber  covering encircling the wheel of a vehicle in which a person or property is  transported, or by which they may be drawn on a highway. 
    "Tire pile" means an accumulation of waste tire  materials that violates the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81). 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. 
    "Waste tire materials" means whole waste tires or  waste tires that have been size reduced by physical or chemical process. This  term includes waste tires or chips or similar materials as specified in §§ 10.1-1422.3  and 10.1-1422.4 of the Code of Virginia. 
    "Waste Tire Trust Fund" means the nonreverting fund  set up by § 10.1-1422.3 of the Code of Virginia in which proceeds from the  waste tire tax are deposited. 
    Part II
  General Information 
    9VAC20-150-20. Purpose. 
    The purpose of this chapter is to define the types of uses  eligible for partial reimbursement, to establish the procedures for application  and processing of reimbursement, and to establish the amount of reimbursement. 
    9VAC20-150-40. End uses of waste tires eligible for  reimbursement. 
    A. The following uses of waste tire materials will be  eligible for the reimbursement if the use complies with applicable local  ordinances and regulations and the Virginia Solid Waste Management  Regulations, 9VAC20-80 (9VAC20-81) or the equivalent regulations  in another state. The eligible uses are: 
    1. Civil engineering applications, which utilize waste tire  materials as a substitute for soil, sand, or aggregate in a construction  project such as land or surface applications, road bed base and embankments;  fill material for construction projects; and daily cover and other  substitutions at a permitted solid waste facility if the facility's permit is  so modified; 
    2. Burning of waste tire materials for energy recovery; 
    3. Pyrolysis; and 
    4. Products made from waste tire materials such as molded  rubber products, rubberized asphalt, soil amendments, playground and horse  arena surfacing materials, mulches, mats, sealers, etc. 
    B. Uses that are not eligible for reimbursement include: 
    1. Reuse as a vehicle tire; 
    2. Retreading; 
    3. Burning without energy recovery; and 
    4. Landfilling, except use as specified in subdivision A 1 of  this section. 
    9VAC20-160-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise. 
    "Authorized agent" means any person who is  authorized in writing to fulfill the requirements of this program. 
    "Carcinogen" means a chemical classification for  the purpose of risk assessment as an agent that is known or suspected to cause  cancer in humans, including but not limited to a known or likely human  carcinogen or a probable or possible human carcinogen under an EPA  weight-of-evidence classification system. 
    "Certificate" means a written certification of  satisfactory completion of remediation issued by the director pursuant to § 10.1-1232  of the Code of Virginia. 
    "Completion" means fulfillment of the commitment  agreed to by the participant as part of this program. 
    "Contaminant" means any man-made or man-induced  alteration of the chemical, physical or biological integrity of soils,  sediments, air and surface water or groundwater including, but not limited to,  such alterations caused by any hazardous substance (as defined in the  Comprehensive Environmental Response, Compensation and Liability Act, 42 USC  § 9601(14)), hazardous waste (as defined in 9VAC20-60), solid waste (as  defined in 9VAC20-80-10) 9VAC20-81), petroleum (as defined in  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.))  of the Virginia State Water Control Law, or natural gas. 
    "Cost of remediation" means all costs incurred by  the participant pursuant to activities necessary for completion of voluntary  remediation at the site, based on an estimate of the net present value (NPV) of  the combined costs of the site investigation, report development, remedial  system installation, operation and maintenance, and all other costs associated  with participating in the program and addressing the contaminants of concern at  the site. 
    "Department" means the Department of Environmental  Quality of the Commonwealth of Virginia or its successor agency. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Engineering controls" means physical modification  to a site or facility to reduce or eliminate potential for exposure to  contaminants. These include, but are not limited to, stormwater conveyance  systems, pump and treat systems, slurry walls, liner systems, caps, monitoring  systems, and leachate collection systems. 
    "Hazard index (HI)" means the sum of more than one  hazard quotient for multiple contaminants or multiple exposure pathways or  both. The HI is calculated separately for chronic, subchronic, and shorter  duration exposures. 
    "Hazard quotient" means the ratio of a single  contaminant exposure level over a specified time period to a reference dose for  that contaminant derived from a similar period. 
    "Incremental upper-bound lifetime cancer risk  level" means a conservative estimate of the incremental probability of an  individual developing cancer over a lifetime. Upper-bound lifetime cancer risk  level is likely to overestimate "true risk." 
    "Institutional controls" means legal or contractual  restrictions on property use that remain effective after remediation is  completed, and are used to reduce or eliminate the potential for exposure to  contaminants. The term may include, but is not limited to, deed and water use  restrictions. 
    "Land use controls" means legal or physical  restrictions on the use of, or access to, a site to reduce or eliminate  potential for exposure to contaminants, or prevent activities that could  interfere with the effectiveness of remediation. Land use controls include but  are not limited to engineering and institutional controls. 
    "Noncarcinogen" means a chemical classification for  the purposes of risk assessment as an agent for which there is either  inadequate toxicological data or is not likely to be a carcinogen based on an  EPA weight-of-evidence classification system. 
    "Operator" means the person currently responsible  for the overall operations at a site, or any person responsible for operations  at a site at the time of, or following, the release. 
    "Owner" means any person currently owning or  holding legal or equitable title or possessory interest in a property,  including the Commonwealth of Virginia, or a political subdivision thereof,  including title or control of a property conveyed due to bankruptcy,  foreclosure, tax delinquency, abandonment, or similar means. 
    "Participant" means a person who has received  confirmation of eligibility and has remitted payment of the registration fee. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Program" means the Virginia Voluntary Remediation  Program. 
    "Property" means a parcel of land defined by the  boundaries in the deed. 
    "Reference dose" means an estimate of a daily  exposure level for the human population, including sensitive subpopulations,  that is likely to be without an appreciable risk of deleterious effects during  a lifetime. 
    "Registration fee" means the fee paid to enroll in  the Voluntary Remediation Program, based on 1.0% of the total cost of  remediation at a site, not to exceed the statutory maximum. 
    "Release" means any spilling, leaking, pumping,  pouring, emitting, emptying, discharging, injecting, escaping, leaching,  dumping or disposing of any contaminant into the environment. 
    "Remediation" means actions taken to cleanup,  mitigate, correct, abate, minimize, eliminate, control and contain or prevent a  release of a contaminant into the environment in order to protect human health  and the environment, including actions to investigate, study or assess any  actual or suspected release. Remediation may include, when appropriate and  approved by the department, land use controls. 
    "Remediation level" means the concentration of a  contaminant with applicable land use controls, that is protective of human  health and the environment. 
    "Report" means the Voluntary Remediation Report  required by 9VAC20-160-70. 
    "Restricted use" means any use other than  residential. 
    "Risk" means the probability that a contaminant  will cause an adverse effect in exposed humans or to the environment. 
    "Risk assessment" means the process used to  determine the risk posed by contaminants released into the environment.  Elements include identification of the contaminants present in the  environmental media, assessment of exposure and exposure pathways, assessment  of the toxicity of the contaminants present at the site, characterization of  human health risks, and characterization of the impacts or risks to the  environment. 
    "Site" means any property or portion thereof, as  agreed to and defined by the participant and the department, which contains or  may contain contaminants being addressed under this program. 
    "Termination" means the formal discontinuation of  participation in the Voluntary Remediation Program without obtaining a  certification of satisfactory completion. 
    "Unrestricted use" means the designation of  acceptable future use for a site at which the remediation levels, based on  either background or standard residential exposure factors, have been attained  throughout the site in all media. 
    9VAC20-160-30. Eligibility criteria. 
    A. Candidate sites shall meet eligibility criteria as defined  in this section. 
    B. Any persons who own, operate, have a security interest in  or enter into a contract for the purchase or use of an eligible site who wish  to voluntarily remediate that site may participate in the program. Any person  who is an authorized agent of any of the parties identified in this subsection  may participate in the program. 
    C. Sites are eligible for participation in the program if (i)  remediation has not been clearly mandated by the United States Environmental  Protection Agency, the department or a court pursuant to the Comprehensive  Environmental Response, Compensation and Liability Act (42 USC § 9601 et  seq.), the Resource Conservation and Recovery Act (42 USC § 6901 et seq.),  the Virginia Waste Management Act (§ 10.1-1400 et seq. of the Code of  Virginia), the Virginia State Water Control Law (§ 62.1-44.2 et seq. of the  Code of Virginia), or other applicable statutory or common law; or (ii)  jurisdiction of the statutes listed in clause (i) has been waived. 
    A site on which an eligible party has completed remediation  of a release is potentially eligible for the program if the actions can be  documented in a way which are equivalent to the requirements for prospective  remediation, and provided the site meets applicable remediation levels. 
    Petroleum or oil releases not mandated for remediation under  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.) of  the Virginia State Water Control Law may be eligible for participation in the  program. 
    Where an applicant raises a genuine issue based on documented  evidence as to the applicability of regulatory programs in subsection D of this  section, the site may be eligible for the program. Such evidence may include a  demonstration that: 
    1. It is not clear whether the release involved a waste  material or a virgin material; 
    2. It is not clear that the release occurred after the  relevant regulations became effective; or 
    3. It is not clear that the release occurred at a regulated  unit. 
    D. For the purposes of this chapter, remediation has been  clearly mandated if any of the following conditions exist, unless jurisdiction  for such mandate has been waived: 
    1. Remediation of the release is the subject of a permit  issued by the U.S. Environmental Protection Agency or the department, a pending  or existing closure plan, a pending or existing administrative order, a pending  or existing court order, a pending or existing consent order, or the site is on  the National Priorities List; 
    2. The site at which the release occurred is subject to the  Virginia Hazardous Waste Management Regulations (9VAC20-60) (VHWMR), is a  permitted facility, is applying for or should have applied for a permit, is  under interim status or should have applied for interim status, or was  previously under interim status, and is thereby subject to requirements of the  VHWMR; 
    3. The site at which the release occurred constitutes an open  dump or unpermitted solid waste management facility under Part IV  (9VAC20-80-170 et seq.) 9VAC20-81-45 of the Virginia Solid  Waste Management Regulations; 
    4. The director determines that the release poses an imminent  and substantial threat to human health or the environment; or 
    5. Remediation of the release is otherwise the subject of a  response action required by local, state, or federal law or regulation. 
    E. The director may determine that a site under subdivision D  3 of this section may participate in the program provided that such  participation complies with the substantive requirements of the applicable  regulations. 
    9VAC20-170-30. Applicability. 
    A. This chapter applies to each owner and/or operator of a  vessel transporting solid wastes or regulated medical wastes for the purposes  of commercial carriage as cargo, and each owner or operator of a receiving  facility. This chapter also applies to the receiving facilities and vessels  transporting solid wastes or regulated medical wastes upon the navigable waters  of the Commonwealth to the extent allowable under state law. 
    B. This chapter does not apply to a public vessel as defined  under 9VAC20-170-10, the owner and operator of a public vessel, vessels transporting  solid wastes or regulated medical wastes incidental to their predominant  business or purposes, vessels transporting solid wastes or regulated medical  wastes generated during normal operations of the vessel, solid wastes or  regulated medical wastes generated during the normal operations of the vessel,  and solid wastes excluded pursuant to 9VAC20-80-150 or conditionally  exempted pursuant to 9VAC20-80-160 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations. 
    9VAC20-170-40. Relationship to other regulations. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  prescribe requirements for the solid waste management facilities in general.  While a facility utilized to receive solid wastes or regulated medical wastes  transported, loaded, or unloaded upon the navigable waters of the Commonwealth,  to the extent allowable under state law, by a commercial transporter is a solid  waste management facility, this chapter herein prescribes specific  requirements, including siting, design/construction, operation, and permitting,  for this type of facilities. If there is any overlapping requirement between  these two regulations, whichever is more stringent shall apply. 
    B. The Regulated Medical Waste Management Regulations  (9VAC20-120) address special needs for regulated medical waste management. A  facility utilized to receive regulated medical waste transported, loaded, or  unloaded upon the navigable waters of the Commonwealth, to the extent allowable  under state law, by a commercial transporter is a regulated medical waste  facility and it must conform to any applicable sections of the Regulated  Medical Waste Management Regulations adopted by the board. If there is any  overlapping requirement between these two regulations, whichever is more stringent  shall apply. 
    C. This chapter does not exempt any receiving facility from  obtaining a Virginia Water Protection Permit as required by the Virginia Water  Protection Permit Program Regulation (9VAC25-210), whenever it is applicable. 
    VA.R. Doc. No. R11-2731; Filed June 8, 2011, 1:15 p.m. 
TITLE 9. ENVIRONMENT
VIRGINIA WASTE MANAGEMENT BOARD
Final Regulation
        REGISTRAR'S NOTICE: The  Virginia Waste Management Board is claiming an exemption from the  Administrative Process Act in accordance with § 2.2-4006 A 3,  which excludes regulations that consist only of changes in style or form or  corrections of technical errors. The Virginia Waste Management Board will  receive, consider, and respond to petitions by any interested person at any  time with respect to reconsideration or revision.
         Titles of Regulations: 9VAC20-60. Virginia Hazardous  Waste Management Regulations (amending 9VAC20-60-261).
    9VAC20-70. Financial Assurance Regulations for Solid Waste  Disposal, Transfer and Treatment Facilities (amending 9VAC20-70-10, 9VAC20-70-50,  9VAC20-70-70, 9VAC20-70-75, 9VAC20-70-90, 9VAC20-70-113, 9VAC20-70-210,  9VAC20-70-290).
    9VAC20-81. Solid Waste Management Regulations (amending 9VAC20-81-10, 9VAC20-81-35, 9VAC20-81-95,  9VAC20-81-140, 9VAC20-81-160, 9VAC20-81-250, 9VAC20-81-260, 9VAC20-81-300,  9VAC20-81-397, 9VAC20-81-470, 9VAC20-81-485, 9VAC20-81-490, 9VAC20-81-530,  9VAC20-81-600).
    9VAC20-85. Coal Combustion Byproduct Regulations (amending 9VAC20-85-10, 9VAC20-85-40,  9VAC20-85-50, 9VAC20-85-60, 9VAC20-85-90, 9VAC20-85-150, 9VAC20-85-180).
    9VAC20-120. Regulated Medical Waste Management Regulations (amending 9VAC20-120-10, 9VAC20-120-70,  9VAC20-120-100, 9VAC20-120-300, 9VAC20-120-540, 9VAC20-120-810).
    9VAC20-130. Solid Waste Planning and Recycling Regulations (amending 9VAC20-130-10, 9VAC20-130-60,  9VAC20-130-120).
    9VAC20-140. Regulations for the Certification of Recycling  Machinery and Equipment for Tax Exemption Purposes (amending 9VAC20-140-10).
    9VAC20-150. Waste Tire End User Reimbursement Regulation (amending 9VAC20-150-10, 9VAC20-150-20,  9VAC20-150-40).
    9VAC20-160. Voluntary Remediation Regulations (amending 9VAC20-160-10, 9VAC20-160-30).
    9VAC20-170. Transportation of Solid and Medical Wastes on  State Waters (amending 9VAC20-170-30, 9VAC20-170-40). 
    Statutory Authority: §§ 10.1-1232, 10.1-1402, 10.1-1410, 10.1-1411, 10.1-1422.3, 10.1-1422.4, and 58.1-3661 of the Code of  Virginia.
    Effective Date: August 3, 2011. 
    Agency Contact: Debra Miller, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4206, FAX (804) 698-4346, or email  debra.miller@deq.virginia.gov.
    Summary:
    Amendment 7 to the Solid Waste Management Regulations  amended and recodified these regulations creating 9VAC20-81, which became  effective March 16, 2011. This regulatory action makes necessary style and form  changes and technical corrections to that chapter and, as a secondary action,  makes the appropriate citations changes in other waste management regulations. 
    9VAC20-60-261. Adoption of 40 CFR Part 261 by reference. 
    A. Except as otherwise provided, the regulations of the  United States Environmental Protection Agency set forth in 40 CFR Part 261 are  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. Except as otherwise provided, all material definitions, reference  materials and other ancillaries that are a part of 40 CFR Part 261 are also  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. 
    B. In all locations in these regulations where 40 CFR Part  261 is incorporated by reference, the following additions, modifications and  exceptions shall amend the incorporated text for the purpose of its  incorporation into these regulations: 
    1. Any agreements required by 40 CFR 261.4(b)(11)(ii) shall be  sent to the United States Environmental Protection Agency at the address shown  and to the Department of Environmental Quality, P.O. Box 1105, Richmond,  Virginia 23218. 
    2. In 40 CFR 261.4(e)(3)(iii), the text "in the Region  where the sample is collected" shall be deleted. 
    3. In 40 CFR 261.4(f)(1), the term "Regional  Administrator" shall mean the regional administrator of Region III of the  United States Environmental Protection Agency or his designee. 
    4. In 40 CFR 261.6(a)(2), recyclable materials shall be  subject to the requirements of 9VAC20-60-270 and Part XII (9VAC20-60-1260 et  seq.) of this chapter. 
    5. No hazardous waste from a conditionally exempt small  quantity generator shall be managed as described in 40 CFR 261.5(g)(3)(iv) or  40 CFR 261.5(g)(3)(v) unless such waste management is in full compliance with  all requirements of the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    6. In 40 CFR 261.9 and wherever elsewhere in Title 40 of the  Code of Federal Regulations there is a listing of universal wastes or a listing  of hazardous wastes that are the subject of provisions set out in 40 CFR Part  273 as universal wastes, it shall be amended by addition of the following  sentence: "In addition to the hazardous wastes listed herein, the term  "universal waste" and all lists of universal waste or waste subject  to provisions of 40 CFR Part 273 shall include those hazardous wastes listed in  Part XVI (9VAC20-60-1495 et seq.) of the Virginia Hazardous Waste Management  Regulations as universal wastes, under such terms and requirements as shall  therein be ascribed." 
    7. In Subparts B and D of 40 CFR Part 261, the term  "Administrator" shall mean the administrator of the United States  Environmental Protection Agency, and the term "Director" shall not  supplant "Administrator" throughout Subparts B and D. 
    8. Regardless of the provisions of 9VAC20-60-18, the revisions  to 40 CFR Part 261 as promulgated by U.S. EPA on October 30, 2008, (73 FR 64757  - 64788) (definition of solid waste rule) are not adopted herein.
    Part I 
  Definitions 
    9VAC20-70-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings, unless the context clearly indicates otherwise: 
    "Abandoned facility" means any inactive solid waste  management facility that has not met closure and post-closure care  requirements. 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at the completion  of closure activities required by 9VAC20-80-10 et seq the Solid Waste  Management Regulations (9VAC20-81). Active life does not include the  post-closure care monitoring period. 
    "Anniversary date" means the date of issuance of a  financial mechanism. 
    "Assets" means all existing and all probable future  economic benefits obtained or controlled by a particular entity. 
    "Authority" means an authority created under the  provisions of the Virginia Water and Waste Authorities Act, Chapter 51 (§ 15.2-5100  et seq.) of Title 15.2 of the Code of Virginia, or, if any such authority shall  be abolished, the board, body, or commission succeeding to the principal  functions thereof or to whom the powers given by the Virginia Water and Waste  Authorities Act to such authority shall be given by law. 
    "Board" means the Virginia Waste Management Board. 
    "Cash plus marketable securities" means all the  cash plus marketable securities held on the last day of a fiscal year,  excluding cash and marketable securities designed to satisfy past obligations  such as pensions. 
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of 9VAC20-80-10  et seq., 9VAC20-101-10 et seq., 9VAC20-120-10 et seq., or 9VAC20-170-10 et seq.  the Solid Waste Management Regulations (9VAC20-81), the Regulated Medical  Waste Management Regulations (9VAC20-120), or the Transportation of Solid and  Medical Wastes on State Waters Regulations (9VAC20-170). A closed facility  may be undergoing post-closure care. 
    "Closure" means the act of securing a solid waste  management facility pursuant to the requirements of this chapter and any other  applicable solid waste management standards. 
    "Commercial transporter" means any person who  transports for the purpose of commercial carriage of solid wastes or regulated  medical wastes as cargo. 
    "Corrective action" means all actions necessary to  mitigate the public health or environmental threat from a release to the  environment of solid waste or constituents of solid waste from an operating,  abandoned, or closed solid waste management facility and to restore the  environmental conditions as required. 
    "Current annual inflation factor" means the annual  inflation factor derived from the most recent Implicit Price Deflator for Gross  National Product published by the U.S. Department of Commerce in its Survey of  Current Business. 
    "Current assets" means cash or other assets or  resources commonly identified as those which are reasonably expected to be  realized in cash or sold or consumed during the normal operating cycle of the  business. 
    "Current closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-111. 
    "Current dollars" means the figure represented by  the total of the cost estimate multiplied by the current annual inflation  factor. 
    "Current liabilities" means obligations whose  liquidation is reasonably expected to require the use of existing resources  properly classifiable as current assets or the creation of other current  liabilities. 
    "Current post-closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-112. 
    "Current year expenses for closure" means  expenditures documented by the facility during the previous fiscal year for  construction-related activities associated with closing the facility. Expenses  for closure must be detailed and identified in an approved closure plan. 
    "Debt service" means the amount of principal and  interest due on a loan in a given time period, typically the current year. 
    "Deficit" means total annual revenues less total  annual expenditures. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent thereof may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means any solid waste management facility  unless the context clearly indicates otherwise. The term "facility"  includes transfer stations. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Governmental unit" means any department,  institution or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.  
    "Groundwater" means any water, except capillary  moisture or unsaturated zone moisture, beneath the land surface in the zone of  saturation or beneath the bed of any stream, lake, reservoir or other body of  surface water within the boundaries of this Commonwealth, whatever may be the  subsurface geologic structure in which such water stands, flows, percolates or  otherwise occurs. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60). 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill as defined by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Leachate" means a liquid that has passed through  or emerged from solid waste and that contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation for disposal in an off-site facility is regulated as septage,  and leachate discharged into a wastewater collection system is regulated as  industrial wastewater. 
    "Liabilities" means probable future sacrifices of  economic benefits arising from present obligations to transfer assets or  provide services to other entities in the future as a result of past  transactions or events. 
    "Local government" means a county, city or town or  any authority, commission, or district created by one or more counties, cities  or towns. 
    "Net working capital" means current assets minus  current liabilities. 
    "Net worth" means total assets minus total  liabilities and is equivalent to owner's equity. 
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means a person who owns a solid waste  management facility or part of a solid waste management facility. For the  purposes of this chapter, all individuals, corporations, companies, partnerships,  societies or associations, and any federal agency or governmental unit of the  Commonwealth having any title or interest in any solid waste management  facility or the services or facilities to be rendered thereby shall be  considered an owner. 
    "Parent corporation" means a corporation that  directly owns at least 50% of the voting stock of the corporation that is the  facility owner or operator; the latter corporation is deemed a  "subsidiary" of the parent corporation. 
    "Permit" means the written permission of the  director to own, operate, modify, or construct a solid waste management  facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Post-closure care" means the requirements placed  upon an owner or operator of a solid waste disposal facility after closure to  ensure environmental and public health and safety are protected for a specified  number of years after closure. 
    "Receiving facility" means a facility, vessel or  operation that receives solid wastes or regulated medical wastes transported,  loaded or unloaded upon the navigable waters of the Commonwealth, to the extent  allowable under state law, by a commercial transporter. A receiving facility is  considered as a solid waste management facility. A facility that receives solid  waste from a ship, barge or other vessel and is regulated under § 10.1-1454.1  of the Code of Virginia shall be considered a transfer facility for purposes of  this chapter. 
    "Regulated medical waste" means solid waste so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120) as promulgated by the Virginia Waste  Management Board. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of solid waste which is so located, designed,  constructed and operated to contain and isolate the solid waste so that it does  not pose a substantial present or potential hazard to human health or the  environment. 
    "Signature" means the name of a person written with  his own hand. 
    "Site" means all land and structures, other  appurtenances, and improvements thereon used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the property  boundary used for utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Virginia Waste Management Act and the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility (SWMF)" means a  site used for planned treating, storing, or disposing of solid waste. A  facility may consist of several treatment, storage, or disposal units. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Substantial business relationship" means the  extent of a business relationship necessary under applicable Virginia law to  make a guarantee contract incident to that relationship valid and enforceable.  A "substantial business relationship" shall arise from a pattern of recent  and on-going business transactions, in addition to the guarantee itself, such  that a currently existing business relationship between the guarantor and the  owner or operator is demonstrated to the satisfaction of the director. 
    "Tangible net worth" means the tangible assets that  remain after deducting liabilities; such assets would not include intangibles  such as goodwill and rights to patents or royalties. 
    "Total expenditures" means all expenditures  excluding capital outlays and debt repayment. 
    "Total revenue" means revenue from all taxes and  fees but does not include the proceeds from borrowing or asset sales, excluding  revenue from funds managed on behalf of a specific third party. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Treatment" means any method, technique, or  process, including incineration or neutralization, designed to change the  physical, chemical, or biological character or composition of any waste to  neutralize it or render it less hazardous or nonhazardous, safer for transport,  or more amenable to use, reuse, reclamation or recovery. 
    "Unit" means a discrete area of land used for the  management of solid waste. 
    9VAC20-70-50. Applicability of chapter. 
    A. This chapter applies to all persons who own, operate, or  allow the following permitted or unpermitted facilities to be operated on their  property: 
    1. Solid waste treatment, transfer and disposal facilities  regulated under the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81);
    2. Facilities Vegetative waste management facilities  regulated under the Vegetative Waste Management and Yard Waste Composting  Regulations (9VAC20-101-10 et seq.) Solid Waste Management Regulations  (9VAC20-81);
    3. Medical waste treatment, transfer or disposal facilities  regulated under the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120); or 
    4. Receiving facilities as defined herein.
    B. Exemptions. 
    1. Owners or operators of facilities who are federal or state  government entities whose debts and liabilities are the debts or liabilities of  the United States or the Commonwealth, are exempt from this chapter; 
    2. Owners and operators of facilities conditionally exempt  under 9VAC20-80-60 D 9VAC20-81-95 of the Virginia Solid  Waste Management Regulations are exempt from this chapter so long as they meet  the conditions of the exemption; 
    3. Owners and operators of facilities that manage solely  wastes excluded under 9VAC20-80-150 or conditionally exempt under 9VAC20-80-160  9VAC20-81-95 of the Virginia Solid Waste Management Regulations  are exempt from this chapter; 
    4. Owners or operators of facilities exempt under  9VAC20-120-120 or excluded under 9VAC20-120-130 of the Virginia  Regulated Medical Waste Management Regulations (9VAC20-120-10 et seq.) (9VAC20-120)  are exempt from this chapter; 
    5. Owners and operators of yard waste composting facilities  exempt under 9VAC20-101-60 and 9VAC20-101-70 of the Vegetative Waste  Management and Yard Waste Composting Regulations 9VAC20-81-95 of the  Solid Waste Management Regulations are exempt from this chapter; and 
    6. Owners and operators of hazardous waste management units  regulated under the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60) are exempt from this chapter as far as such  units are concerned. 
    C. Owners and operators of facilities or units that treat or  dispose of wastes which are exempted from the Virginia Hazardous Waste  Management Regulations (9VAC20-60-12 et seq.) (9VAC20-60) are  subject to these regulations unless also exempted herein. 
    D. Facilities with separate ownership and operation. If  separate, nonexempt persons own and operate a facility subject to this chapter,  the owner and operator shall be jointly and severally liable for meeting the  requirements of this chapter. If either the owner or operator is exempt, as  provided in 9VAC20-70-50 B, then the other person shall be liable for meeting  the requirements of this chapter. If both the owner and the operator are  exempt, as provided in 9VAC20-70-50 B, then the requirements of this chapter  are not applicable to that facility. 
    E. Exemptions for facilities owned and operated by local  governments. 
    1. Closed facilities. Owners and operators of facilities who  are local governmental entities or regional authorities that have completed  closure by October 9, 1994, are exempt from all the requirements of this  chapter, provided they: 
    a. Have (i) disposed of less than 100 tons per day of solid  waste during a representative period prior to October 9, 1993; (ii) disposed of  less than 100 tons per day of solid waste each month between October 9, 1993,  and April 9, 1994; (iii) ceased to accept solid waste prior to April 9, 1994;  and (iv) whose units are not on the National Priority List as found in Appendix  B to 40 CFR Part 300; or 
    b. Have (i) disposed of more than 100 tons per day of solid  waste prior to October 9, 1993, and (ii) ceased to accept solid waste prior to  that date. 
    2. All other facilities. Owners and operators of facilities  who are local governmental entities or regional authorities that are not exempt  under subdivision 1 of this subsection are subject to the requirements of this  chapter. 
    9VAC20-70-70. Suspensions and revocations. 
    The director may revoke, suspend, or amend any permit for  cause as set in § 10.1-1409 of the Code of Virginia and as provided for in  9VAC20-80-600 9VAC20-81-570 and 9VAC20-80-620 9VAC20-81-600  of the Virginia Solid Waste Management Regulations, 9VAC20-120-790 and  9VAC20-120-810 of the Regulated Medical Waste Management Regulations, 9VAC20-101-200  of the Vegetative Waste Management and Yard Waste Composting Regulations,  and any other applicable regulations. Failure to provide or maintain adequate  financial assurance in accordance with these regulations shall be a basis for  revocation of such facility permit. Failure to provide or maintain adequate  financial assurance in accordance with this chapter, taken with other relevant  facts and circumstances, may be a basis for summary suspension of such facility  permit pending a hearing to amend or revoke the permit, or to issue any other appropriate  order. 
    9VAC20-70-75. Forfeitures. 
    Forfeiture of any financial obligation imposed pursuant to  this chapter shall not relieve any owner or operator of a solid waste  management facility from any obligations to comply with provisions of the Solid  Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  or the Regulated Medical Waste Management Regulations (9VAC20-120-10 et  seq.), the Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.) (9VAC20-120), and any other applicable  regulations or any other legal obligations for the consequences of abandonment  of any facility. 
    Article 2 
  Closure, Post-Closure Care and Corrective Action Requirements 
    9VAC20-70-90. Closure, post-closure care and corrective action  requirements. 
    A. The owner or operator shall close his facility in a manner  that minimizes the need for further maintenance; and controls, minimizes or  eliminates, to the extent necessary to protect human health and the  environment, the post-closure escape of uncontrolled leachate, surface runoff,  or waste decomposition products to the groundwater, surface water, or to the  atmosphere. The owner or operator shall close his facility in accordance with  all applicable regulations. 
    The closure standards applicable to the solid waste  management facilities are described in 9VAC20-80-210 B, 9VAC20-80-210 B 2,  9VAC20-80-250 E, 9VAC20-80-260 E, 9VAC20-80-270 E, 9VAC20-80-330 E,  9VAC20-80-340 E, 9VAC20-80-360 E, 9VAC20-80-370 E, 9VAC20-80-380 B, and  9VAC20-80-470 E 9VAC20-81-160, 9VAC20-81-360, and 9VAC20-81-370 of  the Solid Waste Management Regulations. The closure requirements applicable to  the regulated medical waste facilities are specified in 9VAC20-120-290 of the  Regulated Medical Waste Management Regulations. The closure requirements for  vegetative waste management and yard waste composting facilities are specified  in 9VAC20-101-150 of the Vegetative Waste Management and Yard Waste Composting  Regulations. 
    B. Following closure of each solid waste disposal unit, the  owner or operator shall conduct post-closure care in accordance with the  requirements of 9VAC20-80-250 F, 9VAC20-80-260 F, or 9VAC20-80-270 F 9VAC20-81-170  of the Solid Waste Management Regulations, as applicable. 
    C. The owner or operator shall institute a corrective action  program when required to do so by 9VAC20-80-190, 9VAC20-80-210 B 2, or  9VAC20-80-310 9VAC20-81-45 or 9VAC20-81-260 of the Solid Waste  Management Regulations, as applicable. 
    D. During any re-examination of a determination of the amount  of financial assurance required, the owner or operator of a landfill facility  not closed in accordance with 9VAC20-80-10 et seq. 9VAC20-81  shall demonstrate financial assurance by using one or more of the approved  mechanisms listed in Article 4 (9VAC20-70-140 et seq.) of this part for the  lesser of the following: 
    1. The amount requested by the director; or 
    2. The following default amounts: 
    a. $200,000 per acre of fill for sanitary landfills; or 
    b. $150,000 per acre of fill for construction demolition  debris landfills and industrial landfills. 
    9VAC20-70-113. Financial assurance for corrective action. 
    A. Within 120 days of a facility's finding or the director's  determining (whichever first occurs) that Groundwater Protection Standards  established as required by 9VAC20-80-250 D 6, or Appendix 5.6 D of  9VAC20-80-10 et seq. as applicable 9VAC20-81-250 have been  statistically exceeded, an owner or operator of a landfill or other unit  subject to groundwater monitoring shall provide additional financial assurance  in the amount of $1 million to the department using the mechanisms listed under  Article 4 (9VAC20-70-140 et seq.) of this part. The director shall release the  owner or operator from this requirement after the director has determined: 
    1. The owner or operator is providing financial assurance for  a corrective action program using one or more mechanisms listed under Article 4  (9VAC20-70-140 et seq.) of this part, as required under 9VAC20-70-90 C and  subsections B and C of this section; or 
    2. The owner of operator has achieved compliance with  Groundwater Protection Standards by demonstrating that concentrations of APPENDIX  5.1 constituents of 9VAC20-80-10 et seq. Table 3.1, Column B of  9VAC20-81-250 have not exceeded the Groundwater Protection Standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards. 
    B. An owner or operator of a solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  prepare and submit to the director a detailed written estimate, in current  dollars, of the cost of hiring a third party to perform the corrective action.  The corrective action cost estimate shall account for the total costs of  corrective action activities as described in the corrective action plan for the  entire corrective action period. The owner or operator shall notify the  director that the estimate has been placed in the operating record unless  corrective action is proceeding under Part IV of the Solid Waste Management  Regulations (9VAC20-80-10 et seq.) 9VAC20-81-45. In the latter case,  the new corrective action cost estimate shall be submitted to the director  within 30 days of its preparation. The corrective action cost estimate shall be  approved by the director. 
    1. The owner or operator shall adjust the estimate annually  for inflation within 60 days prior to the anniversary date of the establishment  of the financial mechanism used to comply with this part until the corrective  action program is completed. For owners or operators using the financial test  or guarantee, the corrective action cost estimate shall be updated for  inflation within 30 days after the close of the owner's or operator's fiscal  year. The adjustment process to be used is described in 9VAC20-70-111 B. 
    2. The owner or operator shall increase the corrective action  cost estimate and the amount of financial assurance provided under this  subsection no later than 30 days after revisions to the corrective action  program or where a change in the solid waste management unit conditions  increase the maximum costs of corrective action. 
    3. The owner or operator may request a reduction in the amount  of the corrective action cost estimate and the amount of financial assurance  provided under this subsection if the cost estimate exceeds the maximum  remaining costs of corrective action. The owner or operator shall submit a  revised cost estimate with the justification for the reduction to the director  when requesting a reduction in the amount of the corrective action cost  estimate and the amount of financial assurance provided. The justification  shall include an itemization of all corrective action costs. No reduction  request shall be reviewed until a complete cost estimate acceptable to the  department has been submitted. A request for a reduction in the corrective  action cost estimate shall be reviewed in a timely manner. 
    C. The owner or operator of each solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  establish financial assurance in the amount specified by the most recently  approved cost estimate for the selected remedy in accordance with  9VAC20-70-140. The owner or operator shall provide continuous coverage for  corrective action until released from financial assurance requirements for  corrective action by the director. 
    9VAC20-70-210. Local government financial test. 
    An owner or operator that satisfies the requirements of  subdivisions 1 through 3 of this section may demonstrate financial assurance  using the local government financial test up to the amount specified in  subdivision 4 of this section. 
    1. Financial component. 
    a. The owner or operator shall satisfy the provisions of  subdivision 1 a of this section, as applicable: 
    (1) If the owner or operator has outstanding, rated, general  obligation bonds that are not secured by insurance, a letter of credit, or  other collateral or guarantee, he shall supply the director with documentation  demonstrating that the owner or operator has a current rating of Aaa, Aa, A, or  Baa, as issued by Moody's, or AAA, AA, A, or BBB, as issued by Standard and  Poor's on all such general obligation bonds; or 
    (2) If the owner or operator does not have outstanding, rated  general obligation bonds, he shall satisfy each of the following financial  ratios based on the owner's or operator's most recent audited annual financial  statement: 
    (a) A ratio of cash plus marketable securities to total  expenditures greater than or equal to 0.05; and 
    (b) A ratio of annual debt service to total expenditures less  than or equal to 0.20. 
    b. The owner or operator shall prepare his financial  statements in conformity with Generally Accepted Accounting Principles for  governments and have its financial statements audited by an independent  certified public accountant or by the Auditor of Public Accounts. 
    c. An owner or operator is not eligible to assure its  obligations under this section if he: 
    (1) Is currently in default on any outstanding general  obligation bonds; 
    (2) Has any outstanding general obligation bonds rated lower  than Baa as issued by Moody's or BBB as issued by Standard and Poor's; 
    (3) Operated at a deficit equal to 5.0% or more of total  annual revenue in each of the past two fiscal years; or 
    (4) Receives an adverse opinion, disclaimer of opinion, or  other qualified opinion from the independent certified public accountant or  Auditor of Public Accounts auditing its financial statement as required under  subdivision 1 b of this section. However, the director may evaluate qualified  opinions on a case-by-case basis and allow use of the financial test in cases  where the director deems the qualification insufficient to warrant disallowance  of the test. 
    2. Public notice component. The local government owner or  operator shall place a reference to the closure, post-closure care, or  corrective action costs assured through the financial test into the next  comprehensive annual financial report (CAFR) after January 7, 1998, or prior to  the initial receipt of waste at the facility, whichever is later. Disclosure  shall include the nature and source of closure and post-closure requirements,  the reported liability at the balance sheet date, the estimated total closure  and post-closure care cost remaining to be recognized, the percentage of  landfill capacity used to date, and the estimated landfill life in years. A  reference to corrective action cost shall be placed in CAFR no later than 120  days after the corrective action remedy has been selected in accordance with 9VAC20-80-310  9VAC20-81-260. For the first year the financial test is used to assure  costs at a particular facility, the reference may instead be placed in the  operating record until issuance of the next available CAFR if timing does not  permit the reference to be incorporated into the most recently issued CAFR or  budget. For closure and post-closure care costs, conformance with Government  Accounting Standards Board Statement 18 assures compliance with this public  notice component. 
    3. Recordkeeping and reporting requirements. 
    a. The local government owner or operator must submit to the  department the following items and place copies of the items in the facility's  operating record: 
    (1) An original letter signed by the local government's chief  financial officer worded as specified in 9VAC20-70-290 G; 
    (2) The local government's independently audited year-end  financial statements for the latest fiscal year, including the unqualified  opinion of the auditor who must be an independent, certified public accountant  or an appropriate state agency that conducts equivalent comprehensive audits; 
    (3) A report to the local government from the local  government's independent certified public accountant (CPA) or the Auditor of  Public Accounts based on performing an agreed upon procedures engagement  relative to the financial ratios required by subdivision 1 a (3) of this  section, if applicable, and the requirements of subdivisions 1 b, 1 c (3) and 1  c (4) of this section. The CPA or state agency's report shall state the  procedures performed and the CPA or state agency's findings; 
    (4) A copy of the comprehensive annual financial report (CAFR)  used to comply with subdivision 2 of this section or certification that the  requirements of General Accounting Standards Board Statement 18 have been met; 
    (5) A certification from the local government's chief  executive officer stating in detail the method selected by the local government  for funding closure and post-closure costs. If the method selected by the local  government is a trust fund, escrow account or similar mechanism, there shall be  included a certification from the local government's chief financial officer  indicating the current reserve obligated to closure and post-closure care cost.  If the method selected by local governments is the use of annual operating  budget and Capital Investment Funds, there shall be a certification from the  local government's chief financial officer so indicating. Nothing herein shall  be construed to prohibit the local government from revising its plan for  funding closure and post-closure care costs if such revision provides economic  benefit to the local government and if such revision provides adequate means  for funding closure and post-closure care cost. This certification shall be  worded as specified in 9VAC20-70-290 H; and 
    (6) If the local government is required under this section to  fund a restricted sinking fund, escrow account, or to obtain an irrevocable  letter of credit, an original letter signed by the local government's chief  financial officer and worded as specified in 9VAC20-70-290 I must be submitted.  
    b. The items required in subdivision 3 a of this section shall  be submitted to the department and placed in the facility operating record as  follows: 
    (1) In the case of closure and post-closure care, either  before January 7, 1998, or prior to the initial receipt of waste at the  facility, whichever is later; or 
    (2) In the case of corrective action, not later than 120 days  after the corrective action remedy is selected in accordance with the  requirements of 9VAC20-80-310 9VAC20-81-260. 
    c. After the initial submission of the items, the local  government owner or operator must update the information, place a copy of the  updated information in the operating record, and submit the updated  documentation described in subdivisions 3 a (1) through (6) of this section to  the department within 180 days following the close of the owner or operator's  fiscal year. 
    d. The local government owner or operator is no longer  required to meet the requirements of subdivision 3 of this section when: 
    (1) The owner or operator substitutes alternate financial  assurance as specified in this section; or 
    (2) The owner or operator is released from the requirements of  this section in accordance with 9VAC20-70-111 E, 9VAC20-70-112 B, or  9VAC20-70-113 C. 
    e. A local government shall satisfy the requirements of the  financial test at the close of each fiscal year. If the local government owner  or operator no longer meets the requirements of the local government financial  test it must, within 210 days following the close of the owner or operator's  fiscal year, obtain alternative financial assurance that meets the requirements  of this section, place a copy of the financial assurance mechanism in the  operating record, and submit the original financial assurance mechanism to the  director. 
    f. The director, based on a reasonable belief that the local  government owner or operator may no longer meet the requirements of the local  government financial test, may require additional reports of financial  condition from the local government at any time. If the director finds, on the  basis of such reports or other information, that the owner or operator no  longer meets the requirements of the local government financial test, the local  government shall provide alternate financial assurance in accordance with this  article. 
    4. Calculation of costs to be assured. The portion of the  closure, post-closure, and corrective action costs for which an owner or  operator can assure under subdivision 1 of this section is determined as  follows: 
    a. If the local government owner or operator does not assure  other environmental obligations through a financial test, it may assure  closure, post-closure, and corrective action costs that equal up to 43% of the  local government's total annual revenue or the sum of total revenues of  constituent governments in the case of regional authorities. If the local  government assures closure, post-closure, and corrective action costs that  exceed 20% (but do not exceed 43%) of the local government's total annual  revenue or the sum of the revenue of constituent governments in the case of  regional authorities, the locality must also establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    b. If the local government assures other environmental obligations  through a financial test, including those associated with UIC facilities under  40 CFR 144.62, petroleum underground storage tank facilities under  9VAC25-590-10 et seq., PCB storage facilities under 40 CFR Part 761, and  hazardous waste treatment, storage, and disposal facilities under Part IX or X  of the Virginia Hazardous Waste Management Regulations (9VAC20-60-12 et  seq.) (9VAC20-60), it shall add those costs to the closure,  post-closure, and corrective action costs it seeks to assure under subdivision  1 of this section. The total shall not exceed 43% of the local government's  total annual revenue. If the local government's total environmental liabilities  assured through financial tests exceed 20% (but do not exceed 43%) of the local  government's total annual revenue or the sum of the revenue of constituent  governments in the case of regional authorities, the locality must also  establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    c. The owner or operator shall obtain an alternate financial  assurance mechanism for those costs that exceed the limits set in subdivisions  4 a and 4 b of this section. 
    9VAC20-70-290. Wording of financial mechanisms. 
    A. Wording of trust agreements. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    TRUST AGREEMENT 
    Trust agreement, the "Agreement," entered into as  of (date) by and between (name of the owner or operator), a (State)  (corporation, partnership, association, proprietorship), the  "Grantor," and (name of corporate trustee), a (State corporation)  (national bank), the "Trustee." 
    Whereas, the Virginia Waste Management Board has established  certain regulations applicable to the Grantor, requiring that the owner or operator  of a (solid) (regulated medical) (yard) waste (transfer station) (receiving)  (management) facility must provide assurance that funds will be available when  needed for (closure, post-closure care, or corrective action) of the facility, 
    Whereas, the Grantor has elected to establish a trust to  provide (all or part of) such financial assurance for the facility identified  herein, 
    Whereas, the Grantor, acting through its duly authorized  officers, has selected the Trustee to be the trustee under this agreement, and  the Trustee is willing to act as trustee, 
    Now, therefore, the Grantor and the Trustee agree as follows:  
    Section 1. Definitions. As used in this Agreement: 
    A. The term "fiduciary" means any person who  exercises any power of control, management, or disposition or renders  investment advice for a fee or other compensation, direct or indirect, with  respect to any moneys or other property of this trust fund, or has any  authority or responsibility to do so, or who has any authority or  responsibility in the administration of this trust fund. 
    B. The term "Grantor" means the owner or operator  who enters into this Agreement and any successors or assigns of the Grantor. 
    C. The term "Trustee" means the Trustee who enters  into this Agreement and any successor Trustee. 
    Section 2. Identification of Facility and Cost Estimates.  This Agreement pertains to facility(ies) and cost estimates identified on  attached Schedule A. 
    (NOTE: On Schedule A, for each facility list, as applicable,  the permit number, name, address, and the current closure, post-closure,  corrective action cost estimates, or portions thereof, for which financial  assurance is demonstrated by this Agreement.) 
    Section 3. Establishment of Fund. The Grantor and the Trustee  hereby establish a trust fund, the "Fund," for the benefit of the  Department of Environmental Quality, Commonwealth of Virginia. The Grantor and  the Trustee intend that no third party have access to the Fund except as herein  provided. The Fund is established initially as property consisting of cash or  securities, which are acceptable to the Trustee, described in Schedule B  attached hereto. Such property and any other property subsequently transferred  to the Trustee is referred to as the fund, together with all earnings and  profits thereon, less any payments or distributions made by the Trustee  pursuant to this Agreement. The Fund will be held by the Trustee, IN TRUST, as  hereinafter provided. The Trustee undertakes no responsibility for the amount  or adequacy of, nor any duty to collect from the Grantor, any payments to  discharge any liabilities of the Grantor established by the Commonwealth of  Virginia's Department of Environmental Quality. 
    Section 4. Payment for (Closure, Post-Closure Care, or  Corrective Action). The Trustee will make such payments from the Fund as the  Department of Environmental Quality, Commonwealth of Virginia will direct, in  writing, to provide for the payment of the costs of (closure, post-closure  care, corrective action) of the facility covered by this Agreement. The Trustee  will reimburse the Grantor or other persons as specified by the Department of  Environmental Quality, Commonwealth of Virginia, from the Fund for (closure,  post-closure care, corrective action) expenditures in such amounts as the  Department of Environmental Quality will direct, in writing. In addition, the  Trustee will refund to the Grantor such amounts as the Department of  Environmental Quality specifies in writing. Upon refund, such funds will no  longer constitute part of the Fund as defined herein. 
    Section 5. Payments Comprising the Fund. Payments made to the  Trustee for the fund will consist of cash or securities acceptable to the  Trustee. 
    Section 6. Trustee Management. The Trustee will invest and  reinvest the principal and income of the Fund and keep the Fund invested as a  single fund, without distinction between principal and income, in accordance  with investment guidelines and objectives communicated in writing to the  Trustee from time to time by the Grantor, subject, however, to the provisions  of this Section. In investing, reinvesting, exchanging, selling and managing  the Fund, the Trustee or any other fiduciary will discharge his duties with  respect to the trust fund solely in the interest of the beneficiary and with  the care, skill, prudence, and diligence under the circumstances then  prevailing which persons of prudence, acting in a like capacity and familiar  with such matters, would use in the conduct of any enterprise of a like  character and with like aims; except that: 
    A. Securities or other obligations of the Grantor, or any  other owner or operator of the facility, or any of their affiliates as defined  in the Investment Company Act of 1940, as amended, 15 USC § 80a-2(a), will not  be acquired or held, unless they are securities or other obligations of the  federal or a state government; 
    B. The Trustee is authorized to invest the Fund in time or  demand deposits of the Trustee, to the extent insured by an agency of the  federal or state government; and 
    C. The Trustee is authorized to hold cash awaiting investment  or distribution uninvested for a reasonable time and without liability for the  payment of interest thereon. 
    Section 7. Commingling and Investment. The Trustee is  expressly authorized in its discretion: 
    A. To transfer from time to time any or all of the assets of  the Fund to any common, commingled or collective trust fund created by the  Trustee in which the Fund is eligible to participate subject to all of the  provisions thereof, to be commingled with the assets of other trusts  participating herein. To the extent of the equitable share of the Fund in any  such commingled trust, such commingled trust will be part of the Fund; and 
    B. To purchase shares in any investment company registered  under the Investment Company Act of 1940, 15 USC § 80a-1 et seq., of one which  may be created, managed, underwritten, or to which investment advice is  rendered or the shares of which are sold by the Trustee. The Trustees may vote  such shares in its discretion. 
    Section 8. Express Powers of Trustee. Without in any way  limiting the powers and discretions conferred upon the Trustee by the other  provisions of this Agreement or by law, the Trustee is expressly authorized and  empowered: 
    A. To sell, exchange, convey, transfer or otherwise dispose of  any property held by it, by private contract or at public auction. No person  dealing with the Trustee will be bound to see to the application of the  purchase money or to inquire into the validity or expediency of any such sale  or other dispositions; 
    B. To make, execute, acknowledge and deliver any and all  documents of transfer and conveyance and any and all other instruments that may  be necessary or appropriate to carry out the powers herein granted; 
    C. To register any securities held in the fund in its own name  or in the name of a nominee and to hold any security in bearer form or in book  entry, or to combine certificates representing such securities with  certificates of the same issue held by the Trustee in other fiduciary  capacities, or to deposit or arrange for the deposit of such securities in a  qualified central depository even though, when so deposited, such securities  may be merged and held in bulk in the name of the nominee of such depository  with other securities deposited therein by another person, or to deposit or  arrange for the deposit of any securities issued by the United State  government, or any agency or instrumentality thereof with a Federal Reserve  Bank, but the books and records of the Trustee will at all times show that all  such securities are part of the Fund; 
    D. To deposit any cash in the fund in interest-bearing  accounts maintained or savings certificates issued by the Trustee, in its  separate corporate capacity, or in any other banking institution affiliated  with the Trustee, to the extent insured by an agency of the Federal or State  government; and 
    E. To compromise or otherwise adjust all claims in favor of or  against the Fund. 
    Section 9. Taxes and Expenses. All taxes of any kind that may  be assessed or levied against or in respect of the Fund and all brokerage  commissions incurred by the Fund will be paid from the Fund. All other expenses  incurred by the Trustee in connection with the administration of this Trust,  including fees for legal services rendered to the Trustee, the compensation of  the Trustee to the extent not paid directly by the Grantor, and all other  proper charges and disbursements of the Trustee will be paid from the Fund. 
    Section 10. Annual Valuation. The Trustee will annually, at  the end of the month coincident with or preceding the anniversary date of  establishment of the Fund, furnish the Grantor and to the director of the  Department of Environmental Quality, Commonwealth of Virginia, a statement  confirming the value of the Trust. Any securities in the Fund will be valued at  market value as of no more than 30 days prior to the date of the statement. The  failure of the Grantor to object in writing to the Trustee within 90 days after  the statement has been furnished to the Grantor and the director of the  Department of Environmental Quality, Commonwealth of Virginia will constitute a  conclusively binding assent by the Grantor, barring the Grantor from asserting  any claim or liability against the Trustee with respect to matters disclosed in  the statement. 
    Section 11. Advice of Counsel. The Trustee may from time to  time consult with counsel, who may be counsel to the Grantor, with respect to  any question arising as to the construction of this Agreement or any action to  be taken hereunder. The Trustee will be fully protected, to the extent  permitted by law, in acting upon the advice of counsel. 
    Section 12. Trustee Compensation. The Trustee will be  entitled to reasonable compensation for its services as agreed upon in writing  from time to time with the Grantor. 
    Section 13. Successor Trustee. The Trustee may resign or the  Grantor may replace the Trustee, but such resignation or replacement shall not  be effective until the Grantor has appointed a successor trustee and this  successor accepts the appointment. The successor trustee shall have the same  powers and duties as those conferred upon the Trustee hereunder. Upon  acceptance of the appointment by the successor trustee, the Trustee will  assign, transfer and pay over to the successor trustee the funds and properties  then constituting the Fund. If for any reason the grantor cannot or does not  act in the event of the resignation of the Trustee, the Trustee may apply to a  court of competent jurisdiction for the appointment of a successor trustee or  for instructions. The successor trustee and the date on which he assumes  administration of the trust will be specified in writing and sent to the  Grantor, the director of the Department of Environmental Quality, Commonwealth  of Virginia, and the present trustees by certified mail 10 days before such  change becomes effective. Any expenses incurred by the Trustee as a result of  any of the acts contemplated by this section will be paid as provided in Part  IX. 
    Section 14. Instructions to the Trustee. All orders, requests  and instructions by the Grantor to the Trustee will be in writing, signed by  such persons as are designated in the attached Exhibit A or such other  designees as the grantor may designate by amendment to Exhibit A. The Trustee  will be fully protected in acting without inquiry in accordance with the  Grantor's orders, requests and instructions. All orders, requests, and  instructions by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, to the Trustee will be in writing, signed by the  Director and the Trustee will act and will be fully protected in acting in  accordance with such orders, requests and instructions. The Trustee will have  the right to assume, in the absence of written notice to the contrary, that no  event constituting a change or a termination of the authority of any person to  act on behalf of the Grantor or the Commonwealth of Virginia's Department of  Environmental Quality hereunder has occurred. The Trustee will have no duty to  act in the absence of such orders, requests and instructions from the Grantor  and/or the Commonwealth of Virginia's Department of Environmental Quality,  except as provided for herein. 
    Section 15. Notice of Nonpayment. The Trustee will notify the  Grantor and the Director of the Department of Environmental Quality,  Commonwealth of Virginia, by certified mail within 10 days following the  expiration of the 30-day period after the anniversary of the establishment of  the Trust, if no payment is received from the Grantor during that period. After  the pay-in period is completed, the Trustee is not required to send a notice of  nonpayment. 
    Section 16. Amendment of Agreement. This Agreement may be  amended by an instrument in writing executed by the Grantor, the Trustee, and  the Director of the Department of Environmental Quality, Commonwealth of  Virginia, or by the Trustee and the Director of the Department of Environmental  Quality, Commonwealth of Virginia, if the Grantor ceases to exist. 
    Section 17. Irrevocability and Termination. Subject to the  right of the parties to amend this Agreement as provided in Section 16, this  Trust will be irrevocable and will continue until terminated at the written  agreement of the Grantor, the Trustee, and the Director of the Department of  Environmental Quality, Commonwealth of Virginia, or by the Trustee and the  Director if the Grantor ceases to exist. Upon termination of the Trust, all  remaining trust property, less final trust administration expenses, will be  delivered to the Grantor. 
    Section 18. Immunity and Indemnification. The Trustee will  not incur personal liability of any nature in connection with any act or  omission, made in good faith, in the administration of this Trust, or in  carrying out any directions by the Grantor or the Director of the Department of  Environmental Quality, Commonwealth of Virginia, issued in accordance with this  Agreement. The Trustee will be indemnified and saved harmless by the Grantor or  from the Trust Fund, or both, from and against any personal liability to which  the Trustee may be subjected by reason of any act or conduct in its official  capacity, including all expenses reasonably incurred in its defense in the  event the Grantor fails to provide such defense. 
    Section 19. Choice of Law. This Agreement will be  administered, construed and enforced according to the laws of the Commonwealth  of Virginia. 
    Section 20. Interpretation. As used in the Agreement, words  in the singular include the plural and words in the plural include the  singular. The descriptive headings for each section of this Agreement will not  affect the interpretation of the legal efficacy of this Agreement. 
    In witness whereof the parties have caused this Agreement to  be executed by their respective officers duly authorized and their corporate  seals to be hereunto affixed and attested as of the date first above written.  The parties below certify that the wording of this Agreement is identical to  the wording specified in 9VAC20-70-290 A of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer and Treatment Facilities, as such regulations  were constituted on the date shown immediately below. 
           |      (Signature of Grantor)      |                 |    
       |      By: (Title)      |          (Date)      |    
       |      Attest:      |                 |    
       |      (Title)      |          (Date)      |    
       |      (Seal)      |                 |    
       |      (Signature of Trustee)      |                 |    
       |      By      |                 |    
       |      Attest:      |                 |    
       |      (Title)      |                 |    
       |      (Seal)      |          (Date)      |    
  
    Certification of Acknowledgment: 
    COMMONWEALTH OF VIRGINIA 
    STATE OF __________ 
    CITY/COUNTY OF __________ 
    On this date, before me personally came (owner or operator)  to me known, who being by me duly sworn, did depose and say that she/he resides  at (address), that she/he is (title) of (corporation), the corporation  described in and which executed the above instrument; that she/he knows the  seal of said corporation; that the seal affixed to such instrument is such  corporate seal; that it was so affixed by order of the Board of Directors of said  corporation, and that she/he signed her/his name thereto by like order. 
    (Signature of Notary Public) 
    B. Wording of surety bond guaranteeing performance or  payment. 
    (NOTE: instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    PERFORMANCE OR PAYMENT BOND 
    Date bond executed: __________ 
    Effective date: __________ 
    Principal: (legal name and business address) _____________ 
    Type of organization: (insert "individual,"  "joint venture," "partnership," or "corporation")  _____________ 
    State of incorporation: __________ 
    Surety: (name and business address) _____________ 
    Name, address, permit number, if any, and (closure,  post-closure care, or corrective action) cost estimate for the facility:  _____________ 
    Penal sum of bond: $________ 
    Surety's bond number: __________ 
    Know all men by these present, That we, the Principal and  Surety hereto are firmly bound to the Department of Environmental Quality,  Commonwealth of Virginia, (hereinafter called the Department) in the above  penal sum for the payment of which we bind ourselves, our heirs, executors,  administrators, successors and assigns, jointly and severally; provided that,  where the Surety(ies) are corporations acting as co-sureties, we, the Sureties,  bind ourselves in such sum "jointly and severally" only for the  purpose of allowing a joint action or actions against any or all of us, and for  all other purposes each Surety binds itself, jointly and severally with the  Principal, for the payment of each sum only as is set forth opposite the name  of such Surety, but if no limit of liability is indicated, the limit of  liability shall be the full amount of the penal sum. 
    Whereas, said Principal is required to have a permit from the  Department of Environmental Quality, Commonwealth of Virginia, in order to own  or operate the (solid, regulated medical, yard) waste management facility  identified above, and 
    Whereas, said Principal is required to provide financial  assurance for (closure, post-closure care, corrective action) of the facility  as a condition of the permit or an order issued by the department, 
    Now, therefore the conditions of this obligation are such  that if the Principal shall faithfully perform (closure, post-closure care,  corrective action), whenever required to do so, of the facility identified  above in accordance with the order or the (closure, post-closure care,  corrective action) plan submitted to receive said permit and other requirements  of said permit as such plan and permit may be amended or renewed pursuant to  all applicable laws, statutes, rules, and regulations, as such laws, statutes,  rules, and regulations may be amended, 
    Or, if the Principal shall faithfully perform (closure,  post-closure care, corrective action) following an order to begin (closure,  post-closure care, corrective action) issued by the Commonwealth of Virginia's  Department of Environmental Quality or by a court, or following a notice of  termination of the permit, 
    Or, if the Principal shall provide alternate financial assurance  as specified in the Department's regulations and obtain the director's written  approval of such assurance, within 90 days of the date notice of cancellation  is received by the Director of the Department of Environmental Quality from the  Surety, then this obligation will be null and void, otherwise it is to remain  in full force and effect for the life of the management facility identified  above. 
    The Surety shall become liable on this bond obligation only  when the Principal has failed to fulfill the conditions described above. Upon  notification by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, that the Principal has been found in violation of the  requirements of the Department's regulations, the Surety must either perform  (closure, post-closure care, corrective action) in accordance with the approved  plan and other permit requirements or forfeit the (closure, post-closure care,  corrective action) amount guaranteed for the facility to the Commonwealth of  Virginia. 
    Upon notification by the Director of the Department of  Environmental Quality, Commonwealth of Virginia, that the Principal has been  found in violation of an order to begin (closure, post-closure care, corrective  action), the Surety must either perform (closure, post-closure care, corrective  action) in accordance with the order or forfeit the amount of the (closure,  post-closure care, corrective action) guaranteed for the facility to the  Commonwealth of Virginia. 
    The Surety hereby waives notification of amendments to the  (closure, post-closure care, corrective action) plans, orders, permit,  applicable laws, statutes, rules, and regulations and agrees that such  amendments shall in no way alleviate its obligation on this bond. 
    For purposes of this bond, (closure, post-closure care,  corrective action) shall be deemed to have been completed when the Director of  the Department of Environmental Quality, Commonwealth of Virginia, determines  that the conditions of the approved plan have been met. 
    The liability of the Surety shall not be discharged by any  payment or succession of payments hereunder, unless and until such payment or  payments shall amount in the aggregate to the penal sum of the bond, but the  obligation of the Surety hereunder shall not exceed the amount of said penal  sum unless the Director of the Department of Environmental Quality,  Commonwealth of Virginia, should prevail in an action to enforce the terms of  this bond. In this event, the Surety shall pay, in addition to the penal sum  due under the terms of the bond, all interest accrued from the date the  Director of the Department of Environmental Quality, Commonwealth of Virginia,  first ordered the Surety to perform. The accrued interest shall be calculated  at the judgment rate of interest pursuant to § 6.1-330.54 6.2-302  of the Code of Virginia. 
    The Surety may cancel the bond by sending written notice of  cancellation to the owner or operator and to the Director of the Department of  Environmental Quality, Commonwealth of Virginia, provided, however, that cancellation  cannot occur (1) during the 120 days beginning on the date of receipt of the  notice of cancellation by the director as shown on the signed return receipt;  or (2) while an enforcement action is pending. 
    The Principal may terminate this bond by sending written  notice to the Surety, provided, however, that no such notice shall become  effective until the Surety receives written authorization for termination of  the bond by the Director of the Department of Environmental Quality,  Commonwealth of Virginia. 
    In witness whereof, the Principal and Surety have executed  this Performance Bond and have affixed their seals on the date set forth above.  
    The persons whose signatures appear below hereby certify that  they are authorized to execute this surety bond on behalf of the Principal and  Surety and I hereby certify that the wording of this surety bond is identical  to the wording specified in 9VAC20-70-290 B of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    Principal 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Surety 
    Name and Address: __________ 
    State of Incorporation: __________ 
    Liability Limit: $___ 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Seal: 
    C. Wording of irrevocable standby letter of credit. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    IRREVOCABLE STANDBY LETTER OF CREDIT 
    Director 
    Department of Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia 23240-0009 
    Dear (Sir or Madam): 
    We hereby establish our Irrevocable Letter of Credit No......  in your favor at the request and for the account of (owner's or operator's name  and address) up to the aggregate amount of (in words) U.S. dollars $____,  available upon presentation of 
    1. Your sight draft, bearing reference to this letter of  credit No ____ together with 
    2. Your signed statement declaring that the amount of the  draft is payable pursuant to regulations issued under the authority of the  Department of Environmental Quality, Commonwealth of Virginia. 
    The following amounts are included in the amount of this  letter of credit: (Insert the facility permit number, if any, name and address,  and the closure, post-closure care, corrective action cost estimate, or  portions thereof, for which financial assurance is demonstrated by this letter  of credit.) 
    This letter of credit is effective as of (date) and will  expire on (date at least one year later), but such expiration date will be  automatically extended for a period of (at least one year) on (date) and on  each successive expiration date, unless, at least 120 days before the current  expiration date, we notify you and (owner or operator's name) by certified mail  that we decide not to extend the Letter of Credit beyond the current expiration  date. In the event you are so notified, unused portion of the credit will be  available upon presentation of your sight draft for 120 days after the date of  receipt by you as shown on the signed return receipt or while a compliance  procedure is pending, whichever is later. 
    Whenever this letter of credit is drawn on under and in  compliance with the terms of this credit, we will duly honor such draft upon  presentation to us, and we will pay to you the amount of the draft promptly and  directly. 
    I hereby certify that I am authorized to execute this letter  of credit on behalf of (issuing institution) and I hereby certify that the  wording of this letter of credit is identical to the wording specified in  9VAC20-70-290 C of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities as such regulations were  constituted on the date shown immediately below. 
    Attest: 
    (Print name and title of official of issuing institution)  (Date) 
        This credit is subject to (insert "the most recent  edition of the Uniform Customs and Practice for Documentary Credits, published by  the International Chamber of Commerce," of "the Uniform Commercial  Code.") 
    D. Assignment of certificate of deposit account. 
    City _______________________ ____________, 20___ 
    FOR VALUE RECEIVED, the undersigned assigns all right, title  and interest to the Virginia Department of Environmental Quality, Commonwealth  of Virginia, and its successors and assigns the Virginia Department of  Environmental Quality the principal amount of the instrument, including all  monies deposited now or in the future to that instrument, indicated below: 
    ( ) If checked here, this assignment includes all interest  now and hereafter accrued. 
    Certificate of Deposit Account No. _____________________ 
    This assignment is given as security to the Virginia  Department of Environmental Quality in the amount of _______________________  Dollars ($_____________). 
    Continuing Assignment. This assignment shall continue to  remain in effect for all subsequent terms of the automatically renewable  certificate of deposit. 
    Assignment of Document. The undersigned also assigns any  certificate or other document evidencing ownership to the Virginia Department  of Environmental Quality. 
    Additional Security. This assignment shall secure the payment  of any financial obligation of the (name of owner/operator) to the Virginia  Department of Environmental Quality for ("closure" "post closure  care" "corrective action") at the (facility name and permit  number) located (physical address) 
    Application of Funds. The undersigned agrees that all or any  part of the funds of the indicated account or instrument may be applied to the  payment of any and all financial assurance obligations of (name of  owner/operator) to the Virginia Department of Environmental Quality for  ("closure" "post closure care" "corrective  action") at the (facility name and address). The undersigned authorizes  the Virginia Department of Environmental Quality to withdraw any principal  amount on deposit in the indicated account or instrument including any  interest, if indicated, and to apply it in the Virginia Department of  Environmental Quality's discretion to fund ("closure" "post  closure care" "corrective action") at the (facility name) or in  the event of (owner or operator's) failure to comply with the Virginia Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities, 9VAC20-70-10 et seq 9VAC20-70. The undersigned agrees  that the Virginia Department of Environmental Quality may withdraw any  principal and/or interest from the indicated account or instrument without demand  or notice. (The undersigned) agrees to assume any and all loss of penalty due  to federal regulations concerning the early withdrawal of funds. Any partial  withdrawal of principal or interest shall not release this assignment. 
    The party or parties to this Assignment set their hand or  seals, or if corporate, has caused this assignment to be signed in its  corporate name by its duly authorized officers and its seal to be affixed by  authority of its Board of Directors the day and year above written. 
           |             |                 |          SEAL       |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
       |             |                 |          SEAL      |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
  
    THE FOLLOWING SECTION IS TO BE COMPLETED BY THE BRANCH OR  LENDING OFFICE: 
    The signature(s) as shown above compare correctly with the  name(s) as shown on record as owner(s) of the Certificate of Deposit indicated  above. The above assignment has been properly recorded by placing a hold in the  amount of $ _______________________ for the benefit of the Department of  Environmental Quality. 
    ( ) If checked here, the accrued interest on the Certificate  of Deposit indicated above has been maintained to capitalize versus being  mailed by check or transferred to a deposit account. 
           |             |                 |                 |    
       |      (Signature)      |                 |          (Date)      |    
       |             |                 |                 |    
       |      (print name)      |                 |                 |    
       |             |                 |                 |    
       |      (Title)      |                 |                 |    
  
    E. Wording of certificate of insurance. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    CERTIFICATE OF INSURANCE 
    Name and Address of Insurer (herein called the  "Insurer"): 
    _____________ 
    _____________
    Name and Address of Insured (herein called the  "Insured"): 
    _____________ 
    _____________ 
    _____________
    Facilities Covered: (List for each facility: Permit number  (if applicable), name, address and the amount of insurance for closure,  post-closure care, or corrective action. (These amounts for all facilities  covered shall total the face amount shown below.)) 
    Face Amount: $___ 
    Policy Number: __________ 
    Effective Date: __________ 
    The Insurer hereby certifies that it has issued to the  Insured the policy of insurance identified above to provide financial assurance  for (insert "closure," "post-closure care,"  "corrective action") for the facilities identified above. The Insurer  further warrants that such policy conforms in all respects with the requirements  of 9VAC20-70-190 of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities ("Regulations") (9VAC20-70-10  et seq.) (9VAC20-70), as such regulations were constituted on the  date shown immediately below. It is agreed that any provision of the policy  inconsistent with such regulations is hereby amended to eliminate such  inconsistency. 
    Whenever requested by the Director, the Insurer agrees to  furnish to the Director a duplicate original of the policy listed above,  including all endorsements thereon. 
    I hereby certify that the wording of this certificate is  identical to the wording specified in 9VAC20-70-290 E of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Authorized signature for Insurer) 
    (Name of person signing) 
    (Title of person signing) 
    Signature of witness or notary: 
    (Date) 
    F. Wording of letter from chief financial officer. 
    (NOTE: Instructions in  parentheses are to be replaced with the relevant information and the  parentheses removed.) 
    Director 
    Department of  Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia  23240-0009 
    Dear (Sir, Madam): 
    I am the chief financial officer of (name and address of  firm). This letter is in support of this firm's use of the financial test to  demonstrate financial assurance, as specified in 9VAC20-70-200 of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities (9VAC20-70-10 et seq.) (9VAC20-70)  ("Regulations"). 
    (Fill out the following four paragraphs regarding solid  waste, regulated medical waste, yard waste composting, hazardous waste,  underground injection (regulated under the federal program in 40 CFR Part 144,  or its equivalent in other states), petroleum underground storage (9VAC25-590-10  et seq.) (9VAC25-590), above ground storage facilities (9VAC25-640-10  et seq.) (9VAC25-640) and PCB storage (regulated under 40 CFR Part  761) facilities and associated cost estimates. If your firm has no facilities  that belong in a particular paragraph, write "None" in the space  indicated. For each facility, include its name, address, permit number, if any,  and current closure, post-closure care, corrective action or any other  environmental obligation cost estimates. Identify each cost estimate as to  whether it is for closure, post-closure care, corrective action or other  environmental obligation.) 
    1. This firm is the owner or operator of the following  facilities for which financial assurance is demonstrated through the corporate  test specified in 9VAC20-70-200 or its equivalent in other applicable  regulations. The current cost estimates covered by the test are shown for each  facility: 
    2. This firm guarantees, through the corporate guarantee  specified in 9VAC20-70-220, the financial assurance for the following  facilities owned or operated by subsidiaries of this firm. The current cost  estimates so guaranteed are shown for each facility: 
    3. This firm, as owner or operator or guarantor, is  demonstrating financial assurance for the following facilities through the use  of a financial test. The current cost estimates covered by such a test are  shown for each facility: 
    4. This firm is the owner or operator of the following waste  management facilities for which financial assurance is not demonstrated through  the financial test or any other financial assurance mechanism. The current cost  estimates for the facilities which are not covered by such financial assurance  are shown for each facility: 
    This firm (insert "is required" or "is not  required") to file a Form 10K with the Securities and Exchange Commission  (SEC) for the latest fiscal year. 
    The fiscal year of this firm ends on (month, day). The  figures for the following items marked with an asterisk are derived from this  firm's independently audited, year-end financial statements for the latest  completed fiscal year, ended (date). 
           |      1) Sum of current closure, post-closure care, corrective    action or other environmental obligations cost estimates (total of all cost    estimates shown in the four paragraphs above.)       |          $__________      |    
       |      2) Tangible net worth*       |          $__________      |    
       |      3) Total assets located in the United States*       |          $__________      |    
       |             |           YES      |          NO      |    
       |      Line 2 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
       |      Line 3 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
        |      |      |      |    
  
    (Fill in Alternative I if the criteria of 9VAC20-70-200 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-200 1 a (2)  are used. Fill in Alternative III if the criteria of 9VAC20-70-200 1 a (3) are  used.) 
    ALTERNATIVE I 
    Current bond rating of this firm's senior unsubordinated debt  and name of rating service 
    Date of issuance of bond 
    Date of maturity of bond 
           |      ALTERNATIVE II       |    
       |      4) Total liabilities* (if any portion of the closure,    post-closure care, corrective action or other environmental obligations cost    estimates is included in total liabilities, you may deduct the amount of that    portion from this line and add that amount to line 5.)       |          $___________      |    
       |      5) Net worth*       |          $___________      |    
       |      Is line 4 divided by line 5 less than 1.5?      |          YES      |          NO      |    
        |      |      |      |    
  
     
     
                    ALTERNATIVE III       |    
       |      6) Total liabilities*        |          $___________      |    
       |      7) The sum of net income plus depreciation, depletion, and    amortization minus $10 million*      |                 |          $___________      |    
       |      Is line 7 divided by line 6 less than 0.1?      |           YES      |          NO      |                 |    
        |      |      |      |    
  
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 F of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name) 
    (Title) 
    (Date) 
    G. Wording of the local government letter from chief  financial officer. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    LETTER FROM CHIEF FINANCIAL OFFICER 
    I am the chief financial officer of (insert: name and address  of local government owner or operator, or guarantor). This letter is in support  of the use of the financial test to demonstrate financial responsibility for  ("closure care" "post-closure care" "corrective action  costs") arising from operating a solid waste management facility. 
    The following facilities are assured by this financial test:  (List for each facility: the name and address of the facility, the permit  number, the closure, post-closure and/or corrective action costs, whichever  applicable, for each facility covered by this instrument). 
    This owner's or operator's financial statements were prepared  in conformity with Generally Accepted Accounting Principles for governments and  have been audited by ("an independent certified public accountant"  "Auditor of Public Accounts"). The owner or operator has not received  an adverse opinion or a disclaimer of opinion from ("an independent  certified public accountant" "Auditor of Public Accounts") on  its financial statements for the latest completed fiscal year. 
    This owner or operator is not currently in default on any  outstanding general obligation bond. Any outstanding issues of general  obligation, if rated, have a Moody's rating of Aaa, Aa, A, or Baa or a Standard  and Poor's rating of AAA, AA, A or BBB; if rated by both firms, the bonds have  a Moody's rating of Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA,  AA, A, or BBB. 
    The fiscal year of this owner or operator ends on (month,  day). The figures for the following items marked with the asterisk are derived  from this owner's or operator's independently audited, year-end financial  statements for the latest completed fiscal year ended (date). 
    (Please complete Alternative I or Alternative II.) 
    (Fill in Alternative I if the criteria in 9VAC20-70-210 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-210 1 a (2)  are used.) 
    ALTERNATIVE I—BOND RATING TEST 
    The details of the issue date, maturity, outstanding amount,  bond rating, and bond rating agency of all outstanding general obligation bond  issues that are being used by (name of local government owner or operator, or  guarantor) to demonstrate financial responsibility are as follows: (complete  table): 
           |      Issue Date      |          Maturity Date      |          Outstanding Amount      |          Bond Rating      |          Rating Agency      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
  
    Any outstanding issues of general obligation bonds, if rated,  have a Moody's rating of Aaa, Aa, A, or Baa or a Standard and Poor's rating of  AAA, AA, A or BBB; if rated by both firms, the bonds have a Moody's rating of  Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA, AA, A or BBB. 
           |      1) Sum of current closure,    post-closure and corrective action cost estimates (total of all cost    estimates listed above)      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |             |           YES      |          NO      |                 |    
       |      5) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |                 |    
       |      6) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |                 |    
       |      7) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |                 |    
       |      8) Is (line 1 + line 4e) <= (line 3a x 0.20)?      |          ____      |          ____      |                 |    
        |      |      |      |      |      |    
  
    If the answer to line 7 is yes and the answer to line 8 is  no, please attach documentation from the agent/trustee /issuing institution  stating the current balance of the account/fund /irrevocable letter of credit  as of the latest fiscal reporting year to this form as required by  9VAC20-70-210. 
    ALTERNATIVE II—FINANCIAL RATIO  TEST 
           |      1) Sum of current closure, post-closure and corrective    action cost estimates      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |      *5) Cash plus marketable securities      |          $_______________      |    
       |      *6) Total Expenditures      |          $_______________      |    
       |      *7) Annual Debt Service      |          $_______________      |    
       |             |          YES      |          NO      |    
       |      8) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |    
       |      9) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |    
       |      10) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |    
       |      11) Is (line 5 / line 6) >= 0.05?      |          ____      |          ____      |    
       |      12) Is (line 7 / line 6) <= 0.20?      |          ____      |          ____      |    
       |      13) Is (line 1 + line 4e) <= (line 3a x.20)      |          ____      |          ____      |    
  
    If the answer to line 13 is no, please attach documentation  from the agent/trustee/issuing institution stating the current balance of the  account/fund/irrevocable letter of credit as of the latest fiscal reporting  year to this form as required by 9VAC20-70-210. 
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 G of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    H. Certification of funding. 
    CERTIFICATION OF FUNDING 
    I certify the following information details the current plan  for funding closure and post closure at the solid waste management facilities  listed below. 
           |       Facility Permit #       |                 |          Source for funding closure and post closure       |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |      Name of Locality or Corporation:    _______________________________________      |    
       |             |                 |                 |                 |                 |    
       |      Signature      |                 |          Printed Name      |                 |          Date      |    
       |             |                 |                 |                 |                 |    
       |      Title      |                 |                 |                 |                 |    
        |      |      |      |      |      |      |      |    
  
    I. Certification of escrow/sinking fund /irrevocable letter  of credit balance. 
    CERTIFICATION OF ESCROW/SINKING FUND BALANCE OR AMOUNT OF  IRREVOCABLE LETTER OF CREDIT 
    I am the Chief Financial Officer of (name of locality) and  hereby certify that as of (date) the current balance in the restricted sinking  (type of fund) fund or the escrow account or the amount of the irrevocable  letter of credit restricted to landfill closure costs is $_____________ 
    The calculation used to determine the amount required to be  funded is as follows: 
    (Show the values that were used in the following formula: 
    (CE * CD) - E 
    Where CE is the current closure cost estimate, CD is the  percentage of landfill capacity used to date, and E is current year expenses  for closure.) 
    Therefore, this account has been funded or an irrevocable  letter of credit has been obtained in accordance with the Financial Assurance  Regulations for Solid Waste Disposal, Transfer and Treatment Facilities, 9VAC20-70-10  et seq 9VAC20-70. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    J. Wording of corporate guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    CORPORATE GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a business corporation organized under the laws of the state of (insert name of  state), herein referred to as guarantor. This guarantee is made on behalf of  the (owner or operator) of (business address), which is (one of the following:  "our subsidiary"; "a subsidiary of (name and address of common  parent corporation) of which guarantor is a subsidiary"; or "an  entity with which the guarantor has a substantial business relationship, as  defined in Part I of the Virginia Financial Assurance Regulations for Solid  Waste Disposal, Transfer, and Treatment Facilities (9VAC20-70-10 et seq.)  (9VAC20-70)") to the Virginia Department of Environmental Quality  ("Department"), obligee, on behalf of our subsidiary (owner or  operator) of (business address). 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-200 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-220 of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer, and Treatment Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care, corrective  action or other environmental obligations.) 
    3. "Closure plans", "post-closure care  plans" and "corrective action plans" as used below refer to the  plans maintained as required by the Solid Waste Management Regulations (9VAC20-80-10  et seq.), (9VAC20-81), or the Regulated Medical Waste Management  Regulations (9VAC20-120-10 et seq.), (9VAC20-120) or  Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.). 
    4. For value received from (owner or operator), guarantor guarantees  to the Department that in the event that (owner or operator) fails to perform  (insert "closure," "post-closure care," or "corrective  action") of the above facility(ies) in accordance with the closure or  post-closure care plans and other (requirements of the) permit or (the order)  whenever required to do so, the guarantor shall do so or establish a trust fund  as specified in 9VAC20-70-140 in the name of (owner or operator) in the amount  of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (Bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure, post-closure or corrective action plan, amendment or modification of  the permit, amendment or modification of the order, the extension or reduction  of the time of performance of closure, post-closure, or corrective action or  any other modification or alteration of an obligation of the owner or operator  pursuant to the (Virginia Solid or Regulated Medical Waste Management or  Vegetative Waste Management and Yard Waste Composting Regulations or § 10.1-1454.1 of the Code of Virginia) (Solid Waste Management Regulations  or Regulated Medical Waste Management Regulations or § 10.1-1454.1 of the  Code of Virginia). 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. (Insert the following language if the guarantor is (a) a  direct or higher-tier corporate parent, or (b) a firm whose parent corporation  is also the parent corporation of the owner or operator:) Guarantor may  terminate this guarantee by sending notice by certified mail to the Director of  the Department of Environmental Quality and to the (owner or operator),  provided that this guarantee may not be terminated unless and until (the owner  or operator) obtains and the director approves, alternate (closure,  post-closure, corrective action) coverage complying with the requirements of 9VAC20-70-10  et seq 9VAC20-70. (Insert the following language if the guarantor is  a firm qualifying as a guarantor due to its "substantial business  relationship" with the owner or operator:) Guarantor may terminate this  guarantee 120 days following the receipt of notification, through certified  mail, by the director and by (the owner or operator). 
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of the  Regulations, and obtain written approval of such assurance from the director  within 90 days after a notice of cancellation by the guarantor is received by  the director from guarantor, guarantor shall provide such alternate financial  assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording in 9VAC20-70-290 J of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    (Name of guarantor) 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    K. Wording of local government guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    LOCAL GOVERNMENT GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a local government created under the laws of the state of Virginia, herein  referred to as guarantor. This guarantee is made on behalf of the (owner or  operator) of (address), to the Virginia Department of Environmental Quality  ("Department"), obligee. 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-210 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-230 of the Financial Assurance Regulations  for Solid Waste Disposal, Treatment and Transfer Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care,  corrective action or other environmental obligations.) 
    3. "Closure plans" and "post-closure care  plans" as used below refer to the plans maintained as required by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.), or Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101-10 et seq.)  (9VAC20-81).
    4. For value received from (owner or operator), guarantor  guarantees to the Department that in the event that (owner or operator) fails  to perform (insert "closure," "post-closure care," or  "corrective action") of the above facility(ies) in accordance with  the closure or post-closure care plans and other (requirements of the) permit  or (the order) whenever required to do so, the guarantor shall do so or  establish a trust fund as specified in 9VAC20-70-150 in the name of (owner or  operator) in the amount of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations in  the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure or post-closure plan, amendment or modification of the closure or  post-closure plan, amendment or modification of the permit, amendment or  modification of the order, the extension or reduction of the time of performance  of the closure or post-closure, or any other modification or alteration of an  obligation of the owner or operator pursuant to the Virginia (Solid Waste  Management or Regulated Medical Waste Management) or Vegetative  Waste Management and Yard Waste Composting) Regulations. 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. Guarantor may terminate this guarantee by sending notice  by certified mail to the Director of the Department of Environmental Quality  and to the (owner or operator), provided that this guarantee may not be  terminated unless and until (the owner or operator) obtains and the director  approves, alternate (closure, post-closure, corrective action,) coverage  complying with the requirements of 9VAC20-70-10 et seq 9VAC20-70.  
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of  the Regulations, and obtain written approval of such assurance from the  director with 90 days after a notice of cancellation by the guarantor is  received by the director from guarantor, guarantor shall provide such alternate  financial assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording specified in 9VAC20-70-290 K of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Name of guarantor) __________ 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    Part I 
  Definitions 
    9VAC20-81-10. Definitions.
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at completion of  closure activities required by this chapter. 
    "Active portion" means that part of a facility or  unit that has received or is receiving wastes and that has not been closed in  accordance with this chapter. 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Airport" means, for the purpose of this chapter, a  military airfield or a public-use airport open to the public without prior  permission and without restrictions within the physical capacities of available  facilities.
    "Aquifer" means a geologic formation, group of  formations, or a portion of a formation capable of yielding significant  quantities of groundwater to wells or springs.
    "Ash" means the fly ash or bottom ash residual  waste material produced from incineration or burning of solid waste or from any  fuel combustion. 
    "Base flood" see "Hundred-year flood."
    "Bedrock" means the rock that underlies soil or  other unconsolidated, superficial material at a site. 
    "Benchmark" means a permanent monument constructed  of concrete and set in the ground surface below the frostline with identifying  information clearly affixed to it. Identifying information will include the  designation of the benchmark as well as the elevation and coordinates on the  local or Virginia state grid system. 
    "Beneficial use" means a use that is of benefit as  a substitute for natural or commercial products and does not contribute to  adverse effects on health or environment. 
    "Bioremediation" means remediation of contaminated  media by the manipulation of biological organisms to enhance the degradation of  contaminants. 
    "Bird hazard" means an increase in the likelihood  of bird/aircraft collisions that may cause damage to the aircraft or injury to  its occupants. 
    "Board" means the Virginia Waste Management Board. 
    "Bottom ash" means ash or slag that has been  discharged from the bottom of the combustion unit after combustion. 
    "Capacity" means the maximum permitted volume of  solid waste, inclusive of daily and intermediate cover, that can be disposed in  a landfill. This volume is measured in cubic yards.
    "Captive industrial landfill" means an industrial  landfill that is located on property owned or controlled by the generator of  the waste disposed of in that landfill.
    "Clean wood" means solid waste consisting of  untreated wood pieces and particles that do not contain paint, laminate,  bonding agents, or chemical preservatives or are otherwise unadulterated.
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of  this chapter. 
    "Closure" means that point in time when a permitted  landfill has been capped, certified as properly closed by a professional  engineer, inspected by the department, and closure notification is performed by  the department in accordance with 9VAC20-81-160 D. 
    "Coal combustion byproducts" or "CCB"  means residuals, including fly ash, bottom ash, boiler slag, and flue gas  emission control waste produced by burning coal. 
    "Combustion unit" means an incinerator, waste heat  recovery unit, or boiler. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants,  and shopping centers. 
    "Compliance schedule" means a time schedule for  measures to be employed on a solid waste management facility that will  ultimately upgrade it to conform to this chapter. 
    "Compost" means a stabilized organic product  produced by a controlled aerobic decomposition process in such a manner that  the product can be handled, stored, and/or applied to the land without  adversely affecting public health or the environment. 
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Conditionally exempt small quantity generator"  means a generator of hazardous waste who has been so defined in 40 CFR 261.5,  as amended. That section applies to the persons who generate in that calendar  month no more than 100 kilograms of hazardous waste or one kilogram of acutely  hazardous waste. 
    "Construction" means the initiation of permanent  physical change at a property with the intent of establishing a solid waste  management unit. This does not include land-clearing activities, excavation for  borrow purposes, activities intended for infrastructure purposes, or activities  necessary to obtain Part A siting approval (i.e., advancing of exploratory  borings, digging of test pits, groundwater monitoring well installation, etc.).
    "Construction/demolition/debris landfill" or  "CDD landfill" means a land burial facility engineered, constructed  and operated to contain and isolate construction waste, demolition waste,  debris waste, split tires, and white goods or combinations of the above solid  wastes. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes include,  but are not limited to lumber, wire, sheetrock, broken brick, shingles, glass,  pipes, concrete, paving materials, and metal and plastics if the metal or  plastics are a part of the materials of construction or empty containers for  such materials. Paints, coatings, solvents, asbestos, any liquid, compressed  gases or semi-liquids and garbage are not construction wastes. 
    "Contaminated soil" means, for the purposes of this  chapter, a soil that, as a result of a release or human usage, has absorbed or  adsorbed physical, chemical, or radiological substances at concentrations above  those consistent with nearby undisturbed soil or natural earth materials. 
    "Container" means any portable device in which a  material is stored, transported, treated, or otherwise handled and includes  transport vehicles that are containers themselves (e.g., tank trucks) and  containers placed on or in a transport vehicle. 
    "Containment structure" means a closed vessel such  as a tank or cylinder. 
    "Convenience center" means a collection point for  the temporary storage of solid waste provided for individual solid waste  generators who choose to transport solid waste generated on their own premises  to an established centralized point, rather than directly to a disposal  facility. To be classified as a convenience center, the collection point may  not receive waste from collection vehicles that have collected waste from more  than one real property owner. A convenience center shall be on a system of  regularly scheduled collections.
    "Cover material" means compactable soil or other  approved material that is used to blanket solid waste in a landfill.
    "Daily disposal limit" means the amount of solid  waste that is permitted to be disposed at the facility and shall be computed on  the amount of waste disposed during any operating day.
    "Debris waste" means wastes resulting from  land-clearing operations. Debris wastes include, but are not limited to stumps,  wood, brush, leaves, soil, and road spoils. 
    "Decomposed vegetative waste" means a stabilized organic  product produced from vegetative waste by a controlled natural decay process in  such a manner that the product can be handled, stored, or applied to the land  without adversely affecting public health or the environment.
    "Demolition waste" means that solid waste that is  produced by the destruction of structures and their foundations and includes  the same materials as construction wastes. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. For purposes of submissions to the director as specified  in the Waste Management Act, submissions may be made to the department. 
    "Discard" means to abandon, dispose of, burn,  incinerate, accumulate, store, or treat before or instead of being abandoned,  disposed of, burned, or incinerated. 
    "Discarded material" means a material that is: 
    1. Abandoned by being: 
    a. Disposed of; 
    b. Burned or incinerated; or 
    c. Accumulated, stored, or treated (but not used, reused, or  reclaimed) before or in lieu of being abandoned by being disposed of, burned,  or incinerated; or
    2. Recycled used, reused, or reclaimed material as defined in  this part.
    "Disclosure statement" means a sworn statement or  affirmation as required by § 10.1-1400 of the Code of Virginia. (see DEQ  Form DISC-01 and 02 (Disclosure Statement)).
    "Displacement" means the relative movement of any  two sides of a fault measured in any direction. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Disposal unit boundary" or "DUB" means  the vertical plane located at the edge of the waste disposal unit. This  vertical plane extends down into the uppermost aquifer. The DUB must be  positioned within or coincident to the waste management boundary.
    "EPA" means the United States Environmental  Protection Agency. 
    "Exempt management facility" means a site used for  activities that are conditionally exempt from management as a solid waste under  this chapter. The facility remains exempt from solid waste management  requirements provided it complies with the applicable conditions set forth in  Parts II (9VAC20-81-20 et seq.) and IV (9VAC20-81-300 et seq.) of this chapter.
    "Expansion" means a horizontal expansion of the  waste management boundary as identified in the Part A application. If a  facility's permit was issued prior to the establishment of the Part A process,  an expansion is a horizontal expansion of the disposal unit boundary. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Facility boundary" means the boundary of the solid  waste management facility. For landfills, this boundary encompasses the waste  management boundary and all ancillary activities including, but not limited to  scales, groundwater monitoring wells, gas monitoring probes, and maintenance  facilities as identified in the facility's permit application. For facilities  with a permit-by-rule (PBR) the facility boundary is the boundary of the  property where the permit-by-rule activity occurs. For unpermitted solid waste  management facilities, the facility boundary is the boundary of the property  line where the solid waste is located.
    "Facility structure" means any building, shed, or  utility or drainage line on the facility. 
    "Fault" means a fracture or a zone of fractures in  any material along which strata on one side have been displaced with respect to  that on the other side. 
    "Floodplain" means the lowland and relatively flat  areas adjoining inland and coastal waters, including low-lying areas of  offshore islands where flooding occurs. 
    "Fly ash" means ash particulate collected from air  pollution attenuation devices on combustion units. 
    "Food-chain crops" means crops grown for human  consumption, tobacco, and crops grown for pasture and forage or feed for  animals whose products are consumed by humans. 
    "Fossil fuel combustion products" means coal  combustion byproducts as defined in this regulation, coal combustion byproducts  generated at facilities with fluidized bed combustion technology, petroleum  coke combustion byproducts, byproducts from the combustion of oil, byproducts  from the combustion of natural gas, and byproducts from the combustion of  mixtures of coal and "other fuels" (i.e., co-burning of coal with  "other fuels" where coal is at least 50% of the total fuel). For  purposes of this definition, "other fuels" means waste-derived fuel  product, auto shredder fluff, wood wastes, coal mill rejects, peat, tall oil,  tire-derived fuel, deionizer resins, and used oil. 
    "Free liquids" means liquids that readily separate  from the solid portion of a waste under ambient temperature and pressure as  determined by the Paint Filter Liquids Test, Method 9095, U.S. Environmental  Protection Agency, Publication SW-846. 
    "Garbage" means readily putrescible discarded  materials composed of animal, vegetable or other organic matter. 
    "Gas condensate" means the liquid generated as a  result of gas control or recovery processes at the solid waste management  facility. 
    "Governmental unit" means any department,  institution, or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.
    "Ground rubber" means material processed from waste  tires that is no larger than 1/4 inch in any dimension. This includes crumb  rubber that is measured in mesh sizes. 
    "Groundwater" means water below the land surface in  a zone of saturation. 
    "Hazardous constituent" means a constituent of  solid waste found listed in Appendix VIII of 9VAC20-60-261.
    "Hazardous waste" means a "hazardous  waste" as described by the Virginia Hazardous Waste Management Regulations  (9VAC20-60).
    "Holocene" means the most recent epoch of the  Quaternary period, extending from the end of the Pleistocene Epoch to the  present. 
    "Home use" means the use of compost for growing  plants that is produced and used on a privately owned residential site. 
    "Host agreement" means any lease, contract,  agreement, or land use permit entered into or issued by the locality in which  the landfill is situated that includes terms or conditions governing the  operation of the landfill. 
    "Household hazardous waste" means any waste  material derived from households (including single and multiple residences,  hotels, motels, bunkhouses, ranger stations, crew quarters, campgrounds, picnic  grounds, and day-use recreation areas) which, except for the fact that it is  derived from a household, would otherwise be classified as a hazardous waste in  accordance with 9VAC20-60.
    "Household waste" means any waste material,  including garbage, trash, and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds, and day-use recreation  areas. Household wastes do not include sanitary waste in septic tanks (septage)  that is regulated by other state agencies. 
    "Hundred-year flood" means a flood that has a 1.0%  or greater chance of recurring in any given year or a flood of magnitude  equaled or exceeded on the average only once in a hundred years on the average  over a significantly long period. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Incinerator" means a facility or device designed  for the treatment of solid waste by combustion. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts; inorganic  chemicals; iron and steel manufacturing; leather and leather products;  nonferrous metals manufacturing/foundries; organic chemicals; plastics and  resins manufacturing; pulp and paper industry; rubber and miscellaneous plastic  products; stone, glass, clay, and concrete products; textile manufacturing;  transportation equipment; and water treatment. This term does not include  mining waste or oil and gas waste. 
    "Industrial waste landfill" means a solid waste  landfill used primarily for the disposal of a specific industrial waste or a  waste that is a byproduct of a production process. 
    "Injection well" means, for the purposes of this  chapter, a well or bore hole into which fluids are injected into selected  geological horizons. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Interim cover systems" means temporary cover  systems applied to a landfill area when landfilling operations will be  temporarily suspended for an extended period (typically, longer than one year).  At the conclusion of the interim period, the interim cover system may be  removed and landfilling operations resume or final cover is installed.
    "Karst topography" means areas where karst terrane,  with its characteristic surface and subterranean features, is developed as the  result of dissolution of limestone, dolomite, or other soluble rock.  Characteristic physiographic features present in karst terranes include, but  are not limited to, sinkholes, sinking streams, caves, large springs, and blind  valleys. 
    "Key personnel" means the applicant itself and any  person employed by the applicant in a managerial capacity, or empowered to make  discretionary decisions, with respect to the solid waste or hazardous waste  operations of the applicant in Virginia, but shall not include employees  exclusively engaged in the physical or mechanical collection, transportation,  treatment, storage, or disposal of solid or hazardous waste and such other  employees as the director may designate by regulation. If the applicant has not  previously conducted solid waste or hazardous waste operations in Virginia, the  term also includes any officer, director, partner of the applicant, or any  holder of 5.0% or more of the equity or debt of the applicant. If any holder of  5.0% or more of the equity or debt of the applicant or of any key personnel is  not a natural person, the term includes all key personnel of that entity,  provided that where such entity is a chartered lending institution or a  reporting company under the Federal Security and Exchange Act of 1934, the term  does not include key personnel of such entity. Provided further that the term  means the chief executive officer of any agency of the United States or of any  agency or political subdivision of the Commonwealth, and all key personnel of  any person, other than a natural person, that operates a landfill or other  facility for the disposal, treatment, or storage of nonhazardous solid waste  under contract with or for one of those governmental entities. 
    "Lagoon" means a body of water or surface  impoundment designed to manage or treat waste water. 
    "Land-clearing activities" means the removal of  flora from a parcel of land.
    "Land-clearing debris" means vegetative waste  resulting from land-clearing activities. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill. 
    "Landfill gas" means gas generated as a byproduct  of the decomposition of organic materials in a landfill. Landfill gas consists  primarily of methane and carbon dioxide. 
    "Landfill mining" means the process of excavating  solid waste from an existing landfill. 
    "Leachate" means a liquid that has passed through  or emerged from solid waste and contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation to disposal in an off-site facility is regulated as septage,  leachate discharged into a waste water collection system is regulated as  industrial waste water and leachate that has contaminated groundwater is  regulated as contaminated groundwater. 
    "Lead acid battery" means, for the purposes of this  chapter, any wet cell battery. 
    "Lift" means the daily landfill layer of compacted  solid waste plus the cover material. 
    "Liquid waste" means any waste material that is  determined to contain "free liquids" as defined by this chapter. 
    "Lithified earth material" means all rock,  including all naturally occurring and naturally formed aggregates or masses of  minerals or small particles of older rock, that formed by crystallization of  magma or by induration of loose sediments. This term does not include manmade  materials, such as fill, concrete, and asphalt, or unconsolidated earth  materials, soil, or regolith lying at or near the earth's surface. 
    "Litter" means, for purposes of this chapter, any  solid waste that is discarded or scattered about a solid waste management  facility outside the immediate working area. 
    "Lower explosive limit" means the lowest  concentration by volume of a mixture of explosive gases in air that will  propagate a flame at 25°C and at atmospheric pressure. 
    "Materials recovery facility" means a solid waste  management facility for the collection, processing, and recovery of material  such as metals from solid waste or for the production of a fuel from solid  waste. This does not include the production of a waste-derived fuel product. 
    "Maximum horizontal acceleration in lithified earth  material" means the maximum expected horizontal acceleration depicted on a  seismic hazard map, with a 90% or greater probability that the acceleration  will not be exceeded in 250 years, or the maximum expected horizontal  acceleration based on a site-specific seismic risk assessment. 
    "Monitoring" means all methods, procedures, and  techniques used to systematically analyze, inspect, and collect data on  operational parameters of the facility or on the quality of air, groundwater,  surface water, and soils. 
    "Monitoring well" means a well point below the  ground surface for the purpose of obtaining periodic water samples from  groundwater for quantitative and qualitative analysis. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses except composting as defined and regulated under this  chapter. 
    "Municipal solid waste" means that waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from combustion of these wastes. 
    "New solid waste management facility" means a  facility or a portion of a facility that was not included in a previous  determination of site suitability (Part A approval). 
    "Nuisance" means an activity that unreasonably  interferes with an individual's or the public's comfort, convenience or  enjoyment such that it interferes with the rights of others by causing damage,  annoyance, or inconvenience. 
    "Offsite" means any site that does not meet the  definition of onsite as defined in this part. 
    "Onsite" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same  person, but connected by a right-of-way that he controls and to which the  public does not have access, are also considered onsite property. 
    "Open burning" means the combustion of solid waste  without:
    1. Control of combustion air to maintain adequate temperature  for efficient combustion;
    2. Containment of the combustion reaction in an enclosed  device to provide sufficient residence time and mixing for complete combustion;  and
    3. Control of the combustion products' emission. 
    "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.
    "Operating record" means records required to be  maintained in accordance with the facility permit or this part (see  9VAC20-81-530). 
    "Operation" means all waste management activities  at a solid waste management facility beginning with the initial receipt of  solid waste for treatment, storage, disposal, or transfer and ceasing with the  initiation of final closure activities at the solid waste management facility  subsequent to the final receipt of waste.
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means the person who owns a solid waste  management facility or part of a solid waste management facility.
    "PCB" means any chemical substance that is limited  to the biphenyl molecule that has been chlorinated to varying degrees or any  combination of substances that contain such substance (see 40 CFR 761.3, as  amended).
    "Perennial stream" means a well-defined channel  that contains water year round during a year of normal rainfall. Generally, the  water table is located above the streambed for most of the year and groundwater  is the primary source for stream flow. A perennial stream exhibits the typical  biological, hydrological, and physical characteristics commonly associated with  the continuous conveyance of water.
    "Permit" means the written permission of the  director to own, operate, or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation, or any  other legal entity. 
    "Point source" means any discernible, confined, and  discrete conveyance, including but not limited to any pipe, ditch, channel,  tunnel, conduit, well, discrete fissure, container, rolling stock, vessel, or  other floating craft, from which pollutants are or may be discharged. Return  flows from irrigated agriculture are not included. 
    "Pollutant" means any substance that causes or  contributes to, or may cause or contribute to, environmental degradation when  discharged into the environment. 
    "Poor foundation conditions" means those areas  where features exist that indicate that a natural or man-induced event may  result in inadequate foundation support for the structural components of a  solid waste management facility. 
    "Postclosure" means the requirements placed upon  solid waste disposal facilities after closure to ensure environmental and  public health safety for a specified number of years after closure. 
    "Process rate" means the maximum rate of waste  acceptance that a solid waste management facility can process for a  treatment and/or storage. This rate is limited by the capabilities of  equipment, personnel, and infrastructure. 
    "Processing" means preparation, treatment, or  conversion of waste by a series of actions, changes, or functions that bring  about a desired end result. 
    "Professional engineer" means an engineer licensed  to practice engineering in the Commonwealth as defined by the rules and  regulations set forth by the Board of Architects, Professional Engineers, Land  Surveyors, and Landscape Architects (18VAC10-20).
    "Professional geologist" means a geologist licensed  to practice geology in the Commonwealth as defined by the rules and regulations  set forth by the Board for Geology (18VAC70-20).
    "Progressive cover" means cover material placed  over the working face of a solid waste disposal facility advancing over the  deposited waste as new wastes are added keeping the exposed area to a minimum. 
    "Putrescible waste" means solid waste that contains  organic material capable of being decomposed by micro-organisms and cause  odors. 
    "Qualified groundwater scientist" means a scientist  or engineer who has received a baccalaureate or postgraduate degree in the  natural sciences or engineering and has sufficient training and experience in  groundwater hydrology and related fields as may be demonstrated by professional  certifications, or completion of accredited university programs that enable  that individual to make sound professional judgments regarding groundwater  monitoring, contaminant fate and transport, and corrective action. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act of 1976 (42 USC  § 6901 et seq.), the Hazardous and Solid Waste Amendments of 1984, and any  other applicable amendments to these laws. 
    "Reclaimed material" means a material that is  processed or reprocessed to recover a usable product or is regenerated to a  usable form. 
    "Refuse" means all solid waste products having the  character of solids rather than liquids and that are composed wholly or  partially of materials such as garbage, trash, rubbish, litter, residues from  clean up of spills or contamination, or other discarded materials. 
    "Refuse-derived fuel (RDF)" means a type of  municipal solid waste produced by processing municipal solid waste through  shredding and size classification. This includes all classes of refuse-derived  fuel including low-density fluff refuse-derived fuel through densified  refuse-derived fuel and pelletized refuse-derived fuel.
    "Regulated hazardous waste" means a solid waste  that is a hazardous waste, as defined in the Virginia Hazardous Waste  Management Regulations (9VAC20-60), that is not excluded from those regulations  as a hazardous waste. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Release" means, for the purpose of this chapter,  any spilling, leaking, pumping, pouring, emitting, emptying, discharging,  injection, escaping, leaching, dumping, or disposing into the environment solid  wastes or hazardous constituents of solid wastes (including the abandonment or  discarding of barrels, containers, and other closed receptacles containing  solid waste). This definition does not include any release that results in  exposure to persons solely within a workplace; release of source, byproduct, or  special nuclear material from a nuclear incident, as those terms are defined in  the Atomic Energy Act of 1954 (68 Stat. 923); and the normal application of  fertilizer. For the purpose of this chapter, release also means substantial  threat of release. 
    "Remediation waste" means all solid waste,  including all media (groundwater, surface water, soils, and sediments) and  debris, that are managed for the purpose of remediating a site in accordance  with 9VAC20-81-45 or Part III (9VAC20-81-100 et seq.) of this chapter or under  the Voluntary Remediation Regulations (9VAC20-160) or other regulated  remediation program under DEQ oversight. For a given facility, remediation  wastes may originate only from within the boundary of that facility, and may  include wastes managed as a result of remediation beyond the boundary of the  facility. Hazardous wastes as defined in 9VAC20-60, as well as "new"  or "as generated" wastes, are excluded from this definition. 
    "Remediation waste management unit" or  "RWMU" means an area within a facility that is designated by the  director for the purpose of implementing remedial activities required under  this chapter or otherwise approved by the director. An RWMU shall only be used  for the management of remediation wastes pursuant to implementing such remedial  activities at the facility. 
    "Responsible official" means one of the following:
    1. For a business entity, such as a corporation, association,  limited liability company, or cooperative: a duly authorized representative of  such business entity if the representative is responsible for the overall  operation of one or more operating facilities applying for or subject to a  permit. The authority to sign documents must be assigned or delegated to such  representative in accordance with procedures of the business entity;
    2. For a partnership or sole proprietorship: a general partner  or the proprietor, respectively; or
    3. For a municipality, state, federal, or other public agency:  a duly authorized representative of the locality if the representative is responsible  for the overall operation of one or more operating facilities applying for or  subject to a permit. The authority to sign documents must be assigned or  delegated to such representative in accordance with procedures of the locality.
    "Rubbish" means combustible or slowly putrescible  discarded materials that include but are not limited to trees, wood, leaves,  trimmings from shrubs or trees, printed matter, plastic and paper products,  grass, rags and other combustible or slowly putrescible materials not included  under the term "garbage." 
    "Runoff" means any rainwater, leachate, or other  liquid that drains over land from any part of a solid waste management  facility. 
    "Run-on" means any rainwater, wastewater, leachate,  or other liquid that drains over land onto any part of the solid waste  management facility. 
    "Salvage" means the authorized, controlled removal  of waste materials from a solid waste management facility. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste that is so located, designed,  constructed, and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Saturated zone" means that part of the earth's crust  in which all voids are filled with water. 
    "Scavenging" means the unauthorized or uncontrolled  removal of waste materials from a solid waste management facility. 
    "Scrap metal" means metal parts such as bars, rods,  wire, empty containers, or metal pieces that are discarded material and can be  used, reused, or reclaimed. 
    "Secondary containment" means an enclosure into  which a container or tank is placed for the purpose of preventing discharge of  wastes to the environment. 
    "Seismic impact zone" means an area with a 10% or  greater probability that the maximum horizontal acceleration in lithified earth  material, expressed as a percentage of the earth's gravitational pull (g), will  exceed 0.10g in 250 years. 
    "Semiannual" means an interval corresponding to  approximately 180 days. For the purposes of scheduling monitoring activities,  sampling within 30 days of the 180-day interval will be considered semiannual. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Sludge" means any solid, semi-solid or liquid  waste generated from a municipal, commercial or industrial wastewater treatment  plant, water supply treatment plant, or air pollution control facility  exclusive of treated effluent from a wastewater treatment plant. 
    "Small landfill" means a landfill that disposed of  100 tons/day or less of solid waste during a representative period prior to  October 9, 1993, and did not dispose of more than an average of 100 tons/day of  solid waste each month between October 9, 1993, and April 9, 1994. 
    "Solid waste" means any of those materials defined  as "solid waste" in 9VAC20-81-95. 
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility" or  "SWMF" means a site used for planned treating, storing, or disposing  of solid waste. A facility may consist of several treatment, storage, or  disposal units. 
    "Special wastes" means solid wastes that are  difficult to handle, require special precautions because of hazardous  properties, or the nature of the waste creates waste management problems in  normal operations. (See Part VI (9VAC20-81-610 et seq.) of this chapter.) 
    "Speculatively accumulated material" means any  material that is accumulated before being used, reused, or reclaimed or in  anticipation of potential use, reuse, or reclamation. Materials are not being  accumulated speculatively when they can be used, reused, or reclaimed, have a  feasible means of use, reuse, or reclamation available and 75% of the materials  accumulated are being removed from the facility annually. 
    "State waters" means all water, on the surface and  under the ground, wholly or partially within, or bordering the Commonwealth, or  within its jurisdiction. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Structural fill" means an engineered fill with a  projected beneficial end use, constructed using soil or fossil fuel combustion  products spread and compacted with proper equipment and covered with a  vegetated soil cap. 
    "Sudden event" means a one-time, single event such  as a sudden collapse or a sudden, quick release of contaminants to the  environment. An example would be the sudden loss of leachate from an impoundment  into a surface stream caused by failure of a containment structure. 
    "Surface impoundment or impoundment" means a  facility or part of a facility that is a natural topographic depression,  manmade excavation, or diked area formed primarily of earthen materials  (although it may be lined with manmade materials), that is designed to hold an  accumulation of liquid wastes or wastes containing free liquids and that is not  an injection well. 
    "Surface waters" means all state waters that are  not groundwater as defined in § 62.1-255 of the Code of Virginia.
    "SW-846" means Test Methods for Evaluating Solid  Waste, Physical/Chemical Methods, EPA Publication SW-846, Second Edition, 1982  as amended by Update I (April, 1984), and Update II (April, 1985) and the third  edition, November, 1986, as amended. 
    "Tank" means a stationary device, designed to  contain an accumulation of liquid or semi-liquid components of solid waste that  is constructed primarily of nonearthen materials that provide structural  support. 
    "TEF" or "Toxicity Equivalency Factor"  means a factor developed to account for different toxicities of structural  isomers of polychlorinated dibenzodioxins and dibenzofurans and to relate them  to the toxicity of 2,3,7,8-tetrachloro dibenzo-p-dioxin. 
    "Terminal" means the location of transportation  facilities such as classification yards, docks, airports, management offices,  storage sheds, and freight or passenger stations, where solid waste that is  being transported may be loaded, unloaded, transferred, or temporarily stored. 
    "Thermal treatment" means the treatment of solid  waste in a device that uses elevated temperature as the primary means to change  the chemical, physical, or biological character, or composition of the solid  waste. 
    "Tire chip" means a material processed from waste  tires that is a nominal two square inches in size, and ranges from 1/4 inch to  four inches in any dimension. Tire chips contain no wire protruding more than  1/4 inch. 
    "Tire shred" means a material processed from waste  tires that is a nominal 40 square inches in size, and ranges from 4 inches to  10 inches in any dimension. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration, or resource recovery. 
    "Trash" means combustible and noncombustible  discarded materials and is used interchangeably with the term rubbish. 
    "Treatment" means, for the purpose of this chapter,  any method, technique, or process, including but not limited to incineration,  designed to change the physical, chemical, or biological character or  composition of any waste to render it more stable, safer for transport, or more  amenable to use, reuse, reclamation, recovery, or disposal. 
    "Underground source of drinking water" means an  aquifer or its portion:
    1. Which contains water suitable for human consumption; or
    2. In which the groundwater contains less than 10,000 mg/liter  total dissolved solids. 
    "Unit" means a discrete area of land used for the  disposal of solid waste. 
    "Unstable area" means a location that is  susceptible to natural or human-induced events or forces capable of impairing  the integrity of some or all of the landfill structural components responsible  for preventing releases from a landfill. Unstable areas can include poor  foundation conditions, areas susceptible to mass movements, and karst terranes.  
    "Uppermost aquifer" means the geologic formation  nearest the natural ground surface that is an aquifer, as well as, lower  aquifers that are hydraulically interconnected with this aquifer within the  facility boundary. 
    "Used or reused material" means a material that is  either: 
    1. Employed as an ingredient (including use as an  intermediate) in a process to make a product, excepting those materials  possessing distinct components that are recovered as separate end products; or 
    2. Employed in a particular function or application as an  effective substitute for a commercial product or natural resources. 
    "Vector" means a living animal, insect, or other  arthropod that transmits an infectious disease from one organism to another. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, woody wastes such as shrub and tree  prunings, bark, limbs, roots, and stumps. 
    "Vermicomposting" means the controlled and managed  process by which live worms convert organic residues into fertile excrement.
    "Vertical design capacity" means the maximum design  elevation specified in the facility's permit or if none is specified in the  permit, the maximum elevation based on a 3:1 slope from the waste disposal unit  boundary. 
    "VPDES" (Virginia Pollutant Discharge Elimination  System) means the Virginia system for the issuance of permits pursuant to the  Permit Regulation (9VAC25-31), the State Water Control Law (§ 62.1-44.2 et  seq. of the Code of Virginia), and § 402 of the Clean Water Act (33 USC  § 1251 et seq.). 
    "Washout" means carrying away of solid waste by  waters of the base flood. 
    "Waste-derived fuel product" means a solid waste or  combination of solid wastes that have been treated (altered physically,  chemically, or biologically) to produce a fuel product with a minimum heating  value of 5,000 BTU/lb. Solid wastes used to produce a waste-derived fuel  product must have a heating value, or act as binders, and may not be added to  the fuel for the purpose of disposal. Waste ingredients may not be listed or  characteristic hazardous wastes. The fuel product must be stable at ambient  temperature, and not degraded by exposure to the elements. This material may  not be "refuse derived fuel (RDF)" as defined in 9VAC5-40-890. 
    "Waste management boundary" means the vertical  plane located at the boundary line of the area approved in the Part A  application for the disposal of solid waste and storage of leachate. This  vertical plane extends down into the uppermost aquifer and is within the  facility boundary.
    "Waste pile" means any noncontainerized  accumulation of nonflowing, solid waste that is used for treatment or storage. 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. (See 9VAC20-150 for other definitions dealing with the  waste tire program.) 
    "Wastewaters" means, for the purpose of this  chapter, wastes that contain less than 1.0% by weight total organic carbon  (TOC) and less than 1.0% by weight total suspended solids (TSS). 
    "Water pollution" means such alteration of the  physical, chemical, or biological properties of any state water as will or is  likely to create a nuisance or render such waters: 
    1. Harmful or detrimental or injurious to the public health,  safety, or welfare, or to the health of animals, fish, or aquatic life or  plants; 
    2. Unsuitable, with reasonable treatment, for use as present  or possible future sources of public water supply; or
    3. Unsuitable for recreational, commercial, industrial, agricultural,  or other reasonable uses, provided that:
    a. An alteration of the physical, chemical, or biological  properties of state waters or a discharge or deposit of sewage, industrial  wastes, or other wastes to state waters by any owner that by itself is not  sufficient to cause pollution but which in combination with such alteration or  discharge or deposit to state waters by other persons is sufficient to cause  pollution;
    b. The discharge of untreated sewage by any person into state  waters; and 
    c. The contribution to the degradation of water quality  standards duly established by the State Water Control Board, are  "pollution" for the terms and purposes of this chapter. 
    "Water table" means the upper surface of the zone  of saturation in groundwaters in which the hydrostatic pressure is equal to the  atmospheric pressure. 
    "Waters of the United States" or "waters of  the U.S." means:
    1. All waters that are currently used, were used in the past,  or may be susceptible to use in interstate or foreign commerce, including all  waters that are subject to the ebb and flow of the tide;
    2. All interstate waters, including interstate  "wetlands";
    3. All other waters such as intrastate lakes, rivers, streams  (including intermittent streams), mud flats, sand flats, "wetlands,"  sloughs, prairie potholes, wet meadows, playa lakes, or natural ponds the use,  degradation, or destruction of which would affect or could affect interstate or  foreign commerce including:
    a. Any such waters that are or could be used by interstate or  foreign travelers for recreational or other purposes;
    b. Any such waters from which fish or shellfish are or could  be taken and sold in interstate or foreign commerce;
    c. Any such waters that are used or could be used for  industrial purposes by industries in interstate commerce;
    d. All impoundments of waters otherwise defined as waters of  the United States under this definition; 
    e. Tributaries of waters identified in subdivisions 3 a  through d of this definition;
    f. The territorial sea; and 
    g. Wetlands adjacent to waters (other than waters that are  themselves wetlands) identified in subdivisions 3 a through f of this  definition. 
    "Wetlands" means those areas that are defined by  the federal regulations under 33 CFR Part 328, as amended. 
    "White goods" means any stoves, washers, hot water  heaters, and other large appliances. 
    "Working face" means that area within a landfill  that is actively receiving solid waste for compaction and cover. 
    "Yard waste" means a subset of vegetative waste and  means decomposable waste materials generated by yard and lawn care and includes  leaves, grass trimmings, brush, wood chips, and shrub and tree trimmings. Yard  waste shall not include roots or stumps that exceed 12 inches in diameter. 
    9VAC20-81-35. Applicability of chapter.
    A. This chapter applies to all persons who treat, store,  dispose, or otherwise manage solid wastes as defined in Part III  (9VAC20-81-100 et seq.) of this chapter 9VAC20-81-95. 
    B. All facilities that were permitted prior to March 15,  1993, and upon which solid waste has been disposed of prior to October 9, 1993,  may continue to receive solid waste until they have reached their vertical  design capacity or until the closure date established pursuant to § 10.1-1413.2  of the Code of Virginia, in Table 2.1 provided: 
    1. The facility is in compliance with the requirements for  liners and leachate control in effect at the time of permit issuance. 
    2. On or before October 9, 1993, the owner or operator of the  solid waste management facility submitted to the director: 
    a. An acknowledgment that the owner or operator is familiar  with state and federal law and regulations pertaining to solid waste management  facilities operating after October 9, 1993, including postclosure care,  corrective action, and financial responsibility requirements; 
    b. A statement signed by a professional engineer that he has  reviewed the regulations established by the department for solid waste  management facilities, including the open dump criteria contained therein, that  he has inspected the facility and examined the monitoring data compiled for the  facility in accordance with applicable regulations and that, on the basis of  his inspection and review, he has concluded: 
    (1) That the facility is not an open dump; 
    (2) That the facility does not pose a substantial present or  potential hazard to human health and the environment; and 
    (3) That the leachate or residues from the facility do not  pose a threat of contamination or pollution of the air, surface water, or  groundwater in a manner constituting an open dump or resulting in a substantial  present or potential hazard to human health or the environment; and 
    c. A statement signed by the owner or operator: 
    (1) That the facility complies with applicable financial  assurance regulations; and 
    (2) Estimating when the facility will reach its vertical  design capacity. 
    3. Enlargement or closure of these facilities shall conform  with the following subconditions:
    a. The facility may not be enlarged prematurely to avoid  compliance with this chapter when such enlargement is not consistent with past  operating practices, the permit, or modified operating practices to ensure good  management.
    b. The facility shall not dispose of solid waste in any  portion of a landfill disposal area that has received final cover or has not  received waste for a period of one year, in accordance with 9VAC20-81-160 C.  The facility shall notify the department, in writing, within 30 days, when an  area has received final cover or has not received waste for a one-year period,  in accordance with 9VAC20-81-160 C. However, a facility may apply for a permit,  and if approved, can construct and operate a new cell that overlays  ("piggybacks") over a closed area in accordance with the permit  requirements of this chapter.
    c. The facilities subject to the restrictions in this  subsection are listed in Table 2.1. The closure dates were established in:  Final Prioritization and Closure Schedule for HB 1205 Disposal Areas (DEQ,  September 2001). The publication of these tables is for the convenience of the  regulated community and does not change established dates. Any facility,  including, but not limited to those listed in Table 2.1, must cease operation  if that facility meets any of the open dump criteria listed in 9VAC20-81-45 A  1.
    d. Those facilities assigned a closure date in accordance with  § 10.1-1413.2 of the Code of Virginia shall designate on a map, plat, diagram,  or other engineered drawing, areas in which waste will be disposed of in  accordance with Table 2.1 until the latest cessation of waste acceptance date  as listed in Table 2.1 is achieved. This map or plat shall be placed in the  operating record and a copy shall be submitted upon request to the department  in order to track the progress of closure of these facilities. If the facility  already has provided this information under 9VAC20-81-160, then the facility  may refer to that information.
           |      TABLE 2.1      Final Prioritization and Closure Schedule For House Bill (HB) 1205 Disposal    Areas       |    
       |      Solid Waste Permit Number and    Site Name      |          Location      |          Department Regional Office1      |          Latest Cessation of Waste    Acceptance Date2      |    
       |      429 - Fluvanna County Sanitary    Landfill      |          Fluvanna County      |          VRO      |          12/31/2007      |    
       |      92 - Halifax County Sanitary    Landfill3      |          Halifax County      |          BRRO      |          12/31/2007      |    
       |      49 - Martinsville Landfill      |          City of Martinsville      |          BRRO      |          12/31/2007      |    
       |      14 - Mecklenburg County    Landfill      |          Mecklenburg County      |          BRRO      |          12/31/2007      |    
       |      228 - Petersburg City Landfill3      |          City of Petersburg      |          PRO      |          12/31/2007      |    
       |      31 - South Boston Sanitary    Landfill      |          Town of South Boston      |          BRRO      |          12/31/2007      |    
       |      204 - Waynesboro City Landfill      |          City of Waynesboro      |          VRO      |          12/31/2007      |    
       |      91 - Accomack County Landfill    – Bobtown South      |          Accomack County      |          TRO      |          12/31/2012      |    
       |      580 – Bethel Landfill3       |          City of Hampton      |          TRO      |          12/31/2012      |    
       |      182 - Caroline County Landfill      |          Caroline County      |          NVRO      |          12/31/2012      |    
       |      149 - Fauquier County Landfill      |          Fauquier County      |          NVRO      |          12/31/2012      |    
       |      405 - Greensville County    Landfill      |          Greensville County      |          PRO      |          12/31/2012      |    
       |      29 - Independent Hill Landfill3      |          Prince William County      |          NVRO      |          12/31/2012      |    
       |      1 - Loudoun County Sanitary    Landfill      |          Loudoun County      |          NVRO      |          12/31/2012      |    
       |      194 - Louisa County Sanitary    Landfill      |          Louisa County      |          NVRO      |          12/31/2012      |    
       |      227 - Lunenburg County    Sanitary Landfill      |          Lunenburg County      |          BRRO      |          12/31/2012      |    
       |      507 - Northampton County    Landfill      |          Northampton County      |          TRO      |          12/31/2012      |    
       |      90 - Orange County Landfill      |          Orange County      |          NVRO      |          12/31/2012      |    
       |      75 - Rockbridge County    Sanitary Landfill      |          Rockbridge County      |          VRO      |          12/31/2012      |    
       |      23 - Scott County Landfill      |          Scott County      |          SWRO      |          12/31/2012      |    
       |      587 - Shoosmith Sanitary    Landfill3      |          Chesterfield County      |          PRO      |          12/31/2012      |    
       |      417 - Southeastern Public    Service Authority Landfill3       |          City of Suffolk      |          TRO      |          12/31/2012      |    
       |      461 - Accomack County Landfill    #2      |          Accomack County      |          TRO      |          12/31/2020      |    
       |      86    - Appomattox County Sanitary Landfill      |          Appomattox    County      |          BRRO      |          12/31/2020      |    
       |      582 - Botetourt County    Landfill3      |          Botetourt County      |          BRRO      |          12/31/2020      |    
       |      498 - Bristol City Landfill      |          City of Bristol      |          SWRO      |          12/31/2020      |    
       |      72 - Franklin County Landfill      |          Franklin County      |          BRRO      |          12/31/2020      |    
       |      398 - Virginia Beach Landfill    #2 – Mount Trashmore II3      |          City of Virginia Beach      |          TRO      |          12/31/2020      |    
       |      Notes:       |                 |                 |                 |    
       |      1Department of Environmental Quality Regional Offices:      |    
       |      BRRO      |          Blue Ridge Regional Office      |    
       |      NVRO      |          Northern Virginia Regional    Office      |    
       |      PRO      |          Piedmont Regional Office       |    
       |      SWRO      |          Southwest Regional    Office       |    
       |      TRO      |          Tidewater Regional    Office       |    
       |      VRO      |          Valley Regional Office       |    
       |      2This date means the latest date that the disposal    area must cease accepting waste.       |    
       |      3A portion of these facilities operated under HB 1205    and another portion currently is compliant with Subtitle D    requirements.       |    
        |      |      |      |      |    
  
    C. Facilities are authorized to expand beyond the waste  boundaries existing on October 9, 1993, as follows: 
    1. Existing captive industrial landfills. 
    a. Existing nonhazardous industrial waste facilities that are  located on property owned or controlled by the generator of the waste disposed  of in the facility shall comply with all the provisions of this chapter except  as shown in subdivision 1 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a captive industrial landfill  beyond the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements in effect at  the time of permit issuance. 
    c. Owners or operators of facilities that are authorized under  subdivision 1 of this subsection to accept waste for disposal beyond the waste  boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120. 
    d. Facilities authorized for expansion in accordance with  subdivision 1 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    2. Other existing industrial waste landfills. 
    a. Existing nonhazardous industrial waste facilities that are  not located on property owned or controlled by the generator of the waste  disposed of in the facility shall comply with all the provisions of this  chapter except as shown in subdivision 2 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand an industrial landfill beyond  the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements of  9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 2 of this subsection to accept waste for disposal beyond the  waste boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120 and 9VAC20-81-130.
    e. Facilities authorized for expansion in accordance with  subdivision 2 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    3. Existing construction/demolition/debris landfills. 
    a. Existing facilities that accept only  construction/demolition/debris waste shall comply with all the provisions of  this chapter except as shown in subdivision 3 of this subsection.
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a  construction/demolition/debris landfill beyond the waste boundaries existing on  October 9, 1993. Liners and leachate collection systems constructed beyond the  waste boundaries existing on October 9, 1993, shall be constructed in  accordance with the requirements of 9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 3 of this subsection to accept waste for disposal beyond the  active portion of the landfill existing on October 9, 1993, shall ensure that  such expanded disposal areas maintain setback distances applicable to such  facilities in 9VAC20-81-120 and 9VAC20-81-130. 
    e. Facilities, or portions thereof, which have reached their  vertical design capacity shall be closed in compliance with 9VAC20-81-160. 
    f. Facilities authorized for expansion in accordance with  subdivision 3 of this subsection are limited to expansion to the permitted  disposal area existing on October 9, 1993, or the facility boundary existing on  October 9, 1993, if no discrete disposal area is defined in the facility  permit. 
    4. Facilities or units undergoing expansion in accordance with  the partial exemptions created by subdivision 1 b, 2 b, or 3 b of this  subsection may not receive hazardous wastes generated by the exempt small  quantity generators, as defined by the Virginia Hazardous Waste Management  Regulations ( 9VAC20-60), for disposal on the expanded portions of the  facility. Other wastes that require special handling in accordance with the  requirements of Part VI (9VAC20-81-610 et seq.) of this chapter or that contain  hazardous constituents that would pose a risk to health or environment, may  only be accepted with specific approval by the director. 
    5. Nothing in subdivisions 1 b, 2 b, and 3 b of this  subsection shall alter any requirement for ground water monitoring, financial  responsibility, operator certification, closure, postclosure care, operation,  maintenance, or corrective action imposed under this chapter, or impair the  powers of the director to revoke or modify a permit pursuant to § 10.1-1409  of the Virginia Waste Management Act or Part V (9VAC20-81-400 et seq.) of this  chapter. 
    D. An owner or operator of a previously unpermitted facility  or unpermitted activity that managed materials previously exempt or excluded  from this chapter shall submit a complete application for a solid waste  management facility permit, permit by rule or a permit modification, as  applicable, in accordance with Part V (9VAC20-81-430 et seq.) of this chapter  within six months after these materials have been defined or identified as  solid wastes. If the director finds that the application is complete, the owner  or operator may continue to manage the newly defined or identified waste until  a permit or permit modification decision has been rendered or until a date two  years after the change in definition whichever occurs sooner, provided however,  that in so doing he shall not operate or maintain an open dump, a hazard, or a  nuisance. 
    Owners or operators of solid waste management facilities in  existence prior to September 24, 2003, shall now be in compliance with this  chapter. Where conflicts exist between the existing facility permit and the new  requirements of the regulations, the regulations shall supersede the permit  except where the standards in the permit are more stringent than the  regulation. Language in an existing permit shall not act as a shield to  compliance with the regulation, unless a variance to the regulations has been  approved by the director in accordance with the provisions of Part VII  (9VAC20-81-700 et seq.) of this chapter. Existing facility permits will not be  required to be updated to eliminate requirements conflicting with the  regulation, except at the request of the director or if a permit is modified  for another reason. However, all sanitary landfills and incinerators that  accept waste from jurisdictions outside of Virginia must have submitted the  materials required under 9VAC20-81-100 E 4 by March 22, 2004. 
    E. This chapter is not applicable to landfill units closed in  accordance with regulations or permits in effect prior to December 21, 1988,  unless releases from these closed landfills meet the open dump criteria found  in 9VAC20-81-45, or the closed landfills are found to be a hazard or a nuisance  under subdivision 21 of § 10.1-1402 of the Code of Virginia, or a site  where improper waste management has occurred under subdivision 19 of  § 10.1-1402 of the Code of Virginia.
    9VAC20-81-95. Identification of solid waste.
    A. Wastes identified in this part section  are solid wastes that are subject to this chapter unless regulated  pursuant to other applicable regulations issued by the department. 
    B. Except as otherwise provided, the definition of solid  waste per 40 CFR 261.2 as incorporated by 9VAC20-60-261, as amended, is also  hereby incorporated as part of this chapter. Except as otherwise provided, all  material definitions, reference materials and other ancillaries that are a part  of 9VAC20-60-261, as amended, are also hereby incorporated as part of this  chapter as well.
    C. Except as otherwise modified or excepted by 9VAC20-60, the  materials listed in the regulations of the United States Environmental  Protection Agency set forth in 40 CFR 261.4 (a) are considered a solid waste  for the purposes of this chapter. However, these materials are not regulated  under the provisions of this chapter if all conditions specified therein are  met. This list and all material definitions, reference materials and other  ancillaries that are part of 40 CFR Part 261.4 (a), as incorporated, modified  and/or accepted by 9VAC20-60 are incorporated as part of this chapter. In  addition, the following materials are not solid wastes for the purpose of this  chapter:
    1. Materials generated by any of the following, which are  returned to the soil as fertilizers: 
    a. The growing and harvesting of agricultural crops. 
    b. The raising and husbanding of animals, including animal  manures and used animal bedding. 
    2. Mining overburden returned to the mine site. 
    3. Recyclable materials used in manner constituting disposal  per 9VAC20-60-266. 
    4. Wood wastes burned for energy recovery. 
    5. Materials that are:
    a. Used or reused, or prepared for use or reuse, as an  ingredient in an industrial process to make a product, or as effective  substitutes for commercial products or natural resources provided the materials  are not being reclaimed or accumulated speculatively; or 
    b. Returned to the original process from which they are  generated. 
    6. Materials that are beneficially used as determined by the  department under this subsection. The department may consider other waste  materials and uses to be beneficial in accordance with the provisions of  9VAC20-81-97. 
    7. The following materials and uses listed in this part are  exempt from this chapter as long as they are managed so they do not create an  open dump, hazard, or public nuisance. These materials and the designated use  are considered a beneficial use of waste materials: 
    a. Clean wood, wood chips, or bark from land clearing, logging  operations, utility line clearing and maintenance operations, pulp and paper  production, and wood products manufacturing, when these materials are placed in  commerce for service as mulch, landscaping, animal bedding, erosion control,  habitat mitigation, wetlands restoration, or bulking agent at a compost  facility operated in compliance with Part IV (9VAC20-81-300 et seq.) of this  chapter;
    b. Clean wood combustion residues when used for pH adjustment  in compost, liquid absorbent in compost, or as a soil amendment or fertilizer,  provided the application rate of the wood ash is limited to the nutrient need  of the crop grown on the land on which the wood combustion residues will be  applied and provided that such application meets the requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    c. Compost that satisfies the applicable requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    d. Nonhazardous, contaminated soil that has been excavated as  part of a construction project and that is used as backfill for the same  excavation or excavations containing similar contaminants at the same site, at  concentrations at the same level or higher. Excess contaminated soil from these  projects is subject to the requirements of this chapter; 
    e. Nonhazardous petroleum contaminated soil that has been  treated to the satisfaction of the department in accordance with 9VAC20-81-660;  
    f. Nonhazardous petroleum contaminated soil when incorporated  into asphalt pavement products; 
    g. Solid wastes that are approved in advance of the placement,  in writing, by the department or that are specifically mentioned in the  facility permit for use as alternate daily cover material or other protective  materials for landfill liner or final cover system components; 
    h. Fossil fuel combustion products when used as a material in  the manufacturing of another product (e.g., concrete, concrete products,  lightweight aggregate, roofing materials, plastics, paint, flowable fill) or as  a substitute for a product or material resource (e.g., blasting grit, roofing  granules, filter cloth pre-coat for sludge dewatering, pipe bedding); 
    i. Tire chips and tire shred when used as a sub base fill for  road base materials or asphalt pavements when approved by the Virginia  Department of Transportation or by a local governing body; 
    j. Tire chips, tire shred, and ground rubber used in the  production of commercial products such as mats, pavement sealers, playground  surfaces, brake pads, blasting mats, and other rubberized commercial products; 
    k. Tire chips and tire shred when used as backfill in landfill  gas or leachate collection pipes, recirculation lines, and drainage material in  landfill liner and cover systems, and gas interception or remediation  applications; 
    l. Waste tires, tire chips or tire shred when burned for  energy recovery or when used in pyrolysis, gasification, or similar treatment  process to produce fuel; 
    m. "Waste -derived fuel product,"  as defined in 9VAC20-81-10, derived from nonhazardous solid waste; 
    n. Uncontaminated concrete and concrete products, asphalt  pavement, brick, glass, soil, and rock placed in commerce for service as a  substitute for conventional aggregate; and
    o. Clean, ground gypsum wallboard when used as a soil  amendment or fertilizer, provided the following conditions are met:
    (1) No components of the gypsum wallboard have been glued,  painted, or otherwise contaminated from manufacture or use (e.g., waterproof or  fireproof drywall) unless otherwise processed to remove contaminants. 
    (2) The gypsum wallboard shall be processed so that 95% of the  gypsum wallboard is less than 1/4 inch by 1/4 inch in size, unless an alternate  size is approved by the department.
    (3) The gypsum wallboard shall be applied only to  agricultural, silvicultural, landscaped, or mined lands or roadway construction  sites that need fertilization.
    (4) The application rate for the ground gypsum wallboard shall  not exceed the following rates.
           |      Region      |          Rate      |    
       |      Piedmont, Mountains, and Ridge and Valley      |          250 lbs/1,000 ft2      |    
       |      Coastal Plain      |          50 lbs/1,000 ft2      |    
       |      Note: These weights are for dry ground gypsum wallboard.      |    
  
    D. The following activities are conditionally exempt from  this chapter provided no open dump, hazard, or public nuisance is created: 
    1. Composting of sewage sludge at the sewage treatment plant  of generation without addition of other types of solid wastes.
    2. Composting of household waste generated at a residence and  composted at the site of generation. 
    3. Composting activities performed for educational purposes as  long as no more than 100 cubic yards of materials are on site at any time.  Greater quantities will be allowed with suitable justification presented to the  department. For quantities greater than 100 cubic yards, approval from the  department will be required prior to composting.
    4. Composting of animal carcasses onsite at the farm of  generation.
    5. Composting of vegetative waste and/or yard waste generated  onsite by owners or operators of agricultural operations or owners of the real  property or those authorized by the owners of the real property provided:
    a. All decomposed vegetative waste and compost produced is  utilized on said property;
    b. No vegetative waste or other waste material generated from  other sources other than said property is received;
    c. All applicable standards of local ordinances that govern or  concern vegetative waste handling, composting, storage or disposal are  satisfied; and 
    d. They pose no nuisance or present no potential threat to  human health or the environment. 
    6. Composting of yard waste by owners or operators who accept  yard waste generated offsite shall be exempt from all other provisions of this  chapter as applied to the composting activities provided the requirements of  9VAC20-81-397 B are met.
    7. Composting of preconsumer food waste and kitchen culls  generated onsite and composted in containers designed to prohibit vector  attraction and prevent nuisance odor generation. 
    8. Vermicomposting, when used to process Category I, Category  II, or Category III feedstocks in containers designed to prohibit vector  attraction and prevent nuisance odor generation. If offsite feedstocks are  received no more than 100 cubic yards of materials may be onsite at any one  time. For quantities greater than 100 cubic yards, approval from the department  will be required prior to composting.
    9. Composting of sewage sludge or combinations of sewage  sludge with nonhazardous solid waste provided the composting facility is  permitted under the requirements of a Virginia Pollution Abatement (VPA) or  VPDES permit.
    10. Management of solid waste in appropriate containers at the  site of its generation, provided that: 
    a. Putrescible waste is not stored more than seven days  between time of collection and time of removal for disposal; 
    b. Nonputrescible wastes are not stored more than 90 days  between time of collection and time of removal for proper management; and
    c. Treatment of waste is conducted in accordance with the  following:
    (1) In accordance with a waste analysis plan that:
    (a) Contains a detailed chemical and physical analysis of a  representative sample of the waste being treated, and contains all records  necessary to treat the waste in accordance with the requirements of this part,  including the selected testing frequency; and
    (b) Is kept in the facility's onsite file and made available  to the department upon request.
    (2) Notification is made to the receiving waste management  facility that the waste has been treated.
    11. Using rocks, brick, block, dirt, broken concrete, crushed  glass, porcelain, and road pavement as clean fill. 
    12. Storage of less than 100 waste tires at the site of  generation provided that no waste tires are accepted from offsite and that the  storage will not present a hazard or a nuisance.
    13. Storage in piles of land-clearing debris including stumps  and brush, clean wood wastes, log yard scrapings consisting of a mixture of  soil and wood, cotton gin trash, peanut hulls, and similar organic wastes that  do not readily decompose, are exempt from this chapter if they meet the  following conditions at a minimum: 
    a. The wastes are managed in the following manner: 
    (1) They do not cause discharges of leachate, or attract  vectors. 
    (2) They cannot be dispersed by wind and rain. 
    (3) Fire is prevented. 
    (4) They do not become putrescent. 
    b. Any facility storing waste materials under the provisions  of this subsection shall obtain a storm water discharge permit if they are  considered a significant source under the provisions of 9VAC25-31-120 A 1 c. 
    c. No more than a total of 1/3 acre of waste material is  stored onsite and the waste pile does not exceed 15 feet in height above base  grade. 
    d. Siting provisions. 
    (1) All log yard scrapings consisting of a mixture of soil and  wood, cotton gin trash, peanut hulls, and similar organic wastes that do not  readily decompose are stored at the site of the industrial activity that  produces them; 
    (2) A 50-foot fire break is maintained between the waste pile  and any structure or tree line; 
    (3) The slope of the ground within the area of the pile and  within 50 feet of the pile does not exceed 4:1; 
    (4) No waste material may be stored closer than 50 feet to any  regularly flowing surface water body or river, floodplain, or wetland; and
    (5) No stored waste materials shall extend closer than 50 feet  to any property line. 
    e. If activities at the site cease, any waste stored at the  site must be properly managed in accordance with these regulations within 90  days. The director can approve longer time frames with appropriate  justification. Justification must be provided in writing no more than 30 days  after ceasing activity at the site. 
    f. Waste piles that do not meet these provisions are required  to obtain a permit in accordance with the permitting provisions in Part V  (9VAC20-81-400 et seq.) of this chapter and meet all of the applicable waste  pile requirements in Part IV (9VAC20-81-300 et seq.) of this chapter.  Facilities that do not comply with the provisions of this subsection and fail  to obtain a permit are subject to the provisions of 9VAC20-81-40.
    14. Storage of nonhazardous solid wastes and hazardous wastes,  or hazardous wastes from conditionally exempt small quantity generators as  defined in Virginia Hazardous Waste Management Regulations (9VAC20-60) at a  transportation terminal or transfer station in closed containers meeting the  U.S. Department of Transportation specifications is exempt from this section  and the permitting provisions of Part V (9VAC20-81-400 et seq.) of this chapter  provided such wastes are removed to a permitted storage or disposal facility  within 10 days from the initial receipt from the waste generator. To be  eligible for this exemption, each shipment must be properly documented to show  the name of the generator, the date of receipt by the transporter, and the date  and location of the final destination of the shipment. The documentation shall  be kept at the terminal or transfer station for at least three years after the  shipment has been completed and shall be made available to the department upon  request. All such activities shall comply with any local ordinances.
    15. Open burning in accordance with the requirements of  9VAC5-130-40. 
    16. Open burning of vegetative waste is allowed at a closed  landfill that has not been released from postclosure care. The activity shall  be included in the text of the postclosure plan and conducted in accordance  with § 10.1-1410.3 of the Code of Virginia.
    17. Placement of trees, brush, or other vegetation from land  used for agricultural or silvicultural purposes on the same property or other  property of the same landowner. 
    18. Using fossil fuel combustion products in one or more of  the following applications or when handled, processed, transported, or  stockpiled for the following uses: 
    a. As a base, sub-base or fill material under a paved road,  the footprint of a structure, a paved parking lot, sidewalk, walkway or similar  structure, or in the embankment of a road. In the case of roadway embankments,  materials will be placed in accordance with VDOT specifications, and exposed  slopes not directly under the surface of the pavement must have a minimum of 18  inches of soil cover over the fossil fuel combustion products, the top six  inches of which must be capable of sustaining the growth of indigenous plant  species or plant species adapted to the area. The use, reuse, or reclamation of  unamended coal combustion byproduct shall not be placed in an area designated  as a 100-year flood plain;
    b. Processed with a cementitious binder to produce a  stabilized structural fill product that is spread and compacted with proper  equipment for the construction of a project with a specified end use; or
    c. For the extraction or recovery of materials and compounds  contained within the fossil fuel combustion products.
    E. The following solid wastes are exempt from this chapter  provided that they are managed in accordance with the requirements promulgated  by other applicable state or federal agencies: 
    1. Management of wastes regulated by the State Board of  Health, the State Water Control Board, the Air Pollution Control Board, the  Department of Mines, Minerals and Energy, Department of Agriculture and  Consumer Services, or any other state or federal agency with such authority.
    2. Drilling fluids, produced waters, and other wastes  associated with the exploration, development, or production of crude oil,  natural gas, or geothermal energy. 
    3. Solid waste from the extraction, beneficiation, and  processing of ores and minerals, including coal. 
    4. Fossil fuel combustion products used for mine reclamation,  mine subsidence, or mine refuse disposal on a mine site permitted by the  Virginia Department of Mines, Minerals and Energy (DMME) when used in  accordance with the standards.
    5. Solid waste management practices that involve only the  onsite placing of solid waste from mineral mining activities at the site of  those activities and in compliance with a permit issued by the DMME, that do  not include any municipal solid waste, are accomplished in an environmentally  sound manner, and do not create an open dump, hazard or public nuisance are  exempt from all requirements of this chapter.
    6. Waste or byproduct derived from an industrial process that  meets the definition of fertilizer, soil amendment, soil conditioner, or  horticultural growing medium as defined in § 3.2-3600 of the Code of Virginia,  or whose intended purpose is to neutralize soil acidity (see § 3.2-3700 of the  Code of Virginia), and that is regulated under the authority of the Virginia  Department of Agriculture and Consumer Services. 
    7. Fossil fuel combustion products bottom ash or boiler slag  used as a traction control material or road surface material if the use is  consistent with Virginia Department of Transportation practices.
    8. Waste tires generated by and stored at salvage yards  licensed by the Department of Motor Vehicles provided that such storage  complies with requirements set forth in § 10.1-1418.2 and such storage  does not pose a hazard or nuisance. 
    9. Tire chips used as the drainage material in construction of  septage drain fields regulated under the authority of the Virginia Department  of Health.
    F. The following solid wastes are exempt from this chapter  provided that they are reclaimed or temporarily stored incidentally to  reclamation, are not accumulated speculatively, and are managed without  creating an open dump, hazard, or a public nuisance: 
    1. Paper and paper products; 
    2. Clean wood waste that is to undergo size reduction in order  to produce a saleable product, such as mulch;
    3. Cloth;
    4. Glass;
    5. Plastics;
    6. Tire chips, tire shred, ground rubber; and
    7. Mixtures of above materials only. Such mixtures may include  scrap metals excluded from regulation in accordance with the provisions of  subsection C of this section.
    9VAC20-81-140. Operation requirements.
    The operation of all sanitary, CDD, and industrial landfills  shall be governed by the standards set forth in this section. Landfill  operations will be detailed in an operations manual that shall be maintained in  the operating record in accordance with 9VAC20-81-485. This operations manual  will include an operations plan, an inspection plan, a health and safety plan,  an unauthorized waste control plan, an emergency contingency plan, and a  landscaping plan meeting the requirements of this section and 9VAC20-81-485.  This manual shall be made available to the department when requested. If the  applicable standards of this chapter and the landfill's Operations Manual  conflict, this chapter shall take precedence.
    A. Landfill operational performance standards.
    1. Safety hazards to operating personnel shall be controlled  through an active safety program consistent with the requirements of 29 CFR  Part 1910, as amended. 
    2. A groundwater monitoring program meeting the requirements  of 9VAC20-81-250 shall be implemented, as applicable. 
    3. A corrective action program meeting the requirements of  9VAC20-81-260 is required whenever the groundwater protection standard is  exceeded at statistically significant levels.
    4. Open burning at active landfills. 
    a. Owners or operators shall ensure that the units do not  violate any applicable requirements developed by the State Air Pollution  Control Board or promulgated by the EPA administrator pursuant to § 110 of the  Clean Air Act, as amended (42 USC §§ 7401 to 7671q). 
    b. Open burning of solid waste, except for infrequent burning  of agricultural wastes, silvicultural wastes, land-clearing debris, diseased  trees, or debris from emergency cleanup operations is prohibited. There shall  be no open burning permitted on areas where solid waste has been disposed of or  is being used for active disposal.
    c. The owner or operator shall be responsible for extinguishing  any fires that may occur at the facility. A fire control plan will be developed  that outlines the response of facility personnel to fires. The fire control  plan will be provided as an attachment to the emergency contingency plan  required under the provisions of 9VAC20-81-485. The fire control plan will be  available for review upon request by the public. There shall be no open burning  permitted on areas where solid waste has been disposed or is being used for  active disposal.
    5. Except as provided in 9VAC20-81-130 K, owners or operators  shall implement a gas management plan in accordance with 9VAC20-81-200  to  control landfill gas such that: 
    a. The concentration of methane gas generated by the landfill  does not exceed 25% of the lower explosive limit for methane in landfill  structures (excluding gas control or recovery system components); and 
    b. The concentration of methane gas does not exceed the lower  explosive limit for methane at the facility boundary. 
    6. Landfills shall not: 
    a. Allow leachate from the landfill to drain or discharge into  surface waters except when treated onsite and discharged into surface water as  authorized under a VPDES Permit (9VAC25-31). 
    b. Cause a discharge of pollutants into waters of the United  States, including wetlands, that violates any requirements of the Clean Water  Act (33 USC § 1251 et seq.), including, but not limited to, the VPDES  requirements and Virginia Water Quality Standards (9VAC25-260). 
    c. Cause the discharge of a nonpoint source of pollution to  waters of the United States, including wetlands, that violates any requirement  of an areawide or statewide water quality management plan that has been  approved under § 208 or 319 of the Clean Water Act (33 USC § 1251 et  seq.), as amended or violates any requirement of the Virginia Water Quality  Standards (9VAC25-260). 
    d. Allow solid waste to be deposited in or to enter any  surface waters or groundwaters.
    7. Owners or operators shall maintain the run-on/runoff  control systems designed and constructed in accordance with 9VAC20-81-130 H. 
    8. Access to sanitary, CDD, or noncaptive industrial landfills  shall be permitted only when an attendant is on duty and only during daylight  hours, unless otherwise specified in the landfill permit. 
    9. Fencing or other suitable control means shall be used to  control litter migration. All litter blown from the landfill operations shall  be collected on a weekly basis.
    10. Odors and vectors shall be effectively controlled so they  do not constitute nuisances or hazards. Odor hazard or nuisances shall be  controlled in accordance with 9VAC20-81-200 D. Disease vectors shall be  controlled using techniques for the protection of human health and the  environment. 
    11. If salvaging is allowed by a landfill, it shall not  interfere with operation of the landfill and shall not create hazards or  nuisances. 
    12. Fugitive dust and mud deposits on main offsite roads and  access roads shall be minimized at all times to limit nuisances. Dust shall be  controlled to meet the requirements of Article 1 (9VAC5-40-60 et seq.) of Part  II of 9VAC5-40.
    13. Internal roads in the landfill shall be maintained to be  passable in all weather by ordinary vehicles. All operation areas and units  shall be accessible.
    14. All landfill appurtenances listed in 9VAC20-81-130 shall be  properly maintained and operated as designed and approved in the facility's  permit. 
    15. Adequate numbers and types of properly maintained  equipment shall be available to a landfill for operation. Provision shall be  made for substitute equipment to be available or alternate means implemented to  achieve compliance with subdivision B 1, C 1, or D 1 of this section, as  applicable, within 24 hours should the former become inoperable or unavailable.  Operators with training appropriate to the tasks they are expected to perform  and in sufficient numbers for the complexity of the site shall be on the site  whenever it is in operation.
    16. Self-Inspection. Each landfill shall implement an  inspection routine including a schedule for inspecting all applicable major aspects  of facility operations necessary to ensure compliance with the requirements of  this chapter. Records of these inspections must be maintained in the operating  record and available for review. At a minimum, the following aspects of the  facility shall be inspected on a monthly basis: erosion and sediment controls,  storm water conveyance system, leachate collection system, safety and emergency  equipment, internal roads, and operating equipment. The groundwater monitoring  system and gas management system shall be inspected at a rate consistent with  the system's monitoring frequency.
    17. Records to include, at a minimum, date of receipt,  quantity by weight or volume, and origin shall be maintained on solid waste  received and processed to fulfill the applicable requirements of the Solid  Waste Information and Assessment Program under 9VAC20-81-80 and the Control  Program for Unauthorized Waste under 9VAC20-81-100 E. Such records shall be  made available to the department for examination or use when requested.
    B. In addition to the standards in subsection A of this  section, sanitary landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread into two-foot layers or less and compacted at the working face, which  shall be confined to the smallest area practicable. 
    b. Lift heights shall be sized in accordance with daily waste  volumes. Lift height is not recommended to exceed 10 feet. 
    c. Daily cover consisting of at least six inches of  compacted soil or other approved material shall be placed upon and maintained  on all exposed solid waste prior to the end of each operating day, or at more  frequent intervals if necessary, to control disease vectors, fires, odors,  blowing litter, and scavenging. Alternate materials of an alternate thickness  may be approved by the department if it has been demonstrated that the  alternate material and thickness control disease vectors, fires, odors, blowing  litter, and scavenging without presenting a threat to human health and the  environment. At least three days of acceptable cover soil or approved material  at the average usage rate shall be maintained at the landfill or readily  available at all times. 
    d. Intermediate cover of at least six inches of additional  compacted soil shall be applied and maintained whenever an additional lift of  refuse is not to be applied within 30 days. Further, all areas with  intermediate cover exposed shall be inspected as needed, but not less than  weekly. Additional cover material shall be placed on all cracked, eroded, and  uneven areas as required to maintain the integrity of the intermediate cover  system. 
    e. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    g. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33% unless steeper slopes are approved in the  permit. 
    2. The active working face of a sanitary landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    3. A sanitary landfill that is located within 10,000 feet of  any airport runway used for turbojet aircraft or 5,000 feet of any airport  runway used by only piston type aircraft, shall operate in such a manner that  the landfill does not increase or pose additional bird hazards to aircraft. 
    4. Sanitary landfills shall not dispose of the following  wastes, except as specifically authorized by the landfill permit or by the  department: 
    a. Free liquids. 
    (1) Bulk or noncontainerized liquid waste, unless: 
    (a) The waste is household waste; or 
    (b) The waste is gas condensate derived from that landfill;
    (c) The waste is leachate derived from that landfill and the landfill  is designed with a composite liner and leachate collection system as described  in 9VAC20-81-130 J 1 a and 9VAC20-81-130 L; or 
    (2) Containers holding liquid waste, unless: 
    (a) The container is a small container similar in size to that  normally found in household waste; 
    (b) The container is designed to hold liquids for use other  than storage; or 
    (c) The waste is household waste. 
    b. Regulated hazardous wastes as defined by the Virginia  Hazardous Waste Management Regulations (9VAC20-60).
    c. Solid wastes, residues, or soils containing more than 1.0  ppb (parts per billion) TEF (dioxins). 
    d. Solid wastes, residues, or soils containing 50.0 ppm (parts  per million) or more of PCB's except as allowed under the provisions of  9VAC20-81-630. 
    e. Sludges that have not been dewatered. 
    f. Contaminated soil unless approved by the department in  accordance with the requirements of 9VAC20-81-610 or 9VAC20-81-660. 
    g. Regulated medical waste as specified in the Regulated  Medical Waste Management Regulations (9VAC20-120).
    5. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    C. In addition to the standards in subsection A of this  section, Construction/demolition/debris landfills shall also comply with the  following:
    1. Compaction and cover requirements. 
    a. Waste materials shall be compacted in shallow layers during  the placement of disposal lifts to minimize differential settlement. 
    b. Compacted soil cover shall be applied as needed for safety  and aesthetic purposes. A minimum one-foot thick progressive cover shall be  maintained weekly such that the top of the lift is fully covered at the end of  the work week. If the landfill accepts Category I or II nonfriable  asbestos-containing material for disposal, daily soil cover shall be placed  upon all exposed Category I or II nonfriable asbestos-containing material prior  to the end of each operating day. The open working face of a landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    c. When waste deposits have reached final elevations, or  disposal activities are interrupted for 15 days or more, waste deposits shall  receive a one-foot thick intermediate cover unless soil has already been  applied in accordance with subdivision 1 b of this subsection and be graded to  prevent ponding and to accelerate surface run-off. 
    d. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    e. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    f. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33%. 
    2. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    D. In addition to the standards in subsection A of this  section, Industrial Landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread and compacted at the working face, which shall be confined to the  smallest area practicable. 
    b. Lift heights shall be sized according to the volume of  waste received daily and the nature of the industrial waste. A lift height is  not required for materials such as fly ash that are not compactable. 
    c. Where it is necessary for the specific waste, such as  Category I or II nonfriable asbestos-containing material, daily soil cover, or  other suitable material shall be placed upon all exposed solid waste prior to  the end of each operating day. For wastes such as fly ash and bottom ash from  burning of fossil fuels, periodic cover to minimize exposure to precipitation  and control dust or dust control measures such as surface wetting or crusting  agents shall be applied. At least three days of acceptable cover soil or  approved material at the average usage rate shall be maintained at the fill at  all times at facilities where daily cover is required unless an offsite supply  is readily available on a daily basis.
    d. Intermediate cover of at least one foot of compacted soil  shall be applied whenever an additional lift of refuse is not to be applied  within 30 days unless the owner or operator demonstrates to the satisfaction of  the director that an alternate cover material or an alternate schedule will be  protective of public health and the environment. In the case of facilities  where fossil fuel combustion products are removed for beneficial use,  intermediate cover must be applied in any area where ash has not been placed or  removed for 30 days or more. Further, all areas with intermediate cover exposed  shall be inspected as needed but not less than weekly and additional cover  material shall be placed on all cracked, eroded, and uneven areas as required  to maintain the integrity of the intermediate cover system. 
    e. Final cover construction will be initiated in accordance  with the requirements of 9VAC20-81-160 D 2 when the following pertain: 
    (1) When an additional lift of solid waste is not to be  applied within two years or a longer period as required by the facility's  phased development. 
    (2) When any area of a landfill attains final elevation and  within 90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) When a landfill's permit is terminated within 90 days of  such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  otherwise specified by the department when seasonal conditions do not otherwise  permit. Mowing will be conducted a minimum of once a year or at a frequency  suitable for the vegetation and climate.
    2. Incinerator and air pollution control residues containing  no free liquids shall be incorporated into the working face and covered at such  intervals as necessary to minimize them from becoming airborne. 
    9VAC20-81-160. Closure requirements.
    The closure of all sanitary, CDD and industrial landfills  shall be governed by the standards set forth in this section.
    A. Closure purpose. The owner or operator shall close the  landfill in a manner that minimizes the need for further maintenance and  provides for the protection of human health and the environment. Closure shall  eliminate the postclosure escape of uncontrolled leachate or of waste  decomposition products to the groundwater or surface water to the extent  necessary to protect human health and the environment. Closure shall also  control and/or minimize surface runoff and the escape of waste decomposition  products to the atmosphere. 
    B. Closure plan and modification of plan.
    1. The owner or operator of a solid waste disposal facility  shall have a written closure plan. This plan shall identify the steps necessary  to completely close the landfill at the time when the operation will be the  most extensive and at the end of its intended life. The closure plan shall  include, at least: 
    a. A schedule for final closure that shall include, as a  minimum, the anticipated date when wastes will no longer be received, the date  when completion of final closure is anticipated, and intervening milestone  dates that will allow tracking of the progress of closure. 
    b. An estimate of waste disposed onsite over the active life  of the landfill; 
    c. An estimate of the largest area ever requiring a final  cover as required at any time during the active life; 
    d. Description of Final Cover System design in accordance with  subsection D of this section;
    e. Description of storm water management to include design,  construction, and maintenance controls;
    f. Closure cost estimate for purpose of financial assurance. 
    2. The owner or operator may amend the closure plan at any  time during the active life of the landfill. The owner or operator shall so  amend his plan any time changes in operating plans or landfill design affect  the closure plan. The amended closure plan shall be placed in the operating  record and a copy provided to the department. 
    3. Closure plans and amended closure plans not previously  approved by the director shall be submitted to the department at least 180 days  before the date the owner or operator expects to begin construction activities  related to closure. The director will approve or disapprove the plan within 90  days of receipt. 
    4. If the owner or operator intends to use an alternate final  cover design, he shall submit a proposed design meeting the requirements of  subdivision D 2 e f of this section to the department at least  180 days before the date he expects to begin closure. The department will  approve or disapprove the plan within 90 days of receipt. 
    5. At least 180 days prior to beginning closure of each solid  waste disposal unit, the owner or operator shall notify the department and the  solid waste planning unit of the intent to close. 
    C. Time allowed for closure. 
    1. The owner or operator shall begin closure activities of  each unit no later than 30 days after the date on which the unit receives the  known final receipt of wastes or, if the unit has remaining capacity and there  is a reasonable likelihood that the unit will receive additional wastes, no  later than one year after the most recent receipt of wastes. Extensions beyond  the one-year deadline for beginning closure may be granted by the director if  the owner or operator demonstrates that the unit has the capacity to receive  additional wastes and the owner or operator has taken and will continue to take  all steps necessary to prevent threats to human health and the environment from  the unclosed unit. 
    2. The owner or operator shall complete closure activities of  each unit in accordance with the closure plan and within six months after  receiving the final volume of wastes. The director may approve a longer closure  period if the owner or operator can demonstrate that the required or planned  closure activities will, of necessity, take longer than six months to complete;  and that he has taken all steps to eliminate any significant threat to human  health and the environment from the unclosed but inactive landfill.
    D. Closure implementation. 
    1. The owner or operator shall close each unit with a final  cover as specified in subdivision 2 of this subsection, grade the fill area to  prevent ponding, and provide a suitable vegetative cover. Vegetation shall be  deemed properly established when there are no large areas void of vegetation  and it is sufficient to control erosion. 
    2. Final cover system.
    a. The owner or operator shall install a final cover system  that is designed to achieve the performance requirements of this section. 
    b. Owners or operators of CDD landfill units used for the  disposal of wastes consisting only of stumps, wood, brush, and leaves from  landclearing operations may apply two feet of compacted soil as final cover  material in lieu of the final cover system specified in this section. The  provisions of this section shall not be applicable to any landfill with respect  to which the director has made a finding that continued operation of the  landfill constitutes a threat to the public health or the environment. 
    c. The final cover system shall be designed and constructed  to: 
    (1) Minimize infiltration through the closed disposal unit by  the use of an infiltration layer that is constructed of at least 18 inches of  earthen material; and which has a hydraulic conductivity less than or equal to  the hydraulic conductivity of any bottom liner system or natural subsoils  present, or a hydraulic conductivity no greater than 1x10-5 cm/sec,  whichever is less; and 
    (2) Minimize erosion of the final cover by the use of an  erosion layer that contains a minimum of six inches of earthen material that is  capable of sustaining native plant growth, and provide for protection of the  infiltration layer from the effects of erosion, frost, and wind. 
    d. The owner or operator of a sanitary landfill may choose to  use this alternate final cover system, which shall consist of at least the  following components:
    (1) An 18-inch soil infiltration layer with a hydraulic  conductivity no greater than 1x10-5 cm/sec or a geosynthetic clay  liner installed over the intermediate cover;
    (2) A barrier layer consisting of a geosynthetic membrane  having a minimum thickness of 40-mils;
    (3) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (4) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    e. The owner or operator of a CDD or industrial landfill may  choose to use this alternate final cover system, which shall consist of at  least the following components: 
    (1) A barrier layer consisting of a geosynthetic clay liner or  a geosynthetic membrane having a minimum thickness of 40 mils;
    (2) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (3) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    f. The director may approve an alternate final cover design  that includes: 
    (1) An infiltration layer that achieves an equivalent  reduction in infiltration as the infiltration layer specified in subdivision 2  c (1) of this subsection; and 
    (2) A minimum 24-inch erosion layer that is capable of  sustaining native plant growth and provide for protection of the infiltration  layer from the effects of erosion, frost, and wind.
    3. Finished side slopes shall be stable and be configured to  adequately control erosion and runoff. Slopes of 33% will be allowed provided  that adequate runoff controls are established. Steeper slopes may be considered  if supported by necessary stability calculations and appropriate erosion and  runoff control features. All finished slopes and runoff management facilities  shall be supported by necessary calculations and included in the design manual.  To prevent ponding of water, the top slope shall be at least 2.0% after  allowance for settlement. 
    4. Following construction of the final cover system for each  unit, the owner or operator shall submit to the department a certification,  signed by a professional engineer verifying that closure has been completed in  accordance with the closure plan requirements of this part. This certification  shall include the results of the CQA/QC requirements under 9VAC20-81-130 Q 1 b  (6). 
    5. Following the closure of all units the owner or operator  shall: 
    a. Post one sign at the entrance of the landfill notifying all  persons of the closing, and the prohibition against further receipt of waste  materials. Further, suitable barriers shall be installed at former accesses to  prevent new waste from being deposited.
    b. Within 90 days after closure is completed, submit to the  local land recording authority a survey plat prepared by a professional land  surveyor registered by the Commonwealth or a person qualified in accordance  with Title 54.1 of the Code of Virginia indicating the location and dimensions  of landfills. Groundwater monitoring well and landfill gas monitoring  probe locations shall be included and identified by the number on the survey  plat. The plat filed with the local land recording authority shall contain a  note, prominently displayed, which states the owner's or operator's future  obligation to restrict disturbance of the site as specified.
    c. Record a notation on the deed to the landfill property, or  on some other instrument which is normally examined during title searches,  notifying any potential purchaser of the property that the land has been used  to manage solid waste and its use is restricted under 9VAC20-81-170 A 2 c. A  copy of the deed notation as recorded shall be submitted to the department. 
    d. Submit to the department a certification, signed by a  professional engineer, verifying that closure has been completed in accordance  with the requirements of subdivisions 5 a, b, and c of this subsection and the  landfill closure plan. 
    6. The department shall inspect all solid waste management  facilities at the time of closure to confirm that the closing is complete and  adequate. It shall notify the owner or operator of a closed landfill, in  writing, if the closure is satisfactory, and shall require any construction or  such other steps necessary to bring unsatisfactory sites into compliance with  these regulations. Notification by the department that the closure is  satisfactory does not relieve the owner or operator of responsibility for  corrective action to prevent or abate problems caused by the landfill. 
    9VAC20-81-250. Groundwater monitoring program.
    A. General requirements. 
    1. Applicability. 
    a. Existing landfills. Owners or operators of all existing  landfills shall be in compliance with the groundwater monitoring requirements  specified in this section, except as provided for in subdivision 1 c of this  subsection. Owners or operators of landfills that were permitted prior to  December 21, 1988, but were closed in accordance with the requirements of their  permit or existing regulation prior to December 21, 1988, are not required to  be in compliance with the groundwater monitoring requirements specified in this  section, unless conditions are recognized that classify the landfill as an Open  Dump as defined under 9VAC20-81-45. 
    b. New landfills. Owners or operators of new facilities shall  be in compliance with the groundwater monitoring requirements specified in this  section before waste can be placed in the landfill except as provided for in  subdivision 1 c of this subsection.
    c. No migration potential exemption. Groundwater monitoring  requirements under this section may be suspended by the director if the owner  or operator can demonstrate that there is no potential for migration of any  Table 3.1 constituents to the uppermost aquifer during the active life and the  postclosure care period of the landfill. This demonstration shall be certified  by a qualified groundwater scientist and shall be based upon: 
    (1) Site-specific field collected measurements including  sampling and analysis of physical, chemical, and biological processes affecting  contaminant fate and transport; and 
    (2) Contaminant fate and transport predictions that maximize  contaminant migration and consider impacts on human health and the environment.  
    2. General requirements. 
    a. Purpose. Owners or operators shall install, operate, and  maintain a groundwater monitoring system that is capable of determining the  landfill's impact on the quality of groundwater in the uppermost aquifer at the  disposal unit boundary during the active life and postclosure care period of  the landfill. 
    b. Program requirements. The groundwater monitoring program  shall meet the requirements of subdivision 3 of this subsection and comply with  all other applicable requirements of this section. 
    c. Director authority. The groundwater monitoring and  reporting requirements set forth here are minimum requirements. The director  may require, by amending modifying the permit as allowed under  9VAC20-81-600 E, any owner or operator to install, operate, and maintain a  groundwater monitoring system and conduct a monitoring program that contains  requirements more stringent than this chapter imposes whenever it is determined  that such requirements are necessary to protect human health and the  environment. 
    3. Groundwater monitoring system. 
    a. System requirements. A groundwater monitoring system shall  be installed consisting of a sufficient number of monitoring wells, at  appropriate locations and depths, capable of yielding sufficient quantities of  groundwater for sampling and analysis purposes from the uppermost aquifer that:  
    (1) Represent the quality of background groundwater that has  not been affected by a release from the landfill; and 
    (2) Represent the quality of groundwater at the disposal unit  boundary. The downgradient monitoring system shall be installed at the disposal  unit boundary in a manner that ensures detection of groundwater contamination  in the uppermost aquifer unless a variance has been granted by the director  under 9VAC20-81-740. 
    (3) When physical obstacles preclude installation of  groundwater monitoring wells at the disposal unit boundary, the downgradient  monitoring wells may be installed at the closest practicable distance  hydraulically downgradient from the boundary in locations that ensure detection  of groundwater contamination in the uppermost aquifer. 
    b. Multiunit systems. The director may approve a groundwater  monitoring system that covers multiple waste disposal units instead of  requiring separate groundwater monitoring systems for each unit when the  landfill has several units, provided the multiunit groundwater monitoring  system meets the requirement of subdivision 3 of this subsection and can be  demonstrated to be equally protective of human health and the environment as  individual monitoring systems. The system for each waste disposal unit would be  based on the following factors: 
    (1) Number, spacing, and orientation of the waste disposal  units; 
    (2) Hydrogeologic setting; 
    (3) Site history; 
    (4) Engineering design of the waste disposal units; and 
    (5) Type of waste accepted at the waste disposal units. 
    c. Well construction. All monitoring wells shall be of a size  adequate for sampling and shall be cased and grouted in a manner that maintains  the integrity of the monitoring well bore hole. This casing shall be screened  or perforated, and packed with gravel or sand where necessary, to enable sample  collection at depths where appropriate aquifer flow zones exist. The annular  space above the sampling depth shall be sealed with a suitable material to  prevent contamination of samples and the groundwater. 
    d. Boring logs. A log shall be made of each newly installed  monitoring well describing the soils or rock encountered, and the hydraulic  conductivity of the geologic units (formations) encountered. A copy of the  final log(s) with appropriate maps, including at a minimum a site plan showing  the location of all monitoring wells, the total depth of monitoring well, the  location of the screened interval, the top and bottom of sand or gravel pack,  and the top and bottom of the seal shall be sent to the department with the  certification required under subdivision 3 g of this subsection. 
    e. Well maintenance. The monitoring wells, piezometers, and  other groundwater measurement, sampling, and analytical devices shall be  operated and maintained in a manner that allows them to perform to design  specifications throughout the duration of the groundwater monitoring program.  Nonfunctioning monitoring wells must be replaced or repaired upon recognition  of damage or nonperformance. Well repair or replacement shall be coordinated  with the department for approval prior to initiating the action. 
    f. Network specifics. The network shall include at least  one upgradient monitoring well and at least three downgradient monitoring  wells. The number, spacing, and depths of monitoring wells included in a  landfill's network shall be determined based on: 
    (1) Site-specific technical information that shall include  thorough characterization by the owner or operator of: 
    (a) The thickness of any unsaturated geologic units or fill  materials that may overlay the uppermost aquifer; 
    (b) The thickness and description of materials comprising the  uppermost aquifer;
    (c) Materials comprising the confining unit defining the lower  boundary of the uppermost aquifer, including, but not limited to, thicknesses,  stratigraphy, lithology, hydraulic conductivities, porosities, and effective  porosities; and
    (d) the calculated groundwater flow rate and direction within  the uppermost aquifer including any seasonal and temporal fluctuations in  groundwater flow. 
    (2) At least one upgradient and at least three downgradient  monitoring wells. 
    (3) A The lateral spacing between downgradient  monitoring wells based on site-specific information supplied under subdivision  3 f (1) of this subsection. 
    g. Monitoring well certification. The groundwater monitoring  well(s) shall, within 30 days of well(s) installation, be certified by a  qualified groundwater scientist noting that all wells have been installed in  accordance with the documentation submitted under subdivision 3 d of this  subsection. Within 14 days of completing this certification, the owner or  operator shall transmit the certification to the department. 
    4. The groundwater sampling and analysis requirements for the  groundwater monitoring system are as follows: 
    a. Quality assurance and control. The groundwater monitoring  program shall include consistent field sampling and laboratory analysis  procedures that are designed to ensure monitoring results that provide an  accurate representation of the groundwater quality at the background and  downgradient wells. At a minimum the program shall include procedures and  techniques for: 
    (1) Sample collection; 
    (2) Sample preservation and shipment; 
    (3) Analytical procedures; 
    (4) Chain of custody control; and 
    (5) Quality assurance and quality control. 
    b. Analytical methods. The groundwater monitoring program  shall include sampling and analytical methods that are appropriate for  groundwater sampling and that accurately measure solid waste constituents in  groundwater samples. Groundwater samples obtained pursuant to 9VAC20-81-250 B  or C shall not be filtered prior to laboratory analysis. The sampling, analysis  and quality control/quality assurance methods set forth in EPA document SW-846,  as amended, shall be used. The department may require re-sampling if it  believes the samples were not properly sampled or analyzed. 
    c. Groundwater rate and flow. Groundwater elevations at each  monitoring well shall be determined immediately prior to purging each time a  sample is obtained. The owner or operator shall determine the rate and  direction of groundwater flow each time groundwater is sampled pursuant to  subsection B or C of this section or 9VAC20-81-260. Groundwater  elevations in wells that monitor the same waste management area disposal  unit or units shall be measured within a period of time short enough to  avoid temporal variations in groundwater flow, which could preclude  accurate determination of groundwater flow rate and direction. 
    d. Background data. The owner or operator shall establish  background groundwater quality in a hydraulically upgradient or background  well, or wells, for each of the monitoring parameters or constituents required  in the particular groundwater monitoring program that applies to the landfill.  Background groundwater quality may be established at wells that are not located  hydraulically upgradient from the landfill if they meet the requirements of  subdivision 4 e of this subsection. 
    e. Alternate well provision. A determination of background  quality may be based on sampling of wells that are not upgradient from the  waste management area disposal unit or units where: 
    (1) Hydrogeologic conditions do not allow the owner or  operator to determine what wells are upgradient; and 
    (2) Sampling at these wells will provide an indication of  background groundwater quality that is as representative or more representative  than that provided by the upgradient wells. 
    f. Sampling and statistics. The number of samples collected to  establish groundwater quality data shall be consistent with the appropriate  statistical procedures determined pursuant to subdivision 4 g of this  subsection. 
    g. Statistical methods. The owner or operator shall specify in  the Groundwater Monitoring Plan the statistical method(s) listed in subsection  D of this section that will be used in evaluating groundwater monitoring data  for each monitoring constituent. The statistical test(s) chosen shall be  applied separately for each groundwater constituent in each well after each  individual sampling event required under subdivision B 2 or 3, C 2 or 3, or as  required under 9VAC20-81-260 E 1.
    h. Evaluation and response. After each sampling event required  under subsection B or C of this section, the owner or operator shall determine  whether or not there is a statistically significant increase over background  values for each groundwater constituent required in the particular groundwater  monitoring program by comparing the groundwater quality of each constituent at  each monitoring well installed pursuant to subdivision 3 a of this subsection  to the background value of that constituent. In determining whether a  statistically significant increase has occurred, the owner or operator shall:
    (1) Ensure the sampling result comparisons are made according  to the statistical procedures and performance standards specified in subsection  D of this section; 
    (2) Ensure that within 30 days of completion of sampling and  laboratory analysis actions, the determination of whether there has been a  statistically significant increase over background at each monitoring well has  been completed; and
    (3) If identified, the statistically significant increase  shall be reported to the department within the notification timeframes  identified in subsection B or C of this section and discussed in the quarterly  or semi-annual report submission described under subdivision E 2 c of this  section. Notifications qualified as being "preliminary,"  "suspect," "unverified," or otherwise not a final  determination of a statistical exceedance will not be accepted. 
    i. Verification sampling. The owner or operator may at any  time within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this section, obtain verification  samples if the initial review of analytical data suggests results that might  not be an accurate reflection of groundwater quality at the disposal unit  boundary. Undertaking verification sampling is a voluntary action on the part  of the owner or operator and shall not alter the timeframes associated with  determining or reporting a statistically significant increase as otherwise  defined under subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    j. Data validation. The owner or operator may at any time  within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this subsection, undertake third-party  data validation of the analytical data received from the laboratory.  Undertaking such validation efforts is a voluntary action on the part of the  owner or operator and shall not alter the timeframes associated with determining  or reporting a statistically significant increase as otherwise defined under  subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    5. Alternate source demonstration allowance. 
    a. Allowance. As a result of any statistically significant  increase identified while monitoring groundwater under subdivision B 2 or 3, or  C 2 or 3 of this section, or at anytime within the Corrective Action process  under 9VAC20-81-260, the owner or operator has the option of submitting an  Alternate Source Demonstration report, certified by a qualified groundwater  scientist, demonstrating:
    (1) A source other than the landfill caused the statistical  exceedance; 
    (2) The exceedance resulted from error in sampling, analysis,  or evaluation; or
    (3) The exceedance resulted from a natural variation in  groundwater quality. 
    b. Timeframes. A successful demonstration must be made within  90 days of noting a statistically significant increase. The director may  approve a longer timeframe for submittal and approval of the Alternate Source  Demonstration with appropriate justification. 
    c. Evaluation and response. Based on the information submitted  in accordance with subdivision 5 a of this subsection, the director will: 
    (1) In the case of the successful demonstration of an error in  sampling, analysis, or evaluation, allow the owner or operator to continue  monitoring groundwater in accordance with the monitoring program in place at  the time of the statistical exceedance. 
    (2) In the case of a successful demonstration of an alternate  source for the release or natural variability in the aquifer matrix:
    (a) Require changes in the groundwater monitoring system as  needed to accurately reflect the groundwater conditions and allow the owner or  operator to continue monitoring groundwater in accordance with the monitoring  program in place at the time of the statistical exceedance; 
    (b) Require any changes to the monitoring system be completed  prior to the next regularly scheduled groundwater monitoring event or within 90  days (whichever is greater); and
    (c) Require any changes to the monitoring system be approved  via the amendment modification process under 9VAC20-81-600 within  90 days of the approval of the alternate source demonstration. 
    (3) In the case of an unsuccessful Alternate Source Demonstration,  require the owner or operator to initiate the actions that would otherwise be  required as a result of the statistically significant increase noted under  subdivision B 2 or 3, or C 2 or 3 of this section as appropriate. 
    6. Establishment of groundwater protection standards. 
    a. Requirement. Upon recognition of a statistically  significant increase over background and while monitoring in the Assessment or  Phase II monitoring programs defined under subdivision B 3 or C 3 of this  section, the owner or operator shall propose a groundwater protection standard  for all detected Table 3.1 Column B constituents. The proposed standards shall  be submitted to the department by a qualified groundwater scientist and be  accompanied by relevant historical groundwater sampling data to justify the  proposed concentration levels. 
    b. Establishment process. The groundwater protection standards  shall be established in the following manner: 
    (1) For constituents for which a maximum contaminant level  (MCL) has been promulgated under § 1412 of the Safe Drinking Water Act (40 CFR  Part 141), the MCL for that constituent shall be automatically established as  the groundwater protection standard upon submission of the proposed standards. 
    (2) If the owner or operator determines that a site-specific  background concentration is greater than the MCL associated with that  constituent under subdivision 6 b (1) of this subsection, the background value  may be substituted for use as the groundwater protection standard in lieu of  the MCL for that constituent upon receiving written department approval. 
    (3) For constituents for which no MCL has been promulgated,  site-specific background concentration value(s) may be used upon receiving  written department approval. 
    (4) For constituents for which no MCL has been promulgated, a  risk-based alternate concentration levels may be used if approved by the  director as long as: 
    (a) The owner or operator submits a request to the department  asking for approval to use risk-based alternate concentration levels for a  specific list of constituents and identifies that these constituents lack an  MCL. In the request the owner or operator shall specify whether site-specific,  independently calculated, risk-based alternate concentration levels will be  applied, or if the facility will accept the default department-provided limits.  
    (b) Both the The alternate concentration levels  that may be provided as default values by the department and those  independently calculated by the owner or operator are demonstrated to meet the  following criteria or factors before they can be used as groundwater protection  standards: 
    (i) Groundwater quality - The potential for adverse quality  effects considering the physical and chemical characteristics of the waste in  the landfill, its potential for migration in the aquifer; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the proximity and withdrawal rates of groundwater users; the  current and future uses of groundwater in the area; the existing quality of  groundwater, including other sources of contamination and their cumulative  impact on the groundwater quality. 
    (ii) Human exposure - Potential for health risks caused by  exposure to waste constituents released from the landfill using federal  guidelines for assessing the health risks of environmental pollutants;  scientifically valid studies conducted in accordance with the Toxic Substances  Control Act Good Laboratory Practice Standards (40 CFR Part 792); or equivalent  standards. For carcinogens, the alternate concentration levels must be set  based on a lifetime cancer risk level due to continuous lifetime exposure  within the 1x10-4 to 1x10-6 range. For systemic  toxicants, alternate concentration levels must be demonstrated to be levels to  which the human population (including sensitive subgroups) could be exposed to  on a daily basis without the likelihood of appreciable risk of deleterious  effects during a lifetime.
    (iii) Surface water - The potential adverse effect on  hydraulically connected surface water quality based on the volume, physical and  chemical characteristics of the waste in the landfill; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the patterns of rainfall in the region; the proximity of the  landfill to surface waters; the current and future uses of surface waters in  the area and any water quality standards established for those surface waters;  the existing quality of surface water, including other sources of contamination  and the cumulative impact on surface water quality. 
    (iv) Other adverse effects - Potential damage to wildlife,  crops, vegetation, and physical structures caused by exposure to waste  constituents; the persistence and permanence of the potential adverse effects;  and the potential for health risks caused by human exposure to waste  constituents using factors shown in subdivision b (4) (b) (ii) of this  subsection. 
    (5) In making any determination regarding the use of alternate  concentration levels under this section, the director will:
    (a) Consider any identification of underground sources of  drinking water as identified by EPA under 40 CFR 144.7,
    (b) Consider additional or modified monitoring requirements or  control measures, 
    (c) Include a schedule for the periodic review of the  alternate concentration levels, or
    (d) Approve the alternate concentration levels as proposed or  issue modified alternate concentration levels.
    c. Implementation. Groundwater protection standards shall be  considered established for the facility upon completion of the actions  described under either subdivision A 6 b (1), (2), (3) or if necessary (4) and  shall be placed in the facility Operating Record and shall be used during  subsequent comparisons of groundwater sampling data consistent with the  requirements of subdivision B 3 f or C 3 e of this section. 
    d. MCL and background revisions. After establishment of  groundwater protection standards under subdivision B 6 b, if the standards are  modified as a result of revisions to any MCL or department-approved background,  the facility shall update its listing of groundwater protection standards and  shall place the new list in the Operating Record and shall use the new values  during subsequent comparisons of sampling data consistent with the requirements  of subdivision B 3 f or C 3 e of this section. 
    e. Alternate concentration levels revisions. After  establishment of groundwater protection standards under subdivision B 6 b of  this section, if the department-approved alternate concentration levels change  based on information released by EPA, to the extent practical, the department  will issue revisions to the alternate concentration levels for facility use no  more often than an annual basis. The facility shall use the alternate  concentration levels listing in effect at the time the sampling event takes  place when comparing the results against the groundwater protection standards  under subdivision B 3 f or C 3 e of this section. 
    B. Monitoring for sanitary landfills. 
    1. Applicability. 
    a. Existing facilities. Except for those sanitary landfills  identified in subdivision C 1 of this section, existing sanitary landfill  facilities and closed facilities that have accepted waste on or after October  9, 1993, and in the case of 'small' landfills on or after April 9, 1994, shall  be in compliance with the detection monitoring requirements specified in  subdivision 2 of this subsection unless existing sampling data requires a move  to assessment monitoring described under subdivision 3 of this subsection. 
    b. New facilities. Facilities placed in operation to receive  waste after October 9, 1993, shall be in compliance with the detection  monitoring requirements specified in subdivision 2 of this section before waste  can be placed in the landfill unless existing sampling data requires a move to  assessment monitoring described under subdivision 3 of this subsection. 
    c. Closed facilities. Unless an extension to the deadline  above has been granted by the director, closed facilities that have ceased to  accept any waste on or before October 9, 1993, and in the case of a  "small" landfill, before April 9, 1994, may comply with the  "State Monitoring Program" monitoring requirements specified in  subdivision C 2 or 3 of this section. 
    d. Other facilities. Owners or operators of disposal  facilities not subject to the federal groundwater monitoring requirements  prescribed under 40 CFR Parts 257 and 258 must perform the groundwater  monitoring described in subdivision C 2 or 3 of this section. 
    e. Proximity to wetlands. Owners or operators of sanitary  landfills that accepted waste after June 30, 1999, must:
    (1) Perform quarterly groundwater monitoring unless the  director determines that less frequent monitoring is necessary consistent with  the requirements of the special provisions regarding wetlands in  § 10.1-1408.5 of the Code of Virginia.
    (2) The quarterly monitoring frequency shall remain in effect  until the department is notified waste is no longer being accepted at the  sanitary landfill. 
    (3) This requirement will not limit the authority of the Waste  Management Board or the director to require more frequent groundwater  monitoring if required to protect human health and the environment. 
    (4) For purposes of this subdivision "proximity to  wetlands" shall be defined as landfills that were constructed on a  wetland, have a potential hydrologic connection to such a wetland in the event  of an escape of liquids from the facility, or are within a mile of such a  wetland.
    2. Detection monitoring program.
    a. Sampling requirements. All sanitary landfills shall  implement detection monitoring except as otherwise provided in subdivision 1 of  this subsection. The monitoring frequency for all constituents listed in Table  3.1 Column A shall be as follows: 
    (1) Initial sampling period. 
    (a) For facilities that monitor groundwater on a semi-annual  basis, a minimum of four independent samples from each well (background and  downgradient) shall be collected and analyzed for the Table 3.1 Column A  constituents during the first semi-annual sampling period. A semi-annual period  is defined under 9VAC20-81-10. 
    (b) For facilities that monitor groundwater on a quarterly  basis as a result of subdivision 1 e of this subsection, a minimum of four  samples from each well (background and downgradient) shall be collected and  analyzed for the Table 3.1 Column A constituents. The samples shall be  collected within the first quarterly period, using a schedule that ensures, to  the greatest extent possible, an accurate calculation of background concentrations.  
    (2) Subsequent sampling events. At least one sample from each  well (background and downgradient) shall be collected and analyzed during  subsequent semi-annual or quarterly events during the active life and  postclosure period. Data from subsequent background sampling events may be  added to the previously calculated background data so that the facility  maintains the most accurate representation of background groundwater quality  with which to carry out statistical analysis required under subdivision A 4 h  of this section. 
    (3) Alternate sampling events. The director may specify an  appropriate alternate frequency for repeated sampling and analysis during the  active life (including closure) and the postclosure care period. The alternate  frequency during the active life (including closure) and the postclosure period  shall be no less than annual. The alternate frequency shall be based on  consideration of the following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); and 
    (e) Resource value of the aquifer. 
    b. Evaluation and response. If the owner or operator  determines under subdivision A 4 h of this section, that there is:
    (1) A statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this section,  for one or more of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event, the owner or operator shall: 
    (a) Within 14 days of this finding, notify the department of  this fact, indicating which constituents have shown statistically significant  increases over background levels; and 
    (b) Within 90 days, (i) establish an assessment monitoring  program meeting the requirements of subdivision 3 of this subsection, or (ii)  submit an Alternate Source Demonstration as specified in subdivision A 5 of  this section. If, after 90 days, a successful demonstration has not been made,  the owner or operator shall initiate an assessment monitoring program as  otherwise required in subdivision 3 of this subsection. The 90-day Alternate  Source Demonstration period may be extended by the director for good cause. 
    (2) No statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this  section, for any of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event; the owner or operator may remain in detection monitoring and  include a discussion of the sampling results and statistical analysis in the  semi-annual or quarterly report required under subdivision E 2 c of this  section. 
    3. Assessment monitoring program. The owner or operator shall  implement the assessment monitoring program whenever a statistically  significant increase over background has been detected during monitoring  conducted under the detection monitoring program.
    a. Sampling requirements. Within 90 days of recognizing a  statistically significant increase over background for one or more of the  constituents listed in Table 3.1 Column A, the owner or operator shall, unless  in receipt of an approval to an Alternate Source Demonstration under  subdivision A 5 of this section or a director-approved extension, conduct the initial  assessment monitoring sampling event for the constituents found in Table 3.1  Column B. A minimum of one sample from each well installed under subdivision A  3 a of this section shall be collected and analyzed during the initial and all  subsequent annual Table 3.1 Column B sampling events.
    b. Director provisions: 
    (1) The owner or operator may request that the director  approve an appropriate subset of monitoring wells that may remain in detection  monitoring defined under subdivision 2 of this subsection, based on the results  of the initial, or subsequent annual Table 3.1 Column B sampling events.  Monitoring wells may be considered for the subset if:
    (a) They show no detections of Table 3.1 Column B constituents  other than those already previously detected in detection monitoring defined  under subdivision 2 of this subsection; and 
    (b) They display no statistically significant increases over  background for any constituents on the Table 3.1 Column A list. If an increase  is subsequently recognized in a well approved for the subset, the well shall no  longer be considered part of the detection monitoring subset. 
    (2) The owner or operator may request the director delete any  of the Table 3.1 Column B monitoring constituents from the assessment  monitoring program if the owner or operator demonstrates that the deleted  constituents are not reasonably expected to be in or derived from the waste. 
    (3) The director may specify an appropriate alternate  frequency for repeated sampling and analysis for the full set of Table 3.1  Column B constituents required by subdivision 3 a of this subsection during the  active life and postclosure care period based on the consideration of the  following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); 
    (e) Resource value of the aquifer; and 
    (f) Nature (fate and transport) of any constituents detected  in response to subdivision 3 f of this subsection. 
    c. Development of background. After obtaining the results from  the initial or subsequent annual sampling events required in subdivision 3 a of  this subsection, the owner or operator shall: 
    (1) Within 14 days, notify the department identifying the  Table 3.1 Column B constituents that have been detected; 
    (2) Within 90 days, and on at least a semi-annual basis  thereafter, resample all wells installed under subdivision A 3 a of this  section, conduct analyses for all constituents in Table 3.1 Column A as well as  those constituents in Column B that are detected in response to subdivision 3 a  of this subsection and subsequent Table 3.1 Column B sampling events as may be  required of this section, and report this data in the semi-annual or quarterly  report defined under subdivision E 2 c of this section;
    (3) Within 180 days of the initial sampling event, establish  background concentrations for any Table 3.1 Column B constituents detected  pursuant to subdivision B 3 a of this subsection. A minimum of four independent  samples from each well (background and downgradient) shall be collected and  analyzed to establish background for the detected constituents. 
    d. Establishment of groundwater protection standards. Within  30 days of establishing background under subdivision 3 c (3) of this  subsection, submit proposed groundwater protection standards for all  constituents detected under Assessment monitoring. The groundwater protection  standards shall be approved by the director in accordance with the provisions  of subdivision A 6 of this section. 
    e. Groundwater monitoring plan. No later than 60 days after  approval of the groundwater protection standard standards in  accordance with subdivision A 6 of this section, the owner or operator shall  submit an updated Groundwater Monitoring Plan that details the site monitoring  well network and sampling and analysis procedures undertaken during groundwater  monitoring events. The owner or operator shall additionally: 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, request a permit amendment modification  to incorporate the plan and related groundwater monitoring modules into the  landfill's permit in accordance with 9VAC20-81-600. The department may waive  the requirement for a permit amendment modification if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (2) If the 30-day timeframe specified in subdivision 3 e (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    f. Evaluation and response. 
    (1) If the concentrations of all Table 3.1 Column B constituents  are shown to be at or below background values, using the statistical procedures  in subsection D of this section, for two consecutive Table 3.1 Column B  sampling events, the owner or operator shall notify the director of this  finding in the semi-annual or quarterly monitoring report and may return to  detection monitoring defined under subdivision 2 of this subsection. 
    (2) If the concentrations of any Table 3.1 Column B  constituents are found to be above background values, but below the groundwater  protection standards established under subdivision A 6 of this section using  the statistical procedures in subsection D of this section, the owner or  operator shall continue in assessment monitoring in accordance with this  section and present the findings to the department in the semi-annual or  quarterly report. 
    (3) If one or more Table 3.1 Column B constituents are  detected at statistically significant levels above the groundwater protection  standard established under subdivision A 6 of this section using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Within 14 days of this finding, notify the department  identifying the Table 3.1 Column B constituents that have exceeded the  groundwater protection standard. The notification will include a statement that  within 90 days the owner or operator will either: 
    (i) Undertake characterization and assessment actions required  under 9VAC20-81-260 C 1; or 
    (ii) Submit an Alternate Source Demonstration as specified in  subdivision A 5 of this section. If a successful demonstration is made within  90 days, the owner or operator may continue monitoring in accordance with the  assessment monitoring program pursuant to subdivision 3 of this subsection. If  the 90-day period passes without demonstration approval, the owner or operator  shall comply with the actions under 9VAC20-81-260 C within the timeframes  specified unless the director has granted an extension to those timeframes. 
    (b) Describe the results in the semi-annual or quarterly report.  
    C. Monitoring for CDD, industrial, and State Monitoring  Program sanitary landfills. 
    1. Applicability. 
    a. Sanitary landfills. Owners or operators of sanitary  disposal facilities that have ceased to accept solid waste prior to the  federally imposed deadline of October 9, 1993, and or in the case  of a "small landfill" before April 9, 1994, are eligible, with the  director's approval, to conduct the state groundwater monitoring program  described in this section in lieu of the groundwater monitoring program  required under subdivision B 2 or 3 of this section. 
    b. CDD and industrial landfills. Owners or operators of CDD  and industrial landfills not subject to the federal groundwater monitoring  requirements prescribed under 40 CFR Parts 257 and 258 will shall  perform the groundwater monitoring described in this section. 
    c. Other landfills. All other landfills excluding sanitary  landfills, including those that accepted hazardous waste from conditionally  exempt small quantity generators after July 1, 1998, will shall  perform the groundwater monitoring described in this section. 
    2. First determination monitoring program. 
    a. Sampling requirements. A first determination monitoring  program shall consist of a background-establishing period followed by  semi-annual sampling and analysis for the constituents shown in Table 3.1  Column A at all wells installed under subdivision A 3 a of this section. Within  14 days of each event during first determination monitoring, notify the  department identifying the Table 3.1 Column A constituents that have been  detected. 
    b. Development of background. Within 360 days of the initial  first determination sampling event: 
    (1) Establish background concentrations for any constituents  detected pursuant to subdivision 2 a of this subsection. 
    (a) A minimum of four independent samples from each well  (background and downgradient) shall be collected and analyzed to establish  background concentrations for the detected constituents using the procedures in  subsection D of this section. 
    (b) In those cases where new wells are installed downgradient  of waste disposal units that already have received waste, but these wells have  not yet undergone their initial sampling event, collection of four independent  samples for background development will not be required. 
    (2) Within 30 days of completing the background calculations  required under subdivision 2 b (1) (a) of this subsection, submit a first  determination report, signed by a qualified groundwater scientist, to the  department which must include a summary of the background concentration data  developed during the background sampling efforts as well as the statistical  calculations for each constituent detected in the groundwater during the  background sampling events. 
    c. Semi-annual sampling and analysis. Within 90 days of the  last sampling event during the background-establishing period and at least  semi-annually thereafter, sample each monitoring well in the compliance network  for analysis of the constituents in Table 3.1 Column A. 
    d. Evaluation and response. Upon determination of site  background under subdivision 2 b (1) (a) of this subsection, the results of all  subsequent first determination monitoring events shall be assessed as follows: 
    (1) If no Table 3.1 Column A constituents are found to have entered  the groundwater at statistically significant levels over background, the owner  or operator shall:
    (a) Remain in first determination monitoring; and 
    (b) May request the director delete any Table 3.1 Column A  constituents from the semi-annual sampling list if the owner or operator  demonstrates that the proposed deleted constituents are not reasonably expected  to be in or derived from the waste. 
    (2) If the owner or operator recognizes a statistically  significant increase over background for any Table 3.1 Column A constituent,  within 14 days of this finding, the owner or operator shall notify the  department identifying the Table 3.1 Column A constituents that have exceeded  background levels. The notification will include a statement that within 90 days  the owner or operator will shall:
    (a) Initiate a Phase II sampling program; or 
    (b) Submit an Alternate Source Demonstration under subdivision  A 5 of this section. 
    (3) If a successful demonstration is made and approved within  the timeframes established under subdivision A 5 of this section, the owner or  operator may remain in First Determination monitoring. 
    (4) If a successful demonstration is not made and approved  within the timeframes established under subdivision A 5 of this section, the  owner or operator shall initiate Phase II monitoring in accordance with the  timeframes in subdivision C 3 of this section. The director may approve a  longer timeframe with appropriate justification. 
    3. Phase II monitoring. 
    a. Sampling requirements. The owner or operator shall:
    (1) Within 90 days of noting the exceedance over background  determined under subdivision C 2 d of this section, sample the groundwater in  all monitoring wells installed under subdivision A 3 a of this section for all  Table 3.1 Column B constituents; 
    (2) After completing the initial Phase II sampling event,  continue to sample and analyze groundwater on a semi-annual basis within the  Phase II monitoring program; 
    b. Background development. If no additional Table 3.1 Column B  constituents are detected other than those previously detected under Column A,  which already have established their background levels, the owner or operator  shall follow the requirements under subdivision 3 c of this subsection  regarding groundwater protection standard establishment while continuing to  sample for the Table 3.1 Column A list on a semi-annual basis. If one or more  additional Table 3.1 Column B constituents are detected during the initial  Phase II sampling event:
    (1) Within 360 days, establish a background value for each  additional detected Table 3.1 Column B constituent. 
    (2) Submit a Phase II Background report within 30 days of  completing the background calculations including a summary of the background  concentration data for each constituent detected in the groundwater during the  Table 3.1 Column B background sampling events.
    (3) If any detected Table 3.1 Column B constituent is  subsequently not detected for a period of two years, the owner or operator may  petition the director to delete the constituent from the list of detected Table  3.1 Column B constituents that must be sampled semi-annually. 
    c. Establishment of groundwater protection standards. No later  than:
    (1) Thirty days after submitting the Phase II Background  report required under the provisions of subdivision 3 b (2) of this subsection,  or within 30 days of obtaining the results from the initial Table 3.1 Column B  sampling event indicating no further sampling for background determination is  necessary, the owner or operator shall propose a groundwater protection  standard for all detected Table 3.1 constituents. 
    (2) The groundwater protection standard proposed shall be  established in a manner consistent with the provisions in subdivision A 6 of  this section. 
    d. Groundwater monitoring plan. No later than 60 days after  establishment of groundwater protection standards in accordance with  subdivision A 6 of this section, the owner or operator shall submit an updated  Groundwater Monitoring Plan that details the site monitoring well network and  sampling and analysis procedures undertaken during groundwater monitoring  events. The department may waive the requirement for an updated plan if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, the owner or operator shall request a permit amendment  modification to incorporate the updated plan and related groundwater  monitoring modules into the landfill's permit in accordance with 9VAC20-81-600.  
    (2) If the 30-day timeframe specified in subdivision 3 d (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    e. Evaluation and response. After each subsequent Phase II  monitoring event following establishment of groundwater protection standards,  the concentration of Table 3.1 Column B constituents found in the groundwater  at each monitoring well installed pursuant to subdivision A 3 a of this section  will be evaluated against the groundwater protection standards. The evaluation  will be presented to the department in a semi-annual Phase II report. The  evaluation will be as follows: 
    (1) If all Table 3.1 constituents are shown to be at or below  background values, using the statistical procedures in subsection D of this  section, for two consecutive Table 3.1 Column B sampling events, the owner or  operator shall notify the director of this finding in the semi-annual report  and may return to first determination monitoring; 
    (2) If any Table 3.1 Column B constituents are found to be  above background values, but are below the established groundwater protection  standard using the statistical procedures in subsection D of this section, the  owner or operator shall continue semi-annual Phase II monitoring and present  the findings in a semi-annual report; 
    (3) If one or more Table 3.1 Column B constituents are above  the established groundwater protection standard using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Notify the department within 14 days of this finding. The  notification will include a statement that within 90 days the owner or operator  will either: (i) undertake the characterization and assessment actions required  under 9VAC20-81-260 C 1; or (ii) submit an alternate source demonstration as  specified in subdivision A 5 of this section. If a successful demonstration is  made within 90 days, the owner or operator may continue monitoring in  accordance with Phase II monitoring program. If the 90-day period is exceeded,  the owner or operator shall comply with the timeframes of 9VAC20-81-260 C  unless the director has granted an extension to those timeframes; and
    (b) Present the findings in the semi-annual report. 
    D. Statistical methods and constituent lists. 
    1. Acceptable test methods. The following statistical test  methods may be used to evaluate groundwater monitoring data: 
    a. A parametric analysis of variance (ANOVA) followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's mean and the background mean levels  for each constituent. 
    b. An analysis of variance (ANOVA) based on ranks followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's median and the background median  levels for each constituent. 
    c. A tolerance or prediction interval procedure in which an  interval for each constituent is established from the distribution of the  background data, and the level of each constituent in each compliance well is  compared to the upper tolerance or prediction limit. 
    d. A control chart approach that gives control limits for each  constituent. 
    e. Another statistical test method that meets the performance  standards specified below. Based on the justification submitted to the  department, the director may approve the use of an alternative test. The  justification must demonstrate that the alternative method meets the  performance standards in subdivision 2 of this subsection. 
    2. Performance standards. Any statistical method chosen by the  owner or operator shall comply with the following performance standards, as  appropriate: 
    a. The statistical method used to evaluate groundwater  monitoring data shall be appropriate for the distribution of monitoring  parameters or constituents. If the distribution is shown by the owner or  operator to be inappropriate for a normal theory test, then the data shall be  transformed or a distribution-free theory test shall be used. If the  distributions for the constituents differ, more than one statistical method may  be needed. 
    b. If an individual well comparison procedure is used to  compare an individual compliance well constituent concentration with background  constituent concentrations or a groundwater protection standard, the test shall  be done at a Type I error level no less than 0.01 for each testing period. If a  multiple comparisons procedure is used, the Type I experiment-wise error rate  for each testing period shall be no less than 0.05; however, the Type I error  of no less than 0.01 for individual well comparisons must be maintained. 
    c. If a control chart approach is used to evaluate groundwater  monitoring data, the specific type of control chart and its associated  parameter values shall be protective of human health and the environment. The  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    d. If a tolerance interval or a predictional interval is used  to evaluate groundwater monitoring data, the levels of confidence and, for  tolerance intervals, the percentage of the population that the interval must  contain, shall be protective of human health and the environment. These  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    e. The statistical method shall account for data below the  limit of detection with one or more statistical procedures that are protective  of human health and the environment. Any estimated quantitation limit (EQL)  that is used in the statistical method shall be the lowest concentration level  that can be reliably achieved within specified limits of precision and accuracy  during routine laboratory operating conditions that are available to the  landfill. 
    f. If necessary, the statistical method shall include  procedures to control or correct for seasonal and spatial variability as well  as temporal correlation in the data.
    E. Recordkeeping and reporting. 
    1. Records pertaining to groundwater monitoring activities on  site shall be retained at a specified location by the owner or operator  throughout the active life and postclosure care period of the landfill, and  shall include at a minimum: 
    a. All historical groundwater surface elevation data obtained  from wells installed pursuant to subdivision A 3 a of this section; 
    b. All historical laboratory analytical results for  groundwater sampling events required under the groundwater monitoring programs  as described in this section; 
    c. All records of well installation, repair, or abandonment  actions; 
    d. All department correspondence to the landfill; and 
    e. All approved variances, well subsets, wetlands, or other  such director/department approvals. 
    2. Reporting requirements. 
    a. Annual report. 
    (1) An Annual Groundwater Monitoring Report shall be submitted  by the owner or operator to the department no later than 120 days from the  completion of sampling and analysis conducted under subdivision A 4 h of this  section for the second semi-annual event or fourth quarterly event during each  calendar year and shall by accompanied by:
    (a) A signature page; and 
    (b) A completed QA/QC DEQ Form ARSC-01.
    (2) The technical content of the annual report shall at a  minimum, contain the following topical content: 
    (a) The landfill's name, type, permit number, current owner or  operator, and location keyed to a USGS topographic map; 
    (b) Summary of the design type (i.e., lined versus unlined),  operational history (i.e., trench fill versus area fill), and size (acres) of  the landfill including key dates such as beginning and termination of waste  disposal actions and dates different groundwater monitoring phases were  entered;
    (c) Description of the surrounding land use noting whether any  adjoining land owners utilize private wells as a potable water source;
    (d) A discussion of the topographic, geologic, and hydrologic  setting of the landfill including a discussion on the nature of the uppermost  aquifer (i.e., confined versus unconfined) and proximity to surface waters;
    (e) A discussion of the monitoring wells network noting any  modifications that were made to the network during the year or any  nonperformance issues and a statement noting that the monitoring well network  meets (or did not meet) the requirements of subdivision A 3 of this section; 
    (f) A listing of the groundwater sampling events undertaken  during the previous calendar year; 
    (g) A historical table listing the detected constituents, and  their concentrations identified in each well during the sampling period; and
    (h) Evaluations of and appropriate responses to the  groundwater elevation data; groundwater flow rate as calculated using the prior  years elevation data; groundwater flow direction (as illustrated on a  potentiometric surface map); and sampling and analytical data obtained during  the past calendar year. 
    b. Semi-annual or quarterly report. 
    (1) After each sampling event has been completed for the 1st  semi-annual or first, second and third quarterly groundwater sampling events, a  semi-annual or quarterly monitoring report shall be submitted under separate  cover by the owner or operator to the department no later than 120 days from  the completion of sampling and analysis conducted under subdivision A 4 h of  this section, unless as allowed under a director-approved extension. The report  shall at a minimum contain the following items: 
    (a) Signature page signed by a professional geologist or  qualified groundwater scientist; 
    (b) Landfill name and permit number;
    (c) Statement noting whether or not all monitoring points  within the permitted network installed to meet the requirements of subdivision  A 3 a of this section were sampled as required under subdivision B 2 or 3 or C  2 or 3 during the event;
    (d) Calculated rate of groundwater flow during the sampling  period as required under subdivision A 4 c of this section;
    (e) The groundwater flow direction as determined during the  sampling period as required under subdivision A 4 c of this section presented  as either plain text or graphically as a potentiometric surface map;
    (f) Statement noting whether or not there were statistically  significant increases over background or groundwater protection standards  during the sampling period, the supporting statistical calculations, and  reference to the date the director was notified of the increase pursuant to  timeframes in subdivision B 2 or 3 or C 2 or 3, if applicable; 
    (g) Copy of the full Laboratory Analytical Report including  dated signature page (laboratory manager or representative) to demonstrate  compliance with the timeframes of subdivision A 4 h of this section. The  department will accept the lab report in CD-ROM format. 
    (2) In order to reduce the reporting burden on the owner or  operator and potential redundancy within the operating record, a discussion of  the second semi-annual or fourth quarterly sampling event results may be  presented in the Annual Report submission.
    c. Other submissions. Statistically significant increase  notifications, well certifications, the first determination report, alternate  source demonstration, nature and extent study, assessment of corrective  measures, presumptive remedy proposal, corrective action plan or monitoring  plan, or other such report or notification types as may be required under  9VAC20-81-250 or 9VAC20-81-260, shall be submitted in a manner which achieves  the timeframe requirements as listed in 9VAC20-81-250 or 9VAC20-81-260. 
         
                 |      TABLE 3.1      GroundWater Solid Waste Constituent Monitoring List       |    
       |      Column A – Common Name1, 2      |          Column B – Common Name1, 2      |          CAS RN3      |    
       |             |          Acenaphthene      |          83-32-9      |    
       |             |          Acenaphthylene      |          208-96-8      |    
       |      Acetone      |          Acetone      |          67-64-1      |    
       |             |          Acetonitrile; Methyl cyanide      |          75-05-8      |    
       |             |          Acetophenone      |          98-86-2      |    
       |             |          2-Acetylaminofluorene; 2-AAF      |          53-96-3      |    
       |             |          Acrolein      |          107-02-8      |    
       |      Acrylonitrile      |          Acrylonitrile      |          107-13-1      |    
       |             |          Aldrin      |          309-00-2      |    
       |             |          Allyl chloride      |          107-05-1      |    
       |             |          4-Aminobiphenyl      |          92-67-1      |    
       |             |          Anthracene      |          120-12-7      |    
       |      Antimony      |          Antimony      |          (Total)      |    
       |      Arsenic      |          Arsenic      |          (Total)      |    
       |      Barium      |          Barium      |          (Total)      |    
       |      Benzene      |          Benzene      |          71-43-2      |    
       |             |          Benzo[a]anthracene; Benzanthracene      |          56-55-3      |    
       |             |          Benzo[b]fluoranthene      |          205-99-2      |    
       |             |          Benzo[k]fluoranthene      |          207-08-9      |    
       |             |          Benzo[ghi]perylene      |          191-24-2      |    
       |             |          Benzo[a]pyrene      |          50-32-8      |    
       |             |          Benzyl alcohol      |          100-51-6      |    
       |      Beryllium      |          Beryllium      |          (Total)      |    
       |             |          alpha-BHC      |          319-84-6      |    
       |             |          beta-BHC      |          319-85-7      |    
       |             |          delta-BHC      |          319-86-8      |    
       |             |          gamma-BHC; Lindane      |          58-89-9      |    
       |             |          Bis(2-chloroethoxy)methane      |          111-91-1      |    
       |             |          Bis(2-chloroethyl) ether; Dichloroethyl ether      |          111-44-4      |    
       |             |          Bis(2-chloro-1-methylethyl) ether; 2, 2'-Dichlorodiisopropyl    ether; DCIP      |          108-60-1, See note 4      |    
       |             |          Bis(2-ethylhexyl)phthalate      |          117-81-7      |    
       |      Bromochloromethane;.Chlorobromomethane      |          Bromochloromethane;.Chlorobromomethane      |          74-97-5      |    
       |      Bromodichloromethane;.Dibromochloromethane      |          Bromodichloromethane;.Dibromochloromethane      |          75-27-4      |    
       |      Bromoform; Tribromomethane      |          Bromoform; Tribromomethane      |          75-25-2      |    
       |             |          4-Bromophenyl phenyl ether      |          101-55-3      |    
       |             |          Butyl benzyl phthalate; Benzyl butyl phthalate      |          85-68-7      |    
       |      Cadmium      |          Cadium Cadmium      |          (Total)      |    
       |      Carbon disulfide      |          Carbon disulfide      |          75-15-0      |    
       |      Carbon tetrachloride      |          Carbon tetrachloride      |          56-23-5      |    
       |             |          Chlordane      |          Note 5      |    
       |             |          p-Chloroaniline      |          106-47-8      |    
       |      Chlorobenzene      |          Chlorobenzene      |          108-90-7      |    
       |             |          Chlorobenzilate      |          510-15-6      |    
       |             |          p-Chloro-m-cresol; 4-Chloro-3-methylphenol      |          59-50-7      |    
       |      Chloroethane; Ethyl chloride      |          Chloroethane; Ethyl chloride      |          75-00-3      |    
       |      Chloroform; Trichloromethane      |          Chloroform; Trichloromethane      |          67-66-3      |    
       |             |          2-Chloronaphthalene      |          91-58-7      |    
       |             |          2-Chlorophenol      |          95-57-8      |    
       |             |          4-Chlorophenyl phenyl ether      |          7005-72-3      |    
       |             |          Chloroprene      |          126-99-8      |    
       |      Chromium      |          Chromium      |          (Total)      |    
       |             |          Chrysene      |          218-01-9      |    
       |      Cobalt      |          Cobalt      |          (Total)      |    
       |      Copper      |          Copper      |          (Total)      |    
       |             |          m-Cresol; 3-methyphenol      |          108-39-4      |    
       |             |          o-Cresol; 2-methyphenol      |          95-48-7      |    
       |             |          p-Cresol; 4-methyphenol      |          106-44-5      |    
       |             |          Cyanide      |          57-12-5      |    
       |             |          2,4-D; 2,4-Dichlorophenoxyacetic acid      |          94-75-7      |    
       |             |          4,4'-DDD      |          72-54-8      |    
       |             |          4,4'-DDE      |          72-55-9      |    
       |             |          4,4'-DDT      |          50-29-3      |    
       |             |          Diallate      |          2303-16-4      |    
       |             |          Dibenz[a,h]anthracene      |          53-70-3      |    
       |             |          Dibenzofuran      |          132-64-9      |    
       |      Dibromochloromethane; Chlorodibromomethane      |          Dibromochloromethane; Chlorodibromomethane      |          124-48-1      |    
       |      1,2-Dibromo-3-chloropropane; DBCP      |          1,2-Dibromo-3-chloropropane; DBCP      |          96-12-8      |    
       |      1,2-Dibrimoethane; Ethylene dibromide; EDB      |          1,2-Dibrimoethane; Ethylene dibromide; EDB      |          106-93-4      |    
       |             |          Di-n-butyl phthalate      |          84-74-2      |    
       |      o-Dichlorobenzene; 1,2-Dichlorobenzene      |          o-Dichlorobenzene; 1,2-Dichlorobenzene      |          95-50-1      |    
       |             |          m-Dichlorobenzene; 1,3-Dichlorobenzene      |          541-73-1      |    
       |      p-Dichlorobenzene; 1,4-Dichlorobenzene      |          p-Dichlorobenzene; 1,4-Dichlorobenzene      |          106-46-7      |    
       |             |          3,3'-Dichlorobenzidine      |          91-94-2      |    
       |      trans-1,4-Dichloro-2-butene      |          trans-1,4-Dichloro-2-butene      |          110-57-6      |    
       |             |          Dichlorodifluoromethane; CFC 12;      |          75-71-8      |    
       |      1.1-Dichloroethane; Ethylidene chloride      |          1,1-Dichloroethane; Ethylidene chloride      |          75-34-3      |    
       |      1,2-Dichloroethane; Ethylene dichloride      |          1,2-Dichloroethane; Ethylene dichloride      |          107-06-2      |    
       |      1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          75-35-4      |    
       |      cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          156-59-2      |    
       |      trans-1,2-Dichloroethylene      |          trans-1,2-Dichloroethylene; trans-1,2-Dichroroethene      |          156-60-5      |    
       |             |          2,4-Dichlorophenol      |          120-83-2      |    
       |             |          2,6-Dichlorophenol      |          87-65-0      |    
       |      1,2-Dichloropropane; Propylene dichloride      |          1,2-Dichloropropane; Propylene dichloride      |          78-87-5      |    
       |             |          1,3-Dichloropropane; Trimethylene dichloride      |          142-28-9      |    
       |             |          2, 2-Dichloropropane; isopropylidene chloride      |          594-20-7      |    
       |             |          1,1-Dichloropropene      |          563-58-6      |    
       |      cis-1,3-Dichloropropene      |          cis-1,3-Dichloropropene      |          10061-01-5      |    
       |      trans-1,3-Dichloropropene      |          trans-1,3-Dichloropropene      |          10061-02-6      |    
       |             |          Dieldrin      |          60-57-1      |    
       |             |          Diethyl phthalate      |          84-66-2      |    
       |             |          O,O-Diethyl O-2-pyrazinyl phosphorothioate; Thionazin      |          297-97-2      |    
       |             |          Dimethoate      |          60-51-5      |    
       |             |          p-(Dimethylamino)azobenzene      |          60-11-7      |    
       |             |          7,12-Dimethylbenz[a]anthracene      |          57-97-6      |    
       |             |          3,3'-Dimethylbenzidine      |          119-93-7      |    
       |             |          2,4-Dimethylphenol; m-Xylenol      |          105-67-9      |    
       |             |          Dimethyl phthalate      |          131-11-3      |    
       |             |          m-Dinitrobenzene      |          99-65-0      |    
       |             |          4,6-Dinitro-o-cresol; 4,6-Dinitro-2-methylphenol      |          534-52-1      |    
       |             |          2,4-Dinitrophenol      |          51-28-5      |    
       |             |          2,4-Dinitrotoluene      |          121-14-2      |    
       |             |          2,6-Dinitrotoluene      |          606-20-2      |    
       |             |          Dinoseb; DNBP; 2-sec-Butyl-4,6-dinitrophenol      |          88-85-7      |    
       |             |          Di-n-octyl phthalate      |          117-84-0      |    
       |             |          Diphenylamine      |          122-39-4      |    
       |             |          Disulfoton      |          298-04-4      |    
       |             |          Endosulfan I      |          959-96-8      |    
       |             |          Endosulfan II      |          33213-65-9      |    
       |             |          Endosulfan sulfate      |          1031-07-8      |    
       |             |          Endrin      |          72-20-8      |    
       |             |          Endrin aldehyde      |          7421-93-4      |    
       |      Ethylbenzene      |          Ethylbenzene      |          100-41-4      |    
       |             |          Ethyl methacrylate      |          97-63-2      |    
       |             |          Ethylmethanesulfonate      |          62-50-0      |    
       |             |          Famphur      |          52-85-7      |    
       |             |          Fluoranthene      |          206-44-0      |    
       |             |          Fluorene      |          86-73-7      |    
       |             |          Heptachlor      |          76-44-8      |    
       |             |          Heptachlor epoxide      |          1024-57-3      |    
       |             |          Hexachlorobenzene      |          118-74-1      |    
       |             |          Hexachlorobutadiene      |          87-68-3      |    
       |             |          Hexachlorocyclopentadiene      |          77-47-4      |    
       |             |          Hexachloroethane      |          67-72-1      |    
       |             |          Hexachloropropene      |          1888-71-7      |    
       |      2-Hexanone; Methyl butyl ketone      |          2-Hexanone; Methyl butyl ketone      |          591-78-6      |    
       |             |          Indeno[1,2,3-cd]pyrene      |          193-39-5      |    
       |             |          Isobutyl alcohol      |          78-83-1      |    
       |             |          Isodrin      |          465-73-6      |    
       |             |          Isophorone      |          78-59-1      |    
       |             |          Isosafrole      |          120-58-1      |    
       |             |          Kepone      |          143-50-0      |    
       |      Lead      |          Lead      |          (Total)      |    
       |             |          Mercury      |          (Total)      |    
       |             |          Methacrylonitrile      |          126-98-7      |    
       |             |          Methapyrilene      |          91-80-5      |    
       |             |          Methoxychlor      |          72-43-5      |    
       |      Methyl bromide; Bromomethane      |          Methyl bromide; Bromomethane      |          74-83-9      |    
       |      Methyl chloride; Chloromethane      |          Methyl chloride; Chloromethane      |          74-87-3      |    
       |             |          3-Methylcholanthrene      |          56-49-5      |    
       |      Methyl ethyl ketone; MEK; 2-Butanone      |          Methyl ethyl ketone; MEK; 2-Butanone      |          78-93-3      |    
       |      Methyl iodide; Iodomethane      |          Methyl iodide; Iodomethane      |          74-88-4      |    
       |             |          Methyl methacrylate      |          80-62-6      |    
       |             |          Methyl methanesulfonate      |          66-27-3      |    
       |             |          2-Methylnaphthalene      |          91-57-6      |    
       |             |          Methyl parathion; Parathion methyl methyl      |          298-00-0      |    
       |      4-Methyl-2-pentanone; Methyl isobutyl ketone      |          4-Methyl-2-pentanone; Methyl isobutyl ketone      |          108-10-1      |    
       |      Methylene bromide; Dibromomethane      |          Methylene bromide; Dibromomethane      |          74-95-3      |    
       |      Methylene chloride; Dichloromethane      |          Methylene chloride; Dichloromethane      |          75-09-2      |    
       |             |          Naphthalene      |          91-20-3      |    
       |             |          1,4-Naphthoquinone      |          130-15-4      |    
       |             |          1- Naphthylamine      |          134-32-7      |    
       |             |          2-Napthylamine      |          91-59-8      |    
       |      Nickel      |          Nickel      |          (Total)      |    
       |             |          o-Nitroaniline; 2-Nitroaniline      |          88-74-4      |    
       |             |          m-Nitroaniline; 3-Nitroaniline      |          99-09-2      |    
       |             |          p-Nitroaniline; 4-Nitroaniline      |          100-01-6      |    
       |             |          Nitrobenzene      |          98-95-3      |    
       |             |          o-Nitrophenol; 2-Nitrophenol      |          88-75-5      |    
       |             |          p-Nitrophenol; 4-Nitrophenol      |          100-02-7      |    
       |             |          N-Nitrosodi-n-butylamine      |          924-16-3      |    
       |             |          N-Nitrosodiethylamine      |          55-18-5      |    
       |             |          N-Nitrosodimethylamine      |          62-75-9      |    
       |             |          N-Nitrosodiphenylamine      |          86-30-6      |    
       |             |          N-Nitrosodipropylamine; N-Nitroso-N-dipropylamine;    Di-n-propylnitrosamine      |          621-64-7      |    
       |             |          N-Nitrosomethylethalamine      |          10595-95-6      |    
       |             |          N-Nitrosopiperidine      |          100-75-4      |    
       |             |          N-Nitrosopyrrolidine      |          930-55-2      |    
       |             |          5-Nitro-o-toluidine      |          99-55-8      |    
       |             |          Parathion      |          56-38-2      |    
       |             |          Pentachlorobenzene      |          608-93-5      |    
       |             |          Pentachloronitrobenzene      |          82-68-8      |    
       |             |          Pentachlorophenol      |          87-86-5      |    
       |             |          Phenacetin      |          62-44-2      |    
       |             |          Phenanthrene      |          85-01-8      |    
       |             |          Phenol      |          108-95-2      |    
       |             |          p-Phenylenediamine      |          106-50-3      |    
       |             |          Phorate      |          298-02-2      |    
       |             |          Polychlorinated biphenyls; PCBS; Aroclors      |          Note 6      |    
       |             |          Pronamide      |          23950-58-5      |    
       |             |          Propionitrile; Ethyl cyanide      |          107-12-0      |    
       |             |          Pyrene      |          129-00-0      |    
       |             |          Safrole      |          94-59-7      |    
       |      Selenium      |          Selenium      |          (Total)      |    
       |      Silver      |          Silver      |          (Total)      |    
       |             |          Silvex; 2,4,5-TP      |          93-72-1      |    
       |      Styrene      |          Styrene      |          100-42-5      |    
       |             |          Sulfide      |          18496-25-8      |    
       |             |          2,4,5-T; 2,4,5-Trichlorophenoxyacetic acid      |          93-76-5      |    
       |             |          1,2,4,5-Tetrachlorobenzene      |          95-94-3      |    
       |      1,1,1,2-Tetrachloroethane      |          1,1,1,2-Tetrachloroethane      |          630-20-6      |    
       |      1,1,2,2-Tetrachloroethane      |          1,1,2,2-Tetrachloroethane      |          79-34-5      |    
       |      Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          127-18-4      |    
       |             |          2,3,4,6-Tetrachlorophenol      |          58-90-2      |    
       |      Thallium      |          Thallium      |          (Total)      |    
       |             |          Tin      |          (Total)      |    
       |      Toluene      |          Toluene      |          108-88-3      |    
       |             |          o-Toluidine      |          95-53-4      |    
       |             |          Toxaphene      |          Note 7      |    
       |             |          1,2,4-Trichlorobenzene      |          120-82-1      |    
       |      1,1,1-Trichloroethane; Methychloroform      |          1,1,1-Trichloroethane; Methychloroform      |          71-55-6      |    
       |      1,1,2-Trichloroethane      |          1,1,2-Trichloroethane      |          79-00-5      |    
       |      Trichloroethylene; Trichloroethene ethene      |          Trichloroethylene; Trichloroethene ethane      |          79-01-6      |    
       |      Trichlorofluoromethane; CFC-11      |          Trichlorofluoromethane; CFC-11      |          75-69-4      |    
       |             |          2,4,5-Trichlorophenol      |          95-95-4      |    
       |             |          2,4,6-Trichlorophenol      |          88-06-2      |    
       |      1,2,3-Trichloropropane      |          1,2,3-Trichloropropane      |          96-18-4      |    
       |             |          O,O,O-Triethyl phosphorothioate      |          126-68-1      |    
       |             |          sym-Trinitrobenzene      |          99-35-4      |    
       |      Vanadium      |          Vanadium      |          (Total)      |    
       |      Vinyl acetate      |          Vinyl acetate      |          108-05-4      |    
       |      Vinyl chloride; Chloroethene      |          Vinyl chloride; Chloroethene      |          75-01-4      |    
       |      Xylene(total)      |          Xylene(total)      |          Note 8      |    
       |      Zinc      |          Zinc      |          (Total)      |    
  
    NOTES:
    1Common names are those widely used in government  regulations, scientific publications, and commerce; synonyms exist for many  chemicals.
    2The corresponding Chemical Abstracts Service Index  name as used in the 9th Collective Index, may be found in Appendix II of 40 CFR  258.
    3Chemical Abstracts Service Registry Number. Where  "Total" is entered, all species in the groundwater that contains this  element are included.
    4This substance is often called  Bis(2-chloroisopropyl) ether, the name Chemical Abstracts Service applies to  its noncommercial isomer, Propane, 2.2'-oxybis2-chloro (CAS RN 39638-32-9).
    5Chlordane: This entry includes alpha-chlordane (CAS  RN 5103-71-9), beta-chlordane (CAS RN 5103-74-2), gamma-chlordane (CAS RN  5566-34-7), and constituents of chlordane (CAS RN 57-74-9 and CAS RN  12739-03-6).
    6Polychlorinated biphenyls (CAS RN 1336-36-3); this  category contains congener chemicals, including constituents of Aroclor 1016  (CAS RN 12674-11-2), Aroclor 1221 (CAS RN 11104-28-2), Aroclor 1232 (CAS RN  11141-16-5), Aroclor 1242 (CAS RN 53469-21-9), Aroclor 1248 (CAS RN  12672-29-6), Aroclor 1254 (CAS RN 11097-69-1), and Arclor 1260 (CAS RN  11096-82-5).
    7Toxaphene: This entry includes congener chemicals  contained in technical toxaphene (CAS RN 8001-35-2), i.e., chlorinated  camphene.
    8Xylene (total): This entry includes o-xylene (CAS  RN 96-47-6), m-xylene (CAS RN 108-38-3), p-xylene (CAS RN 106-42-3), and  unspecified xylenes (dimethylbenzenes) (CAS RN 1330-20-7).
         
          9VAC20-81-260. Corrective action program.
    A. Corrective action is required whenever one or more  groundwater protection standard is exceeded at statistically significant  levels. An owner or operator of a landfill may elect to initiate corrective  action at any time; however, prior to such initiation, the appropriate  groundwater protection standards for all Table 3.1 constituents shall be  established consistent with 9VAC20-81-250 A 6. At any time during the  corrective action process, the owner or operator may elect to pursue, or the  director can determine that, interim measures as defined under subsection F of  this section are required in accordance with subdivision E 3 of this section.
    B. The director may require periodic progress reports when a  corrective action program is required but not yet implemented. At any time  during the corrective action process, the owner or operate may elect to pursue,  or the director can determine that, interim measures as defined under  subsection F of this section are required in accordance with subdivision E 3 of  this section. 
    C. Characterization and assessment requirements. 
    1. Upon notifying the department that one or more of the  constituents listed in Table 3.1 Column B has been detected at a statistically  significant level exceeding the groundwater protection standards, the owner or  operator shall, unless department approval of an Alternate Source Demonstration  has been received as noted under 9VAC20-81-250 B 3 f (3) (a) (ii) or  9VAC20-81-250 C 3 c (3) (a) (ii):
    a. Characterization. Within 90 days, install additional  monitoring wells as necessary including the installation of at least one  additional monitoring well at the facility boundary in the direction of  contaminant migration sufficient to define the vertical and horizontal  extent of the release of constituents at statistically significant levels  exceeding the groundwater protection standards including the installation of  at least one additional monitoring well at the facility boundary in the  direction of contaminant migration. 
    b. Notification. Notify all persons who own the land or reside  on the land that directly overlies any part of the release if contaminants have  migrated offsite as indicated by the results of sampling of the  characterization wells installed under subdivision 1 a of this subsection  within 15 days of completion of the characterization sampling and analysis  efforts. 
    c. Assessment. Within 90 days, initiate an assessment of  corrective measures or a proposal for presumptive remedy. 
    d. Financial assurance. Within 120 days, provide additional  financial assurance in the amount of $1 million to the department using the  mechanisms required in 9VAC20-70-140 of the Financial Assurance Requirements  for Solid Waste Disposal, Transfer, and Treatment Facilities. 
    e. Public meeting. Prior to submitting the document required  under subdivision 1 f of this subsection, schedule and hold a public meeting to  discuss the draft results of the corrective measures assessment or the proposal  for presumptive remedy, prior to the final selection of remedy. The meeting  shall be held to the extent practicable in the vicinity of the landfill. The  process to be followed for scheduling and holding the public hearing is  described under subdivision 4 of this subsection. 
    f. Submission requirements. Within 180 days, submit the  completed assessment of corrective measures defined under subdivision 3 of this  subsection, or the proposal for presumptive remedies defined under subdivision  2 of this subsection, including any responses to public comments received. 
    g. Director allowance. The submission timeframe noted in  subdivision 1 f of this subsection may be extended by the director for good cause  upon request of the owner or operator. 
    2. Presumptive remedy  allowance. 
    a. Applicability. To expedite corrective action, in lieu of an  analysis meeting the requirements of subdivision 3 of this subsection, the  owner or operator of any facility monitoring groundwater in accordance with  9VAC20-81-250 C may propose a presumptive remedy for the landfill. 
    b. Options. The presumptive remedy for solid waste landfills  shall be limited to one or more of the following: 
    (1) Containment of the landfill mass, including an impermeable  cap; 
    (2) Control of the landfill leachate; 
    (3) Control of the migration of contaminated groundwater; 
    (4) Collection and treatment of landfill gas; and 
    (5) Reduction of saturation of the landfill mass. 
    Containment may be selected as a sole or partial remedy until  a determination is made under subdivision F 1 of this section that another  remedy shall be employed to meet the requirements of subdivision G 1 of this  section concerning remediation completion. Upon recognition that presumptive  remedies may not be able to achieve the groundwater protection standards, an  assessment of corrective measures shall be initiated within 90 days.
    c. Restrictions. Presumptive remedies are not applicable to:
    (1) Landfills monitoring groundwater under the Federal  Subtitle D equivalent program defined under 9VAC20-81-250 B when the use of the  presumptive remedy will be the sole remedy applied to the groundwater release;  or
    (2) Landfills that may monitor groundwater under 9VAC20-81-250  C but that exhibit contamination beyond facility boundaries unless the proposed  presumptive remedy option under subdivision 2 b of this subsection can be  demonstrated to show it will address the reduction of contamination already  present beyond the facility boundary, and the demonstration is approved by the  department. 
    d. Submission requirements. Owner or operators who wish to  propose use of the presumptive remedy allowance shall submit with the proposal,  signed by a qualified groundwater professional, an: 
    (1) Assessment of risks resulting from the contamination at  the disposal unit boundary and at the facility boundary; 
    (2) Evaluation of the current trends in groundwater quality  data with respect to the established groundwater protection standards; and
    (3) Anticipated schedule for initiating and completing  presumptive remedy-based remedial activities. 
    e. Implementation. Upon conducting a public meeting as  required under subdivision 4 of this subsection, submitting a corrective action  monitoring plan meeting subdivision D 1 of this section, and amending modifying  the landfill permit in accordance with 9VAC20-81-600 F 2, the owner or operator  may proceed with the implementation of the remedy in accordance with  subdivision E 1 of this section. 
    f. Evaluation and response. The owner or operator shall  provide an evaluation of the performance of the implemented presumptive remedy  every three years, unless an alternate schedule is approved by the director, in  a Corrective Action Site Evaluation report containing, at a minimum, the  following information: 
    (a) A description of how the presumptive remedy is performing  with respect to the conditions in subdivision H 1 of this section;
    (b) Current and historical groundwater data and analysis; 
    (c) An evaluation of the changes seen in groundwater  contamination after the implementation of the remedy and a projection of when  the conditions in subdivision H 1 of this section will be achieved; and 
    (d) The progress toward achieving the schedule required in  subdivision C 2 d (3) of this section. 
    3. Assessment of corrective measures. 
    a. Purpose. The assessment shall include an analysis of the  effectiveness of several potential corrective measures in meeting all of the  requirements and objectives of the remedy as described under this subsection,  addressing at least the following: 
    (1) The performance, reliability, implementation ease, and  potential impacts of appropriate potential remedies, including safety impacts,  cross-media impacts, and control of exposure to any residual contamination; 
    (2) The time required to begin and complete the remedy; 
    (3) The costs of remedy implementation; and 
    (4) The institutional requirements such as state or local  permit requirements or other environmental or public health requirements that  may substantially affect implementation of the remedies. 
    b. Requirements. As part of the assessment of corrective  measures submitted to the department for review, the owner or operator must  demonstrate that one or more possible groundwater remedy has been evaluated for  potential application on site. These remedies may include a specific technology  or combination of technologies that achieve or may achieve the standards for  remedies specified in subdivision 3 c (1) of this subsection given appropriate  consideration of the factors specified in subdivision D 1 a of this section. 
    c. Selection of remedy. As part of submission of the  assessment of corrective measures document, the owner or operator shall select  a remedy that, at a minimum, meets the standards listed in subdivision H 1 of  this section. 
    (1) The selected remedies to be included in the corrective  action plan shall: 
    (a) Be protective of human health and the environment; 
    (b) Attain the groundwater protection standard as specified  pursuant to 9VAC20-81-250 A 6; 
    (c) Control the sources of releases so as to reduce or  eliminate, to the maximum extent practicable, further releases of solid waste  constituents into the environment that may pose a threat to human health or the  environment; and 
    (d) Comply with standards for management of wastes. 
    d. Evaluation and response. The department shall review the  assessment of corrective measures to evaluate the proposed remedy and may  require revisions to the assessment. If the assessment is approved without  revision, the department will notify the owner or operator to prepare a written  corrective action plan based on the proposed remedy and such plan will be  submitted within 180 days of the department's notification of approval of the  assessment of corrective measures. 
    4. Public meeting process. As part of the public meeting  process completed prior to the submission of a proposal for presumptive remedy  or assessment of corrective measures: 
    a. Newspaper notice. The owner or operator must publish a  notice once a week for two consecutive weeks in a major local newspaper of  general circulation inviting public comment on the results of the corrective  measures assessment or proposal for presumptive remedy as applicable. The  notice shall include: 
    (1) The name of the landfill, its location, and the date,  time, and place for the public meeting, and the beginning and ending dates for  the 30-day comment period. The public meeting shall be held at a time  convenient to the public. The comment period will begin on the date the owner  or operator publishes the notice in the local newspaper;
    (2) The name, telephone, and address of the owner's or  operator's representative who can be contacted by the interested persons to  answer questions or where comments shall be sent; 
    (3) Location where copies of the documentation to be submitted  to the department in support of the corrective measures assessment or proposal  of presumptive remedy can be viewed and copied prior to the meeting; 
    (4) A statement indicating that the need to perform the  corrective measures assessment or presumptive remedy is a result of a  statistically significant increase in one or more groundwater protection  standards; and 
    (5) A statement that the purpose of the public meeting is to  acquaint the public with the technical aspects of the proposal, describe how  the requirements of these regulations will be met, identify issues of concern,  facilitate communication, and establish a dialogue between the permittee and  persons who may be affected by the landfill.
    b. Document review. The owner or operator shall place a copy  of the report and supporting documentation in a location accessible to the  public during the public comment period in the vicinity of the proposed  landfill. 
    c. Meeting timeframe. The owner or operator shall hold a  public meeting within a timeframe that allows for the submission of a completed  assessment of corrective measures or presumptive remedy within 180 days of  notifying the department of a groundwater protection standard exceedance or as  granted under subdivision 1 g of this subsection. The meeting must be scheduled  and held:
    (1) No earlier than 15 days after the publication of the  notice; and
    (2) No later than seven days before the close of the 30-day  comment period.
    D. Corrective action plan and monitoring plan. 
    1. The owner or operator shall submit to the department a  Corrective Action Plan (CAP) and related Corrective Action Monitoring Plan  (CAMP) consistent with the findings as presented in the assessment of  corrective measures required under subdivision C 3 of this section, or proposal  for presumptive remedy described under subdivision C 2 of this section.
    a. Requirements. In preparing a proposed corrective action  plan, the owner or operator will consider the following evaluation factors: 
    (1) The long-term and short-term effectiveness and  protectiveness of the potential remedies, along with the degree of certainty  that the remedy will prove successful based on consideration of the following: 
    (a) Magnitude of reduction of existing risks; 
    (b) Magnitude of residual risks in terms of likelihood of  further releases due to waste remaining following implementation of a remedy; 
    (c) The type and degree of long-term management required,  including monitoring, operation, and maintenance; 
    (d) Short-term risks that might be posed to the community,  workers, or the environment during implementation of such a remedy, including  potential threats to human health and the environment associated with  excavation, transportation, and redisposal or containment; 
    (e) Time until full protection is achieved; 
    (f) Potential for exposure of humans and environmental  receptors to remaining wastes, considering the potential threat to human health  and the environment associated with excavation, transportation, re-disposal, or  containment; 
    (g) Long-term reliability of the engineering and institutional  controls; and 
    (h) Potential need for replacement of the remedy. 
    (2) The effectiveness of the remedy in controlling the source  to reduce further releases based on consideration of the following factors: 
    (a) The extent to which containment practices will reduce  further releases; 
    (b) The extent to which treatment technologies may be used; 
    (c) Magnitude of reduction of existing risks; and 
    (d) Time until full protection is achieved. 
    (3) The ease or difficulty of implementing a potential remedy  based on consideration of the following types of factors: 
    (a) Degree of difficulty associated with constructing the  technology; 
    (b) Expected operational reliability of the technologies; 
    (c) Need to coordinate with and obtain necessary approvals and  permits from other agencies; 
    (d) Availability of necessary equipment and specialists; and 
    (e) Available capacity and location of needed treatment,  storage, and disposal services. 
    (4) Practicable capability of the owner or operator, including  a consideration of the technical and economic capability. At a minimum the  owner or operator must consider capital costs, operation and maintenance costs,  net present value of capital and operation and maintenance costs, and potential  future remediation costs. 
    (5) Ensure that all solid wastes that are managed while  undergoing corrective action or an interim measure shall be managed in a  manner: 
    (a) That is protective of human health and the environment;  and 
    (b) That complies with all applicable federal and Virginia  requirements. 
    (6) The degree to which community concerns raised as the  result of the public meeting required by subdivision C 4 of this section are  addressed by the potential remedy. 
    b. Implementation and completion timeframes. The owner or  operator shall specify as part of the selected remedy a schedule for initiating  and completing remedial activities. Such a schedule shall require the  initiation of remedial activities within a reasonable period of time taking into  consideration the factors set forth in this section. The owner or operator  shall consider the following factors in determining the schedule of remedial  activities: 
    (1) Extent and nature Nature and extent of  contamination; 
    (2) Practical capabilities of remedial technologies in  achieving compliance with groundwater protection standards established under  9VAC20-81-250 A 6 and other objectives of the remedy; 
    (3) Availability of treatment or disposal capacity for wastes  managed during implementation of the remedy; 
    (4) Desirability of utilizing technologies that are not  currently available, but which may offer significant advantages over already  available technologies in terms of effectiveness, reliability, safety, or  ability to achieve remedial objectives; 
    (5) Potential risks to human health and the environment from  exposure to contamination prior to completion of the remedy; 
    (6) Resource value of the aquifer including: 
    (a) Current and future uses; 
    (b) Proximity and withdrawal rates of users; 
    (c) Groundwater quantity and quality; 
    (d) The potential damage to wildlife, crops, vegetation, and  physical structures caused by exposure to the waste constituents; 
    (e) The hydrological characteristics of the landfill and  surrounding land; 
    (f) Groundwater removal and treatment costs; and 
    (g) The cost and availability of alternate water supplies; 
    (7) Practical capability of the owner or operator; 
    (8) Timeframes for periodic progress reports during design,  construction, operation, and maintenance. Items to consider when preparing the  reports include but are not limited to: 
    (a) Progress of remedy implementation; 
    (b) Results of monitoring and sampling activities; 
    (c) Progress in meeting cleanup standards; 
    (d) Descriptions of remediation activities; 
    (e) Problems encountered during the reporting period and  actions taken to resolve problems; 
    (f) Work for next reporting period;
    (g) Copies of laboratory reports including drilling logs,  QA/QC documentation, and field data; and
    (9) Other relevant factors. 
    c. Corrective action monitoring program. Any groundwater  monitoring program to be employed during the corrective action process: 
    (1) Shall at a minimum, meet the requirements of the  applicable groundwater monitoring program described under 9VAC20-81-250 B 3 or  C 3; 
    (2) Shall determine the horizontal and vertical extent of the  plume of contamination for constituents at statistically significant levels  exceeding background concentrations; 
    (3) Can be used to demonstrate the effectiveness of the  implemented corrective action remedy; and 
    (4) Shall demonstrate compliance with the groundwater  protection standard established under 9VAC20-81-250 A 6. 
    2. The proposed corrective action plan shall be submitted to  the director for approval. Prior to rendering his approval, the director may: 
    a. Request an evaluation of one or more alternative remedies; 
    b Request technical modification of the monitoring program; 
    c. Request a change in the time schedule; or 
    d. Determine that the remediation of the release of Table 3.1  constituents is not necessary if the owner or operator demonstrates to the  satisfaction of the director that: 
    (1) The groundwater is additionally contaminated by substances  that have originated from a source other than the landfill in a demonstration  meeting the requirements of 9VAC20-81-250 A 5 and those substances are present  in concentrations such that cleanup of the release from the landfill would  provide no significant reduction in risk to actual or potential receptors;
    (2) The constituent is present in groundwater that is not  currently or reasonably expected to be a source of drinking water and not  hydraulically connected with waters to which the constituents are migrating or  are likely to migrate in a concentration that would exceed the groundwater  protection standards established;
    (3) Remediation of the release is technically impracticable;  or 
    (4) Remediation results in unacceptable cross-media impacts. 
    3. A determination by the director pursuant to subdivision 2 d  of this subsection shall not affect the authority of the state to require the  owner or operator to undertake source control measures or other measures that  may be necessary to eliminate or minimize further releases to the groundwater,  to prevent exposure to the groundwater, or to remediate the groundwater to  concentrations that are technically practicable and significantly reduce  threats to human health or the environment. 
    4. After an evaluation of the proposed or revised plan, the  director will: 
    a. Approve the proposed corrective action plan as written;
    b. Approve the proposed corrective action plan as modified by  the owner or operator;
    c. Proceed with the permit amendment modification  process in accordance with 9VAC20-81-600 F 2; or 
    d. Disapprove the proposed corrective action plan and undertake  appropriate containment or clean up actions in accordance with § 10.1-1402  (18) of the Virginia Waste Management Act. 
    E. Remedy implementation. Upon completion of the permit amendment  modification action described under subdivision D 4 c of this section,  the owner or operator shall: 
    1. Monitoring program. Implement a corrective action  groundwater monitoring program meeting the requirements of subdivision D 1 c of  this section;
    2. Remedy. Implement the remedy described in the Corrective  Action Plan and the Permit as amended under subdivision D 4 c of this section;  and 
    3. Interim measures. Take any interim measures necessary to  ensure the protection of human health and the environment as described in  subsection F of this section.
    F. Interim measures. 
    1. To the greatest extent practicable, interim measures shall  be consistent with the objectives of and contribute to the performance of any  remedy that may be required pursuant to meeting the groundwater protection  standard. 
    2. Should the director require interim measures pursuant to  this section, the director will notify the owner or operator of the necessary  actions required. Such actions will be implemented as soon as practicable in  accordance with a schedule as specified by the director. 
    3. The following factors shall be considered in determining  whether interim measures are necessary: 
    a. Timeframes. Time required to develop or implement a final  remedy; 
    b. Exposure. Actual or potential exposure of nearby  populations or environmental receptors to hazardous constituents; 
    c. Drinking water. Actual or potential contamination of  drinking water supplies; 
    d. Resource degradation. Further degradation of the  groundwater that may occur if remedial action is not initiated expeditiously; 
    e. Migration potential. Weather conditions that may cause the  constituents to migrate or be released; 
    f. Accident. Risks of fire or explosion, or potential for  exposure to constituents as a result of an accident or failure of a container  or handling system; and 
    g. Other. Situations including the presence of wastes or other  contaminants that may pose threats to human health, sensitive ecosystems, and  the environment. 
    G. Remedy performance. 
    1. The owner or operator shall provide an evaluation of the  performance of the remedy consistent with the timeframes established in the  permit and present the findings in a Corrective Action Site Evaluation report.  The evaluation shall describe the progress toward achieving the groundwater  protection standards since implementation of the remedy. 
    2. An owner or operator or the director may determine, based  on information developed after implementation of the remedy or other  information contained in the evaluation, that compliance with requirements of  subdivision H 1 of this section are not being achieved through the remedy  selected. In such cases, the owner or operator shall implement other methods or  techniques that could practicably achieve compliance with the requirements,  unless the owner or operator makes the determination under subdivision G 3 of  this section. 
    3. If the owner or operator determines that groundwater  protection standards cannot be practically achieved with any currently  available methods, the owner or operator shall, within 90 days of recognizing  that condition: 
    a. Submit a report, certified by a qualified groundwater  scientist, for director approval, that demonstrates that compliance with  groundwater protection standards established under 9VAC20-81-250 A 6 cannot be  practically achieved with any currently available groundwater remedial methods;  
    b. Upon receiving director approval under subdivision 2 a  3 a of this subsection, implement alternate measures to control exposure  of humans or the environment to residual contamination that will remain as a  result of termination of remedial actions, as necessary to protect human health  and the environment;
    c. Implement alternate measures for removal or decontamination  of any remediation-related equipment, units, devices, or structures that are: 
    (1) Technically practicable; and 
    (2) Consistent with the overall objective of the remedy; and
    d. At least 14 days prior to implementing the alternate  measures, Submit submit a request for approval to the director  describing and justifying the alternate measures to be applied. 
    H. Remedy completion.
    1. The groundwater remedy implemented under corrective action  shall be considered complete when: 
    a. The owner or operator complies with the groundwater  protection standards at all points within the plume of contamination that lie  at or beyond the disposal unit boundary by demonstrating that no Table 3.1  Column B constituents have exceeded groundwater protection standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards as described under 9VAC20-81-250 D; and
    b. All other actions required as part of the remedy have been  satisfied or completed, and the owner or operator obtains the certification  required under subdivision H 2 of this section. 
    2. Upon completion of the remedy, the owner or operator shall  notify the director within 14 days by submitting a certification that the  remedy has been completed in compliance with the requirements of the Corrective  Action Plan and the permit as amended modified under subdivision  D 4 c of this section. 
    3. The certification shall be signed by the owner or operator  and by a qualified groundwater scientist, and shall include all data relevant  to the demonstration of a successful remedy completion. 
    4. If the director, based on the review of information presented  under subdivision H 3 of this section, determines that:
    a. The corrective action remedy has been completed in  accordance with the requirements of the Corrective Action Plan, the permit as  amended, and subdivision H 1 of this section, the director will release the  owner or operator from the requirements for financial assurance for corrective  action under 9VAC20-70; or
    b. The remedy has not yet achieved completion, the owner or  operator shall remain in corrective action and meet the financial assurance requirements  until such time as a successful demonstration and certification can be made. 
    Part IV 
  Other Solid Waste Management Facility Standards: 
  Compost Facilities; Solid Waste Transfer Stations; Centralized Waste Treatment  Facilities; Materials Recovery Facilities; Waste to Energy; Incineration  Facilities; Surface Impoundments and Lagoons; Waste Piles; Remediation Waste  Management Units; Landfill Mining; Miscellaneous Units; and Exempt Management  Facilities
    9VAC20-81-300. General.
    A. Any person who designs, constructs, or operates any solid  waste treatment or storage facility not otherwise exempt under 9VAC20-81-35  D 9VAC20-81-95 shall comply with the requirements of this part. In  addition, this part sets forth conditions that yard waste composting facilities  must meet to maintain their exempt status, where applicable, under 9VAC20-81-95  D 6. Further, all applications pursuant to these standards shall demonstrate  specific means proposed for compliance with requirements set forth in this  part.
    B. All facilities, except exempted facilities, shall be  maintained and operated in accordance with the permit issued or permit-by-rule  status pursuant to this regulation. All facilities shall be maintained and  operated in accordance with the approved design and intended use of the  facility. 
    C. Hazardous wastes shall not be disposed or managed in  facilities subject to this regulation unless specified in the permit or by  specific approval of the executive director. 
    D. Solid waste management facilities regulated under this  part that place solid wastes or residues on site for disposal, or leave such  wastes or residues in place after closure, are subject to the provisions of  Part III (9VAC20-81-100 et seq.) of this chapter, including:
    1. Groundwater monitoring requirements in 9VAC20-81-250;
    2. Closure and postclosure care requirements in 9VAC20-81-160  and 9VAC20-81-170; and
    3. Permitting requirements of Part V (9VAC20-81-400 et seq.)  of this chapter.
    E. All other facilities shall close in accordance with the  closure plan prepared per the requirements described in this part and  9VAC20-81-480, as applicable.
    F. Control program for unauthorized waste. Facilities  managing solid waste per activities exempted under the provisions of  9VAC20-81-95 are not required to implement the control program for unauthorized  waste as provided in this section.
    1. Solid waste treatment or storage facilities regulated under  this part shall implement a control program for unauthorized waste in  accordance with the following provisions. The owner or operator of the facility  shall:
    a. Place a written description of the control program for  unauthorized waste in the facility's operating manual; 
    b. Institute a control program (including measures such as  signs at all maintained access points indicating hours of operation and the  types of solid waste accepted and not accepted, monitoring, alternate  collection programs, passage of local laws, etc.) to assure that only solid  waste authorized by the department to be managed at the solid waste management  facility is being managed there; and
    c. Develop and implement a program to teach the solid waste  management facility's staff to recognize, remove, and report receipt of solid  waste not authorized by the department to be managed at the solid waste  management facilities.
    2. If unauthorized waste is observed in the waste delivered to  the facility prior to unloading, the owner or operator may refuse to accept the  waste. If the unauthorized waste is observed in the waste delivered to the  facility, the owner or operator shall segregate it, notify the generator,  document the incident in the operating record, make necessary arrangements to  have the material managed in accordance with applicable federal and state laws,  and notify the department of the incident to include the means of proper  handling. If the unauthorized waste is accepted, the owner or operator shall  remove it, segregate it, and provide to the department a record identifying  that waste and its final disposition. Any unauthorized waste accepted by the  owner or operator shall be managed in accordance with applicable federal or  state laws and regulations. Unauthorized waste that has been segregated shall  be adequately secured and contained to prevent leakage or contamination to the  environment. The solid waste management facility owner or operator shall have  the unauthorized waste removed or properly managed as soon as practicable, but  not to exceed 90 days after discovery. Removal shall be by a person authorized  to transport such waste to a waste management facility approved to receive it  for treatment, disposal, or transfer.
    3. Owners or operators of waste to energy or incinerator  facilities receiving waste generated outside of Virginia shall also comply with  the increased random inspection provisions in 9VAC20-81-340 E 3.
    G. Solid waste management facilities regulated under this  part that store waste tires shall also adhere to the requirements of  9VAC20-81-640 for the waste tire storage. 
    9VAC20-81-397. Exempt yard waste composting facilities.
    A. Applicability.
    1. The standards in subsection B of this section apply to  persons who compost vegetative waste in a manner described in the conditional  exemption set forth at 9VAC20-81-95 D.
    2. The standards in subsection C of this section apply to  persons who operate small vegetative waste disposal units on their property.
    B. Composting of yard waste. Additional requirements for  managing conditionally exempt yard waste compost facilities, described under  9VAC20-81-95 D 6, are as follows: 
    1. Owners or operators of agricultural operational activities  that accept only yard waste generated offsite are exempt from all other  provisions of this chapter as applied to the composting activities provided  that:
    a. The total time for composting process and storage of  material that is being composted shall not exceed 18 months prior to its field  application or sale as a horticultural or agricultural product;
    b. No waste material other than yard waste is received;
    c. The total amount of yard waste received from offsite never  exceeds 6,000 cubic yards in any consecutive 12-month period;
    d. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;
    e. They pose no nuisance or present or potential threat to  human health or the environment; and
    f. Before receiving any waste, the owner submits a complete  DEQ Form YW-3:
    2. Owners or operators of agricultural operations that accept  only Category I yard waste feedstocks and manures from herbivorous  animals generated offsite are exempt from all other provisions of this chapter  as applied to the composting activities provided that:
    a. The composting area is located not less 300 feet from a  property boundary of a parcel owned or controlled by another person, is located  not less than 1,000 feet from an occupied dwelling not located on the same  property as the composting area, and is not located within an area designated  as a flood plain;
    b. The agricultural operation has at least one acre of ground  suitable to receive yard waste for each 150 cubic yards of finished compost;
    c. The total time for the composting process and storage of  material that is being composted or has been composted shall not exceed 18  months prior to the field application or sale as horticultural or agricultural  product;
    d. The owner or operator of any agricultural operation that  receives in any 12-month period (consecutive) more than 6,000 cubic yards of  waste generated from property not within the control of the owner or the  operator shall submit by April 1 each year to the director an annual report in  accordance with subdivision 4 of this subsection describing the volume and  types of yard waste received for composting by the operation between January 1  and December 31 of the preceding consecutive 12 months and shall certify that  the yard waste composting facility complies with local ordinances; 
    e. No waste material other than yard waste and manures from  herbivorous animals are received;
    f. The quantities of offsite manures from herbivorous animals  brought onsite are limited to achieve a carbon to nitrogen ratio of 25:1 to  40:1. All manures must be incorporated into the compost within 24 hours of  delivery. No offsite manures may be stored onsite; and
    g. Prior to the receipt of solid waste generated offsite, the  owner or operator of the agricultural operation intending to operate under this  exemption shall submit a complete DEQ Form YW-4.
    3. Owners or other persons authorized by the owner of real  property who receive only yard waste generated offsite for the purpose of  producing compost on said property shall be exempt from all requirements of  this chapter as applied to the composting activity provided that: 
    a. Not more than 500 cubic yards of yard waste generated  offsite is received at the owner's said property in any consecutive 12-month  period; 
    b. No compensation will be received, either directly or  indirectly, by the owner or other persons authorized by the owner of said  property from parties providing yard waste generated off said property; 
    c. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;  and 
    d. They pose no nuisance or present or potential threat to  human health or the environment.
    4. Owners or operators of an agricultural composting operation  in accordance with subdivision 2 of this subsection, who are exempt from the  permitting requirements in accordance with 9VAC20-81-95 D and who may receive  more than 6,000 cubic yards of yard waste generated from property not within  the control of the owner or operator in any 12-month period shall submit an  annual report on DEQ Form YW-2. The report shall describe the volume and  types of yard waste received for composting. Completion and filing of the form  by July 15 April 1 for activities in the preceding 12 months  (January 1 through December 31) constitutes compliance with the requirements.  The annual report shall be submitted on DEQ Form YW-2.
    C. Small disposal units for vegetative wastes from land  clearing. Additional requirements for managing small disposal units for  vegetative waste from land clearing as exempted under 9VAC20-81-95 D 17 are as  follows:
    Owners of real property who operate small waste disposal  units that qualify under all the conditions of this subsection shall be exempt  from other provisions, including permitting, of this chapter as applied to  those units provided:
    1. No person other than the owner of the real property shall  be exempt under this section.
    2. All owners of the real property who hold title to property  at the time the disposal unit is initially opened or during the time the unit  remains open (limited to two calendar years below) shall, in the exercise of  this exemption, accept responsibility for maintaining compliance of the unit  with all requirements of this chapter as set out in this exemption.
    3. The owner agrees that he shall not sell, give, or otherwise  transfer the responsibility for the unit's compliance to any other party  throughout its active life, the postclosure care period, and the corrective  action period, and that he shall remain the principal party responsible for the  compliance of the unit with this chapter. 
    4. Only units that are in compliance with all requirements of  this section shall qualify, and units that are not in compliance with all  requirements of this section shall not qualify or shall cease to qualify. Units  that qualify for this exemption shall comply with the following requirements:
    a. Only vegetative waste or yard waste shall be placed in the  disposal unit; however, grass trimmings or bulk leaves shall not be placed in  the disposal unit.
    b. The waste disposal unit shall not be larger than 0.50 acres  in size.
    c. The waste disposal unit shall not be located within 1,000  feet of any other waste disposal unit of any type, including other disposal  units exempted by this chapter.
    d. The waste disposal unit shall not be located within 150  feet of any existing building or planned building. The waste disposal unit  shall not be located within 50 feet of any existing or planned subdivision lot  that may be used for the erection of a building.
    e. The waste disposal unit shall not be located within 100  feet of a flowing stream; body of water; any well, spring, sinkhole, or  unstable geologic feature. Also, it shall not be located within 200 feet of any  groundwater source of drinking water.
    f. The waste disposal unit shall be constructed to separate  all waste by at least two feet vertically from the seasonal high water table.
    g. The waste disposal unit should not obstruct the scenic view  from any public road and should be graded to present a good appearance.
    h. Mounding of the waste disposal unit shall not reach an  elevation more than 20 feet above the original elevation of the terrain before  the disposal began. The elevation of the original terrain should be based on  the general area and not the bottom of ravines and small depressions in the  disposal area.
    i. The waste received by the waste disposal unit shall be  limited to the following:
    (1) Waste generated onsite;
    (2) Waste generated by clearing the path of a roadway or  appurtenances to the roadway when buried within the right-of-way of the roadway  (waste shall not be buried in the structural roadway prism) or adjacent land  under a permanent easement and the terms of the easement incorporate the  construction of the disposal unit; and
    (3) Waste from property that is owned by the owner of the  disposal unit, within the same construction project, and generated not more  than two miles from the unit.
    j. The waste disposal unit shall be closed two calendar years  from the date it first receives waste. The closure shall include cover with two  feet of compacted soil, grading for good appearance with slopes that prevent  erosion, and seeding or revegetation. During the life of the unit, earthen material  should be applied periodically to prevent excessive subsidence of the waste  disposal unit when closed. Sides of the finished unit shall be sloped to  prevent erosion, and slopes shall not be steeper than one vertical foot to  three horizontal feet.
    k. The location plat and legal description, as set out in  subdivision 4 p of this subsection, of all units that are not located wholly  within the bed or right-of-way of a public road shall be recorded in the deed  book for the property in the court of record prior to the first receipt of  waste. Waste disposal shall not be allowed within the structural roadway prism.
    l. The owner shall maintain continuous control of access to  all disposal units from the time they are opened until they are closed in  accordance with this section. The owner shall prevent fires and provide standby  equipment and supplies sufficient to easily suppress a fire. Brush and small  limbs that might provide tinder for a fire shall be covered at the end of the  work day with one foot of soil.
    m. The owner shall not be exempt from the CDD landfill  groundwater monitoring and corrective action requirements of 9VAC20-81-250 and  9VAC20-81-260, respectively, to include required monitoring during the  postclosure period.
    n. The owner shall not be exempt from the decomposition gas  monitoring and venting requirements of 9VAC20-81-210. The owner of a small  waste disposal unit shall comply in all respects with the decomposition gas  monitoring and venting requirements as established in this chapter.
    o. The owner shall not be exempt from any requirement of the  Financial Assurance Regulations For Solid Waste Disposal Facilities,  (9VAC20-70), and shall comply with all financial assurance requirements.
    p. At least six weeks before beginning construction of a  vegetative waste disposal unit, the owner of the real property shall notify in  writing the director, the governing board of the city, county, or town wherein  the property lies, and all property owners whose parcel will abut the area of  the proposed disposal unit. The notice shall give the names and legal addresses  of the owners, the type of unit to be developed, and the projected date of  initial construction of the unit. The owner shall include a plat and legal  description of the disposal unit's metes and bounds prepared and stamped by a  Virginia licensed land surveyor. The plat and description shall follow all  standard practice such as inclusion of the nearest existing intersection of  state roads and existing fixed survey markers in the vicinity.
    q. Unless otherwise designated, all monitoring and reporting  requirements shall begin at the initiation of the disposal operations and all  reports shall be sent to the department and the chief executive of the local  government. 
    9VAC20-81-470. Part B permit application for solid waste l  disposal facilities.
    Part B permit application requirements for all solid waste  disposal facilities regulated under Part III (9VAC20-81-100 et seq.) are  contained in this section. The Part B applications shall include the following  requirements and documentation: 
    A. Plans submitted as part of the Part B application shall  include the following: 
    1. Design plans. Design plans shall be certified by a  professional engineer and shall consist of, at least, the following: 
    a. A title sheet indicating the project title, who prepared  the plans, the person for whom the plans were prepared, a table of contents,  and a location map showing the location of the site and the area to be served. 
    b. An existing site conditions plans sheet indicating site  conditions prior to development. 
    c. A base grade plan sheet indicating site base grades or the  appearance of the site if it were excavated in its entirety to the base  elevation, before installation of any engineering modifications or the  beginning of any filing. 
    d. An engineering modification plan sheet indicating the  appearance of the site after installation of engineering modifications. More  than one plan sheet may be required for complicated sites. This plan is  required only for those sites with engineering modifications. 
    e. A final site topography plan sheet indicating the  appearance of the site, and final contours of the site at closing including the  details necessary to prepare the site for long-term care. 
    f. A series of phasing plan sheets showing the progression of  site development through time. At a minimum, a separate plan shall be provided  for initial site preparations and for each subsequent major phase or new area  where substantial site preparation must be performed. Each such plan shall  include a list of construction items and quantities necessary to prepare the  phase indicated. 
    g. A site monitoring plan showing the location of all devices  for the monitoring of leachate production, groundwater quality, and gas  production and venting. This plan shall include a table indicating the  parameters to be monitored for the frequency of monitoring before and during  site development. The groundwater monitoring plan shall include information as  applicable under 9VAC20-81-250 or 9VAC20-81-260. 
    h. A series of site cross-sections shall be drawn  perpendicular and parallel to the site base line at a maximum distance of 500  feet between cross-sections and at points of grade break and important  construction features. The location of the cross-sections shall be shown on the  plan sheets and the section labeled using the site grid system. Where  applicable, each cross-section shall show existing, proposed base and final  grades; soil borings and monitoring wells that the section passes through or is  adjacent to; soil types, bedrock and water table; leachate control, collection,  and monitoring systems; limits of filling for each major waste type; drainage  control structures; access roads and ramps on the site parameter perimeter  and within the active fill area; the filling sequence or phases; and other site  features. 
    i. Detailed drawings and typical sections for drainage control  structures, access roads, fencing, leachate and gas control systems, and  monitoring devices, buildings, signs, and other construction details. 
    j. Plan sheets shall include: 
    (1) A survey grid with base lines and bench marks to be used  for field control. 
    (2) Limits of filling for each major waste type or fill area. 
    (3) All drainage patterns and surface water drainage control  structures both within the actual fill area and at the site perimeter. Such  structures may include berms, ditches, sedimentation basins, pumps, sumps,  culverts, pipes, inlets, velocity breaks, sodding, erosion matting, or other  methods of erosion control. 
    (4) Ground surface contours at the time represented by the  drawing. Spot elevations shall be indicated for key features. 
    (5) Areas to be cleared and grubbed and stripped of topsoil. 
    (6) Borrow areas for liner materials, gas venting materials,  berms, roadway construction, daily cover, and final cover. 
    (7) All soil stockpiles including daily and final cover,  topsoil, liner materials, gas venting materials, and other excavation. 
    (8) Access roads and traffic flow patterns to and within the  active fill area. 
    (9) All temporary and permanent fencing. 
    (10) The methods of screening such as berms, vegetation, or  special fencing. 
    (11) Leachate collection, control, storage, and treatment  systems that may include pipes, manholes, trenches, berms, collection sumps,  storage units, pumps, risers, liners, and liner splices. 
    (12) Gas, leachate, and groundwater monitoring devices and  systems. 
    (13) Severe weather solid waste disposal areas. 
    (14) Support buildings, scale, utilities, gates, and signs. 
    (15) Special waste handling areas. 
    (16) Construction notes and references to details. 
    (17) Other site features. 
    2. Closure plan. A detailed closure plan be prepared and  submitted. Such a plan shall be prepared in two parts, one reflecting those  measures to be accomplished at the midpoint of the permit period, and the other  when the useful life of the landfill is reached. The plan shall show how the  facility will be closed to meet the requirements of 9VAC20-81-160 and  9VAC20-81-170. The plan shall include the procedures to be followed in closing  the site, sequence of closure, time schedules, final plans of completion of  closure to include final contours, and long-term care plan sheets showing the  site at the completion of closing and indicating those items anticipated to be  performed during the period of long-term care for the site. The plans shall  include a table listing the items and the anticipated schedule for monitoring  and maintenance. In many instances this information can be presented on the  final site topography sheet. 
    3. Postclosure plan. A postclosure care plan containing  long-term care information including a discussion of the procedures to be  utilized for the inspection and maintenance of: run-off control structures;  settlement; erosion damage; gas and leachate control facilities; monitoring for  gas, leachate, and groundwater; and other long-term care needs. 
    B. A design report shall be submitted, which shall include  supplemental discussions and design calculations, to facilitate department  review and provide supplemental information including the following  information: 
    1. The design report shall identify the project title;  engineering consultants; site owner, permittee and operator; proposed permitted  acreage; hours of operation; wastes to be accepted; site life; design capacity;  and the daily disposal limit. It shall also identify any variances desired by  the applicant.
    2. A discussion of the basis for the design of the major  features of the site, such as traffic routing, base grade and relationships to  subsurface conditions, anticipated waste types and characteristics, phases  development, liner design, leachate management system design, facility  monitoring, and similar design features shall be provided. A list of the  conditions of site development as stated in the department determination of  site feasibility and the measures taken to meet the conditions shall be  included. A discussion of all calculations, such as refuse-cover balance  computations, stockpile sizing estimates, estimate of site life, and run-off  and leachate volume estimates shall be included. The calculations shall be  summarized with the detailed equations presented in an appendix.
    3. Specifications, including detailed instructions to the site  operator for all aspects of site construction.
    a. Initial site preparations including specifications for  clearing and grubbing, topsoil stripping, other excavations, berm construction,  drainage control structures, leachate collection system, access roads and  entrance, screening, fencing, groundwater monitoring, and other special design  features.
    b. A plan for initial site preparation including a discussion  of the field measurements, photographs to be taken, sampling and testing  procedures to be utilized to verify that the in-field conditions encountered  were the same as those defined in the feasibility report, and to document that  the site was constructed according to the engineering plans and specifications  submitted for department approval.
    C. Financial assurance documentation. When required by the  Financial Assurance Regulations of Solid Waste Disposal, Transfer, and  Treatment Facilities (9VAC20-70), the applicant shall provide the completed  documentation to demonstrate compliance with those regulations; proof of  financial responsibility must be for the entity identified in accordance with  9VAC20-81-450 B 10.
    D. DEQ Form SW PTB (Part B Permit Application Form). The  applicant shall submit a completed DEQ Form SW PTB.
    9VAC20-81-485. Operations manual requirements for solid waste  management facilities.
    A. Solid waste disposal facilities. An operations manual  shall be prepared and maintained in the operating record. The operations manual  shall include a certification page signed by a responsible official. This  signature shall certify the manual meets the requirements of this chapter. This  manual shall be reviewed and recertified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements, and shall be made available for review by the department upon  request. The operations manual for disposal facility operation shall contain at  least the following plans: 
    1. An operations plan that at a minimum includes:
    a. Explanation of how the design and construction plans will  be implemented from the initial phase of operation until closure;
    b. Municipalities, industries, and collection and  transportation agencies served; 
    c. Waste types and quantities to be disposed; 
    d. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the operational requirements  of Part III (9VAC20-81-100 et seq.) of this chapter are achieved. References to  specifications on the plan sheet shall be pointed out as well as additional  instructions included, where appropriate. At a minimum, the plan specifications  shall include: 
    (1) Daily operations including a discussion of the timetable  for development, waste types accepted or excluded, inspection of incoming  waste, typical waste handling techniques, hours of operation, traffic routing,  drainage and erosion control, windy, wet and cold weather operations, fire  protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, direction of  filling, salvaging, recordkeeping, parking for visitors and employees,  monitoring, maintenance, closure of filled areas, gas and leachate control  methods, backup equipment with names and telephone numbers where equipment may  be obtained, and other special design features; 
    (2) Development of subsequent phases; and 
    (3) Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan. 
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part III (9VAC20-81-100 et seq.) of this chapter. 
    b. The frequency of inspection based on the rate of potential  equipment deterioration or malfunction and the probability of an adverse  incident occurring if the deterioration or malfunction goes undetected between  inspections. The plan shall establish the minimum frequencies for inspections  required in 9VAC20-81-140. This plan shall identify areas of the facility  subject to spills such as loading and unloading areas and areas in which  significant adverse environmental or health consequences may result if  breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the requirements of  9VAC20-81-140.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses, and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates. 
    6. A landscaping plan that shall:
    a. Delineate existing site vegetation to be retained;
    b. Discuss methods to be employed in order to ensure protection  of vegetation to be retained during the clearing, grading and construction  phases of the project and the supplemental vegetation to be planted; and 
    c. Information relating to vegetation type, location and  purpose, such as for buffer, screening or aesthetics, and schedules for  planting, shall accompany the plan. 
    B. Other solid waste management facilities. An operations  manual shall be prepared and maintained in the operating record. The Operations  Manual shall include a certification page signed by a responsible official.  This signature shall certify the manual meets the requirements of this chapter.  This manual shall be reviewed and re-certified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements and shall be made available to the department upon request. The  manual for facility operation shall contain at least the following plans:
    1. An operations plan that at a minimum includes:
    a. An explanation of how the design and construction plans  will be implemented from the initial phase of operation until closure.
    b. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the applicable operational  requirements of Part IV (9VAC20-81-300 et seq.) are achieved. Daily operations  including a discussion of the timetable for development, waste types accepted  or excluded, typical waste handling techniques, hours of operation, traffic  routing, drainage and erosion control, windy, wet and cold weather operations,  fire protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, salvaging,  record keeping, parking for visitors and employees, monitoring, backup equipment  with names and telephone numbers where equipment may be obtained, and other  special design features. The daily operations section of the operations manual  may be developed as a removable section to improve accessibility for the site  operator. 
    c. Development of subsequent phases of the facility, if  applicable.
    d. Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan.
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part IV (9VAC20-81-300 et seq.) of this chapter. 
    b. The frequency of inspection shall be based on the rate of  potential equipment deterioration or malfunction and the probability of an  adverse incident occurring if the deterioration or malfunction goes undetected  between inspections. The plan shall establish the minimum frequencies for  inspections required in 9VAC20-81-140 9VAC20-81-340. This plan  shall identify areas of the facility subject to spills such as loading and  unloading areas and areas in which significant adverse environmental or health  consequences may result if breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the applicable  requirements of 9VAC20-81-340.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates.
    9VAC20-81-490. Effect of the permit.
    A. A completed permit for a solid waste management facility  shall be prepared at the conclusion of the procedures outlined in  9VAC20-81-450. The permit shall be prepared in detail to establish the  construction requirements, monitoring requirements, operating limitations or  guides, waste limitations if any, and any other details essential to the  operation and maintenance of the facility and its closure. Before receipt of  waste by the facility, the applicant must: 
    1. Notify the department, in writing, that construction has been  completed; and submit to the department a letter from a professional engineer  certifying that the facilities have been completed in accordance with the  approved plans and specifications and is ready to begin operation. This  certification letter is in addition to the CQA certification required in  9VAC20-81-130 Q 3 and must be provided by a different individual than the CQA  certification. This certification letter is typically provided by the design  engineer. 
    2. Arrange for a department representative to inspect the site  and confirm that the site is ready for operation. 
    B. Certificate-to-Operate (CTO). Following review of a  complete CQA certification and site inspection the department shall issue a CTO  authorizing the facility to begin receiving waste. The facility shall not  receive waste until a CTO has been issued by the department. 
    C. Inspections. Each facility permitted to accept solid waste  requires periodic inspection and review of records and reports. Such  requirements shall be set forth in the final permit issued by the department.  The permit applicant by accepting the permit, agrees to the specified periodic  inspections. 
    D. Compliance with a valid permit during its term constitutes  compliance, for purposes of enforcement, with the Virginia Waste Management  Act. However, a permit may be modified, revoked and reissued, or revoked for  cause as set forth in 9VAC20-81-570 and 9VAC20-81-600. 
    E. The issuance of a permit does not convey any property  rights of any sort, or any exclusive privilege. 
    F. The issuance of a permit does not authorize any injury to  persons or property or invasion of other private rights, or any infringement of  federal, Commonwealth, or local law or regulations. 
    G. A permit may be transferred by the permittee to a new  owner or operator only if the permit has been revoked and reissued, or a minor  modification made to identify the new permittee and incorporate such other  requirements as may be necessary. Upon presentation of the financial assurance  proof required by 9VAC20-70 by the new owner, the department will release the  old owner from his closure and financial responsibilities and acknowledge  existence of the new or modified permit in the name of the new owner. 
    H. This section provides for the approval of permits or  permit modifications that include a time allowance for the permittee to achieve  the new standards contained in the approved permit or permit modification.
    1. The permit may specify a schedule of compliance leading to  compliance with this chapter. 
    a. Any schedules of compliance under this subsection shall  require compliance as soon as possible. 
    b. Except as otherwise provided, if a permit establishes a  schedule of compliance that exceeds one year from the date of permit issuance,  the schedule shall set forth interim requirements and the dates for their  achievement. 
    (1) The time between interim dates shall not exceed one year;  and 
    (2) If the time necessary for completion of any interim  requirement is more than one year and is not readily divisible into stages of  completion, the permit shall specify interim dates for the submission of  reports of progress toward completion of the interim requirements and indicate  a projected completion date. 
    c. The permit shall be written to require that no later than  14 days following each interim date and the final date of compliance, a  permittee shall notify the department, in writing, of his compliance or  noncompliance with the interim or final requirements. 
    2. A permit applicant or permittee may cease conducting  regulated activities (by receiving a terminal volume of solid waste, and, in  case of treatment or storage facilities, closing pursuant to applicable  requirements, or, in case of disposal facilities, closing and conducting  postclosure care pursuant to applicable requirements) rather than continue to  operate and meet permit requirements as follows: 
    a. If the permittee decides to cease conducting regulated  activities at a specified time for a permit that has already been issued: 
    (1) The permit may be modified to contain a new or additional  schedule leading to timely cessation of activities; or 
    (2) The permittee shall cease conducting permitted activities  before noncompliance with any interim or final compliance schedule requirement  already specified in the permit. 
    b. If the decision to cease conducting regulated activities is  made before the issuance of a permit whose terms will include the termination  date, the permit shall contain a schedule leading to termination that will  ensure timely compliance with applicable requirements. 
    c. If the permittee is undecided whether to cease conducting  regulated activities, the director may issue or modify a permit to continue two  schedules as follows: 
    (1) Both schedules shall contain an identical interim deadline  requiring a final decision on whether to cease conducting regulated activities  no later than a date that ensures sufficient time to comply with applicable  requirements in a timely manner if the decision is to continue conducting  regulated activities; 
    (2) One schedule shall lead to timely compliance with  applicable requirements; 
    (3) The second schedule shall lead to cessation of regulated  activities by a date that will ensure timely compliance with applicable  requirements; and
    (4) Each permit containing two schedules shall include a  requirement that, after the permittee has made a final decision, he shall  follow the schedule leading to compliance if the decision is to continue  conducting regulated activities, and follow the schedule leading to termination  if the decision is to cease conducting regulated activities. 
    d. The applicant's decisions to cease conducting regulated  activities shall be evidenced by a firm public commitment satisfactory to the  department, such as a resolution of the board of directors of a corporation.
    9VAC20-81-530. Recording and reporting required of a permitee  permittee.
    A. A permit shall specify: 
    1. Required monitoring, including type, intervals and  frequency, sufficient to yield data that are representative of the monitored  activity; 
    2. Requirements concerning the proper use, maintenance, and  installation of monitoring equipment or methods, including biological  monitoring methods when appropriate; and
    3. Applicable reporting requirements based upon the impact of  the regulated activity and as specified in this chapter. 
    B. A permittee shall be subject to the following whenever  monitoring is required by the permit: 
    1. The permittee shall retain records at the permitted  facility or another location approved by the department. Records shall include  all records required by the facility permit, these regulations, or other  applicable regulations. Records of all required monitoring information,  including all calibration and maintenance records will be maintained for at  least three years from the sample or measurement date. The director may request  that this period be extended. For operating landfills, records of the most  recent gas and groundwater monitoring event will be maintained at the facility.  
    2. Records of monitoring information shall include: 
    a. The date, exact place, and time of sampling or  measurements; 
    b. The individuals who performed the sampling or measurements;  
    c. The dates analyses were performed; 
    d. The individuals who performed the analyses; 
    e. The analytical techniques or methods used; and 
    f. The results of such analyses. 
    3. Required monitoring results shall be maintained on file for  inspection by the department. 
    C. A permittee shall be subject to the following reporting  requirements: 
    1. Written notice of any planned physical alterations to the  permitted facility shall be submitted to the department and approved before  such alterations are to occur, unless such items were included in the plans and  specifications approved by the department.
    2. Reports of compliance or noncompliance with, or any  progress reports on, interim and final requirements contained in any compliance  schedule of the permit, shall be submitted no later than 14 days following each  schedule date. 
    3. The permittee shall report to the department any  noncompliance or unusual condition that may endanger health or environment. Any  information shall be provided orally within 24 hours from the time the  permittee becomes aware of the circumstances. A written submission shall also  be provided within five days of the time the permittee becomes aware of the  circumstances. The written submission shall contain a description of the  circumstances and its cause; the period of occurrence, including exact dates  and times, and, if the circumstance has not been corrected, the anticipated time  it is expected to continue. It shall also contain steps taken or planned to  reduce, eliminate, and prevent reoccurrence of the circumstances resulting in  an unusual condition or noncompliance. 
    D. Copies of all reports required by the permit, and records  of all data used to complete the permit application must be retained by the  permittee for at least three years from the date of the report or application.  The director may request that this period be extended. 
    E. When the permittee becomes aware that he failed to submit  any relevant facts or submitted incorrect information in a permit application  or in any report to the director, he shall promptly submit such omitted facts  or the correct information with an explanation.
    9VAC20-81-600. Modification of permits.
    A. Permits may be modified at the request of any interested  person or upon the director's initiative. However, permits may only be modified  for the reasons specified in subsections E and F of this section. All requests  shall be in writing and shall contain facts or reasons supporting the request.  Any permit modification authorizing expansion of an existing sanitary landfill  shall incorporate the conditions required for a disposal capacity guarantee in  § 10.1-1408.1 P of the Code of Virginia. This provision does not apply to  permit applications from one or more political subdivisions that will only  accept waste from within those political subdivisions' jurisdiction or  municipal solid waste generated within other political subdivisions pursuant to  an interjurisdictional agreement. 
    B. If the director decides the request is not justified, he  shall send the requester a response providing justification for the decision. 
    C. If the director tentatively decides to modify, he shall  prepare a draft permit incorporating the proposed changes. The director may  request additional information and may require the submission of an updated  permit application. In a permit modification under subsection E of this  section, only those conditions to be modified shall be reopened when a new  draft permit is prepared. All other aspects of the existing permit shall remain  in effect. During any modification proceeding the permittee shall comply with  all conditions of the existing permit until the modified permit is issued. 
    D. When the director receives any information, he may  determine whether or not one or more of the causes listed for modification  exist. If cause exists, the director may modify the permit on his own  initiative subject to the limitations of subsection E of this section and may  request an updated application if necessary. If a permit modification satisfies  the criteria in subsection F of this section for minor modifications, the  permit may be modified without a draft permit or public review. Otherwise, a  draft permit shall be prepared and other appropriate procedures followed. 
    E. Causes for modification. The director may modify a permit  upon his own initiative or at the request of a third party: 
    1. When there are material and substantial alterations or  additions to the permitted facility or activity that occurred after permit  issuance that justify the application of permit conditions that are different  or absent in the existing permit; 
    2. When there is found to be a possibility of pollution  causing significant adverse effects on the air, land, surface water, or  groundwater; 
    3. When an investigation has shown the need for additional  equipment, construction, procedures and testing to ensure the protection of the  public health and the environment from adverse effects; 
    4. If the director has received information pertaining to  circumstances or conditions existing at the time the permit was issued that was  not included in the administrative record and would have justified the  application of different permit conditions, the permit may be modified  accordingly if in the judgment of the director such modification is necessary  to prevent significant adverse effects on public health or the environment; 
    5. When the standards or regulations on which the permit was  based have been changed by promulgation of amended standards or regulations or  by judicial decision after the permit was issued; 
    6. When the director determines good cause exists for  modification of a compliance schedule, such as an act of God, strike, flood, or  material shortage or other events over which the permittee has little or no  control and for which there is no reasonably available remedy; 
    7. When a modification of a closure plan is required under  9VAC20-81-160 or 9VAC20-81-360 and the permittee has failed to submit a permit  modification request within the specified period; 
    8. When the corrective action program specified in the permit  under 9VAC20-81-260 has not brought the facility into compliance with the  groundwater protection standard within a reasonable period of time; or 
    9. When cause exists for revocation under 9VAC20-81-570 and  the director determines that a modification is more appropriate. 
    F. Permit modification at the request of the permittee. 
           |      TABLE 5.2     PERMIT MODIFICATIONS      |    
       |      MAJOR      |          1. Implementation of a groundwater corrective action program    as required by 9VAC20-81-260      |    
       |      2. Change in the remedy applied as part of the groundwater    corrective action program      |    
       |      3. Groundwater monitoring plan for an existing facility    where no written plan has previously been provided      |    
       |      4. Changes to the design of final closure cover      |    
       |      5. Landfill mining      |    
       |      6. Reduction in the postclosure care period      |    
       |      7. Changes in postclosure use of the property with    disturbance of cover      |    
       |      8. All new or modifications of a leachate collection tank or    a leachate collection surface impoundment      |    
       |      9. Addition of new landfill units      |    
       |      10. Expansion or increase in capacity      |    
       |      11. Increase in daily disposal limit      |    
       |      12. Addition or modification of a liner, leachate collection    system, leachate detection system      |    
       |      13. Incorporation or modification of a Research,    Development, and Demonstration Plan       |    
       |      MINOR      |          Any change not specified as    major modification (above) or a permittee change (below)      |    
       |      PERMITTEE CHANGE      |          1. Correction of typographical errors      |    
       |      2. Equipment replacement or upgrade with functionally    equivalent components      |    
       |      3. Replacement of an existing leachate tank with a tank that    meets the same design standards and has a capacity within +/-10% of the    replaced tank      |    
       |      4. Replacement with functionally equivalent, upgrade, or    relocation of emergency equipment      |    
       |      5. Changes in name, address, or phone number of contact    personnel      |    
       |      6. Replacement of an existing well that has been damaged or    rendered nonoperable, without change to location, design, or depth of the    well      |    
       |      7. Changes to the expected year of final closure, where    other permit conditions are not changed      |    
       |      8. Changes in postclosure use of the property, without    disturbance of the cover      |    
       |      9. Modification of a leachate tank management practice      |    
  
    1. Permittee change. Items listed under Permittee Change in  Table 5.2 may be implemented without approval of the department. If a permittee  changes such an item, the permittee shall: 
    a. Notify the department of the change at least 14 calendar  days before the change is put into effect, indicating the affected permit  conditions; and
    b. Notify the governing body of the county, city, or town in  which the facility is located, within 90 calendar days after the change is put  into effect.
    2. Minor modifications. 
    a. Minor modifications apply to minor changes that keep the  permit current with routine changes to the facility or its operation. These  changes do not substantially alter the permit conditions or reduce the capacity  of the facility to protect human health or the environment.
    b. Minor modifications may be requested for changes that will  result in a facility being more protective of human health and the environment  or equivalent to the standards contained in this chapter, unless otherwise  noted in Table 5.2. The request for such a minor permit modification will be  accompanied by a description of the desired change and an explanation of the  manner in which the health and environment will be protected in a greater  degree than required by the chapter.
    c. Minor permit modifications may be made only with the prior  written approval of the department. The permittee shall notify the department  that a minor modification is being requested. Notification of the department  shall be provided by certified mail or other means that establish proof of  delivery. This notice shall specify the changes being made to permit conditions  or supporting documents referenced by the permit and shall  include an  explanation of why they are necessary. Along with the notice, the permittee  shall provide the applicable information required by 9VAC20-81-460 and  9VAC20-81-470 or as required by 9VAC20-81-480.
    d. The permittee shall send a notice of the modification to  the governing body of the county, city or town in which the facility is  located. This notification shall be made within 90 days after the department  approves the request. 
    3. Major modifications. 
    a. Major modifications substantially alter the facility or its  operation. Major modifications are listed in Table 5.2. 
    b. The permittee shall submit a modification request to the  department that: 
    (1) Describes the exact change to be made to the permit  conditions and supporting documents referenced by the permit; 
    (2) Identifies that the alteration is a major modification; 
    (3) Contains an explanation of why the modification is needed;  and
    (4) Provides the applicable information required by  9VAC20-81-460 and 9VAC20-81-470 or as required by 9VAC20-81-480. 
    c. No later than 90 days after receipt of the notification  request, the director will determine whether the information submitted under  subdivision  3 b (4) of this subsection is adequate to formulate a  decision. If found to be inadequate, the permittee will be requested to furnish  additional information within 30 days of the request by the director to complete  the modification request record. The 30-day period may be extended at the  request of the applicant. After the completion of the record, the director will  either: 
    (1) Approve the modification request, with or without changes,  and draft a permit modification accordingly;
    (2) Deny the request; or 
    (3) Approve the request, with or without changes, as a  temporary authorization having a term of up to 180 days in accordance with  subdivision 3 of this subsection. 
    d. If the director proposes to approve the permit  modification, he will proceed with the permit issuance in accordance with  9VAC20-81-450 E. 
    e. The director may deny or change the terms of a major permit  modification request under subdivision  F 3 b of this section for the  following reasons: 
    (1) The modification request is incomplete; 
    (2) The requested modification does not comply with the  appropriate requirements of Part III (9VAC20-81-100 et seq.) or Part IV  (9VAC20-81-300 et seq.) of this chapter or other applicable requirements; or 
    (3) The conditions of the modification fail to protect human  health and the environment. 
    4. Temporary authorizations. 
    a. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of subdivision  4 of this subsection.  Temporary authorizations shall have a term of not more than 180 days. 
    b. (1) The permittee may request a temporary authorization for  any major modification that meets the criteria in subdivision 4 c (2) (a) or  (b) of this subsection; or that meets the criteria in subdivision 4 c (2) (c)  and (d) of this subsection and provides improved management or treatment of a  solid waste already listed in the facility permit. 
    (2) The temporary authorization request shall include: 
    (a) A description of the activities to be conducted under the  temporary authorization; 
    (b) An explanation of why the temporary authorization is  necessary; and 
    (c) Sufficient information to ensure compliance with Part III  (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et seq.) standards. 
    (3) The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven days of submission of the authorization  request. 
    c. The director shall approve or deny the temporary  authorization as quickly as practical. To issue a temporary authorization, the  director shall find: 
    (1) The authorized activities are in compliance with the  standards of Part III (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et  seq.) of this chapter. 
    (2) The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an modification  request: 
    (a) To facilitate timely implementation of closure or  corrective action activities; 
    (b) To prevent disruption of ongoing waste management  activities; 
    (c) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (d) To facilitate other changes to protect human health and  the environment. 
    d. A temporary authorization may be reissued for one  additional term of up to 180 days provided that the permittee has requested a  major permit modification for the activity covered in the temporary  authorization, and the director determines that the reissued temporary  authorization involving a major permit modification request is warranted to  allow the authorized activities to continue while the modification procedures  of subdivision 2 3 of this subsection are conducted. 
    5. The director's decision to grant or deny a permit  modification request under subdivision of this subsection may be appealed under  the case decision provisions of the Virginia Administrative Process Act  (§ 2.2-4000 et seq. of the Code of Virginia). 
    6. Newly defined or identified wastes. The permitted facility  is authorized to continue to manage wastes defined or identified as solid waste  under 9VAC20-81-95 if: 
    a. It was in existence as a solid waste management facility  with respect to the newly defined or identified solid waste on the effective  date of the final rule defining or identifying the waste; and 
    b. It is in compliance with the standards of Part III  (9VAC20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, submits a minor modification request  on or before the date on which the waste becomes subject to the new  requirements; or 
    c. It is not in compliance with the standards of Part III  (9VAC 20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, also submits a complete permit  modification request within 180 days after the effective date of the definition  or identifying the waste. 
    7. Research, development and demonstration plans. Research,  development and demonstration (RDD) plans may be submitted for sanitary  landfills that meet the applicability requirements. These plans shall be  submitted as a major permit modification application for existing sanitary  landfills or as a part of the Part B application for new sanitary landfills.
    a. Applicability.
    (1) RDD shall be restricted to permitted sanitary landfills  designed with a composite liner system, as required by 9VAC20-81-130 J 1. The  effectiveness of the liner system and leachate collection system shall be  demonstrated in the plan and shall be assessed at the end of the testing period  in order to compare the effectiveness of the systems to the start of the RDD  testing period.
    (2) Operating permitted sanitary landfills that have exceeded  groundwater protection standards at statistically significant levels in  accordance with 9VAC20-81-250 B, from any waste unit on site shall have  implemented a remedy in accordance with 9VAC20-81-260 C prior to the RDD plan  submittal. Operating permitted sanitary landfills that have an exceedance in  the concentration of methane gas migrating from the landfill in accordance with  9VAC20-81-200 shall have a gas control system in place per 9VAC20-81-200 B  prior to the RDD plan submittal. 
    (3) An owner or operator of a sanitary landfill that disposes  of 20 tons of municipal solid waste per day or less, based on annual average,  may not apply for a modification to include a RDD plan.
    (4) The sanitary landfill shall have a leachate collection  system designed and constructed to maintain less than a 30 cm depth of leachate  on the liner.
    b. Requirements.
    (1) RDD Plans may be submitted for activities such as:
    (a) The addition of liquids in addition to leachate and gas  condensate from the same landfill for accelerated decomposition of the waste  mass; prior to the RDD Plan submittal.
    (b) Allowing run-on water to flow into the landfill waste  mass; and
    (c) Allowing testing of the construction and infiltration  performance of alternative final cover systems. An RDD plan may be proposed  for; and
    (d) For other measures to be taken to enhance  stabilization of the waste mass.
    (2) No landfill owner or operator may continue to implement an  RDD plan beyond any time limit placed in the initial plan approval or any  renewal without issuance of written prior approval by the department.  Justification for renewals shall be based upon information in annual and final  reports as well as research and findings in technical literature.
    (3) RDD plans may not include changes to the approved design  and construction of subgrade preparation, liner system, leachate collection and  removal systems, final cover system, gas and leachate systems outside the  limits of waste, run-off controls, run-on controls, or environmental monitoring  systems exterior to the waste mass.
    (4) Implementation of an approved RDD plan shall comply with  the specific conditions of the RDD Plan as approved in the permit for the  initial testing period and any renewal.
    (5) Structures and features exterior to the waste mass or  waste final grades shall be removed at the end of the testing period, unless  otherwise approved by the department in writing.
    (6) The RDD plan may propose an alternate final cover  installation schedule.
    c. An RDD plan shall include the following details and  specifications. Processes other than adding liquids to the waste mass and  leachate recirculation may be practiced in conjunction with the RDD plan.
    (1) Initial applications for RDD plans shall be submitted for  review and approval prior to the initiation of the process to be tested. These  plans shall specify the process that will be tested, describe preparation and  operation of the process, describe waste types and characteristics that the  process will affect, describe desired changes and end points that the process  is intended to achieve, define testing methods and observations of the process  or waste mass that are necessary to assess effectiveness of the process, and  include technical literature references and research that support use of the  process. The plans shall specify the time period for which the process will be  tested. The plans shall specify the additional information, operating  experience, data generation, or technical developments that the process to be  tested is expected to generate. 
    (2) The test period for the initial application shall be  limited to a maximum of three years.
    (3) Renewals of testing periods shall be limited to a maximum  of three years each. The maximum number of renewals shall be limited to three.
    (4) Renewals shall require department review and approval of  reports of performance and progress on achievement of goals specified in the  RDD plan.
    (5) RDD Plans for addition of liquids, in addition to leachate  and gas condensate from the same landfill, for accelerated decomposition of the  waste mass and/or for allowing run-on water to flow into the landfill waste  mass shall demonstrate that there is no increased risk to human health and the  environment. The following minimum performance criteria shall be demonstrated.
    (a) Risk of contamination to groundwater or surface water will  not be greater than the risk without an approved RDD plan.
    (b) Stability analysis demonstrating the physical stability of  the landfill.
    (c) Landfill gas collection and control in accordance with  applicable Clean Air Act requirements (i.e., Title V, NSPS or EG rule, etc.).
    (d) For RDD plans that include the addition of offsite  nonhazardous waste liquids to the landfill, the following information shall be  submitted with the RDD plan: 
    (i) Demonstration of adequate facility liquid storage volume  to receive the offsite liquid;
    (ii) A list of proposed characteristics for screening the  accepted liquids is developed; and
    (iii) The quantity and quality of the liquids are compatible  with the RDD plan. 
    If offsite nonhazardous liquids are certified by the offsite  generator as stormwater uncontaminated by solid waste, screening is not  required for this liquid.
    (6) RDD plans for testing of the construction and infiltration  performance of alternative final cover systems shall demonstrate that there is  no increased risk to human health and the environment. The proposed final cover  system shall be as protective as the final cover system required by  9VAC20-81-160 D. The following minimum performance criteria shall be  demonstrated:
    (a) No build up of excess liquid in the waste and on the  landfill liner;
    (b) Stability analysis demonstrating the physical stability of  the landfill; 
    (c) No moisture will escape from the landfill to the surface  water or groundwater; and
    (d) Sufficient reduction in infiltration so that there will be  no leakage of leachate from the landfill.
    (7) RDD plans that evaluate introduction of liquids in  addition to leachate or gas condensate from the same landfill shall propose  measures to be integrated with any approved leachate recirculation plan and  compliance with requirements for leachate recirculation.
    (8) RDD plans shall include a description of warning symptoms  and failure thresholds that will be used to initiate investigation, stand-by,  termination, and changes to the process and any other landfill systems that  might be affected by the process, such as gas extraction and leachate  recirculation. Warning symptoms shall result in a reduction or suspension of liquids  addition, leachate recirculation, investigation, and changes to be implemented  before resuming the process being tested. Failure thresholds shall result in  termination of the process being tested, investigation, and changes that will  be submitted to the department for review and approval in writing prior to  resumption of the process being tested.
    (9) RDD plans shall include an assessment of the manner in  which the process to be tested might alter the impact that the landfill may  have on human health or environmental quality. The assessment shall include  both beneficial and deleterious effects that could result from the process.
    (10) RDD plans shall include a geotechnical stability analysis  of the waste mass and an assessment of the changes that the implementation of  the plan are expected to achieve. The geotechnical stability analysis and  assessment shall be repeated at the end of testing period, with alteration as  needed to include parameters and parameter values derived from field  measurements. The plan shall define relevant parameters and techniques for  field measurement.
    (11) RDD plans shall propose monitoring parameters,  frequencies, test methods, instrumentation, recordkeeping and reporting to the  department for purposes of tracking and verifying goals of the process selected  for testing.
    (12) RDD plans shall propose monitoring techniques and  instrumentation for potential movements of waste mass and settlement of waste  mass, including proposed time intervals and instrumentation, pertinent to the  process selected for testing. 
    (13) RDD plans shall propose construction documentation,  construction quality control and construction quality assurance measures, and  recordkeeping for construction and equipment installation that is part of the  process selected for testing. 
    (14) RDD plans shall propose operating practices and controls,  staffing, monitoring parameters, and equipment needed to support operations of  the process selected for testing. 
    (15) RDD plans that include aeration of the waste mass shall  include a temperature monitoring plan, a fire drill and safety program,  instructions for use of liquids for control of temperature and fires in the  waste mass, and instructions for investigation and repair of damage to the  liner and leachate collection system. 
    (16) RDD plans may include an alternate interim cover system  and final cover installation schedule. The interim cover system shall be  designed to account for weather conditions, slope stability, and leachate and  gas generation. The interim cover shall also control, at a minimum, disease  vectors, fires, odors, blowing litter, and scavenging.
    d. Reporting. An annual report shall be prepared for each year  of the RDD testing period, including any renewal periods, and a final report  shall be prepared for the end of the testing period. These reports shall assess  the attainment of goals proposed for the process selected for testing,  recommend changes, recommend further work, and summarize problems and their  resolution. Reports shall include a summary of all monitoring data, testing  data and observations of process or effects and shall include recommendations  for continuance or termination of the process selected for testing. Annual  reports shall be submitted to the department within three months after the  anniversary date of the approved permit or permit modification. Final reports  shall be submitted at least 90 days prior to the end of the testing period for  evaluation by the department. The department shall review this report within 90  days. If the department's evaluation indicates that the goals of the project  have been met, are reliable and predictable, the department will provide a  minor permit modification to incorporate the continued operation of the project  with the appropriate monitoring.
    e. Termination. The department may require modifications to or  immediate termination of the RDD process being tested if any of the following  conditions occur:
    (1) Significant and persistent odors;
    (2) Significant leachate seeps or surface exposure of  leachate;
    (3) Significant leachate head on the liner;
    (4) Excessively acidic leachate chemistry or gas production  rates or other monitoring data indicate poor waste decomposition conditions;
    (5) Instability in the waste mass; or 
    (6) Other persistent and deleterious effects.
    The RDD program is an optional participation program, by  accepting the modification or new permit, the applicant acknowledges that the  program is optional; and that they are aware the department may provide  suspension or termination of the RDD program for any reasonable cause, without  a public hearing. Notice of suspension or termination will be by letter for a  cause related to a technical problem, nuisance problem, or for protection of  human health or the environment as determined by the department.
    G. Facility siting. The suitability of the facility location  will not be considered at the time of permit modification unless new  information or standards indicate that an endangerment to human health or the  environment exists which was unknown at the time of permit issuance or the  modification is for an expansion or increase in capacity. 
    Part I 
  Definitions 
    9VAC20-85-10. Definitions as established in Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.). 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations 9VAC20-80-10 et seq., 9VAC20-81,  are incorporated by reference. 
    9VAC20-85-40. Applicability. 
    A. This chapter applies to all persons who use, reuse, or  reclaim fossil fuel combustion products by applying them to or placing them on  land in a manner other than addressed in 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations, 9VAC20-80-150 and 9VAC20-80-160. 9VAC20-80-150  9VAC20-81-95 provides for the beneficial use of waste materials such as  fossil fuel combustion products, and 9VAC20-80-160 provides for  conditional exemptions from regulation for fossil fuel combustion products. 
    B. This chapter establishes minimum standards for the owners  or operators of coal mining facilities that accept CCB for mine reclamation or  mine refuse disposal on a mine site permitted by the Virginia Department of  Mines, Minerals and Energy (DMME) unless otherwise exempt under 9VAC20-80-160  B 9VAC20-81-95 D 18 of the Solid Waste Management Regulations. If  the permit issued by the DMME in accordance with the Virginia Surface Mining  Regulations, 4VAC25-130-700.1 et seq., specifies the applicable conditions set  forth in Parts III and IV of this chapter, the permittee is exempt from this  chapter. 
    C. Conditions of applicability are as follows: 
    1. Persons using fossil fuel combustion products other than in  a manner prescribed under this chapter, or managing fossil fuel combustion  products containing any constituent at a level exceeding levels set forth in  Table 1 in Part IV of this chapter, shall manage their waste in accordance with  all applicable provisions of the Virginia Solid Waste Management  Regulations, 9VAC20-80 9VAC20-81; 
    2. Materials which are accumulated speculatively, materials  which are not utilized in a manner described in the operation plan required by  9VAC20-85-90 of this chapter, and off-specification materials which cannot be  utilized or reprocessed to make them usable shall be managed in accordance with  all appropriate provisions of the Virginia Solid Waste Management Regulations,  9VAC20-80 9VAC20-81; and 
    3. Storage, stockpiling, and other processing or handling of  fossil fuel combustion products, which may need to occur prior to their final  placement or use, reuse, or reclamation, shall be in a manner necessary to protect  human health and safety and the environment. For projects permitted by the  DMME, the storage, stockpiling, or handling of CCB shall be managed in  accordance with the Virginia Surface Mining Regulations, 4VAC25-130-700.1 et  seq. 
    9VAC20-85-50. Relationship to other regulations. 
    This chapter does not affect the Virginia Solid Waste  Management Regulations, 9VAC20-80-10 et seq. 9VAC20-81, or other  pertinent regulations of the department or other agencies of the Commonwealth,  except that persons subject to and in compliance with this chapter are exempt  from the Virginia Solid Waste Management Regulations and the Financial  Assurance Regulations for Solid Waste Facilities, 9VAC20-70-10 et seq. 9VAC20-70,  for those activities covered by this chapter. 
    9VAC20-85-60. Enforcement and appeals. 
    A. All administrative enforcement and appeals taken from  actions of the department relative to the provisions of this chapter shall be  governed by the Virginia Administrative Process Act (§ 2.2-4000 et seq. of the  Code of Virginia). 
    B. The owner or operator of the fossil fuel combustion  products site who violates any provision of this chapter will be considered to  be operating an unpermitted facility as provided for in 9VAC20-80-90 9VAC20-81-40  of the Solid Waste Management Regulations and shall be required to either  obtain a permit as required by Part VII V or close under Part V  III of this chapter 9VAC20-81. 
    C. The requirement to obtain a permit or to close the project  shall not preclude additional action for remediation or enforcement, including  (without limitations) the assessment of civil charges or civil penalties, as is  otherwise authorized by law. 
    Article 3 
  Operations 
    9VAC20-85-90. Operations. 
    The owner or operator of a fossil fuel combustion products  site shall prepare an operation plan. At a minimum, the plan shall address the  requirements contained in this section. 
    1. Tracking of mud or fossil fuel combustion products onto  public roads from the site shall be controlled at all times to minimize  nuisances. 
    2. The addition of any solid waste including but not limited  to hazardous, infectious, construction, debris, demolition, industrial,  petroleum-contaminated soil, or municipal solid waste to fossil fuel combustion  products is prohibited. This prohibition does not apply to solid wastes from  the extraction, beneficiation and processing of ores and minerals conditionally  exempted under 9VAC20-80-160 A 2 9VAC20-81-95 E 3 of the Solid  Waste Management Regulations. 
    3. Fugitive dust shall be controlled at the site so it does  not constitute nuisances or hazards. 
    4. After preparing the subbase, fossil fuel combustion  products shall be placed uniformly and compacted to standards, including insitu  density, compaction effort and relative density as specified by a registered  professional engineer based on the intended use of the fossil fuel combustion  products. The placement and compaction of CCB on coal mine sites shall be  subject to the applicable requirements of the Coal Surface Mining Reclamation  Regulations, 4VAC25-130-700.1 et seq. 
    5. A surface run on and runoff control program shall be  implemented to control and reduce the infiltration of surface water through the  fossil fuel combustion products and to control the runoff from the placement  area to other areas and to surface waters. 
    6. Runoff shall not be permitted to drain or discharge into  surface waters except when in accordance with 9VAC25-10-10 et seq., of the  State Water Control Board, or otherwise approved by the department. 
    7. Fossil fuel combustion products site development shall be  in accordance with the Virginia Erosion and Sediment Control Regulations,  4VAC50-30, or the Coal Surface Mining Reclamation Regulations, 4VAC25-130-700.1  et seq., as applicable. 
    Part IV 
  Administrative Requirements 
    9VAC20-85-150. General. 
    A. Notwithstanding any provisions of Part VII V  of the Virginia Solid Waste Management Regulations, 9VAC20-80 9VAC20-81,  the owner or operator of a site which manages only fossil fuel combustion  products allowed under 9VAC20-85-40 shall not be required to have a solid waste  management facility permit, neither must a fossil fuel combustion products  facility operator certified by the Board for Waste Management Facility  Operators directly supervise operations at the site, if the owner or operator at  least 30 days prior to initial placement of fossil fuel combustion products  provides to the appropriate department regional office and verifies receipt of:  
    1. A certification that it has legal control over the fossil  fuel combustion products site for the project life and the closure period. For  the purposes of this section, on a coal mine site permitted by the DMME,  demonstration of legal right to enter and begin surface coal mining and  reclamation operations shall constitute compliance with the provisions of this  section. 
    2. A certification from the governing body of the county,  city, or town in which the fossil fuel combustion products site is to be  located that the location and operation of the fossil fuel combustion products  site are consistent with all applicable ordinances, with the exception of  projects permitted by the DMME. 
    3. A general description of the intended use, reuse, or  reclamation of fossil fuel combustion products. Such description will include: 
    a. A description of the nature, purpose and location of the  fossil fuel combustion products site, including a topographic map showing the  site area and available soils, and geological maps. The description shall  include an explanation of how fossil fuel combustion products will be stored  prior to use, reuse or reclamation, if applicable; 
    b. The estimated beginning and ending dates for the operation;  
    c. An estimate of the volume of the fossil fuel combustion  products to be utilized; and 
    d. A description of the proposed type of fossil fuel combustion  products to be used, reused or reclaimed, including physical and chemical  characteristics of the fossil fuel combustion products. The chemical  description shall contain the results of TCLP analyses for the constituents  shown in Table 1. The description shall also contain a statement that the  project will not manage fossil fuel combustion products that contain any  constituent at a level exceeding those shown in the table. 
           |      TABLE 1.      LIST OF CONSTITUENTS AND MAXIMUM LEVELS.      |    
       |      Constituent      |          Level, mg/lit      |    
       |      Arsenic      |          5.0      |    
       |      Barium      |          100      |    
       |      Cadmium      |          1.0      |    
       |      Chromium      |          5.0      |    
       |      Lead      |          5.0      |    
       |      Mercury      |          0.2      |    
       |      Selenium      |          1.0      |    
       |      Silver      |          5.0      |    
  
    4. A certification by a professional engineer licensed to  practice by the Commonwealth that the project meets the locational restrictions  of 9VAC20-85-70. Such certificate shall contain no qualifications or exemptions  from the requirements. 
    5. A certificate signed by a professional engineer licensed to  practice by the Commonwealth that the project has been designed in accordance  with the standards of 9VAC20-85-80 if applicable. Such certificate shall  contain no qualifications or exceptions from the requirements and plans. 
    6. An operational plan describing how the standards of  9VAC20-85-90 will be met. 
    7. A closure plan describing how the standards of Article 4 of  Part III of this chapter will be met, if applicable. 
    8. A signed statement that the owner or operator shall allow  authorized representatives of the Commonwealth, upon presentation of  appropriate credentials, to have access to areas in which the activities  covered by this chapter will be, are being, or have been conducted to ensure  compliance. 
    B. The materials submitted under the provisions of subsection  A of this section will be evaluated for completeness within 30 days of receipt  by the appropriate department regional office. If the department notifies the  applicant of deficiencies within 30 days, the applicant shall postpone any  construction or activities proposed in the application for the department's  approval until the department's approval has been received. If the applicant  has not received a notice of deficiency within 30 days, the applicant can  proceed. 
    9VAC20-85-180. Administrative procedures. 
    The administrative procedures associated with the submission  of the variance petition, its processing and resolution will be accomplished in  accordance with the requirements of 9VAC20-80-790 Part VII  (9VAC20-81-700 et seq.) of the Solid Waste Management Regulations. 
    Part I 
  Definitions 
    9VAC20-120-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise.  Chapter 14 (§ 10.1-1400 et seq.) of Title 10.1 of the Code of Virginia defines  words and terms that supplement those in this chapter. The Virginia  Solid Waste Management Regulations, 9VAC20-80 9VAC20-81, define  additional words and terms that supplement those in the statutes and this  chapter. When the statutes, as cited, and the solid waste management  regulations, as cited, conflict, the definitions of the statutes are  controlling. 
    "Act" or "regulations" means the federal  or state law or regulation last cited in the context, unless otherwise  indicated. 
    "Alternative treatment method" means a method for  the treatment of regulated medical waste that is not incineration or steam  sterilization (autoclaving). 
    "Approved sanitary sewer system" means a network of  sewers serving a facility that has been approved in writing by the Virginia  Department of Health, including affiliated local health departments. Such sewer  systems may be approved septic tank/drainfield systems and on-site treatment  systems, or they may be a part of a collection system served by an NPDES  permitted treatment works. 
    "Associated" means two or more firms that share  staff members, management, directors, and assets or engage in joint ventures.  Holding companies and part owners are associated parties. 
    "Ash" means the residual waste material produced  from an incineration process or any combustion. 
    "ASTM" means the American Society For Testing and  Materials. 
    "Autoclave tape" means tape that changes color or  becomes striped when subjected to temperatures that will provide sterilization  of materials during treatment in an autoclave or similar device. 
    "Blood" means human blood, human blood components,  and products made from human blood. 
    "Board" means the Virginia Waste Management Board. 
    "Body fluids" means liquid emanating or derived  from humans including blood; cerebrospinal, synovial, pleural, peritoneal and  pericardial fluids; semen and vaginal secretions; amniotic fluid; urine; saliva  in dental procedures; and any other body fluids that are contaminated with  blood, and any other liquids emanating from humans that may be mixed or  combined with body fluids. 
    "Closure" means the act of securing a regulated  medical waste management facility pursuant to the requirements of these  regulations. 
    "Closure plan" means the plan for closure prepared  in accordance with the requirements of this chapter. 
    "Commonwealth" means the Commonwealth of Virginia. 
    "Container" means any portable enclosure in which a  material is stored, transported, treated, or otherwise handled. 
    "Contaminated" means the presence or the reasonably  anticipated presence of blood or other body fluids on an item or surface. 
    "Contingency plan" means a document setting out an  organized, planned and coordinated course of action to be followed in the event  of a fire, explosion, or release of regulated medical waste or regulated  medical waste constituents that could threaten human health or the environment.  
    "CWA" means the Clean Water Act (formerly referred  to as the Federal Water Pollution Control Act), 33 USC § 1251 et seq.; PL  92-500, PL 93-207, PL 93-243, PL 93-592, PL 94-238, PL 94-273, PL 94-558, PL  95-217, PL 95-576, PL 96-148, PL 96-478, PL 96-483, PL 96-510, PL 96-561, PL  97-35, PL 97-117, PL 97-164, PL 97-216, PL 97-272, PL 97-440, PL 98-45, PL  100-4, PL 100-202, PL 100-404, and PL 100-668. 
    "Decontamination" means the use of physical or  chemical means to remove, inactivate, or destroy human pathogens on a surface  or item to the point where they are no longer capable of transmitting disease  and the surface or item is rendered safe for handling, use, or disposal. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. 
    "Discard" means to throw away or reject. When a  material is soiled, contaminated or no longer usable and it is placed in a  waste receptacle for disposal or treatment prior to disposal, it is considered  discarded. 
    "Discharge" or "waste discharge" means  the accidental or intentional spilling, leaking, pumping, pouring, emitting,  emptying, or dumping of regulated medical waste into or on any land or state  waters. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters, including  ground waters. 
    "Disposal facility" means a facility or part of a  facility at which solid waste is intentionally placed into or on any land or  water, and at which the solid waste will remain after closure. 
    "Domestic sewage" means untreated sanitary wastes  that pass through a sewer system. 
    "Empty" means wastes have been removed from a  container using the practices commonly employed to remove materials of that  type. 
    "EPA" means the U.S. Environmental Protection  Agency. 
    "Etiologic agents" means the specific organisms  defined to be etiologic agents in 42 CFR 72.3. In general, etiologic agents as  defined in 42 CFR 72.1 means a viable microorganism or its toxin which causes  or may cause human disease. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Generate" means to cause waste to become subject  to regulation. When regulated medical waste is first discarded, it must be  appropriately packaged in accordance with this regulation. At the point a  regulated medical waste is discarded it has been generated. 
    Note: Timeframes associated with storage and refrigeration  are no longer linked to the "date of generation." 
    "Generator" means any person, by site location,  whose act or process produces regulated medical waste identified or listed in  Part III (9VAC20-120-80 et seq.) of this chapter or whose act first causes a  regulated medical waste to become subject to this chapter. 
    "Hazardous material" means a substance or material  that has been so designated under 49 Parts CFR 171 and 173. 
    "Hazardous waste" means any solid waste defined as  a "hazardous waste" by the Virginia Hazardous Waste Management  Regulations. 
    "Health Care Professional" means a medical doctor  or nurse practicing under a license issued by the Department of Health  Professions. 
    "Highly leak resistant" means that leaks will not  occur in the container even if the container receives severe abuse and stress,  but remains substantially intact. 
    "Highly puncture resistant" means that punctures  will not penetrate the container even if the container receives severe abuse  and stress, but remains substantially intact. 
    "Motor vehicle" means a vehicle, machine, roll off  container, tractor, trailer, or semi-trailer, or any combination of them,  propelled or drawn by mechanical power and used in transportation or designed  for such use. 
    "Nonstationary health care providers" means those  persons who routinely provide health care at locations that change each day or  frequently. This term includes traveling doctors, nurses, midwives, and others  providing care in patients' homes, first aid providers operating from emergency  vehicles, and mobile blood service collection stations. 
    "NPDES" or "National Pollutant Discharge  Elimination System" means the national program for issuing, modifying,  revoking, reissuing, terminating, monitoring, and enforcing permits pursuant to  §§ 307, 402, 318, and 405 of the Clean Water Act. The term includes any state  or interstate program that has been approved by the Administrator of the United  States Environmental Protection Agency. 
    "Off-site" means any site that does not meet the  definition of on-site as defined in this part, including areas of a facility  that are not on geographically contiguous property or outside of the boundary  of the site. 
    "On-site" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same person  but connected by a right-of-way that he controls and to which the public does  not have access are also considered on-site property. 
    "Owner" means the person or persons who own a  regulated medical waste management facility or part of a regulated medical  waste management facility. 
    "Package" or "outside package" means a  package plus its contents. 
    "Packaging" means the assembly of one or more  containers and any other components necessary to assure compliance with minimum  packaging requirements under VRGTHM or this chapter. 
    "Permit by rule" means provisions of this chapter  stating that a facility or activity is deemed to have a permit if it meets the  requirements of the provision. 
    "Permitted waste management facility" or  "permitted facility" means a regulated medical waste treatment or  storage facility that has received a permit in accordance with the requirements  of the chapter. 
    "Physical construction" means excavation, movement  of earth, erection of forms or structures, the purchase of equipment, or any  other activity involving the actual preparation of the regulated medical waste management  facility. 
    "Processing" means preparation, treatment, or  conversion of regulated medical waste by a series of actions, changes, or  functions that bring about a decided result. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act (42 USC § 6901 et  seq.), the Hazardous and Solid Waste Amendments of 1984, and any other  applicable amendments to these laws. 
    "Regulated medical waste" means solid wastes  defined to be regulated medical wastes in Part III (9VAC20-120-80 et seq.) of  this chapter. 
    "Regulated medical waste management" means the  systematic administration of activities that provide for the collection, source  separation, storage, transportation, transfer, processing, treatment, and  disposal of regulated medical wastes whether or not such facility is associated  with facilities generating such wastes or otherwise. 
    "Regulated medical waste management facility" means  a solid waste management facility that manages regulated medical waste. 
    "Safe sharps program" means a program supported by  a city, county, town or public authority that is intended to enhance the safe  disposal of sharps discarded by private individuals. 
    "Sanitary sewer system" means a system for the  collection and transport of sewage, the construction of which was approved by  the Department of Health or other appropriate authority. 
    "Secondary container" means a storage device into  which a container can be placed for the purpose of containing any leakage from  the original container. 
    "Section" means a subpart of this chapter and when  referred to all portions of that part apply. 
    "Sharps" means needles, scalpels, knives, syringes  with attached needles, pasteur pipettes and similar items having a point or  sharp edge or that are likely to break during transportation and result in a  point or sharp edge. 
    "Shipment" means the movement or quantity conveyed  by a transporter of a regulated medical waste between a generator and a  designated facility or a subsequent transporter. 
    "Site" means the land or water area upon which a  facility or activity is physically located or conducted, including but not  limited to adjacent land used for utility systems such as repair, storage,  shipping, or processing areas, or other areas incident to the controlled facility  or activity. 
    "Solid waste" means any garbage, refuse, sludge and  other discarded material, including solid, liquid, semisolid or contained  gaseous material, resulting from industrial, commercial, mining and agriculture  operations, or community activities, but does not include (i) solid or  dissolved material in domestic sewage, (ii) solid or dissolved material in  irrigation return flows or in industrial discharges which are sources subject  to a permit from the State Water Control Board, or (iii) source, special  nuclear, or by-product material as defined by the Federal Atomic Energy Act of  1954, as amended 42 USC §§ 2011-2284. The definition of solid waste is further  clarified in the Virginia Solid Waste Management Regulations (9VAC20-80-140)  (9VAC20-81-95). 
    "Solid waste management" means the collection,  source separation, storage, transportation, transfer, processing, treatment,  and disposal of solid wastes or resource recovery. 
    "Spill" means any accidental or unpermitted  discharge, leaking, pumping, pouring, emitting, or dumping of wastes or  materials that, when spilled, become wastes. 
    "Start-up" or "cold start-up" means the  beginning of a combustion operation from a condition where the combustor unit  is not operating and less than 140°F in all areas. 
    "Storage" means the holding, including during  transportation, of more than 200 gallons of waste, at the end of which the  regulated medical waste is treated or stored elsewhere. 
    "Training" means formal instruction, supplementing  an employee's existing job knowledge, designed to protect human health and the  environment via attendance and successful completion of a course of instruction  in regulated medical waste management procedures, including contingency plan  implementation, relevant to those operations connected with the employee's  position at the facility. 
    "Transfer facility" means any transportation  related facility including loading docks, parking areas, storage areas, and  other similar areas where shipments of regulated medical waste are held during  the normal course of transportation. 
    "Transportation" or "transport" means the  movement of regulated medical waste by air, rail, highway, or water. 
    "Transport vehicle" means any vehicle used for the  transportation of cargo. 
    "Vector" means a living animal, insect or other  arthropod that may transmits an infectious disease from one organism to  another. 
    "VRGTHM" means Virginia Regulations Governing the  Transportation of Hazardous Materials promulgated by the Virginia Waste  Management Board as authorized by §§ 10.1-1450 through 10.1-1454 of the Code of  Virginia. 
    "Waste management facility" means all contiguous  land and structures, other appurtenances, and improvements on them used for  treating, storing, or disposing of waste. 
    "Waste management unit" means any unit at a  treatment or storage facility that possesses a permit, or that has received  regulated medical waste (as defined in this chapter) at any time, including  units that are not currently active. 
    9VAC20-120-70. Relationship to other bodies of regulation. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  address other requirements for regulated medical waste management. Any  regulated medical waste management facility must also conform to any applicable  sections of the solid waste management regulations issued by the board and any  special solid waste management regulations such as those defining financial  assurance requirements. If there is a conflict between the details of  regulations here and the others, this chapter is controlling. 
    B. Regulated medical waste management facility must also  comply with any applicable sections of the Hazardous Waste Management  Regulations (9VAC20-60) issued by the department. If there is a conflict  between the details of regulations here and the hazardous waste management  regulations, the latter regulations are controlling. 
    C. Intrastate shipment of hazardous materials is subject to  the Regulations Governing the Transportation of Hazardous Materials  (9VAC20-110) of the department. If there is a conflict between the details of  regulations here and the hazardous materials transportation regulations, the  latter are controlling. 
    D. Generators of regulated medical waste and regulated  medical waste management facilities may be subject to the general industry  standard for occupational exposure to bloodborne pathogens in  16VAC25-90-1910.1030 (29 CFR 1910.1030). 
    E. Persons transporting regulated medical waste are subject  to the federal hazardous material transportation requirements in 49 CFR 171  through 178. 
    F. If there is a conflict between the regulations here and  adopted regulations of another agency of the Commonwealth, the provisions of  these regulations are set aside to the extent necessary to allow compliance  with the regulations of the other agency. If neither regulation controls, the  more stringent standard applies. 
    G. Nothing here either precludes or enables a local governing  body to adopt ordinances. Compliance with one body of regulation does not  insure compliance with the other, and, normally, both bodies of regulation must  be complied with fully. 
    9VAC20-120-100. Recycled materials. 
    A. Untreated regulated medical wastes shall not be used,  reused, or reclaimed. 
    B. Wastes that have been treated in accord with these  regulations are no longer regulated medical waste and may be used, reused, or  reclaimed in accordance with the provisions of the Virginia Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81). 
    C. Bed linen, instruments, medical care equipment and other  materials that are routinely reused for their original purpose are not subject  to these regulations until they are discarded and are a solid waste. These  items do not include reusable carts or other devices used in the management of  regulated medical waste (see 9VAC20-120-260). 
    Article 6 
  Treatment and Disposal 
    9VAC20-120-300. Methods of treatment and disposal. 
    A. All regulated medical waste must be incinerated,  sterilized by steam, or treated by a method as described in Part VII  (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.), or IX (9VAC20-120-630  et seq.) of this chapter. 
    B. No regulated medical waste shall be disposed of in a solid  waste landfill or other solid waste management facility. Upon authorized  treatment and management in accord with this chapter, the solid waste or its  ash is not regulated medical waste and may be disposed of at any landfill or  other solid waste management facility permitted to receive municipal solid  waste or garbage, provided the disposal is in accordance with the Solid Waste  Management Regulations, 9VAC20-80 9VAC20-81, and other applicable  regulations and standards. 
    C. Regulated medical waste in closed bags or containers shall  not be compacted or subjected to violent mechanical stress; however, after it  is fully treated and it is no longer regulated medical waste, it may be  compacted in a closed container. Nothing in this section shall prevent the  puncturing of containers or packaging immediately prior to permitted treatment  in which grinding, shredding, or puncturing is integral to the process units;  however, all grinding, shredding and puncturing shall be done with safe and  sanitary methods. Nothing in this section shall prevent the use of devices that  grind, shred or compact to reduce volume at the point of generation. Devices  will be constructed in a manner that prevents employee exposure to the waste,  contains any aerosol or mist that may be caused by the process, and treats or  filters any air evacuated from the chamber during processing. These devices may  be employed at the point of generation and prior to enclosing the regulated  medical waste in plastic bags and other required packaging; however, the waste  remains regulated medical waste. Appropriate means must be employed to  appropriately protect workers and contain the waste when unloading regulated  medical wastes from such a device. 
    9VAC20-120-540. Analysis and management of the ash product;  procedure; results and records; disposition of ash; ash storage. 
    A. Once every eight hours of operation of a continuously fed  incinerator and once every batch or 24 hours of operation of a batch fed  incinerator, a representative sample of 250 milliliters of the bottom ash shall  be collected from the ash discharge or the ash discharge conveyer. Samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous Waste  Management Regulations for determining if a solid waste is a hazardous waste.  Also, the sample shall be tested for total organic carbon content. 
    At incinerators equipped with air pollution control devices  that remove and collect incinerator emissions control ash or dust, this ash  shall be held separately and not mixed with bottom ash. Once every eight hours  of operation of a continuously fed incinerator and once every batch or 24 hours  of operation of a batch fed incinerator, a representative sample of 250  milliliters of the air pollution control ash or dust shall be collected from  the pollution control ash discharge. Air pollution control ash or dust samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous  Waste Management Regulations for determining if a waste is a hazardous waste. 
    B. A log shall document the ash sampling, to include the date  and time of each sample collected; the date, time and identification number of  each composite sample; and the results of the analyses, including laboratory  identification. Results of analyses must be returned from the laboratory and  recorded within four weeks following collection of the composite sample. The  results and records described in this part shall be maintained for a period of  three years, and shall be available for review. 
    C. If a waste ash is found to be hazardous waste (based on a  sample and a confirmation sample) the waste ash shall be disposed of as a  hazardous waste in accord with the Virginia Hazardous Waste Management  Regulations. If ash is found not to be hazardous waste by analysis, it may be  disposed of in a solid waste landfill that is permitted to receive garbage,  municipal solid waste or incinerator ash, provided the disposal is in  accordance with the Solid Waste Management Regulations, 9VAC20-80 9VAC20-81.  If the ash is found to be hazardous waste, the operator shall notify the  Director of the Department of Environmental Quality within 24 hours. No later  than 15 calendar days following, the permittee shall submit a plan for treating  and disposing of the waste on hand at the facility and all unsatisfactorily  treated waste that has left the facility. The permittee may include with the  plan a description of the corrective actions to be taken to prevent further  unsatisfactory performance. No ash subsequently generated from the incinerator  waste stream that was found to be hazardous waste shall be sent to a  nonhazardous solid waste management facility in the Commonwealth without the  express written approval of the director. 
    D. Air pollution control ash and bottom ash shall be held  separately and not mixed; however, once both are determined not to be hazardous  waste, they may be combined and disposed of as other solid waste. Throughout  the storage of the untested material it shall be kept in covered highly leak  resistant containers. It should be held until the generator determines whether  the ash waste is hazardous waste. Areas where untested material containers are  placed must be constructed with a berm to prevent runoff from that area. 
    E. Regulated medical waste treated in compliance with Part  VII (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.) or IX  (9VAC20-120-630 et seq.) of this chapter shall be deemed to be treated in  accordance with this chapter. Regulated medical waste not treated in accordance  with this chapter shall not be transported, received for transport or disposal,  or disposed of in any solid waste management facility. 
    9VAC20-120-810. Amendment of permits. 
    A. Temporary authorizations. 
    1. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of this section. Temporary authorizations  shall have a term of not more than 180 calendar days. 
    2. a. The permittee may request a temporary authorization for:  
    (1) Any substantive amendment meeting the criteria in  subdivision 3 b (1) of this subsection; and 
    (2) Any major amendment that meets the criteria in subdivision  3 b (1) or (2) of this subsection; or that meets the criteria in subdivisions 3  b (3) and (4) of this subsection and provides improved management or treatment  of a regulated medical waste already listed in the facility permit. 
    b. The temporary authorization request shall include: 
    (1) A description of the activities to be conducted under the  temporary authorization; 
    (2) An explanation of why the temporary authorization is  necessary; and 
    (3) Sufficient information to ensure compliance with standards  in Part V (9VAC20-120-330 et seq.) or VI (9VAC20-120-400 et seq.) of this  chapter. 
    c. The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven calendar days of submission of the  authorization request. 
    3. The director shall approve or deny the temporary  authorization as quickly as is practical. To issue a temporary authorization,  the director shall find: 
    a. The authorized activities are in compliance with the  standards of Part V (9VAC20-120-330 et seq.), VII (9VAC20-120-520 et seq.),  VIII (9VAC20-120-580 et seq.) or IX (9VAC20-120-630 et seq.) of this chapter. 
    b. The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an amendment  request: 
    (1) To facilitate timely implementation of closure or  corrective action activities; 
    (2) To prevent disruption of ongoing waste management  activities; 
    (3) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (4) To facilitate other changes to protect human health and  the environment. 
    4. A temporary authorization may be reissued for one  additional term of up to 180 calendar days provided that the permittee has  requested a substantive or a major permit amendment for the activity covered in  the temporary authorization, and (i) the reissued temporary authorization  constitutes the director's decision on a substantive permit amendment in  accordance with the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  or (ii) the director determines that the reissued temporary authorization  involving a major permit amendment request is warranted to allow the authorized  activities to continue while the amendment procedures of the Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81) are conducted. 
    B. Newly defined or identified wastes. The permittee is  authorized to continue to manage wastes defined or identified as regulated  medical waste under Part III (9VAC20-120-80 et seq.) of this chapter if he: 
    1. Was in existence as a regulated medical waste management  facility with respect to the newly defined or identified regulated medical  waste on the effective date of the final rule defining or identifying the  waste; and 
    2. (i) Is in compliance with the standards of Part V, VII,  VIII or IX, as applicable, with respect to the new waste, submits a minor  modification request on or before the date on which the waste becomes subject  to the new requirements or (ii) is not in compliance with the standards of Part  V or VI, as applicable, with respect to the new waste, but submits a complete  permit amendment request within 180 calendar days after the effective date of  the definition or identifying the waste. 
    C. The suitability of the facility location will not be  considered at the time of permit amendment unless new information or standards  indicate that an endangerment to human health or the environment exists that  was unknown at the time of permit issuance. 
    9VAC20-130-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Board" means the Virginia Waste Management Board. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants  and shopping centers.
    "Compost" means a stabilized organic product  produced by composting in such a manner that the product can be handled,  stored, and/or applied to the land.
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes  include, but are not limited to, lumber, wire, sheetrock, broken brick,  shingles, glass, pipes, concrete, paving materials, and metal and plastics if  the metal or plastics are a part of the materials of construction or empty containers  for such materials. Paints, coatings, solvents, asbestos-containing material,  any liquid, compressed gases, or semi-liquids and garbage are not construction  wastes. 
    "Debris waste" means solid waste resulting from  land clearing operations. Debris wastes include, but are not limited to,  stumps, wood, brush, leaves, soil, and road spoils. 
    "Demolition waste" means solid waste produced by  the destruction of structures and their foundations and includes the same  materials as construction wastes. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. For purposes of submissions to the  director as specified in the Waste Management Act, submissions may be made to  the department.
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulation,  9VAC20-60. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts;  inorganic chemicals; iron and steel manufacturing; leather and leather  products; nonferrous metals manufacturing/foundries; organic chemicals;  plastics and resins manufacturing; pulp and paper industry; rubber and  miscellaneous plastic products; stone, glass, clay, and concrete products;  textile manufacturing; transportation equipment; and water treatment. This term  does not include mining waste or oil and gas waste. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Integrated waste management plan" means a  governmental plan that considers all elements of waste management during  generation, collection, transportation, treatment, storage, disposal, and  litter control and selects the appropriate methods of providing necessary  control and services for effective and efficient management of all wastes. An  "integrated waste management plan" must provide for source reduction,  reuse and recycling within the jurisdiction and the proper funding and  management of waste management programs. 
    "Jurisdiction" means a local governing body; city,  county or town; or any independent entity, such as a federal or state agency,  which join with local governing bodies to develop a waste management plan. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill (as these terms  are defined in the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    "Litter" means all waste material disposable  packages or containers, but not including the wastes of the primary processes  of mining, logging, farming, or manufacturing.
    "Market" or "markets" means interim or  end destinations for the recyclable materials, including a materials recovery  facility (MRF).
    "Market conditions" means business and system  related issues used to determine if materials can be targeted, collected, and  delivered to an interim or end market in an efficient manner. Issues may  include, but are not limited to: the cost of collection, storage and  preparation or both; the cost of transportation; accessible volumes of  materials targeted for recycling; market value of materials targeted for  collection/recycling; and distance to viable markets.
    "Materials recovery facility (MRF)" means, for the  purpose of this regulation, a facility for the collection, processing and  marketing of recyclable materials including, but not limited to: metal, paper,  plastics, and glass. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses, except composting as defined and regulated under the Solid  Waste Management Regulations (9VAC20-80) or the Vegetative Waste Management  and Yard Waste Composting Regulations (9VAC20-101) (9VAC20-81). 
    "Municipal solid waste" means waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from the combustion of these wastes. 
    "Permit" means the written permission of the  director to own, operate or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Principal recyclable materials (PRMs)" means  paper, metal, plastic, glass, commingled yard waste, wood, textiles, tires,  used oil, used oil filters, used antifreeze, batteries, electronics, or  material as may be approved by the director. Commingled materials refers to  single stream collections of recyclables where sorting is done at a materials  recovery facility.
    "Recycling" means the process of separating a given  waste material from the waste stream and processing it so that it may be used  again as a raw material for a product, which may or may not be similar to the  original product. For the purpose of this chapter, recycling shall not include  processes that only involve size reduction. 
    "Recycling residue" means the (i) nonmetallic  substances, including but not limited to plastic, rubber, and insulation, which  remain after a shredder has separated for purposes of recycling the ferrous and  nonferrous metal from a motor vehicle, appliance or other discarded metallic  item and (ii) organic waste remaining after removal of metals, glass, plastics  and paper that are to be recycled as part of a resource recovery process for  municipal solid waste resulting in the production of a refuse derived fuel.
    "Regional boundary" means the boundary defining an  area of land that will be a unit for the purpose of developing a waste  management plan, and is established in accordance with 9VAC20-130-180 through  9VAC20-130-220. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Residential waste" means any waste material,  including garbage, trash and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds and day-use recreation  areas. Residential wastes do not include sanitary waste in septic tanks  (septage), that is regulated by other state agencies. 
    "Resource recovery system" means a solid waste  management system that provides for collection, separation, recycling and  recovery of energy or solid wastes, including disposal of nonrecoverable waste  residues. 
    "Reuse" means the process of separating a given  solid waste material from the waste stream and using it, without processing or  changing its form, other than size reduction, for the same or another end use. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste, which is so located, designed,  constructed and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste.  (Note: This term includes all sites whether they are planned and managed  facilities or open dumps.) 
    "Sludge" means any solid, semisolid or liquid waste  generated from a public, municipal, commercial or industrial  wastewater treatment plant, water supply treatment plant, or air pollution  control facility. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Solid Waste Management Regulations (9VAC20-80)  (9VAC20-81).
    "Solid waste planning unit" means each region or  locality that submits a solid waste management plan. 
    "Solid waste management facility  ("SWMF")" means a site used for planned treating, storing, or  disposing of solid waste. A facility may consist of several treatment, storage,  or disposal units. 
    "Source reduction" means any action that reduces or  eliminates the generation of waste at the source, usually within a process.  Source reduction measures include process modifications, feedstock  substitutions, improvements in feedstock purity, improvements in housekeeping  and management practices, increases in the efficiency of machinery, and  recycling within a process. Source reduction minimizes the material that must  be managed by waste disposal or nondisposal options by creating less waste.  "Source reduction" is also called "waste prevention,"  "waste minimization," or "waste reduction."
    "Source separation" means separation of recyclable  materials by the waste generator of materials that are collected for use,  reuse, reclamation, or recycling. 
    "Tons" means 2,000 pounds.
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, and woody wastes such as shrub and  tree prunings, bark, limbs, roots, and stumps. For more detail see Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101) the  Solid Waste Management Regulations (9VAC20-81).
    "Waste exchange" means any system to identify  sources of wastes with potential for use reuse, recycling or reclamation and to  facilitate its acquisition by persons who reuse, recycle or reclaim it, with a  provision for maintaining confidentiality of trade secrets. 
    "White goods" means any stoves, washers, hot water  heaters or other large appliances. For the purposes of this chapter, this  definition also includes, but is not limited to, such Freon-containing appliances  as refrigerators, freezers, air conditioners, and dehumidifiers. 
    "Yard waste" means decomposable waste materials  generated by yard and lawn care and includes leaves, grass trimmings, brush,  wood chips, and shrub and tree trimmings. Yard waste shall not include roots or  stumps that exceed six inches in diameter. 
    9VAC20-130-60. Applicability of regulations. 
    A. This chapter applies to all cities, counties, towns,  designated solid waste planning units (under 9VAC20-130-180) and permitted  solid waste facilities within the solid waste planning unit, including those  facilities covered under permit by rule procedures found in 9VAC20-80 9VAC20-81.  Any city, county, and town may mutually agree to unite for the purpose of solid  waste management planning, and upon joint written notification to the director,  shall be deemed to be a solid waste planning unit for development of a solid  waste management plan. 
    B. Any cities, counties, and towns may be represented by a  planning district, public service authority, or designated region that has been  adopted under 9VAC20-130-90 B. 
    C. The plan may (subject to statutory authority) specify that  all solid waste must be recycled at the rate established by the plan regardless  of the point of origin of the solid waste. Solid wastes from both public and  private sources shall be subject to such requirement. 
    9VAC20-130-120. Planning requirements. 
    A. Basic planning elements:
    1. Objectives for solid waste management within the planning  unit;
    2. A discussion as to how the plan will be implemented and  tracked, consisting of an integrated waste management strategy to support and  promote the hierarchy set forth at 9VAC20-130-30; giving preference to  alternatives in the following order of priority: source reduction, reuse,  recycling, resource recovery, incineration, and landfilling;
    3. Definition of incremental stages of progress toward the  objectives and schedule for their implementation, including, for compliance  with 9VAC20-80-500 9VAC20-81-450, specific solid waste management  facility names, facility capacities, and life based on 20-year need;
    4. Strategy for the provision of necessary funds and  resources;
    5. Descriptions of the funding and resources necessary,  including consideration of fees dedicated to future facility development;
    6. Strategy for public education and information on source  reduction, reuse, and recycling; and
    7. Consideration of public and private sector partnerships and  private sector participation in execution of the plan. Existing private sector  recycling operations should be incorporated in the plan and the expansion of  such operations should be encouraged. 
    B. A minimum recycling rate as specified in § 10.1-1411 of  the Code of Virginia for total municipal solid waste generated annually in each  solid waste planning unit shall be met and maintained. 
    1. The plan shall describe how the minimum recycling rate  shall be met or exceeded. The department may approve the solid waste management  plans of units that do not currently meet the minimum recycling rate only if all  other requirements of these regulations have been met and the solid waste  planning unit demonstrates its commitment to implementing a strong and detailed  action plan for recycling to meet the required rate.
    2. When a solid waste planning unit's annual recycling rate  falls below the minimum rate, it shall constitute evidence of a significant  deviation from the plan. The plan may be subject to revocation by the  department under 9VAC20-130-110 E unless the solid waste planning unit submits  a recycling action plan acceptable to the department per subsection I of this  section.
    C. The solid waste management plan shall include data and  analyses of the following type(s) for each jurisdiction. Each item below shall  be in a separate section and labeled as to content:
    1. Population information and projections for 20 years of  population growth and development patterns;
    2. Urban concentrations, geographic conditions, economic  growth and development, markets for the reuse and recycling of materials,  transportation conditions, and related factors;
    3. Estimates of solid waste generation from residential,  commercial institutional, industrial, construction, demolition, debris and  other types of sources, including the amounts reused, recycled, recovered as a  resource, incinerated and landfilled. Entities engaged in the collection,  processing, and marketing of recyclable materials should provide data for  incorporation into the recycling rate calculation, when requested by the  planning unit.
    4. A listing of existing and planned solid waste collection,  storage, treatment, transportation, disposal and other management facilities,  their projected capacities, expected life and systems for their use;
    5. All milestones in the implementation of the solid waste  management plan over the 20-year projection and the parties responsible for  each milestone;
    6. A description of programs for solid waste reduction, reuse,  recycling, resource recovery, incineration, storage, treatment, disposal and  litter control;
    7. A description of outreach programs for waste exchange,  public education and public participation;
    8. The procedures for and results of evaluating solid waste  collection, including transfer stations; and
    9. The assessment of all current and predicted needs for solid  waste management for a period of 20 years and a description of the action to be  taken to meet those needs.
    D. All known solid waste disposal sites, closed, inactive and  active, within the area of the solid waste management plan shall be documented  and recorded at a centralized archive authorized to receive and record  information and a copy shall be sent to the department. All new sites shall be  recorded at the same central data source.
    E. A methodology shall be utilized to monitor the amount of  solid waste of each type produced within the area of the solid waste management  plan and to record the annual production by solid waste types at a centralized  archive and a copy shall be sent to the department. 
    F. The solid waste management plan shall include, when  developed locally, a copy of the local governing body's resolution adopting the  solid waste management plan.
    G. The solid waste management plan shall include, when  developed regionally, a copy of the resolution approving the plan adopted in  accordance with the Virginia Area Development Act, the Virginia Water and Waste  Authorities Act, the provisions of the Code of Virginia governing joint  exercise of powers by political subdivisions (§ 15.2-1300 of the Code of  Virginia), or other authority as applicable.
    H. The solid waste management plan shall clearly and  explicitly demonstrate the manner in which the goals of the planning  requirements in these regulations shall be accomplished and actions to take if  these requirements are not met.
    I. A planning unit that does not meet the requirements of  these regulations shall submit an action plan, by mail or electronic mail, for  approval by the department. Such action plans shall include:
    1. A description of the deficiency that requires the  development of the action plan.
    2. A time schedule to resolve the deficiency(ies) associated  with the planning unit's failure to meet the requirements of the approved solid  waste management plan.
    3. A reporting requirement to the department, of a minimum of  once every six months, including activities or updates documenting how the  action plan requirements are being met.
    4. Plans and all subsequent reports and submittals shall be  reviewed by the department within 30 days of receipt by the department.
    5. All the department's requests for further information or  response(s) shall be provided within 30 days of receipt at the planning unit.  The department may grant reasonable extensions to these deadlines on a  case-by-case basis. 
    Part I 
  Definitions 
    9VAC20-140-10. Definition incorporated by reference. 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  are incorporated by reference. 
    9VAC20-150-10. Definitions. 
    A. The definitions set out in Part I of the Virginia  Solid Waste Management Regulations, 9VAC20-80-10 et seq., (9VAC20-81)  are incorporated by reference. 
    B. The following words and terms, when used in this chapter,  shall have the following meanings, unless the context clearly indicates  otherwise: 
    "Applicant" means any person or persons seeking  reimbursement under this chapter. 
    "Asphalt pavement containing recycled rubber" means  any hot mix or spray applied binder in asphalt paving mixture that contains  rubber from waste tire materials which is used for asphalt pavement base,  surface course or interlayer, or other road and highway related uses. 
    "Authorized signature" means the signature of an  individual who has authority to sign on behalf of, and bind, the applicant. 
    "Available funds" means for a given fiscal year, a  maximum of 80% of the previous fiscal year's collection of the waste tire tax  plus 85% of nonobligated carryover funds at the end of the previous fiscal  year. 
    "Burning" means the controlled burning of waste  tire materials for the purpose of energy recovery. 
    "Cost of use" means the equipment, leasehold  improvements, buildings, land, engineering, transportation, operating, taxes,  interest, and depreciation or replacement costs of using waste tire materials  incurred by the end user after deducting any tipping fee received by the end  user. 
    "Daily cover" means using waste tire material as an  alternate cover placed upon exposed solid waste to control disease vectors,  fires, odors, blowing litter and scavenging without presenting a threat to  human health and the environment. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or the director's designee. 
    "Embankment" means a raised earthen structure to  carry a roadway. 
    "End user" means: 
    1. For energy recovery: the person who utilizes the heat  content or other forms of energy from the burning or pyrolysis of waste tire  materials; 
    2. For other eligible uses: the last person who uses the  waste tire materials to make a product with economic value. If the waste tire  materials are processed by more than one person in becoming a product, the end  user is the last person to use the tire as waste tire materials. A person who  produces waste tire materials and gives or sells them to another person to use  is not an end user. 
    "Energy recovery" means utilizing the heat content  or other forms of energy from the burning or pyrolysis of waste tire materials.  
    "Fill material for construction" means the material  is used as a base or sub-base under the footprint of a structure, a paved  parking lot, sidewalk, walkway or similar application. 
    "Generator" means any person whose act or process  produces waste tires or whose act first causes a tire to become a solid waste. 
    "Hauler" means a person who picks up or transports  waste tires for the purpose of removal to a permitted storage, processing or  disposal facility. 
    "Partial reimbursement" means reimbursement that  does not exceed the purchase price of waste tire materials or the cost of use  if the waste tire materials were not purchased. 
    "Passenger tire equivalent" means a measure of  passenger, truck tires, and oversize tires where: One passenger car tire equals  20 pounds or 1/100 ton. One truck tire 20-24 inch rim equals 100 pounds or  1/200 ton and a tire with over 24-inch rim equals 200 pounds or greater as  computed by the end user. 
    "Processor" means a person engaged in the  processing of waste tires including, but not limited to, stamping, stripping,  shredding, or crumbing; that operates under a permit issued by the local, state,  or federal government; or is exempt from permit requirements. 
    "Pyrolysis" means thermal treatment of waste tire  materials to separate it into other components with economic value. 
    "Retreading" means processing a waste tire by  attaching a new tread to make a usable tire. 
    "Road bed base" means the foundation of a road  prepared for surfacing. 
    "Tipping fee" means a fee charged to a person for  disposal of a waste tire. 
    "Tire" means a continuous solid or pneumatic rubber  covering encircling the wheel of a vehicle in which a person or property is  transported, or by which they may be drawn on a highway. 
    "Tire pile" means an accumulation of waste tire  materials that violates the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81). 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. 
    "Waste tire materials" means whole waste tires or  waste tires that have been size reduced by physical or chemical process. This  term includes waste tires or chips or similar materials as specified in §§ 10.1-1422.3  and 10.1-1422.4 of the Code of Virginia. 
    "Waste Tire Trust Fund" means the nonreverting fund  set up by § 10.1-1422.3 of the Code of Virginia in which proceeds from the  waste tire tax are deposited. 
    Part II
  General Information 
    9VAC20-150-20. Purpose. 
    The purpose of this chapter is to define the types of uses  eligible for partial reimbursement, to establish the procedures for application  and processing of reimbursement, and to establish the amount of reimbursement. 
    9VAC20-150-40. End uses of waste tires eligible for  reimbursement. 
    A. The following uses of waste tire materials will be  eligible for the reimbursement if the use complies with applicable local  ordinances and regulations and the Virginia Solid Waste Management  Regulations, 9VAC20-80 (9VAC20-81) or the equivalent regulations  in another state. The eligible uses are: 
    1. Civil engineering applications, which utilize waste tire  materials as a substitute for soil, sand, or aggregate in a construction  project such as land or surface applications, road bed base and embankments;  fill material for construction projects; and daily cover and other  substitutions at a permitted solid waste facility if the facility's permit is  so modified; 
    2. Burning of waste tire materials for energy recovery; 
    3. Pyrolysis; and 
    4. Products made from waste tire materials such as molded  rubber products, rubberized asphalt, soil amendments, playground and horse  arena surfacing materials, mulches, mats, sealers, etc. 
    B. Uses that are not eligible for reimbursement include: 
    1. Reuse as a vehicle tire; 
    2. Retreading; 
    3. Burning without energy recovery; and 
    4. Landfilling, except use as specified in subdivision A 1 of  this section. 
    9VAC20-160-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise. 
    "Authorized agent" means any person who is  authorized in writing to fulfill the requirements of this program. 
    "Carcinogen" means a chemical classification for  the purpose of risk assessment as an agent that is known or suspected to cause  cancer in humans, including but not limited to a known or likely human  carcinogen or a probable or possible human carcinogen under an EPA  weight-of-evidence classification system. 
    "Certificate" means a written certification of  satisfactory completion of remediation issued by the director pursuant to § 10.1-1232  of the Code of Virginia. 
    "Completion" means fulfillment of the commitment  agreed to by the participant as part of this program. 
    "Contaminant" means any man-made or man-induced  alteration of the chemical, physical or biological integrity of soils,  sediments, air and surface water or groundwater including, but not limited to,  such alterations caused by any hazardous substance (as defined in the  Comprehensive Environmental Response, Compensation and Liability Act, 42 USC  § 9601(14)), hazardous waste (as defined in 9VAC20-60), solid waste (as  defined in 9VAC20-80-10) 9VAC20-81), petroleum (as defined in  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.))  of the Virginia State Water Control Law, or natural gas. 
    "Cost of remediation" means all costs incurred by  the participant pursuant to activities necessary for completion of voluntary  remediation at the site, based on an estimate of the net present value (NPV) of  the combined costs of the site investigation, report development, remedial  system installation, operation and maintenance, and all other costs associated  with participating in the program and addressing the contaminants of concern at  the site. 
    "Department" means the Department of Environmental  Quality of the Commonwealth of Virginia or its successor agency. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Engineering controls" means physical modification  to a site or facility to reduce or eliminate potential for exposure to  contaminants. These include, but are not limited to, stormwater conveyance  systems, pump and treat systems, slurry walls, liner systems, caps, monitoring  systems, and leachate collection systems. 
    "Hazard index (HI)" means the sum of more than one  hazard quotient for multiple contaminants or multiple exposure pathways or  both. The HI is calculated separately for chronic, subchronic, and shorter  duration exposures. 
    "Hazard quotient" means the ratio of a single  contaminant exposure level over a specified time period to a reference dose for  that contaminant derived from a similar period. 
    "Incremental upper-bound lifetime cancer risk  level" means a conservative estimate of the incremental probability of an  individual developing cancer over a lifetime. Upper-bound lifetime cancer risk  level is likely to overestimate "true risk." 
    "Institutional controls" means legal or contractual  restrictions on property use that remain effective after remediation is  completed, and are used to reduce or eliminate the potential for exposure to  contaminants. The term may include, but is not limited to, deed and water use  restrictions. 
    "Land use controls" means legal or physical  restrictions on the use of, or access to, a site to reduce or eliminate  potential for exposure to contaminants, or prevent activities that could  interfere with the effectiveness of remediation. Land use controls include but  are not limited to engineering and institutional controls. 
    "Noncarcinogen" means a chemical classification for  the purposes of risk assessment as an agent for which there is either  inadequate toxicological data or is not likely to be a carcinogen based on an  EPA weight-of-evidence classification system. 
    "Operator" means the person currently responsible  for the overall operations at a site, or any person responsible for operations  at a site at the time of, or following, the release. 
    "Owner" means any person currently owning or  holding legal or equitable title or possessory interest in a property,  including the Commonwealth of Virginia, or a political subdivision thereof,  including title or control of a property conveyed due to bankruptcy,  foreclosure, tax delinquency, abandonment, or similar means. 
    "Participant" means a person who has received  confirmation of eligibility and has remitted payment of the registration fee. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Program" means the Virginia Voluntary Remediation  Program. 
    "Property" means a parcel of land defined by the  boundaries in the deed. 
    "Reference dose" means an estimate of a daily  exposure level for the human population, including sensitive subpopulations,  that is likely to be without an appreciable risk of deleterious effects during  a lifetime. 
    "Registration fee" means the fee paid to enroll in  the Voluntary Remediation Program, based on 1.0% of the total cost of  remediation at a site, not to exceed the statutory maximum. 
    "Release" means any spilling, leaking, pumping,  pouring, emitting, emptying, discharging, injecting, escaping, leaching,  dumping or disposing of any contaminant into the environment. 
    "Remediation" means actions taken to cleanup,  mitigate, correct, abate, minimize, eliminate, control and contain or prevent a  release of a contaminant into the environment in order to protect human health  and the environment, including actions to investigate, study or assess any  actual or suspected release. Remediation may include, when appropriate and  approved by the department, land use controls. 
    "Remediation level" means the concentration of a  contaminant with applicable land use controls, that is protective of human  health and the environment. 
    "Report" means the Voluntary Remediation Report  required by 9VAC20-160-70. 
    "Restricted use" means any use other than  residential. 
    "Risk" means the probability that a contaminant  will cause an adverse effect in exposed humans or to the environment. 
    "Risk assessment" means the process used to  determine the risk posed by contaminants released into the environment.  Elements include identification of the contaminants present in the  environmental media, assessment of exposure and exposure pathways, assessment  of the toxicity of the contaminants present at the site, characterization of  human health risks, and characterization of the impacts or risks to the  environment. 
    "Site" means any property or portion thereof, as  agreed to and defined by the participant and the department, which contains or  may contain contaminants being addressed under this program. 
    "Termination" means the formal discontinuation of  participation in the Voluntary Remediation Program without obtaining a  certification of satisfactory completion. 
    "Unrestricted use" means the designation of  acceptable future use for a site at which the remediation levels, based on  either background or standard residential exposure factors, have been attained  throughout the site in all media. 
    9VAC20-160-30. Eligibility criteria. 
    A. Candidate sites shall meet eligibility criteria as defined  in this section. 
    B. Any persons who own, operate, have a security interest in  or enter into a contract for the purchase or use of an eligible site who wish  to voluntarily remediate that site may participate in the program. Any person  who is an authorized agent of any of the parties identified in this subsection  may participate in the program. 
    C. Sites are eligible for participation in the program if (i)  remediation has not been clearly mandated by the United States Environmental  Protection Agency, the department or a court pursuant to the Comprehensive  Environmental Response, Compensation and Liability Act (42 USC § 9601 et  seq.), the Resource Conservation and Recovery Act (42 USC § 6901 et seq.),  the Virginia Waste Management Act (§ 10.1-1400 et seq. of the Code of  Virginia), the Virginia State Water Control Law (§ 62.1-44.2 et seq. of the  Code of Virginia), or other applicable statutory or common law; or (ii)  jurisdiction of the statutes listed in clause (i) has been waived. 
    A site on which an eligible party has completed remediation  of a release is potentially eligible for the program if the actions can be  documented in a way which are equivalent to the requirements for prospective  remediation, and provided the site meets applicable remediation levels. 
    Petroleum or oil releases not mandated for remediation under  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.) of  the Virginia State Water Control Law may be eligible for participation in the  program. 
    Where an applicant raises a genuine issue based on documented  evidence as to the applicability of regulatory programs in subsection D of this  section, the site may be eligible for the program. Such evidence may include a  demonstration that: 
    1. It is not clear whether the release involved a waste  material or a virgin material; 
    2. It is not clear that the release occurred after the  relevant regulations became effective; or 
    3. It is not clear that the release occurred at a regulated  unit. 
    D. For the purposes of this chapter, remediation has been  clearly mandated if any of the following conditions exist, unless jurisdiction  for such mandate has been waived: 
    1. Remediation of the release is the subject of a permit  issued by the U.S. Environmental Protection Agency or the department, a pending  or existing closure plan, a pending or existing administrative order, a pending  or existing court order, a pending or existing consent order, or the site is on  the National Priorities List; 
    2. The site at which the release occurred is subject to the  Virginia Hazardous Waste Management Regulations (9VAC20-60) (VHWMR), is a  permitted facility, is applying for or should have applied for a permit, is  under interim status or should have applied for interim status, or was  previously under interim status, and is thereby subject to requirements of the  VHWMR; 
    3. The site at which the release occurred constitutes an open  dump or unpermitted solid waste management facility under Part IV  (9VAC20-80-170 et seq.) 9VAC20-81-45 of the Virginia Solid  Waste Management Regulations; 
    4. The director determines that the release poses an imminent  and substantial threat to human health or the environment; or 
    5. Remediation of the release is otherwise the subject of a  response action required by local, state, or federal law or regulation. 
    E. The director may determine that a site under subdivision D  3 of this section may participate in the program provided that such  participation complies with the substantive requirements of the applicable  regulations. 
    9VAC20-170-30. Applicability. 
    A. This chapter applies to each owner and/or operator of a  vessel transporting solid wastes or regulated medical wastes for the purposes  of commercial carriage as cargo, and each owner or operator of a receiving  facility. This chapter also applies to the receiving facilities and vessels  transporting solid wastes or regulated medical wastes upon the navigable waters  of the Commonwealth to the extent allowable under state law. 
    B. This chapter does not apply to a public vessel as defined  under 9VAC20-170-10, the owner and operator of a public vessel, vessels transporting  solid wastes or regulated medical wastes incidental to their predominant  business or purposes, vessels transporting solid wastes or regulated medical  wastes generated during normal operations of the vessel, solid wastes or  regulated medical wastes generated during the normal operations of the vessel,  and solid wastes excluded pursuant to 9VAC20-80-150 or conditionally  exempted pursuant to 9VAC20-80-160 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations. 
    9VAC20-170-40. Relationship to other regulations. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  prescribe requirements for the solid waste management facilities in general.  While a facility utilized to receive solid wastes or regulated medical wastes  transported, loaded, or unloaded upon the navigable waters of the Commonwealth,  to the extent allowable under state law, by a commercial transporter is a solid  waste management facility, this chapter herein prescribes specific  requirements, including siting, design/construction, operation, and permitting,  for this type of facilities. If there is any overlapping requirement between  these two regulations, whichever is more stringent shall apply. 
    B. The Regulated Medical Waste Management Regulations  (9VAC20-120) address special needs for regulated medical waste management. A  facility utilized to receive regulated medical waste transported, loaded, or  unloaded upon the navigable waters of the Commonwealth, to the extent allowable  under state law, by a commercial transporter is a regulated medical waste  facility and it must conform to any applicable sections of the Regulated  Medical Waste Management Regulations adopted by the board. If there is any  overlapping requirement between these two regulations, whichever is more stringent  shall apply. 
    C. This chapter does not exempt any receiving facility from  obtaining a Virginia Water Protection Permit as required by the Virginia Water  Protection Permit Program Regulation (9VAC25-210), whenever it is applicable. 
    VA.R. Doc. No. R11-2731; Filed June 8, 2011, 1:15 p.m. 
TITLE 9. ENVIRONMENT
VIRGINIA WASTE MANAGEMENT BOARD
Final Regulation
        REGISTRAR'S NOTICE: The  Virginia Waste Management Board is claiming an exemption from the  Administrative Process Act in accordance with § 2.2-4006 A 3,  which excludes regulations that consist only of changes in style or form or  corrections of technical errors. The Virginia Waste Management Board will  receive, consider, and respond to petitions by any interested person at any  time with respect to reconsideration or revision.
         Titles of Regulations: 9VAC20-60. Virginia Hazardous  Waste Management Regulations (amending 9VAC20-60-261).
    9VAC20-70. Financial Assurance Regulations for Solid Waste  Disposal, Transfer and Treatment Facilities (amending 9VAC20-70-10, 9VAC20-70-50,  9VAC20-70-70, 9VAC20-70-75, 9VAC20-70-90, 9VAC20-70-113, 9VAC20-70-210,  9VAC20-70-290).
    9VAC20-81. Solid Waste Management Regulations (amending 9VAC20-81-10, 9VAC20-81-35, 9VAC20-81-95,  9VAC20-81-140, 9VAC20-81-160, 9VAC20-81-250, 9VAC20-81-260, 9VAC20-81-300,  9VAC20-81-397, 9VAC20-81-470, 9VAC20-81-485, 9VAC20-81-490, 9VAC20-81-530,  9VAC20-81-600).
    9VAC20-85. Coal Combustion Byproduct Regulations (amending 9VAC20-85-10, 9VAC20-85-40,  9VAC20-85-50, 9VAC20-85-60, 9VAC20-85-90, 9VAC20-85-150, 9VAC20-85-180).
    9VAC20-120. Regulated Medical Waste Management Regulations (amending 9VAC20-120-10, 9VAC20-120-70,  9VAC20-120-100, 9VAC20-120-300, 9VAC20-120-540, 9VAC20-120-810).
    9VAC20-130. Solid Waste Planning and Recycling Regulations (amending 9VAC20-130-10, 9VAC20-130-60,  9VAC20-130-120).
    9VAC20-140. Regulations for the Certification of Recycling  Machinery and Equipment for Tax Exemption Purposes (amending 9VAC20-140-10).
    9VAC20-150. Waste Tire End User Reimbursement Regulation (amending 9VAC20-150-10, 9VAC20-150-20,  9VAC20-150-40).
    9VAC20-160. Voluntary Remediation Regulations (amending 9VAC20-160-10, 9VAC20-160-30).
    9VAC20-170. Transportation of Solid and Medical Wastes on  State Waters (amending 9VAC20-170-30, 9VAC20-170-40). 
    Statutory Authority: §§ 10.1-1232, 10.1-1402, 10.1-1410, 10.1-1411, 10.1-1422.3, 10.1-1422.4, and 58.1-3661 of the Code of  Virginia.
    Effective Date: August 3, 2011. 
    Agency Contact: Debra Miller, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4206, FAX (804) 698-4346, or email  debra.miller@deq.virginia.gov.
    Summary:
    Amendment 7 to the Solid Waste Management Regulations  amended and recodified these regulations creating 9VAC20-81, which became  effective March 16, 2011. This regulatory action makes necessary style and form  changes and technical corrections to that chapter and, as a secondary action,  makes the appropriate citations changes in other waste management regulations. 
    9VAC20-60-261. Adoption of 40 CFR Part 261 by reference. 
    A. Except as otherwise provided, the regulations of the  United States Environmental Protection Agency set forth in 40 CFR Part 261 are  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. Except as otherwise provided, all material definitions, reference  materials and other ancillaries that are a part of 40 CFR Part 261 are also  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. 
    B. In all locations in these regulations where 40 CFR Part  261 is incorporated by reference, the following additions, modifications and  exceptions shall amend the incorporated text for the purpose of its  incorporation into these regulations: 
    1. Any agreements required by 40 CFR 261.4(b)(11)(ii) shall be  sent to the United States Environmental Protection Agency at the address shown  and to the Department of Environmental Quality, P.O. Box 1105, Richmond,  Virginia 23218. 
    2. In 40 CFR 261.4(e)(3)(iii), the text "in the Region  where the sample is collected" shall be deleted. 
    3. In 40 CFR 261.4(f)(1), the term "Regional  Administrator" shall mean the regional administrator of Region III of the  United States Environmental Protection Agency or his designee. 
    4. In 40 CFR 261.6(a)(2), recyclable materials shall be  subject to the requirements of 9VAC20-60-270 and Part XII (9VAC20-60-1260 et  seq.) of this chapter. 
    5. No hazardous waste from a conditionally exempt small  quantity generator shall be managed as described in 40 CFR 261.5(g)(3)(iv) or  40 CFR 261.5(g)(3)(v) unless such waste management is in full compliance with  all requirements of the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    6. In 40 CFR 261.9 and wherever elsewhere in Title 40 of the  Code of Federal Regulations there is a listing of universal wastes or a listing  of hazardous wastes that are the subject of provisions set out in 40 CFR Part  273 as universal wastes, it shall be amended by addition of the following  sentence: "In addition to the hazardous wastes listed herein, the term  "universal waste" and all lists of universal waste or waste subject  to provisions of 40 CFR Part 273 shall include those hazardous wastes listed in  Part XVI (9VAC20-60-1495 et seq.) of the Virginia Hazardous Waste Management  Regulations as universal wastes, under such terms and requirements as shall  therein be ascribed." 
    7. In Subparts B and D of 40 CFR Part 261, the term  "Administrator" shall mean the administrator of the United States  Environmental Protection Agency, and the term "Director" shall not  supplant "Administrator" throughout Subparts B and D. 
    8. Regardless of the provisions of 9VAC20-60-18, the revisions  to 40 CFR Part 261 as promulgated by U.S. EPA on October 30, 2008, (73 FR 64757  - 64788) (definition of solid waste rule) are not adopted herein.
    Part I 
  Definitions 
    9VAC20-70-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings, unless the context clearly indicates otherwise: 
    "Abandoned facility" means any inactive solid waste  management facility that has not met closure and post-closure care  requirements. 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at the completion  of closure activities required by 9VAC20-80-10 et seq the Solid Waste  Management Regulations (9VAC20-81). Active life does not include the  post-closure care monitoring period. 
    "Anniversary date" means the date of issuance of a  financial mechanism. 
    "Assets" means all existing and all probable future  economic benefits obtained or controlled by a particular entity. 
    "Authority" means an authority created under the  provisions of the Virginia Water and Waste Authorities Act, Chapter 51 (§ 15.2-5100  et seq.) of Title 15.2 of the Code of Virginia, or, if any such authority shall  be abolished, the board, body, or commission succeeding to the principal  functions thereof or to whom the powers given by the Virginia Water and Waste  Authorities Act to such authority shall be given by law. 
    "Board" means the Virginia Waste Management Board. 
    "Cash plus marketable securities" means all the  cash plus marketable securities held on the last day of a fiscal year,  excluding cash and marketable securities designed to satisfy past obligations  such as pensions. 
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of 9VAC20-80-10  et seq., 9VAC20-101-10 et seq., 9VAC20-120-10 et seq., or 9VAC20-170-10 et seq.  the Solid Waste Management Regulations (9VAC20-81), the Regulated Medical  Waste Management Regulations (9VAC20-120), or the Transportation of Solid and  Medical Wastes on State Waters Regulations (9VAC20-170). A closed facility  may be undergoing post-closure care. 
    "Closure" means the act of securing a solid waste  management facility pursuant to the requirements of this chapter and any other  applicable solid waste management standards. 
    "Commercial transporter" means any person who  transports for the purpose of commercial carriage of solid wastes or regulated  medical wastes as cargo. 
    "Corrective action" means all actions necessary to  mitigate the public health or environmental threat from a release to the  environment of solid waste or constituents of solid waste from an operating,  abandoned, or closed solid waste management facility and to restore the  environmental conditions as required. 
    "Current annual inflation factor" means the annual  inflation factor derived from the most recent Implicit Price Deflator for Gross  National Product published by the U.S. Department of Commerce in its Survey of  Current Business. 
    "Current assets" means cash or other assets or  resources commonly identified as those which are reasonably expected to be  realized in cash or sold or consumed during the normal operating cycle of the  business. 
    "Current closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-111. 
    "Current dollars" means the figure represented by  the total of the cost estimate multiplied by the current annual inflation  factor. 
    "Current liabilities" means obligations whose  liquidation is reasonably expected to require the use of existing resources  properly classifiable as current assets or the creation of other current  liabilities. 
    "Current post-closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-112. 
    "Current year expenses for closure" means  expenditures documented by the facility during the previous fiscal year for  construction-related activities associated with closing the facility. Expenses  for closure must be detailed and identified in an approved closure plan. 
    "Debt service" means the amount of principal and  interest due on a loan in a given time period, typically the current year. 
    "Deficit" means total annual revenues less total  annual expenditures. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent thereof may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means any solid waste management facility  unless the context clearly indicates otherwise. The term "facility"  includes transfer stations. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Governmental unit" means any department,  institution or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.  
    "Groundwater" means any water, except capillary  moisture or unsaturated zone moisture, beneath the land surface in the zone of  saturation or beneath the bed of any stream, lake, reservoir or other body of  surface water within the boundaries of this Commonwealth, whatever may be the  subsurface geologic structure in which such water stands, flows, percolates or  otherwise occurs. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60). 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill as defined by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Leachate" means a liquid that has passed through  or emerged from solid waste and that contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation for disposal in an off-site facility is regulated as septage,  and leachate discharged into a wastewater collection system is regulated as  industrial wastewater. 
    "Liabilities" means probable future sacrifices of  economic benefits arising from present obligations to transfer assets or  provide services to other entities in the future as a result of past  transactions or events. 
    "Local government" means a county, city or town or  any authority, commission, or district created by one or more counties, cities  or towns. 
    "Net working capital" means current assets minus  current liabilities. 
    "Net worth" means total assets minus total  liabilities and is equivalent to owner's equity. 
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means a person who owns a solid waste  management facility or part of a solid waste management facility. For the  purposes of this chapter, all individuals, corporations, companies, partnerships,  societies or associations, and any federal agency or governmental unit of the  Commonwealth having any title or interest in any solid waste management  facility or the services or facilities to be rendered thereby shall be  considered an owner. 
    "Parent corporation" means a corporation that  directly owns at least 50% of the voting stock of the corporation that is the  facility owner or operator; the latter corporation is deemed a  "subsidiary" of the parent corporation. 
    "Permit" means the written permission of the  director to own, operate, modify, or construct a solid waste management  facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Post-closure care" means the requirements placed  upon an owner or operator of a solid waste disposal facility after closure to  ensure environmental and public health and safety are protected for a specified  number of years after closure. 
    "Receiving facility" means a facility, vessel or  operation that receives solid wastes or regulated medical wastes transported,  loaded or unloaded upon the navigable waters of the Commonwealth, to the extent  allowable under state law, by a commercial transporter. A receiving facility is  considered as a solid waste management facility. A facility that receives solid  waste from a ship, barge or other vessel and is regulated under § 10.1-1454.1  of the Code of Virginia shall be considered a transfer facility for purposes of  this chapter. 
    "Regulated medical waste" means solid waste so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120) as promulgated by the Virginia Waste  Management Board. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of solid waste which is so located, designed,  constructed and operated to contain and isolate the solid waste so that it does  not pose a substantial present or potential hazard to human health or the  environment. 
    "Signature" means the name of a person written with  his own hand. 
    "Site" means all land and structures, other  appurtenances, and improvements thereon used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the property  boundary used for utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Virginia Waste Management Act and the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility (SWMF)" means a  site used for planned treating, storing, or disposing of solid waste. A  facility may consist of several treatment, storage, or disposal units. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Substantial business relationship" means the  extent of a business relationship necessary under applicable Virginia law to  make a guarantee contract incident to that relationship valid and enforceable.  A "substantial business relationship" shall arise from a pattern of recent  and on-going business transactions, in addition to the guarantee itself, such  that a currently existing business relationship between the guarantor and the  owner or operator is demonstrated to the satisfaction of the director. 
    "Tangible net worth" means the tangible assets that  remain after deducting liabilities; such assets would not include intangibles  such as goodwill and rights to patents or royalties. 
    "Total expenditures" means all expenditures  excluding capital outlays and debt repayment. 
    "Total revenue" means revenue from all taxes and  fees but does not include the proceeds from borrowing or asset sales, excluding  revenue from funds managed on behalf of a specific third party. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Treatment" means any method, technique, or  process, including incineration or neutralization, designed to change the  physical, chemical, or biological character or composition of any waste to  neutralize it or render it less hazardous or nonhazardous, safer for transport,  or more amenable to use, reuse, reclamation or recovery. 
    "Unit" means a discrete area of land used for the  management of solid waste. 
    9VAC20-70-50. Applicability of chapter. 
    A. This chapter applies to all persons who own, operate, or  allow the following permitted or unpermitted facilities to be operated on their  property: 
    1. Solid waste treatment, transfer and disposal facilities  regulated under the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81);
    2. Facilities Vegetative waste management facilities  regulated under the Vegetative Waste Management and Yard Waste Composting  Regulations (9VAC20-101-10 et seq.) Solid Waste Management Regulations  (9VAC20-81);
    3. Medical waste treatment, transfer or disposal facilities  regulated under the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120); or 
    4. Receiving facilities as defined herein.
    B. Exemptions. 
    1. Owners or operators of facilities who are federal or state  government entities whose debts and liabilities are the debts or liabilities of  the United States or the Commonwealth, are exempt from this chapter; 
    2. Owners and operators of facilities conditionally exempt  under 9VAC20-80-60 D 9VAC20-81-95 of the Virginia Solid  Waste Management Regulations are exempt from this chapter so long as they meet  the conditions of the exemption; 
    3. Owners and operators of facilities that manage solely  wastes excluded under 9VAC20-80-150 or conditionally exempt under 9VAC20-80-160  9VAC20-81-95 of the Virginia Solid Waste Management Regulations  are exempt from this chapter; 
    4. Owners or operators of facilities exempt under  9VAC20-120-120 or excluded under 9VAC20-120-130 of the Virginia  Regulated Medical Waste Management Regulations (9VAC20-120-10 et seq.) (9VAC20-120)  are exempt from this chapter; 
    5. Owners and operators of yard waste composting facilities  exempt under 9VAC20-101-60 and 9VAC20-101-70 of the Vegetative Waste  Management and Yard Waste Composting Regulations 9VAC20-81-95 of the  Solid Waste Management Regulations are exempt from this chapter; and 
    6. Owners and operators of hazardous waste management units  regulated under the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60) are exempt from this chapter as far as such  units are concerned. 
    C. Owners and operators of facilities or units that treat or  dispose of wastes which are exempted from the Virginia Hazardous Waste  Management Regulations (9VAC20-60-12 et seq.) (9VAC20-60) are  subject to these regulations unless also exempted herein. 
    D. Facilities with separate ownership and operation. If  separate, nonexempt persons own and operate a facility subject to this chapter,  the owner and operator shall be jointly and severally liable for meeting the  requirements of this chapter. If either the owner or operator is exempt, as  provided in 9VAC20-70-50 B, then the other person shall be liable for meeting  the requirements of this chapter. If both the owner and the operator are  exempt, as provided in 9VAC20-70-50 B, then the requirements of this chapter  are not applicable to that facility. 
    E. Exemptions for facilities owned and operated by local  governments. 
    1. Closed facilities. Owners and operators of facilities who  are local governmental entities or regional authorities that have completed  closure by October 9, 1994, are exempt from all the requirements of this  chapter, provided they: 
    a. Have (i) disposed of less than 100 tons per day of solid  waste during a representative period prior to October 9, 1993; (ii) disposed of  less than 100 tons per day of solid waste each month between October 9, 1993,  and April 9, 1994; (iii) ceased to accept solid waste prior to April 9, 1994;  and (iv) whose units are not on the National Priority List as found in Appendix  B to 40 CFR Part 300; or 
    b. Have (i) disposed of more than 100 tons per day of solid  waste prior to October 9, 1993, and (ii) ceased to accept solid waste prior to  that date. 
    2. All other facilities. Owners and operators of facilities  who are local governmental entities or regional authorities that are not exempt  under subdivision 1 of this subsection are subject to the requirements of this  chapter. 
    9VAC20-70-70. Suspensions and revocations. 
    The director may revoke, suspend, or amend any permit for  cause as set in § 10.1-1409 of the Code of Virginia and as provided for in  9VAC20-80-600 9VAC20-81-570 and 9VAC20-80-620 9VAC20-81-600  of the Virginia Solid Waste Management Regulations, 9VAC20-120-790 and  9VAC20-120-810 of the Regulated Medical Waste Management Regulations, 9VAC20-101-200  of the Vegetative Waste Management and Yard Waste Composting Regulations,  and any other applicable regulations. Failure to provide or maintain adequate  financial assurance in accordance with these regulations shall be a basis for  revocation of such facility permit. Failure to provide or maintain adequate  financial assurance in accordance with this chapter, taken with other relevant  facts and circumstances, may be a basis for summary suspension of such facility  permit pending a hearing to amend or revoke the permit, or to issue any other appropriate  order. 
    9VAC20-70-75. Forfeitures. 
    Forfeiture of any financial obligation imposed pursuant to  this chapter shall not relieve any owner or operator of a solid waste  management facility from any obligations to comply with provisions of the Solid  Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  or the Regulated Medical Waste Management Regulations (9VAC20-120-10 et  seq.), the Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.) (9VAC20-120), and any other applicable  regulations or any other legal obligations for the consequences of abandonment  of any facility. 
    Article 2 
  Closure, Post-Closure Care and Corrective Action Requirements 
    9VAC20-70-90. Closure, post-closure care and corrective action  requirements. 
    A. The owner or operator shall close his facility in a manner  that minimizes the need for further maintenance; and controls, minimizes or  eliminates, to the extent necessary to protect human health and the  environment, the post-closure escape of uncontrolled leachate, surface runoff,  or waste decomposition products to the groundwater, surface water, or to the  atmosphere. The owner or operator shall close his facility in accordance with  all applicable regulations. 
    The closure standards applicable to the solid waste  management facilities are described in 9VAC20-80-210 B, 9VAC20-80-210 B 2,  9VAC20-80-250 E, 9VAC20-80-260 E, 9VAC20-80-270 E, 9VAC20-80-330 E,  9VAC20-80-340 E, 9VAC20-80-360 E, 9VAC20-80-370 E, 9VAC20-80-380 B, and  9VAC20-80-470 E 9VAC20-81-160, 9VAC20-81-360, and 9VAC20-81-370 of  the Solid Waste Management Regulations. The closure requirements applicable to  the regulated medical waste facilities are specified in 9VAC20-120-290 of the  Regulated Medical Waste Management Regulations. The closure requirements for  vegetative waste management and yard waste composting facilities are specified  in 9VAC20-101-150 of the Vegetative Waste Management and Yard Waste Composting  Regulations. 
    B. Following closure of each solid waste disposal unit, the  owner or operator shall conduct post-closure care in accordance with the  requirements of 9VAC20-80-250 F, 9VAC20-80-260 F, or 9VAC20-80-270 F 9VAC20-81-170  of the Solid Waste Management Regulations, as applicable. 
    C. The owner or operator shall institute a corrective action  program when required to do so by 9VAC20-80-190, 9VAC20-80-210 B 2, or  9VAC20-80-310 9VAC20-81-45 or 9VAC20-81-260 of the Solid Waste  Management Regulations, as applicable. 
    D. During any re-examination of a determination of the amount  of financial assurance required, the owner or operator of a landfill facility  not closed in accordance with 9VAC20-80-10 et seq. 9VAC20-81  shall demonstrate financial assurance by using one or more of the approved  mechanisms listed in Article 4 (9VAC20-70-140 et seq.) of this part for the  lesser of the following: 
    1. The amount requested by the director; or 
    2. The following default amounts: 
    a. $200,000 per acre of fill for sanitary landfills; or 
    b. $150,000 per acre of fill for construction demolition  debris landfills and industrial landfills. 
    9VAC20-70-113. Financial assurance for corrective action. 
    A. Within 120 days of a facility's finding or the director's  determining (whichever first occurs) that Groundwater Protection Standards  established as required by 9VAC20-80-250 D 6, or Appendix 5.6 D of  9VAC20-80-10 et seq. as applicable 9VAC20-81-250 have been  statistically exceeded, an owner or operator of a landfill or other unit  subject to groundwater monitoring shall provide additional financial assurance  in the amount of $1 million to the department using the mechanisms listed under  Article 4 (9VAC20-70-140 et seq.) of this part. The director shall release the  owner or operator from this requirement after the director has determined: 
    1. The owner or operator is providing financial assurance for  a corrective action program using one or more mechanisms listed under Article 4  (9VAC20-70-140 et seq.) of this part, as required under 9VAC20-70-90 C and  subsections B and C of this section; or 
    2. The owner of operator has achieved compliance with  Groundwater Protection Standards by demonstrating that concentrations of APPENDIX  5.1 constituents of 9VAC20-80-10 et seq. Table 3.1, Column B of  9VAC20-81-250 have not exceeded the Groundwater Protection Standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards. 
    B. An owner or operator of a solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  prepare and submit to the director a detailed written estimate, in current  dollars, of the cost of hiring a third party to perform the corrective action.  The corrective action cost estimate shall account for the total costs of  corrective action activities as described in the corrective action plan for the  entire corrective action period. The owner or operator shall notify the  director that the estimate has been placed in the operating record unless  corrective action is proceeding under Part IV of the Solid Waste Management  Regulations (9VAC20-80-10 et seq.) 9VAC20-81-45. In the latter case,  the new corrective action cost estimate shall be submitted to the director  within 30 days of its preparation. The corrective action cost estimate shall be  approved by the director. 
    1. The owner or operator shall adjust the estimate annually  for inflation within 60 days prior to the anniversary date of the establishment  of the financial mechanism used to comply with this part until the corrective  action program is completed. For owners or operators using the financial test  or guarantee, the corrective action cost estimate shall be updated for  inflation within 30 days after the close of the owner's or operator's fiscal  year. The adjustment process to be used is described in 9VAC20-70-111 B. 
    2. The owner or operator shall increase the corrective action  cost estimate and the amount of financial assurance provided under this  subsection no later than 30 days after revisions to the corrective action  program or where a change in the solid waste management unit conditions  increase the maximum costs of corrective action. 
    3. The owner or operator may request a reduction in the amount  of the corrective action cost estimate and the amount of financial assurance  provided under this subsection if the cost estimate exceeds the maximum  remaining costs of corrective action. The owner or operator shall submit a  revised cost estimate with the justification for the reduction to the director  when requesting a reduction in the amount of the corrective action cost  estimate and the amount of financial assurance provided. The justification  shall include an itemization of all corrective action costs. No reduction  request shall be reviewed until a complete cost estimate acceptable to the  department has been submitted. A request for a reduction in the corrective  action cost estimate shall be reviewed in a timely manner. 
    C. The owner or operator of each solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  establish financial assurance in the amount specified by the most recently  approved cost estimate for the selected remedy in accordance with  9VAC20-70-140. The owner or operator shall provide continuous coverage for  corrective action until released from financial assurance requirements for  corrective action by the director. 
    9VAC20-70-210. Local government financial test. 
    An owner or operator that satisfies the requirements of  subdivisions 1 through 3 of this section may demonstrate financial assurance  using the local government financial test up to the amount specified in  subdivision 4 of this section. 
    1. Financial component. 
    a. The owner or operator shall satisfy the provisions of  subdivision 1 a of this section, as applicable: 
    (1) If the owner or operator has outstanding, rated, general  obligation bonds that are not secured by insurance, a letter of credit, or  other collateral or guarantee, he shall supply the director with documentation  demonstrating that the owner or operator has a current rating of Aaa, Aa, A, or  Baa, as issued by Moody's, or AAA, AA, A, or BBB, as issued by Standard and  Poor's on all such general obligation bonds; or 
    (2) If the owner or operator does not have outstanding, rated  general obligation bonds, he shall satisfy each of the following financial  ratios based on the owner's or operator's most recent audited annual financial  statement: 
    (a) A ratio of cash plus marketable securities to total  expenditures greater than or equal to 0.05; and 
    (b) A ratio of annual debt service to total expenditures less  than or equal to 0.20. 
    b. The owner or operator shall prepare his financial  statements in conformity with Generally Accepted Accounting Principles for  governments and have its financial statements audited by an independent  certified public accountant or by the Auditor of Public Accounts. 
    c. An owner or operator is not eligible to assure its  obligations under this section if he: 
    (1) Is currently in default on any outstanding general  obligation bonds; 
    (2) Has any outstanding general obligation bonds rated lower  than Baa as issued by Moody's or BBB as issued by Standard and Poor's; 
    (3) Operated at a deficit equal to 5.0% or more of total  annual revenue in each of the past two fiscal years; or 
    (4) Receives an adverse opinion, disclaimer of opinion, or  other qualified opinion from the independent certified public accountant or  Auditor of Public Accounts auditing its financial statement as required under  subdivision 1 b of this section. However, the director may evaluate qualified  opinions on a case-by-case basis and allow use of the financial test in cases  where the director deems the qualification insufficient to warrant disallowance  of the test. 
    2. Public notice component. The local government owner or  operator shall place a reference to the closure, post-closure care, or  corrective action costs assured through the financial test into the next  comprehensive annual financial report (CAFR) after January 7, 1998, or prior to  the initial receipt of waste at the facility, whichever is later. Disclosure  shall include the nature and source of closure and post-closure requirements,  the reported liability at the balance sheet date, the estimated total closure  and post-closure care cost remaining to be recognized, the percentage of  landfill capacity used to date, and the estimated landfill life in years. A  reference to corrective action cost shall be placed in CAFR no later than 120  days after the corrective action remedy has been selected in accordance with 9VAC20-80-310  9VAC20-81-260. For the first year the financial test is used to assure  costs at a particular facility, the reference may instead be placed in the  operating record until issuance of the next available CAFR if timing does not  permit the reference to be incorporated into the most recently issued CAFR or  budget. For closure and post-closure care costs, conformance with Government  Accounting Standards Board Statement 18 assures compliance with this public  notice component. 
    3. Recordkeeping and reporting requirements. 
    a. The local government owner or operator must submit to the  department the following items and place copies of the items in the facility's  operating record: 
    (1) An original letter signed by the local government's chief  financial officer worded as specified in 9VAC20-70-290 G; 
    (2) The local government's independently audited year-end  financial statements for the latest fiscal year, including the unqualified  opinion of the auditor who must be an independent, certified public accountant  or an appropriate state agency that conducts equivalent comprehensive audits; 
    (3) A report to the local government from the local  government's independent certified public accountant (CPA) or the Auditor of  Public Accounts based on performing an agreed upon procedures engagement  relative to the financial ratios required by subdivision 1 a (3) of this  section, if applicable, and the requirements of subdivisions 1 b, 1 c (3) and 1  c (4) of this section. The CPA or state agency's report shall state the  procedures performed and the CPA or state agency's findings; 
    (4) A copy of the comprehensive annual financial report (CAFR)  used to comply with subdivision 2 of this section or certification that the  requirements of General Accounting Standards Board Statement 18 have been met; 
    (5) A certification from the local government's chief  executive officer stating in detail the method selected by the local government  for funding closure and post-closure costs. If the method selected by the local  government is a trust fund, escrow account or similar mechanism, there shall be  included a certification from the local government's chief financial officer  indicating the current reserve obligated to closure and post-closure care cost.  If the method selected by local governments is the use of annual operating  budget and Capital Investment Funds, there shall be a certification from the  local government's chief financial officer so indicating. Nothing herein shall  be construed to prohibit the local government from revising its plan for  funding closure and post-closure care costs if such revision provides economic  benefit to the local government and if such revision provides adequate means  for funding closure and post-closure care cost. This certification shall be  worded as specified in 9VAC20-70-290 H; and 
    (6) If the local government is required under this section to  fund a restricted sinking fund, escrow account, or to obtain an irrevocable  letter of credit, an original letter signed by the local government's chief  financial officer and worded as specified in 9VAC20-70-290 I must be submitted.  
    b. The items required in subdivision 3 a of this section shall  be submitted to the department and placed in the facility operating record as  follows: 
    (1) In the case of closure and post-closure care, either  before January 7, 1998, or prior to the initial receipt of waste at the  facility, whichever is later; or 
    (2) In the case of corrective action, not later than 120 days  after the corrective action remedy is selected in accordance with the  requirements of 9VAC20-80-310 9VAC20-81-260. 
    c. After the initial submission of the items, the local  government owner or operator must update the information, place a copy of the  updated information in the operating record, and submit the updated  documentation described in subdivisions 3 a (1) through (6) of this section to  the department within 180 days following the close of the owner or operator's  fiscal year. 
    d. The local government owner or operator is no longer  required to meet the requirements of subdivision 3 of this section when: 
    (1) The owner or operator substitutes alternate financial  assurance as specified in this section; or 
    (2) The owner or operator is released from the requirements of  this section in accordance with 9VAC20-70-111 E, 9VAC20-70-112 B, or  9VAC20-70-113 C. 
    e. A local government shall satisfy the requirements of the  financial test at the close of each fiscal year. If the local government owner  or operator no longer meets the requirements of the local government financial  test it must, within 210 days following the close of the owner or operator's  fiscal year, obtain alternative financial assurance that meets the requirements  of this section, place a copy of the financial assurance mechanism in the  operating record, and submit the original financial assurance mechanism to the  director. 
    f. The director, based on a reasonable belief that the local  government owner or operator may no longer meet the requirements of the local  government financial test, may require additional reports of financial  condition from the local government at any time. If the director finds, on the  basis of such reports or other information, that the owner or operator no  longer meets the requirements of the local government financial test, the local  government shall provide alternate financial assurance in accordance with this  article. 
    4. Calculation of costs to be assured. The portion of the  closure, post-closure, and corrective action costs for which an owner or  operator can assure under subdivision 1 of this section is determined as  follows: 
    a. If the local government owner or operator does not assure  other environmental obligations through a financial test, it may assure  closure, post-closure, and corrective action costs that equal up to 43% of the  local government's total annual revenue or the sum of total revenues of  constituent governments in the case of regional authorities. If the local  government assures closure, post-closure, and corrective action costs that  exceed 20% (but do not exceed 43%) of the local government's total annual  revenue or the sum of the revenue of constituent governments in the case of  regional authorities, the locality must also establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    b. If the local government assures other environmental obligations  through a financial test, including those associated with UIC facilities under  40 CFR 144.62, petroleum underground storage tank facilities under  9VAC25-590-10 et seq., PCB storage facilities under 40 CFR Part 761, and  hazardous waste treatment, storage, and disposal facilities under Part IX or X  of the Virginia Hazardous Waste Management Regulations (9VAC20-60-12 et  seq.) (9VAC20-60), it shall add those costs to the closure,  post-closure, and corrective action costs it seeks to assure under subdivision  1 of this section. The total shall not exceed 43% of the local government's  total annual revenue. If the local government's total environmental liabilities  assured through financial tests exceed 20% (but do not exceed 43%) of the local  government's total annual revenue or the sum of the revenue of constituent  governments in the case of regional authorities, the locality must also  establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    c. The owner or operator shall obtain an alternate financial  assurance mechanism for those costs that exceed the limits set in subdivisions  4 a and 4 b of this section. 
    9VAC20-70-290. Wording of financial mechanisms. 
    A. Wording of trust agreements. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    TRUST AGREEMENT 
    Trust agreement, the "Agreement," entered into as  of (date) by and between (name of the owner or operator), a (State)  (corporation, partnership, association, proprietorship), the  "Grantor," and (name of corporate trustee), a (State corporation)  (national bank), the "Trustee." 
    Whereas, the Virginia Waste Management Board has established  certain regulations applicable to the Grantor, requiring that the owner or operator  of a (solid) (regulated medical) (yard) waste (transfer station) (receiving)  (management) facility must provide assurance that funds will be available when  needed for (closure, post-closure care, or corrective action) of the facility, 
    Whereas, the Grantor has elected to establish a trust to  provide (all or part of) such financial assurance for the facility identified  herein, 
    Whereas, the Grantor, acting through its duly authorized  officers, has selected the Trustee to be the trustee under this agreement, and  the Trustee is willing to act as trustee, 
    Now, therefore, the Grantor and the Trustee agree as follows:  
    Section 1. Definitions. As used in this Agreement: 
    A. The term "fiduciary" means any person who  exercises any power of control, management, or disposition or renders  investment advice for a fee or other compensation, direct or indirect, with  respect to any moneys or other property of this trust fund, or has any  authority or responsibility to do so, or who has any authority or  responsibility in the administration of this trust fund. 
    B. The term "Grantor" means the owner or operator  who enters into this Agreement and any successors or assigns of the Grantor. 
    C. The term "Trustee" means the Trustee who enters  into this Agreement and any successor Trustee. 
    Section 2. Identification of Facility and Cost Estimates.  This Agreement pertains to facility(ies) and cost estimates identified on  attached Schedule A. 
    (NOTE: On Schedule A, for each facility list, as applicable,  the permit number, name, address, and the current closure, post-closure,  corrective action cost estimates, or portions thereof, for which financial  assurance is demonstrated by this Agreement.) 
    Section 3. Establishment of Fund. The Grantor and the Trustee  hereby establish a trust fund, the "Fund," for the benefit of the  Department of Environmental Quality, Commonwealth of Virginia. The Grantor and  the Trustee intend that no third party have access to the Fund except as herein  provided. The Fund is established initially as property consisting of cash or  securities, which are acceptable to the Trustee, described in Schedule B  attached hereto. Such property and any other property subsequently transferred  to the Trustee is referred to as the fund, together with all earnings and  profits thereon, less any payments or distributions made by the Trustee  pursuant to this Agreement. The Fund will be held by the Trustee, IN TRUST, as  hereinafter provided. The Trustee undertakes no responsibility for the amount  or adequacy of, nor any duty to collect from the Grantor, any payments to  discharge any liabilities of the Grantor established by the Commonwealth of  Virginia's Department of Environmental Quality. 
    Section 4. Payment for (Closure, Post-Closure Care, or  Corrective Action). The Trustee will make such payments from the Fund as the  Department of Environmental Quality, Commonwealth of Virginia will direct, in  writing, to provide for the payment of the costs of (closure, post-closure  care, corrective action) of the facility covered by this Agreement. The Trustee  will reimburse the Grantor or other persons as specified by the Department of  Environmental Quality, Commonwealth of Virginia, from the Fund for (closure,  post-closure care, corrective action) expenditures in such amounts as the  Department of Environmental Quality will direct, in writing. In addition, the  Trustee will refund to the Grantor such amounts as the Department of  Environmental Quality specifies in writing. Upon refund, such funds will no  longer constitute part of the Fund as defined herein. 
    Section 5. Payments Comprising the Fund. Payments made to the  Trustee for the fund will consist of cash or securities acceptable to the  Trustee. 
    Section 6. Trustee Management. The Trustee will invest and  reinvest the principal and income of the Fund and keep the Fund invested as a  single fund, without distinction between principal and income, in accordance  with investment guidelines and objectives communicated in writing to the  Trustee from time to time by the Grantor, subject, however, to the provisions  of this Section. In investing, reinvesting, exchanging, selling and managing  the Fund, the Trustee or any other fiduciary will discharge his duties with  respect to the trust fund solely in the interest of the beneficiary and with  the care, skill, prudence, and diligence under the circumstances then  prevailing which persons of prudence, acting in a like capacity and familiar  with such matters, would use in the conduct of any enterprise of a like  character and with like aims; except that: 
    A. Securities or other obligations of the Grantor, or any  other owner or operator of the facility, or any of their affiliates as defined  in the Investment Company Act of 1940, as amended, 15 USC § 80a-2(a), will not  be acquired or held, unless they are securities or other obligations of the  federal or a state government; 
    B. The Trustee is authorized to invest the Fund in time or  demand deposits of the Trustee, to the extent insured by an agency of the  federal or state government; and 
    C. The Trustee is authorized to hold cash awaiting investment  or distribution uninvested for a reasonable time and without liability for the  payment of interest thereon. 
    Section 7. Commingling and Investment. The Trustee is  expressly authorized in its discretion: 
    A. To transfer from time to time any or all of the assets of  the Fund to any common, commingled or collective trust fund created by the  Trustee in which the Fund is eligible to participate subject to all of the  provisions thereof, to be commingled with the assets of other trusts  participating herein. To the extent of the equitable share of the Fund in any  such commingled trust, such commingled trust will be part of the Fund; and 
    B. To purchase shares in any investment company registered  under the Investment Company Act of 1940, 15 USC § 80a-1 et seq., of one which  may be created, managed, underwritten, or to which investment advice is  rendered or the shares of which are sold by the Trustee. The Trustees may vote  such shares in its discretion. 
    Section 8. Express Powers of Trustee. Without in any way  limiting the powers and discretions conferred upon the Trustee by the other  provisions of this Agreement or by law, the Trustee is expressly authorized and  empowered: 
    A. To sell, exchange, convey, transfer or otherwise dispose of  any property held by it, by private contract or at public auction. No person  dealing with the Trustee will be bound to see to the application of the  purchase money or to inquire into the validity or expediency of any such sale  or other dispositions; 
    B. To make, execute, acknowledge and deliver any and all  documents of transfer and conveyance and any and all other instruments that may  be necessary or appropriate to carry out the powers herein granted; 
    C. To register any securities held in the fund in its own name  or in the name of a nominee and to hold any security in bearer form or in book  entry, or to combine certificates representing such securities with  certificates of the same issue held by the Trustee in other fiduciary  capacities, or to deposit or arrange for the deposit of such securities in a  qualified central depository even though, when so deposited, such securities  may be merged and held in bulk in the name of the nominee of such depository  with other securities deposited therein by another person, or to deposit or  arrange for the deposit of any securities issued by the United State  government, or any agency or instrumentality thereof with a Federal Reserve  Bank, but the books and records of the Trustee will at all times show that all  such securities are part of the Fund; 
    D. To deposit any cash in the fund in interest-bearing  accounts maintained or savings certificates issued by the Trustee, in its  separate corporate capacity, or in any other banking institution affiliated  with the Trustee, to the extent insured by an agency of the Federal or State  government; and 
    E. To compromise or otherwise adjust all claims in favor of or  against the Fund. 
    Section 9. Taxes and Expenses. All taxes of any kind that may  be assessed or levied against or in respect of the Fund and all brokerage  commissions incurred by the Fund will be paid from the Fund. All other expenses  incurred by the Trustee in connection with the administration of this Trust,  including fees for legal services rendered to the Trustee, the compensation of  the Trustee to the extent not paid directly by the Grantor, and all other  proper charges and disbursements of the Trustee will be paid from the Fund. 
    Section 10. Annual Valuation. The Trustee will annually, at  the end of the month coincident with or preceding the anniversary date of  establishment of the Fund, furnish the Grantor and to the director of the  Department of Environmental Quality, Commonwealth of Virginia, a statement  confirming the value of the Trust. Any securities in the Fund will be valued at  market value as of no more than 30 days prior to the date of the statement. The  failure of the Grantor to object in writing to the Trustee within 90 days after  the statement has been furnished to the Grantor and the director of the  Department of Environmental Quality, Commonwealth of Virginia will constitute a  conclusively binding assent by the Grantor, barring the Grantor from asserting  any claim or liability against the Trustee with respect to matters disclosed in  the statement. 
    Section 11. Advice of Counsel. The Trustee may from time to  time consult with counsel, who may be counsel to the Grantor, with respect to  any question arising as to the construction of this Agreement or any action to  be taken hereunder. The Trustee will be fully protected, to the extent  permitted by law, in acting upon the advice of counsel. 
    Section 12. Trustee Compensation. The Trustee will be  entitled to reasonable compensation for its services as agreed upon in writing  from time to time with the Grantor. 
    Section 13. Successor Trustee. The Trustee may resign or the  Grantor may replace the Trustee, but such resignation or replacement shall not  be effective until the Grantor has appointed a successor trustee and this  successor accepts the appointment. The successor trustee shall have the same  powers and duties as those conferred upon the Trustee hereunder. Upon  acceptance of the appointment by the successor trustee, the Trustee will  assign, transfer and pay over to the successor trustee the funds and properties  then constituting the Fund. If for any reason the grantor cannot or does not  act in the event of the resignation of the Trustee, the Trustee may apply to a  court of competent jurisdiction for the appointment of a successor trustee or  for instructions. The successor trustee and the date on which he assumes  administration of the trust will be specified in writing and sent to the  Grantor, the director of the Department of Environmental Quality, Commonwealth  of Virginia, and the present trustees by certified mail 10 days before such  change becomes effective. Any expenses incurred by the Trustee as a result of  any of the acts contemplated by this section will be paid as provided in Part  IX. 
    Section 14. Instructions to the Trustee. All orders, requests  and instructions by the Grantor to the Trustee will be in writing, signed by  such persons as are designated in the attached Exhibit A or such other  designees as the grantor may designate by amendment to Exhibit A. The Trustee  will be fully protected in acting without inquiry in accordance with the  Grantor's orders, requests and instructions. All orders, requests, and  instructions by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, to the Trustee will be in writing, signed by the  Director and the Trustee will act and will be fully protected in acting in  accordance with such orders, requests and instructions. The Trustee will have  the right to assume, in the absence of written notice to the contrary, that no  event constituting a change or a termination of the authority of any person to  act on behalf of the Grantor or the Commonwealth of Virginia's Department of  Environmental Quality hereunder has occurred. The Trustee will have no duty to  act in the absence of such orders, requests and instructions from the Grantor  and/or the Commonwealth of Virginia's Department of Environmental Quality,  except as provided for herein. 
    Section 15. Notice of Nonpayment. The Trustee will notify the  Grantor and the Director of the Department of Environmental Quality,  Commonwealth of Virginia, by certified mail within 10 days following the  expiration of the 30-day period after the anniversary of the establishment of  the Trust, if no payment is received from the Grantor during that period. After  the pay-in period is completed, the Trustee is not required to send a notice of  nonpayment. 
    Section 16. Amendment of Agreement. This Agreement may be  amended by an instrument in writing executed by the Grantor, the Trustee, and  the Director of the Department of Environmental Quality, Commonwealth of  Virginia, or by the Trustee and the Director of the Department of Environmental  Quality, Commonwealth of Virginia, if the Grantor ceases to exist. 
    Section 17. Irrevocability and Termination. Subject to the  right of the parties to amend this Agreement as provided in Section 16, this  Trust will be irrevocable and will continue until terminated at the written  agreement of the Grantor, the Trustee, and the Director of the Department of  Environmental Quality, Commonwealth of Virginia, or by the Trustee and the  Director if the Grantor ceases to exist. Upon termination of the Trust, all  remaining trust property, less final trust administration expenses, will be  delivered to the Grantor. 
    Section 18. Immunity and Indemnification. The Trustee will  not incur personal liability of any nature in connection with any act or  omission, made in good faith, in the administration of this Trust, or in  carrying out any directions by the Grantor or the Director of the Department of  Environmental Quality, Commonwealth of Virginia, issued in accordance with this  Agreement. The Trustee will be indemnified and saved harmless by the Grantor or  from the Trust Fund, or both, from and against any personal liability to which  the Trustee may be subjected by reason of any act or conduct in its official  capacity, including all expenses reasonably incurred in its defense in the  event the Grantor fails to provide such defense. 
    Section 19. Choice of Law. This Agreement will be  administered, construed and enforced according to the laws of the Commonwealth  of Virginia. 
    Section 20. Interpretation. As used in the Agreement, words  in the singular include the plural and words in the plural include the  singular. The descriptive headings for each section of this Agreement will not  affect the interpretation of the legal efficacy of this Agreement. 
    In witness whereof the parties have caused this Agreement to  be executed by their respective officers duly authorized and their corporate  seals to be hereunto affixed and attested as of the date first above written.  The parties below certify that the wording of this Agreement is identical to  the wording specified in 9VAC20-70-290 A of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer and Treatment Facilities, as such regulations  were constituted on the date shown immediately below. 
           |      (Signature of Grantor)      |                 |    
       |      By: (Title)      |          (Date)      |    
       |      Attest:      |                 |    
       |      (Title)      |          (Date)      |    
       |      (Seal)      |                 |    
       |      (Signature of Trustee)      |                 |    
       |      By      |                 |    
       |      Attest:      |                 |    
       |      (Title)      |                 |    
       |      (Seal)      |          (Date)      |    
  
    Certification of Acknowledgment: 
    COMMONWEALTH OF VIRGINIA 
    STATE OF __________ 
    CITY/COUNTY OF __________ 
    On this date, before me personally came (owner or operator)  to me known, who being by me duly sworn, did depose and say that she/he resides  at (address), that she/he is (title) of (corporation), the corporation  described in and which executed the above instrument; that she/he knows the  seal of said corporation; that the seal affixed to such instrument is such  corporate seal; that it was so affixed by order of the Board of Directors of said  corporation, and that she/he signed her/his name thereto by like order. 
    (Signature of Notary Public) 
    B. Wording of surety bond guaranteeing performance or  payment. 
    (NOTE: instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    PERFORMANCE OR PAYMENT BOND 
    Date bond executed: __________ 
    Effective date: __________ 
    Principal: (legal name and business address) _____________ 
    Type of organization: (insert "individual,"  "joint venture," "partnership," or "corporation")  _____________ 
    State of incorporation: __________ 
    Surety: (name and business address) _____________ 
    Name, address, permit number, if any, and (closure,  post-closure care, or corrective action) cost estimate for the facility:  _____________ 
    Penal sum of bond: $________ 
    Surety's bond number: __________ 
    Know all men by these present, That we, the Principal and  Surety hereto are firmly bound to the Department of Environmental Quality,  Commonwealth of Virginia, (hereinafter called the Department) in the above  penal sum for the payment of which we bind ourselves, our heirs, executors,  administrators, successors and assigns, jointly and severally; provided that,  where the Surety(ies) are corporations acting as co-sureties, we, the Sureties,  bind ourselves in such sum "jointly and severally" only for the  purpose of allowing a joint action or actions against any or all of us, and for  all other purposes each Surety binds itself, jointly and severally with the  Principal, for the payment of each sum only as is set forth opposite the name  of such Surety, but if no limit of liability is indicated, the limit of  liability shall be the full amount of the penal sum. 
    Whereas, said Principal is required to have a permit from the  Department of Environmental Quality, Commonwealth of Virginia, in order to own  or operate the (solid, regulated medical, yard) waste management facility  identified above, and 
    Whereas, said Principal is required to provide financial  assurance for (closure, post-closure care, corrective action) of the facility  as a condition of the permit or an order issued by the department, 
    Now, therefore the conditions of this obligation are such  that if the Principal shall faithfully perform (closure, post-closure care,  corrective action), whenever required to do so, of the facility identified  above in accordance with the order or the (closure, post-closure care,  corrective action) plan submitted to receive said permit and other requirements  of said permit as such plan and permit may be amended or renewed pursuant to  all applicable laws, statutes, rules, and regulations, as such laws, statutes,  rules, and regulations may be amended, 
    Or, if the Principal shall faithfully perform (closure,  post-closure care, corrective action) following an order to begin (closure,  post-closure care, corrective action) issued by the Commonwealth of Virginia's  Department of Environmental Quality or by a court, or following a notice of  termination of the permit, 
    Or, if the Principal shall provide alternate financial assurance  as specified in the Department's regulations and obtain the director's written  approval of such assurance, within 90 days of the date notice of cancellation  is received by the Director of the Department of Environmental Quality from the  Surety, then this obligation will be null and void, otherwise it is to remain  in full force and effect for the life of the management facility identified  above. 
    The Surety shall become liable on this bond obligation only  when the Principal has failed to fulfill the conditions described above. Upon  notification by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, that the Principal has been found in violation of the  requirements of the Department's regulations, the Surety must either perform  (closure, post-closure care, corrective action) in accordance with the approved  plan and other permit requirements or forfeit the (closure, post-closure care,  corrective action) amount guaranteed for the facility to the Commonwealth of  Virginia. 
    Upon notification by the Director of the Department of  Environmental Quality, Commonwealth of Virginia, that the Principal has been  found in violation of an order to begin (closure, post-closure care, corrective  action), the Surety must either perform (closure, post-closure care, corrective  action) in accordance with the order or forfeit the amount of the (closure,  post-closure care, corrective action) guaranteed for the facility to the  Commonwealth of Virginia. 
    The Surety hereby waives notification of amendments to the  (closure, post-closure care, corrective action) plans, orders, permit,  applicable laws, statutes, rules, and regulations and agrees that such  amendments shall in no way alleviate its obligation on this bond. 
    For purposes of this bond, (closure, post-closure care,  corrective action) shall be deemed to have been completed when the Director of  the Department of Environmental Quality, Commonwealth of Virginia, determines  that the conditions of the approved plan have been met. 
    The liability of the Surety shall not be discharged by any  payment or succession of payments hereunder, unless and until such payment or  payments shall amount in the aggregate to the penal sum of the bond, but the  obligation of the Surety hereunder shall not exceed the amount of said penal  sum unless the Director of the Department of Environmental Quality,  Commonwealth of Virginia, should prevail in an action to enforce the terms of  this bond. In this event, the Surety shall pay, in addition to the penal sum  due under the terms of the bond, all interest accrued from the date the  Director of the Department of Environmental Quality, Commonwealth of Virginia,  first ordered the Surety to perform. The accrued interest shall be calculated  at the judgment rate of interest pursuant to § 6.1-330.54 6.2-302  of the Code of Virginia. 
    The Surety may cancel the bond by sending written notice of  cancellation to the owner or operator and to the Director of the Department of  Environmental Quality, Commonwealth of Virginia, provided, however, that cancellation  cannot occur (1) during the 120 days beginning on the date of receipt of the  notice of cancellation by the director as shown on the signed return receipt;  or (2) while an enforcement action is pending. 
    The Principal may terminate this bond by sending written  notice to the Surety, provided, however, that no such notice shall become  effective until the Surety receives written authorization for termination of  the bond by the Director of the Department of Environmental Quality,  Commonwealth of Virginia. 
    In witness whereof, the Principal and Surety have executed  this Performance Bond and have affixed their seals on the date set forth above.  
    The persons whose signatures appear below hereby certify that  they are authorized to execute this surety bond on behalf of the Principal and  Surety and I hereby certify that the wording of this surety bond is identical  to the wording specified in 9VAC20-70-290 B of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    Principal 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Surety 
    Name and Address: __________ 
    State of Incorporation: __________ 
    Liability Limit: $___ 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Seal: 
    C. Wording of irrevocable standby letter of credit. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    IRREVOCABLE STANDBY LETTER OF CREDIT 
    Director 
    Department of Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia 23240-0009 
    Dear (Sir or Madam): 
    We hereby establish our Irrevocable Letter of Credit No......  in your favor at the request and for the account of (owner's or operator's name  and address) up to the aggregate amount of (in words) U.S. dollars $____,  available upon presentation of 
    1. Your sight draft, bearing reference to this letter of  credit No ____ together with 
    2. Your signed statement declaring that the amount of the  draft is payable pursuant to regulations issued under the authority of the  Department of Environmental Quality, Commonwealth of Virginia. 
    The following amounts are included in the amount of this  letter of credit: (Insert the facility permit number, if any, name and address,  and the closure, post-closure care, corrective action cost estimate, or  portions thereof, for which financial assurance is demonstrated by this letter  of credit.) 
    This letter of credit is effective as of (date) and will  expire on (date at least one year later), but such expiration date will be  automatically extended for a period of (at least one year) on (date) and on  each successive expiration date, unless, at least 120 days before the current  expiration date, we notify you and (owner or operator's name) by certified mail  that we decide not to extend the Letter of Credit beyond the current expiration  date. In the event you are so notified, unused portion of the credit will be  available upon presentation of your sight draft for 120 days after the date of  receipt by you as shown on the signed return receipt or while a compliance  procedure is pending, whichever is later. 
    Whenever this letter of credit is drawn on under and in  compliance with the terms of this credit, we will duly honor such draft upon  presentation to us, and we will pay to you the amount of the draft promptly and  directly. 
    I hereby certify that I am authorized to execute this letter  of credit on behalf of (issuing institution) and I hereby certify that the  wording of this letter of credit is identical to the wording specified in  9VAC20-70-290 C of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities as such regulations were  constituted on the date shown immediately below. 
    Attest: 
    (Print name and title of official of issuing institution)  (Date) 
        This credit is subject to (insert "the most recent  edition of the Uniform Customs and Practice for Documentary Credits, published by  the International Chamber of Commerce," of "the Uniform Commercial  Code.") 
    D. Assignment of certificate of deposit account. 
    City _______________________ ____________, 20___ 
    FOR VALUE RECEIVED, the undersigned assigns all right, title  and interest to the Virginia Department of Environmental Quality, Commonwealth  of Virginia, and its successors and assigns the Virginia Department of  Environmental Quality the principal amount of the instrument, including all  monies deposited now or in the future to that instrument, indicated below: 
    ( ) If checked here, this assignment includes all interest  now and hereafter accrued. 
    Certificate of Deposit Account No. _____________________ 
    This assignment is given as security to the Virginia  Department of Environmental Quality in the amount of _______________________  Dollars ($_____________). 
    Continuing Assignment. This assignment shall continue to  remain in effect for all subsequent terms of the automatically renewable  certificate of deposit. 
    Assignment of Document. The undersigned also assigns any  certificate or other document evidencing ownership to the Virginia Department  of Environmental Quality. 
    Additional Security. This assignment shall secure the payment  of any financial obligation of the (name of owner/operator) to the Virginia  Department of Environmental Quality for ("closure" "post closure  care" "corrective action") at the (facility name and permit  number) located (physical address) 
    Application of Funds. The undersigned agrees that all or any  part of the funds of the indicated account or instrument may be applied to the  payment of any and all financial assurance obligations of (name of  owner/operator) to the Virginia Department of Environmental Quality for  ("closure" "post closure care" "corrective  action") at the (facility name and address). The undersigned authorizes  the Virginia Department of Environmental Quality to withdraw any principal  amount on deposit in the indicated account or instrument including any  interest, if indicated, and to apply it in the Virginia Department of  Environmental Quality's discretion to fund ("closure" "post  closure care" "corrective action") at the (facility name) or in  the event of (owner or operator's) failure to comply with the Virginia Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities, 9VAC20-70-10 et seq 9VAC20-70. The undersigned agrees  that the Virginia Department of Environmental Quality may withdraw any  principal and/or interest from the indicated account or instrument without demand  or notice. (The undersigned) agrees to assume any and all loss of penalty due  to federal regulations concerning the early withdrawal of funds. Any partial  withdrawal of principal or interest shall not release this assignment. 
    The party or parties to this Assignment set their hand or  seals, or if corporate, has caused this assignment to be signed in its  corporate name by its duly authorized officers and its seal to be affixed by  authority of its Board of Directors the day and year above written. 
           |             |                 |          SEAL       |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
       |             |                 |          SEAL      |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
  
    THE FOLLOWING SECTION IS TO BE COMPLETED BY THE BRANCH OR  LENDING OFFICE: 
    The signature(s) as shown above compare correctly with the  name(s) as shown on record as owner(s) of the Certificate of Deposit indicated  above. The above assignment has been properly recorded by placing a hold in the  amount of $ _______________________ for the benefit of the Department of  Environmental Quality. 
    ( ) If checked here, the accrued interest on the Certificate  of Deposit indicated above has been maintained to capitalize versus being  mailed by check or transferred to a deposit account. 
           |             |                 |                 |    
       |      (Signature)      |                 |          (Date)      |    
       |             |                 |                 |    
       |      (print name)      |                 |                 |    
       |             |                 |                 |    
       |      (Title)      |                 |                 |    
  
    E. Wording of certificate of insurance. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    CERTIFICATE OF INSURANCE 
    Name and Address of Insurer (herein called the  "Insurer"): 
    _____________ 
    _____________
    Name and Address of Insured (herein called the  "Insured"): 
    _____________ 
    _____________ 
    _____________
    Facilities Covered: (List for each facility: Permit number  (if applicable), name, address and the amount of insurance for closure,  post-closure care, or corrective action. (These amounts for all facilities  covered shall total the face amount shown below.)) 
    Face Amount: $___ 
    Policy Number: __________ 
    Effective Date: __________ 
    The Insurer hereby certifies that it has issued to the  Insured the policy of insurance identified above to provide financial assurance  for (insert "closure," "post-closure care,"  "corrective action") for the facilities identified above. The Insurer  further warrants that such policy conforms in all respects with the requirements  of 9VAC20-70-190 of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities ("Regulations") (9VAC20-70-10  et seq.) (9VAC20-70), as such regulations were constituted on the  date shown immediately below. It is agreed that any provision of the policy  inconsistent with such regulations is hereby amended to eliminate such  inconsistency. 
    Whenever requested by the Director, the Insurer agrees to  furnish to the Director a duplicate original of the policy listed above,  including all endorsements thereon. 
    I hereby certify that the wording of this certificate is  identical to the wording specified in 9VAC20-70-290 E of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Authorized signature for Insurer) 
    (Name of person signing) 
    (Title of person signing) 
    Signature of witness or notary: 
    (Date) 
    F. Wording of letter from chief financial officer. 
    (NOTE: Instructions in  parentheses are to be replaced with the relevant information and the  parentheses removed.) 
    Director 
    Department of  Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia  23240-0009 
    Dear (Sir, Madam): 
    I am the chief financial officer of (name and address of  firm). This letter is in support of this firm's use of the financial test to  demonstrate financial assurance, as specified in 9VAC20-70-200 of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities (9VAC20-70-10 et seq.) (9VAC20-70)  ("Regulations"). 
    (Fill out the following four paragraphs regarding solid  waste, regulated medical waste, yard waste composting, hazardous waste,  underground injection (regulated under the federal program in 40 CFR Part 144,  or its equivalent in other states), petroleum underground storage (9VAC25-590-10  et seq.) (9VAC25-590), above ground storage facilities (9VAC25-640-10  et seq.) (9VAC25-640) and PCB storage (regulated under 40 CFR Part  761) facilities and associated cost estimates. If your firm has no facilities  that belong in a particular paragraph, write "None" in the space  indicated. For each facility, include its name, address, permit number, if any,  and current closure, post-closure care, corrective action or any other  environmental obligation cost estimates. Identify each cost estimate as to  whether it is for closure, post-closure care, corrective action or other  environmental obligation.) 
    1. This firm is the owner or operator of the following  facilities for which financial assurance is demonstrated through the corporate  test specified in 9VAC20-70-200 or its equivalent in other applicable  regulations. The current cost estimates covered by the test are shown for each  facility: 
    2. This firm guarantees, through the corporate guarantee  specified in 9VAC20-70-220, the financial assurance for the following  facilities owned or operated by subsidiaries of this firm. The current cost  estimates so guaranteed are shown for each facility: 
    3. This firm, as owner or operator or guarantor, is  demonstrating financial assurance for the following facilities through the use  of a financial test. The current cost estimates covered by such a test are  shown for each facility: 
    4. This firm is the owner or operator of the following waste  management facilities for which financial assurance is not demonstrated through  the financial test or any other financial assurance mechanism. The current cost  estimates for the facilities which are not covered by such financial assurance  are shown for each facility: 
    This firm (insert "is required" or "is not  required") to file a Form 10K with the Securities and Exchange Commission  (SEC) for the latest fiscal year. 
    The fiscal year of this firm ends on (month, day). The  figures for the following items marked with an asterisk are derived from this  firm's independently audited, year-end financial statements for the latest  completed fiscal year, ended (date). 
           |      1) Sum of current closure, post-closure care, corrective    action or other environmental obligations cost estimates (total of all cost    estimates shown in the four paragraphs above.)       |          $__________      |    
       |      2) Tangible net worth*       |          $__________      |    
       |      3) Total assets located in the United States*       |          $__________      |    
       |             |           YES      |          NO      |    
       |      Line 2 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
       |      Line 3 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
        |      |      |      |    
  
    (Fill in Alternative I if the criteria of 9VAC20-70-200 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-200 1 a (2)  are used. Fill in Alternative III if the criteria of 9VAC20-70-200 1 a (3) are  used.) 
    ALTERNATIVE I 
    Current bond rating of this firm's senior unsubordinated debt  and name of rating service 
    Date of issuance of bond 
    Date of maturity of bond 
           |      ALTERNATIVE II       |    
       |      4) Total liabilities* (if any portion of the closure,    post-closure care, corrective action or other environmental obligations cost    estimates is included in total liabilities, you may deduct the amount of that    portion from this line and add that amount to line 5.)       |          $___________      |    
       |      5) Net worth*       |          $___________      |    
       |      Is line 4 divided by line 5 less than 1.5?      |          YES      |          NO      |    
        |      |      |      |    
  
     
     
                    ALTERNATIVE III       |    
       |      6) Total liabilities*        |          $___________      |    
       |      7) The sum of net income plus depreciation, depletion, and    amortization minus $10 million*      |                 |          $___________      |    
       |      Is line 7 divided by line 6 less than 0.1?      |           YES      |          NO      |                 |    
        |      |      |      |    
  
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 F of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name) 
    (Title) 
    (Date) 
    G. Wording of the local government letter from chief  financial officer. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    LETTER FROM CHIEF FINANCIAL OFFICER 
    I am the chief financial officer of (insert: name and address  of local government owner or operator, or guarantor). This letter is in support  of the use of the financial test to demonstrate financial responsibility for  ("closure care" "post-closure care" "corrective action  costs") arising from operating a solid waste management facility. 
    The following facilities are assured by this financial test:  (List for each facility: the name and address of the facility, the permit  number, the closure, post-closure and/or corrective action costs, whichever  applicable, for each facility covered by this instrument). 
    This owner's or operator's financial statements were prepared  in conformity with Generally Accepted Accounting Principles for governments and  have been audited by ("an independent certified public accountant"  "Auditor of Public Accounts"). The owner or operator has not received  an adverse opinion or a disclaimer of opinion from ("an independent  certified public accountant" "Auditor of Public Accounts") on  its financial statements for the latest completed fiscal year. 
    This owner or operator is not currently in default on any  outstanding general obligation bond. Any outstanding issues of general  obligation, if rated, have a Moody's rating of Aaa, Aa, A, or Baa or a Standard  and Poor's rating of AAA, AA, A or BBB; if rated by both firms, the bonds have  a Moody's rating of Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA,  AA, A, or BBB. 
    The fiscal year of this owner or operator ends on (month,  day). The figures for the following items marked with the asterisk are derived  from this owner's or operator's independently audited, year-end financial  statements for the latest completed fiscal year ended (date). 
    (Please complete Alternative I or Alternative II.) 
    (Fill in Alternative I if the criteria in 9VAC20-70-210 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-210 1 a (2)  are used.) 
    ALTERNATIVE I—BOND RATING TEST 
    The details of the issue date, maturity, outstanding amount,  bond rating, and bond rating agency of all outstanding general obligation bond  issues that are being used by (name of local government owner or operator, or  guarantor) to demonstrate financial responsibility are as follows: (complete  table): 
           |      Issue Date      |          Maturity Date      |          Outstanding Amount      |          Bond Rating      |          Rating Agency      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
  
    Any outstanding issues of general obligation bonds, if rated,  have a Moody's rating of Aaa, Aa, A, or Baa or a Standard and Poor's rating of  AAA, AA, A or BBB; if rated by both firms, the bonds have a Moody's rating of  Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA, AA, A or BBB. 
           |      1) Sum of current closure,    post-closure and corrective action cost estimates (total of all cost    estimates listed above)      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |             |           YES      |          NO      |                 |    
       |      5) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |                 |    
       |      6) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |                 |    
       |      7) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |                 |    
       |      8) Is (line 1 + line 4e) <= (line 3a x 0.20)?      |          ____      |          ____      |                 |    
        |      |      |      |      |      |    
  
    If the answer to line 7 is yes and the answer to line 8 is  no, please attach documentation from the agent/trustee /issuing institution  stating the current balance of the account/fund /irrevocable letter of credit  as of the latest fiscal reporting year to this form as required by  9VAC20-70-210. 
    ALTERNATIVE II—FINANCIAL RATIO  TEST 
           |      1) Sum of current closure, post-closure and corrective    action cost estimates      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |      *5) Cash plus marketable securities      |          $_______________      |    
       |      *6) Total Expenditures      |          $_______________      |    
       |      *7) Annual Debt Service      |          $_______________      |    
       |             |          YES      |          NO      |    
       |      8) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |    
       |      9) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |    
       |      10) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |    
       |      11) Is (line 5 / line 6) >= 0.05?      |          ____      |          ____      |    
       |      12) Is (line 7 / line 6) <= 0.20?      |          ____      |          ____      |    
       |      13) Is (line 1 + line 4e) <= (line 3a x.20)      |          ____      |          ____      |    
  
    If the answer to line 13 is no, please attach documentation  from the agent/trustee/issuing institution stating the current balance of the  account/fund/irrevocable letter of credit as of the latest fiscal reporting  year to this form as required by 9VAC20-70-210. 
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 G of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    H. Certification of funding. 
    CERTIFICATION OF FUNDING 
    I certify the following information details the current plan  for funding closure and post closure at the solid waste management facilities  listed below. 
           |       Facility Permit #       |                 |          Source for funding closure and post closure       |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |      Name of Locality or Corporation:    _______________________________________      |    
       |             |                 |                 |                 |                 |    
       |      Signature      |                 |          Printed Name      |                 |          Date      |    
       |             |                 |                 |                 |                 |    
       |      Title      |                 |                 |                 |                 |    
        |      |      |      |      |      |      |      |    
  
    I. Certification of escrow/sinking fund /irrevocable letter  of credit balance. 
    CERTIFICATION OF ESCROW/SINKING FUND BALANCE OR AMOUNT OF  IRREVOCABLE LETTER OF CREDIT 
    I am the Chief Financial Officer of (name of locality) and  hereby certify that as of (date) the current balance in the restricted sinking  (type of fund) fund or the escrow account or the amount of the irrevocable  letter of credit restricted to landfill closure costs is $_____________ 
    The calculation used to determine the amount required to be  funded is as follows: 
    (Show the values that were used in the following formula: 
    (CE * CD) - E 
    Where CE is the current closure cost estimate, CD is the  percentage of landfill capacity used to date, and E is current year expenses  for closure.) 
    Therefore, this account has been funded or an irrevocable  letter of credit has been obtained in accordance with the Financial Assurance  Regulations for Solid Waste Disposal, Transfer and Treatment Facilities, 9VAC20-70-10  et seq 9VAC20-70. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    J. Wording of corporate guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    CORPORATE GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a business corporation organized under the laws of the state of (insert name of  state), herein referred to as guarantor. This guarantee is made on behalf of  the (owner or operator) of (business address), which is (one of the following:  "our subsidiary"; "a subsidiary of (name and address of common  parent corporation) of which guarantor is a subsidiary"; or "an  entity with which the guarantor has a substantial business relationship, as  defined in Part I of the Virginia Financial Assurance Regulations for Solid  Waste Disposal, Transfer, and Treatment Facilities (9VAC20-70-10 et seq.)  (9VAC20-70)") to the Virginia Department of Environmental Quality  ("Department"), obligee, on behalf of our subsidiary (owner or  operator) of (business address). 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-200 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-220 of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer, and Treatment Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care, corrective  action or other environmental obligations.) 
    3. "Closure plans", "post-closure care  plans" and "corrective action plans" as used below refer to the  plans maintained as required by the Solid Waste Management Regulations (9VAC20-80-10  et seq.), (9VAC20-81), or the Regulated Medical Waste Management  Regulations (9VAC20-120-10 et seq.), (9VAC20-120) or  Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.). 
    4. For value received from (owner or operator), guarantor guarantees  to the Department that in the event that (owner or operator) fails to perform  (insert "closure," "post-closure care," or "corrective  action") of the above facility(ies) in accordance with the closure or  post-closure care plans and other (requirements of the) permit or (the order)  whenever required to do so, the guarantor shall do so or establish a trust fund  as specified in 9VAC20-70-140 in the name of (owner or operator) in the amount  of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (Bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure, post-closure or corrective action plan, amendment or modification of  the permit, amendment or modification of the order, the extension or reduction  of the time of performance of closure, post-closure, or corrective action or  any other modification or alteration of an obligation of the owner or operator  pursuant to the (Virginia Solid or Regulated Medical Waste Management or  Vegetative Waste Management and Yard Waste Composting Regulations or § 10.1-1454.1 of the Code of Virginia) (Solid Waste Management Regulations  or Regulated Medical Waste Management Regulations or § 10.1-1454.1 of the  Code of Virginia). 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. (Insert the following language if the guarantor is (a) a  direct or higher-tier corporate parent, or (b) a firm whose parent corporation  is also the parent corporation of the owner or operator:) Guarantor may  terminate this guarantee by sending notice by certified mail to the Director of  the Department of Environmental Quality and to the (owner or operator),  provided that this guarantee may not be terminated unless and until (the owner  or operator) obtains and the director approves, alternate (closure,  post-closure, corrective action) coverage complying with the requirements of 9VAC20-70-10  et seq 9VAC20-70. (Insert the following language if the guarantor is  a firm qualifying as a guarantor due to its "substantial business  relationship" with the owner or operator:) Guarantor may terminate this  guarantee 120 days following the receipt of notification, through certified  mail, by the director and by (the owner or operator). 
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of the  Regulations, and obtain written approval of such assurance from the director  within 90 days after a notice of cancellation by the guarantor is received by  the director from guarantor, guarantor shall provide such alternate financial  assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording in 9VAC20-70-290 J of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    (Name of guarantor) 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    K. Wording of local government guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    LOCAL GOVERNMENT GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a local government created under the laws of the state of Virginia, herein  referred to as guarantor. This guarantee is made on behalf of the (owner or  operator) of (address), to the Virginia Department of Environmental Quality  ("Department"), obligee. 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-210 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-230 of the Financial Assurance Regulations  for Solid Waste Disposal, Treatment and Transfer Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care,  corrective action or other environmental obligations.) 
    3. "Closure plans" and "post-closure care  plans" as used below refer to the plans maintained as required by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.), or Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101-10 et seq.)  (9VAC20-81).
    4. For value received from (owner or operator), guarantor  guarantees to the Department that in the event that (owner or operator) fails  to perform (insert "closure," "post-closure care," or  "corrective action") of the above facility(ies) in accordance with  the closure or post-closure care plans and other (requirements of the) permit  or (the order) whenever required to do so, the guarantor shall do so or  establish a trust fund as specified in 9VAC20-70-150 in the name of (owner or  operator) in the amount of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations in  the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure or post-closure plan, amendment or modification of the closure or  post-closure plan, amendment or modification of the permit, amendment or  modification of the order, the extension or reduction of the time of performance  of the closure or post-closure, or any other modification or alteration of an  obligation of the owner or operator pursuant to the Virginia (Solid Waste  Management or Regulated Medical Waste Management) or Vegetative  Waste Management and Yard Waste Composting) Regulations. 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. Guarantor may terminate this guarantee by sending notice  by certified mail to the Director of the Department of Environmental Quality  and to the (owner or operator), provided that this guarantee may not be  terminated unless and until (the owner or operator) obtains and the director  approves, alternate (closure, post-closure, corrective action,) coverage  complying with the requirements of 9VAC20-70-10 et seq 9VAC20-70.  
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of  the Regulations, and obtain written approval of such assurance from the  director with 90 days after a notice of cancellation by the guarantor is  received by the director from guarantor, guarantor shall provide such alternate  financial assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording specified in 9VAC20-70-290 K of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Name of guarantor) __________ 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    Part I 
  Definitions 
    9VAC20-81-10. Definitions.
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at completion of  closure activities required by this chapter. 
    "Active portion" means that part of a facility or  unit that has received or is receiving wastes and that has not been closed in  accordance with this chapter. 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Airport" means, for the purpose of this chapter, a  military airfield or a public-use airport open to the public without prior  permission and without restrictions within the physical capacities of available  facilities.
    "Aquifer" means a geologic formation, group of  formations, or a portion of a formation capable of yielding significant  quantities of groundwater to wells or springs.
    "Ash" means the fly ash or bottom ash residual  waste material produced from incineration or burning of solid waste or from any  fuel combustion. 
    "Base flood" see "Hundred-year flood."
    "Bedrock" means the rock that underlies soil or  other unconsolidated, superficial material at a site. 
    "Benchmark" means a permanent monument constructed  of concrete and set in the ground surface below the frostline with identifying  information clearly affixed to it. Identifying information will include the  designation of the benchmark as well as the elevation and coordinates on the  local or Virginia state grid system. 
    "Beneficial use" means a use that is of benefit as  a substitute for natural or commercial products and does not contribute to  adverse effects on health or environment. 
    "Bioremediation" means remediation of contaminated  media by the manipulation of biological organisms to enhance the degradation of  contaminants. 
    "Bird hazard" means an increase in the likelihood  of bird/aircraft collisions that may cause damage to the aircraft or injury to  its occupants. 
    "Board" means the Virginia Waste Management Board. 
    "Bottom ash" means ash or slag that has been  discharged from the bottom of the combustion unit after combustion. 
    "Capacity" means the maximum permitted volume of  solid waste, inclusive of daily and intermediate cover, that can be disposed in  a landfill. This volume is measured in cubic yards.
    "Captive industrial landfill" means an industrial  landfill that is located on property owned or controlled by the generator of  the waste disposed of in that landfill.
    "Clean wood" means solid waste consisting of  untreated wood pieces and particles that do not contain paint, laminate,  bonding agents, or chemical preservatives or are otherwise unadulterated.
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of  this chapter. 
    "Closure" means that point in time when a permitted  landfill has been capped, certified as properly closed by a professional  engineer, inspected by the department, and closure notification is performed by  the department in accordance with 9VAC20-81-160 D. 
    "Coal combustion byproducts" or "CCB"  means residuals, including fly ash, bottom ash, boiler slag, and flue gas  emission control waste produced by burning coal. 
    "Combustion unit" means an incinerator, waste heat  recovery unit, or boiler. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants,  and shopping centers. 
    "Compliance schedule" means a time schedule for  measures to be employed on a solid waste management facility that will  ultimately upgrade it to conform to this chapter. 
    "Compost" means a stabilized organic product  produced by a controlled aerobic decomposition process in such a manner that  the product can be handled, stored, and/or applied to the land without  adversely affecting public health or the environment. 
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Conditionally exempt small quantity generator"  means a generator of hazardous waste who has been so defined in 40 CFR 261.5,  as amended. That section applies to the persons who generate in that calendar  month no more than 100 kilograms of hazardous waste or one kilogram of acutely  hazardous waste. 
    "Construction" means the initiation of permanent  physical change at a property with the intent of establishing a solid waste  management unit. This does not include land-clearing activities, excavation for  borrow purposes, activities intended for infrastructure purposes, or activities  necessary to obtain Part A siting approval (i.e., advancing of exploratory  borings, digging of test pits, groundwater monitoring well installation, etc.).
    "Construction/demolition/debris landfill" or  "CDD landfill" means a land burial facility engineered, constructed  and operated to contain and isolate construction waste, demolition waste,  debris waste, split tires, and white goods or combinations of the above solid  wastes. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes include,  but are not limited to lumber, wire, sheetrock, broken brick, shingles, glass,  pipes, concrete, paving materials, and metal and plastics if the metal or  plastics are a part of the materials of construction or empty containers for  such materials. Paints, coatings, solvents, asbestos, any liquid, compressed  gases or semi-liquids and garbage are not construction wastes. 
    "Contaminated soil" means, for the purposes of this  chapter, a soil that, as a result of a release or human usage, has absorbed or  adsorbed physical, chemical, or radiological substances at concentrations above  those consistent with nearby undisturbed soil or natural earth materials. 
    "Container" means any portable device in which a  material is stored, transported, treated, or otherwise handled and includes  transport vehicles that are containers themselves (e.g., tank trucks) and  containers placed on or in a transport vehicle. 
    "Containment structure" means a closed vessel such  as a tank or cylinder. 
    "Convenience center" means a collection point for  the temporary storage of solid waste provided for individual solid waste  generators who choose to transport solid waste generated on their own premises  to an established centralized point, rather than directly to a disposal  facility. To be classified as a convenience center, the collection point may  not receive waste from collection vehicles that have collected waste from more  than one real property owner. A convenience center shall be on a system of  regularly scheduled collections.
    "Cover material" means compactable soil or other  approved material that is used to blanket solid waste in a landfill.
    "Daily disposal limit" means the amount of solid  waste that is permitted to be disposed at the facility and shall be computed on  the amount of waste disposed during any operating day.
    "Debris waste" means wastes resulting from  land-clearing operations. Debris wastes include, but are not limited to stumps,  wood, brush, leaves, soil, and road spoils. 
    "Decomposed vegetative waste" means a stabilized organic  product produced from vegetative waste by a controlled natural decay process in  such a manner that the product can be handled, stored, or applied to the land  without adversely affecting public health or the environment.
    "Demolition waste" means that solid waste that is  produced by the destruction of structures and their foundations and includes  the same materials as construction wastes. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. For purposes of submissions to the director as specified  in the Waste Management Act, submissions may be made to the department. 
    "Discard" means to abandon, dispose of, burn,  incinerate, accumulate, store, or treat before or instead of being abandoned,  disposed of, burned, or incinerated. 
    "Discarded material" means a material that is: 
    1. Abandoned by being: 
    a. Disposed of; 
    b. Burned or incinerated; or 
    c. Accumulated, stored, or treated (but not used, reused, or  reclaimed) before or in lieu of being abandoned by being disposed of, burned,  or incinerated; or
    2. Recycled used, reused, or reclaimed material as defined in  this part.
    "Disclosure statement" means a sworn statement or  affirmation as required by § 10.1-1400 of the Code of Virginia. (see DEQ  Form DISC-01 and 02 (Disclosure Statement)).
    "Displacement" means the relative movement of any  two sides of a fault measured in any direction. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Disposal unit boundary" or "DUB" means  the vertical plane located at the edge of the waste disposal unit. This  vertical plane extends down into the uppermost aquifer. The DUB must be  positioned within or coincident to the waste management boundary.
    "EPA" means the United States Environmental  Protection Agency. 
    "Exempt management facility" means a site used for  activities that are conditionally exempt from management as a solid waste under  this chapter. The facility remains exempt from solid waste management  requirements provided it complies with the applicable conditions set forth in  Parts II (9VAC20-81-20 et seq.) and IV (9VAC20-81-300 et seq.) of this chapter.
    "Expansion" means a horizontal expansion of the  waste management boundary as identified in the Part A application. If a  facility's permit was issued prior to the establishment of the Part A process,  an expansion is a horizontal expansion of the disposal unit boundary. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Facility boundary" means the boundary of the solid  waste management facility. For landfills, this boundary encompasses the waste  management boundary and all ancillary activities including, but not limited to  scales, groundwater monitoring wells, gas monitoring probes, and maintenance  facilities as identified in the facility's permit application. For facilities  with a permit-by-rule (PBR) the facility boundary is the boundary of the  property where the permit-by-rule activity occurs. For unpermitted solid waste  management facilities, the facility boundary is the boundary of the property  line where the solid waste is located.
    "Facility structure" means any building, shed, or  utility or drainage line on the facility. 
    "Fault" means a fracture or a zone of fractures in  any material along which strata on one side have been displaced with respect to  that on the other side. 
    "Floodplain" means the lowland and relatively flat  areas adjoining inland and coastal waters, including low-lying areas of  offshore islands where flooding occurs. 
    "Fly ash" means ash particulate collected from air  pollution attenuation devices on combustion units. 
    "Food-chain crops" means crops grown for human  consumption, tobacco, and crops grown for pasture and forage or feed for  animals whose products are consumed by humans. 
    "Fossil fuel combustion products" means coal  combustion byproducts as defined in this regulation, coal combustion byproducts  generated at facilities with fluidized bed combustion technology, petroleum  coke combustion byproducts, byproducts from the combustion of oil, byproducts  from the combustion of natural gas, and byproducts from the combustion of  mixtures of coal and "other fuels" (i.e., co-burning of coal with  "other fuels" where coal is at least 50% of the total fuel). For  purposes of this definition, "other fuels" means waste-derived fuel  product, auto shredder fluff, wood wastes, coal mill rejects, peat, tall oil,  tire-derived fuel, deionizer resins, and used oil. 
    "Free liquids" means liquids that readily separate  from the solid portion of a waste under ambient temperature and pressure as  determined by the Paint Filter Liquids Test, Method 9095, U.S. Environmental  Protection Agency, Publication SW-846. 
    "Garbage" means readily putrescible discarded  materials composed of animal, vegetable or other organic matter. 
    "Gas condensate" means the liquid generated as a  result of gas control or recovery processes at the solid waste management  facility. 
    "Governmental unit" means any department,  institution, or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.
    "Ground rubber" means material processed from waste  tires that is no larger than 1/4 inch in any dimension. This includes crumb  rubber that is measured in mesh sizes. 
    "Groundwater" means water below the land surface in  a zone of saturation. 
    "Hazardous constituent" means a constituent of  solid waste found listed in Appendix VIII of 9VAC20-60-261.
    "Hazardous waste" means a "hazardous  waste" as described by the Virginia Hazardous Waste Management Regulations  (9VAC20-60).
    "Holocene" means the most recent epoch of the  Quaternary period, extending from the end of the Pleistocene Epoch to the  present. 
    "Home use" means the use of compost for growing  plants that is produced and used on a privately owned residential site. 
    "Host agreement" means any lease, contract,  agreement, or land use permit entered into or issued by the locality in which  the landfill is situated that includes terms or conditions governing the  operation of the landfill. 
    "Household hazardous waste" means any waste  material derived from households (including single and multiple residences,  hotels, motels, bunkhouses, ranger stations, crew quarters, campgrounds, picnic  grounds, and day-use recreation areas) which, except for the fact that it is  derived from a household, would otherwise be classified as a hazardous waste in  accordance with 9VAC20-60.
    "Household waste" means any waste material,  including garbage, trash, and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds, and day-use recreation  areas. Household wastes do not include sanitary waste in septic tanks (septage)  that is regulated by other state agencies. 
    "Hundred-year flood" means a flood that has a 1.0%  or greater chance of recurring in any given year or a flood of magnitude  equaled or exceeded on the average only once in a hundred years on the average  over a significantly long period. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Incinerator" means a facility or device designed  for the treatment of solid waste by combustion. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts; inorganic  chemicals; iron and steel manufacturing; leather and leather products;  nonferrous metals manufacturing/foundries; organic chemicals; plastics and  resins manufacturing; pulp and paper industry; rubber and miscellaneous plastic  products; stone, glass, clay, and concrete products; textile manufacturing;  transportation equipment; and water treatment. This term does not include  mining waste or oil and gas waste. 
    "Industrial waste landfill" means a solid waste  landfill used primarily for the disposal of a specific industrial waste or a  waste that is a byproduct of a production process. 
    "Injection well" means, for the purposes of this  chapter, a well or bore hole into which fluids are injected into selected  geological horizons. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Interim cover systems" means temporary cover  systems applied to a landfill area when landfilling operations will be  temporarily suspended for an extended period (typically, longer than one year).  At the conclusion of the interim period, the interim cover system may be  removed and landfilling operations resume or final cover is installed.
    "Karst topography" means areas where karst terrane,  with its characteristic surface and subterranean features, is developed as the  result of dissolution of limestone, dolomite, or other soluble rock.  Characteristic physiographic features present in karst terranes include, but  are not limited to, sinkholes, sinking streams, caves, large springs, and blind  valleys. 
    "Key personnel" means the applicant itself and any  person employed by the applicant in a managerial capacity, or empowered to make  discretionary decisions, with respect to the solid waste or hazardous waste  operations of the applicant in Virginia, but shall not include employees  exclusively engaged in the physical or mechanical collection, transportation,  treatment, storage, or disposal of solid or hazardous waste and such other  employees as the director may designate by regulation. If the applicant has not  previously conducted solid waste or hazardous waste operations in Virginia, the  term also includes any officer, director, partner of the applicant, or any  holder of 5.0% or more of the equity or debt of the applicant. If any holder of  5.0% or more of the equity or debt of the applicant or of any key personnel is  not a natural person, the term includes all key personnel of that entity,  provided that where such entity is a chartered lending institution or a  reporting company under the Federal Security and Exchange Act of 1934, the term  does not include key personnel of such entity. Provided further that the term  means the chief executive officer of any agency of the United States or of any  agency or political subdivision of the Commonwealth, and all key personnel of  any person, other than a natural person, that operates a landfill or other  facility for the disposal, treatment, or storage of nonhazardous solid waste  under contract with or for one of those governmental entities. 
    "Lagoon" means a body of water or surface  impoundment designed to manage or treat waste water. 
    "Land-clearing activities" means the removal of  flora from a parcel of land.
    "Land-clearing debris" means vegetative waste  resulting from land-clearing activities. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill. 
    "Landfill gas" means gas generated as a byproduct  of the decomposition of organic materials in a landfill. Landfill gas consists  primarily of methane and carbon dioxide. 
    "Landfill mining" means the process of excavating  solid waste from an existing landfill. 
    "Leachate" means a liquid that has passed through  or emerged from solid waste and contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation to disposal in an off-site facility is regulated as septage,  leachate discharged into a waste water collection system is regulated as  industrial waste water and leachate that has contaminated groundwater is  regulated as contaminated groundwater. 
    "Lead acid battery" means, for the purposes of this  chapter, any wet cell battery. 
    "Lift" means the daily landfill layer of compacted  solid waste plus the cover material. 
    "Liquid waste" means any waste material that is  determined to contain "free liquids" as defined by this chapter. 
    "Lithified earth material" means all rock,  including all naturally occurring and naturally formed aggregates or masses of  minerals or small particles of older rock, that formed by crystallization of  magma or by induration of loose sediments. This term does not include manmade  materials, such as fill, concrete, and asphalt, or unconsolidated earth  materials, soil, or regolith lying at or near the earth's surface. 
    "Litter" means, for purposes of this chapter, any  solid waste that is discarded or scattered about a solid waste management  facility outside the immediate working area. 
    "Lower explosive limit" means the lowest  concentration by volume of a mixture of explosive gases in air that will  propagate a flame at 25°C and at atmospheric pressure. 
    "Materials recovery facility" means a solid waste  management facility for the collection, processing, and recovery of material  such as metals from solid waste or for the production of a fuel from solid  waste. This does not include the production of a waste-derived fuel product. 
    "Maximum horizontal acceleration in lithified earth  material" means the maximum expected horizontal acceleration depicted on a  seismic hazard map, with a 90% or greater probability that the acceleration  will not be exceeded in 250 years, or the maximum expected horizontal  acceleration based on a site-specific seismic risk assessment. 
    "Monitoring" means all methods, procedures, and  techniques used to systematically analyze, inspect, and collect data on  operational parameters of the facility or on the quality of air, groundwater,  surface water, and soils. 
    "Monitoring well" means a well point below the  ground surface for the purpose of obtaining periodic water samples from  groundwater for quantitative and qualitative analysis. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses except composting as defined and regulated under this  chapter. 
    "Municipal solid waste" means that waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from combustion of these wastes. 
    "New solid waste management facility" means a  facility or a portion of a facility that was not included in a previous  determination of site suitability (Part A approval). 
    "Nuisance" means an activity that unreasonably  interferes with an individual's or the public's comfort, convenience or  enjoyment such that it interferes with the rights of others by causing damage,  annoyance, or inconvenience. 
    "Offsite" means any site that does not meet the  definition of onsite as defined in this part. 
    "Onsite" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same  person, but connected by a right-of-way that he controls and to which the  public does not have access, are also considered onsite property. 
    "Open burning" means the combustion of solid waste  without:
    1. Control of combustion air to maintain adequate temperature  for efficient combustion;
    2. Containment of the combustion reaction in an enclosed  device to provide sufficient residence time and mixing for complete combustion;  and
    3. Control of the combustion products' emission. 
    "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.
    "Operating record" means records required to be  maintained in accordance with the facility permit or this part (see  9VAC20-81-530). 
    "Operation" means all waste management activities  at a solid waste management facility beginning with the initial receipt of  solid waste for treatment, storage, disposal, or transfer and ceasing with the  initiation of final closure activities at the solid waste management facility  subsequent to the final receipt of waste.
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means the person who owns a solid waste  management facility or part of a solid waste management facility.
    "PCB" means any chemical substance that is limited  to the biphenyl molecule that has been chlorinated to varying degrees or any  combination of substances that contain such substance (see 40 CFR 761.3, as  amended).
    "Perennial stream" means a well-defined channel  that contains water year round during a year of normal rainfall. Generally, the  water table is located above the streambed for most of the year and groundwater  is the primary source for stream flow. A perennial stream exhibits the typical  biological, hydrological, and physical characteristics commonly associated with  the continuous conveyance of water.
    "Permit" means the written permission of the  director to own, operate, or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation, or any  other legal entity. 
    "Point source" means any discernible, confined, and  discrete conveyance, including but not limited to any pipe, ditch, channel,  tunnel, conduit, well, discrete fissure, container, rolling stock, vessel, or  other floating craft, from which pollutants are or may be discharged. Return  flows from irrigated agriculture are not included. 
    "Pollutant" means any substance that causes or  contributes to, or may cause or contribute to, environmental degradation when  discharged into the environment. 
    "Poor foundation conditions" means those areas  where features exist that indicate that a natural or man-induced event may  result in inadequate foundation support for the structural components of a  solid waste management facility. 
    "Postclosure" means the requirements placed upon  solid waste disposal facilities after closure to ensure environmental and  public health safety for a specified number of years after closure. 
    "Process rate" means the maximum rate of waste  acceptance that a solid waste management facility can process for a  treatment and/or storage. This rate is limited by the capabilities of  equipment, personnel, and infrastructure. 
    "Processing" means preparation, treatment, or  conversion of waste by a series of actions, changes, or functions that bring  about a desired end result. 
    "Professional engineer" means an engineer licensed  to practice engineering in the Commonwealth as defined by the rules and  regulations set forth by the Board of Architects, Professional Engineers, Land  Surveyors, and Landscape Architects (18VAC10-20).
    "Professional geologist" means a geologist licensed  to practice geology in the Commonwealth as defined by the rules and regulations  set forth by the Board for Geology (18VAC70-20).
    "Progressive cover" means cover material placed  over the working face of a solid waste disposal facility advancing over the  deposited waste as new wastes are added keeping the exposed area to a minimum. 
    "Putrescible waste" means solid waste that contains  organic material capable of being decomposed by micro-organisms and cause  odors. 
    "Qualified groundwater scientist" means a scientist  or engineer who has received a baccalaureate or postgraduate degree in the  natural sciences or engineering and has sufficient training and experience in  groundwater hydrology and related fields as may be demonstrated by professional  certifications, or completion of accredited university programs that enable  that individual to make sound professional judgments regarding groundwater  monitoring, contaminant fate and transport, and corrective action. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act of 1976 (42 USC  § 6901 et seq.), the Hazardous and Solid Waste Amendments of 1984, and any  other applicable amendments to these laws. 
    "Reclaimed material" means a material that is  processed or reprocessed to recover a usable product or is regenerated to a  usable form. 
    "Refuse" means all solid waste products having the  character of solids rather than liquids and that are composed wholly or  partially of materials such as garbage, trash, rubbish, litter, residues from  clean up of spills or contamination, or other discarded materials. 
    "Refuse-derived fuel (RDF)" means a type of  municipal solid waste produced by processing municipal solid waste through  shredding and size classification. This includes all classes of refuse-derived  fuel including low-density fluff refuse-derived fuel through densified  refuse-derived fuel and pelletized refuse-derived fuel.
    "Regulated hazardous waste" means a solid waste  that is a hazardous waste, as defined in the Virginia Hazardous Waste  Management Regulations (9VAC20-60), that is not excluded from those regulations  as a hazardous waste. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Release" means, for the purpose of this chapter,  any spilling, leaking, pumping, pouring, emitting, emptying, discharging,  injection, escaping, leaching, dumping, or disposing into the environment solid  wastes or hazardous constituents of solid wastes (including the abandonment or  discarding of barrels, containers, and other closed receptacles containing  solid waste). This definition does not include any release that results in  exposure to persons solely within a workplace; release of source, byproduct, or  special nuclear material from a nuclear incident, as those terms are defined in  the Atomic Energy Act of 1954 (68 Stat. 923); and the normal application of  fertilizer. For the purpose of this chapter, release also means substantial  threat of release. 
    "Remediation waste" means all solid waste,  including all media (groundwater, surface water, soils, and sediments) and  debris, that are managed for the purpose of remediating a site in accordance  with 9VAC20-81-45 or Part III (9VAC20-81-100 et seq.) of this chapter or under  the Voluntary Remediation Regulations (9VAC20-160) or other regulated  remediation program under DEQ oversight. For a given facility, remediation  wastes may originate only from within the boundary of that facility, and may  include wastes managed as a result of remediation beyond the boundary of the  facility. Hazardous wastes as defined in 9VAC20-60, as well as "new"  or "as generated" wastes, are excluded from this definition. 
    "Remediation waste management unit" or  "RWMU" means an area within a facility that is designated by the  director for the purpose of implementing remedial activities required under  this chapter or otherwise approved by the director. An RWMU shall only be used  for the management of remediation wastes pursuant to implementing such remedial  activities at the facility. 
    "Responsible official" means one of the following:
    1. For a business entity, such as a corporation, association,  limited liability company, or cooperative: a duly authorized representative of  such business entity if the representative is responsible for the overall  operation of one or more operating facilities applying for or subject to a  permit. The authority to sign documents must be assigned or delegated to such  representative in accordance with procedures of the business entity;
    2. For a partnership or sole proprietorship: a general partner  or the proprietor, respectively; or
    3. For a municipality, state, federal, or other public agency:  a duly authorized representative of the locality if the representative is responsible  for the overall operation of one or more operating facilities applying for or  subject to a permit. The authority to sign documents must be assigned or  delegated to such representative in accordance with procedures of the locality.
    "Rubbish" means combustible or slowly putrescible  discarded materials that include but are not limited to trees, wood, leaves,  trimmings from shrubs or trees, printed matter, plastic and paper products,  grass, rags and other combustible or slowly putrescible materials not included  under the term "garbage." 
    "Runoff" means any rainwater, leachate, or other  liquid that drains over land from any part of a solid waste management  facility. 
    "Run-on" means any rainwater, wastewater, leachate,  or other liquid that drains over land onto any part of the solid waste  management facility. 
    "Salvage" means the authorized, controlled removal  of waste materials from a solid waste management facility. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste that is so located, designed,  constructed, and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Saturated zone" means that part of the earth's crust  in which all voids are filled with water. 
    "Scavenging" means the unauthorized or uncontrolled  removal of waste materials from a solid waste management facility. 
    "Scrap metal" means metal parts such as bars, rods,  wire, empty containers, or metal pieces that are discarded material and can be  used, reused, or reclaimed. 
    "Secondary containment" means an enclosure into  which a container or tank is placed for the purpose of preventing discharge of  wastes to the environment. 
    "Seismic impact zone" means an area with a 10% or  greater probability that the maximum horizontal acceleration in lithified earth  material, expressed as a percentage of the earth's gravitational pull (g), will  exceed 0.10g in 250 years. 
    "Semiannual" means an interval corresponding to  approximately 180 days. For the purposes of scheduling monitoring activities,  sampling within 30 days of the 180-day interval will be considered semiannual. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Sludge" means any solid, semi-solid or liquid  waste generated from a municipal, commercial or industrial wastewater treatment  plant, water supply treatment plant, or air pollution control facility  exclusive of treated effluent from a wastewater treatment plant. 
    "Small landfill" means a landfill that disposed of  100 tons/day or less of solid waste during a representative period prior to  October 9, 1993, and did not dispose of more than an average of 100 tons/day of  solid waste each month between October 9, 1993, and April 9, 1994. 
    "Solid waste" means any of those materials defined  as "solid waste" in 9VAC20-81-95. 
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility" or  "SWMF" means a site used for planned treating, storing, or disposing  of solid waste. A facility may consist of several treatment, storage, or  disposal units. 
    "Special wastes" means solid wastes that are  difficult to handle, require special precautions because of hazardous  properties, or the nature of the waste creates waste management problems in  normal operations. (See Part VI (9VAC20-81-610 et seq.) of this chapter.) 
    "Speculatively accumulated material" means any  material that is accumulated before being used, reused, or reclaimed or in  anticipation of potential use, reuse, or reclamation. Materials are not being  accumulated speculatively when they can be used, reused, or reclaimed, have a  feasible means of use, reuse, or reclamation available and 75% of the materials  accumulated are being removed from the facility annually. 
    "State waters" means all water, on the surface and  under the ground, wholly or partially within, or bordering the Commonwealth, or  within its jurisdiction. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Structural fill" means an engineered fill with a  projected beneficial end use, constructed using soil or fossil fuel combustion  products spread and compacted with proper equipment and covered with a  vegetated soil cap. 
    "Sudden event" means a one-time, single event such  as a sudden collapse or a sudden, quick release of contaminants to the  environment. An example would be the sudden loss of leachate from an impoundment  into a surface stream caused by failure of a containment structure. 
    "Surface impoundment or impoundment" means a  facility or part of a facility that is a natural topographic depression,  manmade excavation, or diked area formed primarily of earthen materials  (although it may be lined with manmade materials), that is designed to hold an  accumulation of liquid wastes or wastes containing free liquids and that is not  an injection well. 
    "Surface waters" means all state waters that are  not groundwater as defined in § 62.1-255 of the Code of Virginia.
    "SW-846" means Test Methods for Evaluating Solid  Waste, Physical/Chemical Methods, EPA Publication SW-846, Second Edition, 1982  as amended by Update I (April, 1984), and Update II (April, 1985) and the third  edition, November, 1986, as amended. 
    "Tank" means a stationary device, designed to  contain an accumulation of liquid or semi-liquid components of solid waste that  is constructed primarily of nonearthen materials that provide structural  support. 
    "TEF" or "Toxicity Equivalency Factor"  means a factor developed to account for different toxicities of structural  isomers of polychlorinated dibenzodioxins and dibenzofurans and to relate them  to the toxicity of 2,3,7,8-tetrachloro dibenzo-p-dioxin. 
    "Terminal" means the location of transportation  facilities such as classification yards, docks, airports, management offices,  storage sheds, and freight or passenger stations, where solid waste that is  being transported may be loaded, unloaded, transferred, or temporarily stored. 
    "Thermal treatment" means the treatment of solid  waste in a device that uses elevated temperature as the primary means to change  the chemical, physical, or biological character, or composition of the solid  waste. 
    "Tire chip" means a material processed from waste  tires that is a nominal two square inches in size, and ranges from 1/4 inch to  four inches in any dimension. Tire chips contain no wire protruding more than  1/4 inch. 
    "Tire shred" means a material processed from waste  tires that is a nominal 40 square inches in size, and ranges from 4 inches to  10 inches in any dimension. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration, or resource recovery. 
    "Trash" means combustible and noncombustible  discarded materials and is used interchangeably with the term rubbish. 
    "Treatment" means, for the purpose of this chapter,  any method, technique, or process, including but not limited to incineration,  designed to change the physical, chemical, or biological character or  composition of any waste to render it more stable, safer for transport, or more  amenable to use, reuse, reclamation, recovery, or disposal. 
    "Underground source of drinking water" means an  aquifer or its portion:
    1. Which contains water suitable for human consumption; or
    2. In which the groundwater contains less than 10,000 mg/liter  total dissolved solids. 
    "Unit" means a discrete area of land used for the  disposal of solid waste. 
    "Unstable area" means a location that is  susceptible to natural or human-induced events or forces capable of impairing  the integrity of some or all of the landfill structural components responsible  for preventing releases from a landfill. Unstable areas can include poor  foundation conditions, areas susceptible to mass movements, and karst terranes.  
    "Uppermost aquifer" means the geologic formation  nearest the natural ground surface that is an aquifer, as well as, lower  aquifers that are hydraulically interconnected with this aquifer within the  facility boundary. 
    "Used or reused material" means a material that is  either: 
    1. Employed as an ingredient (including use as an  intermediate) in a process to make a product, excepting those materials  possessing distinct components that are recovered as separate end products; or 
    2. Employed in a particular function or application as an  effective substitute for a commercial product or natural resources. 
    "Vector" means a living animal, insect, or other  arthropod that transmits an infectious disease from one organism to another. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, woody wastes such as shrub and tree  prunings, bark, limbs, roots, and stumps. 
    "Vermicomposting" means the controlled and managed  process by which live worms convert organic residues into fertile excrement.
    "Vertical design capacity" means the maximum design  elevation specified in the facility's permit or if none is specified in the  permit, the maximum elevation based on a 3:1 slope from the waste disposal unit  boundary. 
    "VPDES" (Virginia Pollutant Discharge Elimination  System) means the Virginia system for the issuance of permits pursuant to the  Permit Regulation (9VAC25-31), the State Water Control Law (§ 62.1-44.2 et  seq. of the Code of Virginia), and § 402 of the Clean Water Act (33 USC  § 1251 et seq.). 
    "Washout" means carrying away of solid waste by  waters of the base flood. 
    "Waste-derived fuel product" means a solid waste or  combination of solid wastes that have been treated (altered physically,  chemically, or biologically) to produce a fuel product with a minimum heating  value of 5,000 BTU/lb. Solid wastes used to produce a waste-derived fuel  product must have a heating value, or act as binders, and may not be added to  the fuel for the purpose of disposal. Waste ingredients may not be listed or  characteristic hazardous wastes. The fuel product must be stable at ambient  temperature, and not degraded by exposure to the elements. This material may  not be "refuse derived fuel (RDF)" as defined in 9VAC5-40-890. 
    "Waste management boundary" means the vertical  plane located at the boundary line of the area approved in the Part A  application for the disposal of solid waste and storage of leachate. This  vertical plane extends down into the uppermost aquifer and is within the  facility boundary.
    "Waste pile" means any noncontainerized  accumulation of nonflowing, solid waste that is used for treatment or storage. 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. (See 9VAC20-150 for other definitions dealing with the  waste tire program.) 
    "Wastewaters" means, for the purpose of this  chapter, wastes that contain less than 1.0% by weight total organic carbon  (TOC) and less than 1.0% by weight total suspended solids (TSS). 
    "Water pollution" means such alteration of the  physical, chemical, or biological properties of any state water as will or is  likely to create a nuisance or render such waters: 
    1. Harmful or detrimental or injurious to the public health,  safety, or welfare, or to the health of animals, fish, or aquatic life or  plants; 
    2. Unsuitable, with reasonable treatment, for use as present  or possible future sources of public water supply; or
    3. Unsuitable for recreational, commercial, industrial, agricultural,  or other reasonable uses, provided that:
    a. An alteration of the physical, chemical, or biological  properties of state waters or a discharge or deposit of sewage, industrial  wastes, or other wastes to state waters by any owner that by itself is not  sufficient to cause pollution but which in combination with such alteration or  discharge or deposit to state waters by other persons is sufficient to cause  pollution;
    b. The discharge of untreated sewage by any person into state  waters; and 
    c. The contribution to the degradation of water quality  standards duly established by the State Water Control Board, are  "pollution" for the terms and purposes of this chapter. 
    "Water table" means the upper surface of the zone  of saturation in groundwaters in which the hydrostatic pressure is equal to the  atmospheric pressure. 
    "Waters of the United States" or "waters of  the U.S." means:
    1. All waters that are currently used, were used in the past,  or may be susceptible to use in interstate or foreign commerce, including all  waters that are subject to the ebb and flow of the tide;
    2. All interstate waters, including interstate  "wetlands";
    3. All other waters such as intrastate lakes, rivers, streams  (including intermittent streams), mud flats, sand flats, "wetlands,"  sloughs, prairie potholes, wet meadows, playa lakes, or natural ponds the use,  degradation, or destruction of which would affect or could affect interstate or  foreign commerce including:
    a. Any such waters that are or could be used by interstate or  foreign travelers for recreational or other purposes;
    b. Any such waters from which fish or shellfish are or could  be taken and sold in interstate or foreign commerce;
    c. Any such waters that are used or could be used for  industrial purposes by industries in interstate commerce;
    d. All impoundments of waters otherwise defined as waters of  the United States under this definition; 
    e. Tributaries of waters identified in subdivisions 3 a  through d of this definition;
    f. The territorial sea; and 
    g. Wetlands adjacent to waters (other than waters that are  themselves wetlands) identified in subdivisions 3 a through f of this  definition. 
    "Wetlands" means those areas that are defined by  the federal regulations under 33 CFR Part 328, as amended. 
    "White goods" means any stoves, washers, hot water  heaters, and other large appliances. 
    "Working face" means that area within a landfill  that is actively receiving solid waste for compaction and cover. 
    "Yard waste" means a subset of vegetative waste and  means decomposable waste materials generated by yard and lawn care and includes  leaves, grass trimmings, brush, wood chips, and shrub and tree trimmings. Yard  waste shall not include roots or stumps that exceed 12 inches in diameter. 
    9VAC20-81-35. Applicability of chapter.
    A. This chapter applies to all persons who treat, store,  dispose, or otherwise manage solid wastes as defined in Part III  (9VAC20-81-100 et seq.) of this chapter 9VAC20-81-95. 
    B. All facilities that were permitted prior to March 15,  1993, and upon which solid waste has been disposed of prior to October 9, 1993,  may continue to receive solid waste until they have reached their vertical  design capacity or until the closure date established pursuant to § 10.1-1413.2  of the Code of Virginia, in Table 2.1 provided: 
    1. The facility is in compliance with the requirements for  liners and leachate control in effect at the time of permit issuance. 
    2. On or before October 9, 1993, the owner or operator of the  solid waste management facility submitted to the director: 
    a. An acknowledgment that the owner or operator is familiar  with state and federal law and regulations pertaining to solid waste management  facilities operating after October 9, 1993, including postclosure care,  corrective action, and financial responsibility requirements; 
    b. A statement signed by a professional engineer that he has  reviewed the regulations established by the department for solid waste  management facilities, including the open dump criteria contained therein, that  he has inspected the facility and examined the monitoring data compiled for the  facility in accordance with applicable regulations and that, on the basis of  his inspection and review, he has concluded: 
    (1) That the facility is not an open dump; 
    (2) That the facility does not pose a substantial present or  potential hazard to human health and the environment; and 
    (3) That the leachate or residues from the facility do not  pose a threat of contamination or pollution of the air, surface water, or  groundwater in a manner constituting an open dump or resulting in a substantial  present or potential hazard to human health or the environment; and 
    c. A statement signed by the owner or operator: 
    (1) That the facility complies with applicable financial  assurance regulations; and 
    (2) Estimating when the facility will reach its vertical  design capacity. 
    3. Enlargement or closure of these facilities shall conform  with the following subconditions:
    a. The facility may not be enlarged prematurely to avoid  compliance with this chapter when such enlargement is not consistent with past  operating practices, the permit, or modified operating practices to ensure good  management.
    b. The facility shall not dispose of solid waste in any  portion of a landfill disposal area that has received final cover or has not  received waste for a period of one year, in accordance with 9VAC20-81-160 C.  The facility shall notify the department, in writing, within 30 days, when an  area has received final cover or has not received waste for a one-year period,  in accordance with 9VAC20-81-160 C. However, a facility may apply for a permit,  and if approved, can construct and operate a new cell that overlays  ("piggybacks") over a closed area in accordance with the permit  requirements of this chapter.
    c. The facilities subject to the restrictions in this  subsection are listed in Table 2.1. The closure dates were established in:  Final Prioritization and Closure Schedule for HB 1205 Disposal Areas (DEQ,  September 2001). The publication of these tables is for the convenience of the  regulated community and does not change established dates. Any facility,  including, but not limited to those listed in Table 2.1, must cease operation  if that facility meets any of the open dump criteria listed in 9VAC20-81-45 A  1.
    d. Those facilities assigned a closure date in accordance with  § 10.1-1413.2 of the Code of Virginia shall designate on a map, plat, diagram,  or other engineered drawing, areas in which waste will be disposed of in  accordance with Table 2.1 until the latest cessation of waste acceptance date  as listed in Table 2.1 is achieved. This map or plat shall be placed in the  operating record and a copy shall be submitted upon request to the department  in order to track the progress of closure of these facilities. If the facility  already has provided this information under 9VAC20-81-160, then the facility  may refer to that information.
           |      TABLE 2.1      Final Prioritization and Closure Schedule For House Bill (HB) 1205 Disposal    Areas       |    
       |      Solid Waste Permit Number and    Site Name      |          Location      |          Department Regional Office1      |          Latest Cessation of Waste    Acceptance Date2      |    
       |      429 - Fluvanna County Sanitary    Landfill      |          Fluvanna County      |          VRO      |          12/31/2007      |    
       |      92 - Halifax County Sanitary    Landfill3      |          Halifax County      |          BRRO      |          12/31/2007      |    
       |      49 - Martinsville Landfill      |          City of Martinsville      |          BRRO      |          12/31/2007      |    
       |      14 - Mecklenburg County    Landfill      |          Mecklenburg County      |          BRRO      |          12/31/2007      |    
       |      228 - Petersburg City Landfill3      |          City of Petersburg      |          PRO      |          12/31/2007      |    
       |      31 - South Boston Sanitary    Landfill      |          Town of South Boston      |          BRRO      |          12/31/2007      |    
       |      204 - Waynesboro City Landfill      |          City of Waynesboro      |          VRO      |          12/31/2007      |    
       |      91 - Accomack County Landfill    – Bobtown South      |          Accomack County      |          TRO      |          12/31/2012      |    
       |      580 – Bethel Landfill3       |          City of Hampton      |          TRO      |          12/31/2012      |    
       |      182 - Caroline County Landfill      |          Caroline County      |          NVRO      |          12/31/2012      |    
       |      149 - Fauquier County Landfill      |          Fauquier County      |          NVRO      |          12/31/2012      |    
       |      405 - Greensville County    Landfill      |          Greensville County      |          PRO      |          12/31/2012      |    
       |      29 - Independent Hill Landfill3      |          Prince William County      |          NVRO      |          12/31/2012      |    
       |      1 - Loudoun County Sanitary    Landfill      |          Loudoun County      |          NVRO      |          12/31/2012      |    
       |      194 - Louisa County Sanitary    Landfill      |          Louisa County      |          NVRO      |          12/31/2012      |    
       |      227 - Lunenburg County    Sanitary Landfill      |          Lunenburg County      |          BRRO      |          12/31/2012      |    
       |      507 - Northampton County    Landfill      |          Northampton County      |          TRO      |          12/31/2012      |    
       |      90 - Orange County Landfill      |          Orange County      |          NVRO      |          12/31/2012      |    
       |      75 - Rockbridge County    Sanitary Landfill      |          Rockbridge County      |          VRO      |          12/31/2012      |    
       |      23 - Scott County Landfill      |          Scott County      |          SWRO      |          12/31/2012      |    
       |      587 - Shoosmith Sanitary    Landfill3      |          Chesterfield County      |          PRO      |          12/31/2012      |    
       |      417 - Southeastern Public    Service Authority Landfill3       |          City of Suffolk      |          TRO      |          12/31/2012      |    
       |      461 - Accomack County Landfill    #2      |          Accomack County      |          TRO      |          12/31/2020      |    
       |      86    - Appomattox County Sanitary Landfill      |          Appomattox    County      |          BRRO      |          12/31/2020      |    
       |      582 - Botetourt County    Landfill3      |          Botetourt County      |          BRRO      |          12/31/2020      |    
       |      498 - Bristol City Landfill      |          City of Bristol      |          SWRO      |          12/31/2020      |    
       |      72 - Franklin County Landfill      |          Franklin County      |          BRRO      |          12/31/2020      |    
       |      398 - Virginia Beach Landfill    #2 – Mount Trashmore II3      |          City of Virginia Beach      |          TRO      |          12/31/2020      |    
       |      Notes:       |                 |                 |                 |    
       |      1Department of Environmental Quality Regional Offices:      |    
       |      BRRO      |          Blue Ridge Regional Office      |    
       |      NVRO      |          Northern Virginia Regional    Office      |    
       |      PRO      |          Piedmont Regional Office       |    
       |      SWRO      |          Southwest Regional    Office       |    
       |      TRO      |          Tidewater Regional    Office       |    
       |      VRO      |          Valley Regional Office       |    
       |      2This date means the latest date that the disposal    area must cease accepting waste.       |    
       |      3A portion of these facilities operated under HB 1205    and another portion currently is compliant with Subtitle D    requirements.       |    
        |      |      |      |      |    
  
    C. Facilities are authorized to expand beyond the waste  boundaries existing on October 9, 1993, as follows: 
    1. Existing captive industrial landfills. 
    a. Existing nonhazardous industrial waste facilities that are  located on property owned or controlled by the generator of the waste disposed  of in the facility shall comply with all the provisions of this chapter except  as shown in subdivision 1 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a captive industrial landfill  beyond the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements in effect at  the time of permit issuance. 
    c. Owners or operators of facilities that are authorized under  subdivision 1 of this subsection to accept waste for disposal beyond the waste  boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120. 
    d. Facilities authorized for expansion in accordance with  subdivision 1 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    2. Other existing industrial waste landfills. 
    a. Existing nonhazardous industrial waste facilities that are  not located on property owned or controlled by the generator of the waste  disposed of in the facility shall comply with all the provisions of this  chapter except as shown in subdivision 2 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand an industrial landfill beyond  the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements of  9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 2 of this subsection to accept waste for disposal beyond the  waste boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120 and 9VAC20-81-130.
    e. Facilities authorized for expansion in accordance with  subdivision 2 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    3. Existing construction/demolition/debris landfills. 
    a. Existing facilities that accept only  construction/demolition/debris waste shall comply with all the provisions of  this chapter except as shown in subdivision 3 of this subsection.
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a  construction/demolition/debris landfill beyond the waste boundaries existing on  October 9, 1993. Liners and leachate collection systems constructed beyond the  waste boundaries existing on October 9, 1993, shall be constructed in  accordance with the requirements of 9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 3 of this subsection to accept waste for disposal beyond the  active portion of the landfill existing on October 9, 1993, shall ensure that  such expanded disposal areas maintain setback distances applicable to such  facilities in 9VAC20-81-120 and 9VAC20-81-130. 
    e. Facilities, or portions thereof, which have reached their  vertical design capacity shall be closed in compliance with 9VAC20-81-160. 
    f. Facilities authorized for expansion in accordance with  subdivision 3 of this subsection are limited to expansion to the permitted  disposal area existing on October 9, 1993, or the facility boundary existing on  October 9, 1993, if no discrete disposal area is defined in the facility  permit. 
    4. Facilities or units undergoing expansion in accordance with  the partial exemptions created by subdivision 1 b, 2 b, or 3 b of this  subsection may not receive hazardous wastes generated by the exempt small  quantity generators, as defined by the Virginia Hazardous Waste Management  Regulations ( 9VAC20-60), for disposal on the expanded portions of the  facility. Other wastes that require special handling in accordance with the  requirements of Part VI (9VAC20-81-610 et seq.) of this chapter or that contain  hazardous constituents that would pose a risk to health or environment, may  only be accepted with specific approval by the director. 
    5. Nothing in subdivisions 1 b, 2 b, and 3 b of this  subsection shall alter any requirement for ground water monitoring, financial  responsibility, operator certification, closure, postclosure care, operation,  maintenance, or corrective action imposed under this chapter, or impair the  powers of the director to revoke or modify a permit pursuant to § 10.1-1409  of the Virginia Waste Management Act or Part V (9VAC20-81-400 et seq.) of this  chapter. 
    D. An owner or operator of a previously unpermitted facility  or unpermitted activity that managed materials previously exempt or excluded  from this chapter shall submit a complete application for a solid waste  management facility permit, permit by rule or a permit modification, as  applicable, in accordance with Part V (9VAC20-81-430 et seq.) of this chapter  within six months after these materials have been defined or identified as  solid wastes. If the director finds that the application is complete, the owner  or operator may continue to manage the newly defined or identified waste until  a permit or permit modification decision has been rendered or until a date two  years after the change in definition whichever occurs sooner, provided however,  that in so doing he shall not operate or maintain an open dump, a hazard, or a  nuisance. 
    Owners or operators of solid waste management facilities in  existence prior to September 24, 2003, shall now be in compliance with this  chapter. Where conflicts exist between the existing facility permit and the new  requirements of the regulations, the regulations shall supersede the permit  except where the standards in the permit are more stringent than the  regulation. Language in an existing permit shall not act as a shield to  compliance with the regulation, unless a variance to the regulations has been  approved by the director in accordance with the provisions of Part VII  (9VAC20-81-700 et seq.) of this chapter. Existing facility permits will not be  required to be updated to eliminate requirements conflicting with the  regulation, except at the request of the director or if a permit is modified  for another reason. However, all sanitary landfills and incinerators that  accept waste from jurisdictions outside of Virginia must have submitted the  materials required under 9VAC20-81-100 E 4 by March 22, 2004. 
    E. This chapter is not applicable to landfill units closed in  accordance with regulations or permits in effect prior to December 21, 1988,  unless releases from these closed landfills meet the open dump criteria found  in 9VAC20-81-45, or the closed landfills are found to be a hazard or a nuisance  under subdivision 21 of § 10.1-1402 of the Code of Virginia, or a site  where improper waste management has occurred under subdivision 19 of  § 10.1-1402 of the Code of Virginia.
    9VAC20-81-95. Identification of solid waste.
    A. Wastes identified in this part section  are solid wastes that are subject to this chapter unless regulated  pursuant to other applicable regulations issued by the department. 
    B. Except as otherwise provided, the definition of solid  waste per 40 CFR 261.2 as incorporated by 9VAC20-60-261, as amended, is also  hereby incorporated as part of this chapter. Except as otherwise provided, all  material definitions, reference materials and other ancillaries that are a part  of 9VAC20-60-261, as amended, are also hereby incorporated as part of this  chapter as well.
    C. Except as otherwise modified or excepted by 9VAC20-60, the  materials listed in the regulations of the United States Environmental  Protection Agency set forth in 40 CFR 261.4 (a) are considered a solid waste  for the purposes of this chapter. However, these materials are not regulated  under the provisions of this chapter if all conditions specified therein are  met. This list and all material definitions, reference materials and other  ancillaries that are part of 40 CFR Part 261.4 (a), as incorporated, modified  and/or accepted by 9VAC20-60 are incorporated as part of this chapter. In  addition, the following materials are not solid wastes for the purpose of this  chapter:
    1. Materials generated by any of the following, which are  returned to the soil as fertilizers: 
    a. The growing and harvesting of agricultural crops. 
    b. The raising and husbanding of animals, including animal  manures and used animal bedding. 
    2. Mining overburden returned to the mine site. 
    3. Recyclable materials used in manner constituting disposal  per 9VAC20-60-266. 
    4. Wood wastes burned for energy recovery. 
    5. Materials that are:
    a. Used or reused, or prepared for use or reuse, as an  ingredient in an industrial process to make a product, or as effective  substitutes for commercial products or natural resources provided the materials  are not being reclaimed or accumulated speculatively; or 
    b. Returned to the original process from which they are  generated. 
    6. Materials that are beneficially used as determined by the  department under this subsection. The department may consider other waste  materials and uses to be beneficial in accordance with the provisions of  9VAC20-81-97. 
    7. The following materials and uses listed in this part are  exempt from this chapter as long as they are managed so they do not create an  open dump, hazard, or public nuisance. These materials and the designated use  are considered a beneficial use of waste materials: 
    a. Clean wood, wood chips, or bark from land clearing, logging  operations, utility line clearing and maintenance operations, pulp and paper  production, and wood products manufacturing, when these materials are placed in  commerce for service as mulch, landscaping, animal bedding, erosion control,  habitat mitigation, wetlands restoration, or bulking agent at a compost  facility operated in compliance with Part IV (9VAC20-81-300 et seq.) of this  chapter;
    b. Clean wood combustion residues when used for pH adjustment  in compost, liquid absorbent in compost, or as a soil amendment or fertilizer,  provided the application rate of the wood ash is limited to the nutrient need  of the crop grown on the land on which the wood combustion residues will be  applied and provided that such application meets the requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    c. Compost that satisfies the applicable requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    d. Nonhazardous, contaminated soil that has been excavated as  part of a construction project and that is used as backfill for the same  excavation or excavations containing similar contaminants at the same site, at  concentrations at the same level or higher. Excess contaminated soil from these  projects is subject to the requirements of this chapter; 
    e. Nonhazardous petroleum contaminated soil that has been  treated to the satisfaction of the department in accordance with 9VAC20-81-660;  
    f. Nonhazardous petroleum contaminated soil when incorporated  into asphalt pavement products; 
    g. Solid wastes that are approved in advance of the placement,  in writing, by the department or that are specifically mentioned in the  facility permit for use as alternate daily cover material or other protective  materials for landfill liner or final cover system components; 
    h. Fossil fuel combustion products when used as a material in  the manufacturing of another product (e.g., concrete, concrete products,  lightweight aggregate, roofing materials, plastics, paint, flowable fill) or as  a substitute for a product or material resource (e.g., blasting grit, roofing  granules, filter cloth pre-coat for sludge dewatering, pipe bedding); 
    i. Tire chips and tire shred when used as a sub base fill for  road base materials or asphalt pavements when approved by the Virginia  Department of Transportation or by a local governing body; 
    j. Tire chips, tire shred, and ground rubber used in the  production of commercial products such as mats, pavement sealers, playground  surfaces, brake pads, blasting mats, and other rubberized commercial products; 
    k. Tire chips and tire shred when used as backfill in landfill  gas or leachate collection pipes, recirculation lines, and drainage material in  landfill liner and cover systems, and gas interception or remediation  applications; 
    l. Waste tires, tire chips or tire shred when burned for  energy recovery or when used in pyrolysis, gasification, or similar treatment  process to produce fuel; 
    m. "Waste -derived fuel product,"  as defined in 9VAC20-81-10, derived from nonhazardous solid waste; 
    n. Uncontaminated concrete and concrete products, asphalt  pavement, brick, glass, soil, and rock placed in commerce for service as a  substitute for conventional aggregate; and
    o. Clean, ground gypsum wallboard when used as a soil  amendment or fertilizer, provided the following conditions are met:
    (1) No components of the gypsum wallboard have been glued,  painted, or otherwise contaminated from manufacture or use (e.g., waterproof or  fireproof drywall) unless otherwise processed to remove contaminants. 
    (2) The gypsum wallboard shall be processed so that 95% of the  gypsum wallboard is less than 1/4 inch by 1/4 inch in size, unless an alternate  size is approved by the department.
    (3) The gypsum wallboard shall be applied only to  agricultural, silvicultural, landscaped, or mined lands or roadway construction  sites that need fertilization.
    (4) The application rate for the ground gypsum wallboard shall  not exceed the following rates.
           |      Region      |          Rate      |    
       |      Piedmont, Mountains, and Ridge and Valley      |          250 lbs/1,000 ft2      |    
       |      Coastal Plain      |          50 lbs/1,000 ft2      |    
       |      Note: These weights are for dry ground gypsum wallboard.      |    
  
    D. The following activities are conditionally exempt from  this chapter provided no open dump, hazard, or public nuisance is created: 
    1. Composting of sewage sludge at the sewage treatment plant  of generation without addition of other types of solid wastes.
    2. Composting of household waste generated at a residence and  composted at the site of generation. 
    3. Composting activities performed for educational purposes as  long as no more than 100 cubic yards of materials are on site at any time.  Greater quantities will be allowed with suitable justification presented to the  department. For quantities greater than 100 cubic yards, approval from the  department will be required prior to composting.
    4. Composting of animal carcasses onsite at the farm of  generation.
    5. Composting of vegetative waste and/or yard waste generated  onsite by owners or operators of agricultural operations or owners of the real  property or those authorized by the owners of the real property provided:
    a. All decomposed vegetative waste and compost produced is  utilized on said property;
    b. No vegetative waste or other waste material generated from  other sources other than said property is received;
    c. All applicable standards of local ordinances that govern or  concern vegetative waste handling, composting, storage or disposal are  satisfied; and 
    d. They pose no nuisance or present no potential threat to  human health or the environment. 
    6. Composting of yard waste by owners or operators who accept  yard waste generated offsite shall be exempt from all other provisions of this  chapter as applied to the composting activities provided the requirements of  9VAC20-81-397 B are met.
    7. Composting of preconsumer food waste and kitchen culls  generated onsite and composted in containers designed to prohibit vector  attraction and prevent nuisance odor generation. 
    8. Vermicomposting, when used to process Category I, Category  II, or Category III feedstocks in containers designed to prohibit vector  attraction and prevent nuisance odor generation. If offsite feedstocks are  received no more than 100 cubic yards of materials may be onsite at any one  time. For quantities greater than 100 cubic yards, approval from the department  will be required prior to composting.
    9. Composting of sewage sludge or combinations of sewage  sludge with nonhazardous solid waste provided the composting facility is  permitted under the requirements of a Virginia Pollution Abatement (VPA) or  VPDES permit.
    10. Management of solid waste in appropriate containers at the  site of its generation, provided that: 
    a. Putrescible waste is not stored more than seven days  between time of collection and time of removal for disposal; 
    b. Nonputrescible wastes are not stored more than 90 days  between time of collection and time of removal for proper management; and
    c. Treatment of waste is conducted in accordance with the  following:
    (1) In accordance with a waste analysis plan that:
    (a) Contains a detailed chemical and physical analysis of a  representative sample of the waste being treated, and contains all records  necessary to treat the waste in accordance with the requirements of this part,  including the selected testing frequency; and
    (b) Is kept in the facility's onsite file and made available  to the department upon request.
    (2) Notification is made to the receiving waste management  facility that the waste has been treated.
    11. Using rocks, brick, block, dirt, broken concrete, crushed  glass, porcelain, and road pavement as clean fill. 
    12. Storage of less than 100 waste tires at the site of  generation provided that no waste tires are accepted from offsite and that the  storage will not present a hazard or a nuisance.
    13. Storage in piles of land-clearing debris including stumps  and brush, clean wood wastes, log yard scrapings consisting of a mixture of  soil and wood, cotton gin trash, peanut hulls, and similar organic wastes that  do not readily decompose, are exempt from this chapter if they meet the  following conditions at a minimum: 
    a. The wastes are managed in the following manner: 
    (1) They do not cause discharges of leachate, or attract  vectors. 
    (2) They cannot be dispersed by wind and rain. 
    (3) Fire is prevented. 
    (4) They do not become putrescent. 
    b. Any facility storing waste materials under the provisions  of this subsection shall obtain a storm water discharge permit if they are  considered a significant source under the provisions of 9VAC25-31-120 A 1 c. 
    c. No more than a total of 1/3 acre of waste material is  stored onsite and the waste pile does not exceed 15 feet in height above base  grade. 
    d. Siting provisions. 
    (1) All log yard scrapings consisting of a mixture of soil and  wood, cotton gin trash, peanut hulls, and similar organic wastes that do not  readily decompose are stored at the site of the industrial activity that  produces them; 
    (2) A 50-foot fire break is maintained between the waste pile  and any structure or tree line; 
    (3) The slope of the ground within the area of the pile and  within 50 feet of the pile does not exceed 4:1; 
    (4) No waste material may be stored closer than 50 feet to any  regularly flowing surface water body or river, floodplain, or wetland; and
    (5) No stored waste materials shall extend closer than 50 feet  to any property line. 
    e. If activities at the site cease, any waste stored at the  site must be properly managed in accordance with these regulations within 90  days. The director can approve longer time frames with appropriate  justification. Justification must be provided in writing no more than 30 days  after ceasing activity at the site. 
    f. Waste piles that do not meet these provisions are required  to obtain a permit in accordance with the permitting provisions in Part V  (9VAC20-81-400 et seq.) of this chapter and meet all of the applicable waste  pile requirements in Part IV (9VAC20-81-300 et seq.) of this chapter.  Facilities that do not comply with the provisions of this subsection and fail  to obtain a permit are subject to the provisions of 9VAC20-81-40.
    14. Storage of nonhazardous solid wastes and hazardous wastes,  or hazardous wastes from conditionally exempt small quantity generators as  defined in Virginia Hazardous Waste Management Regulations (9VAC20-60) at a  transportation terminal or transfer station in closed containers meeting the  U.S. Department of Transportation specifications is exempt from this section  and the permitting provisions of Part V (9VAC20-81-400 et seq.) of this chapter  provided such wastes are removed to a permitted storage or disposal facility  within 10 days from the initial receipt from the waste generator. To be  eligible for this exemption, each shipment must be properly documented to show  the name of the generator, the date of receipt by the transporter, and the date  and location of the final destination of the shipment. The documentation shall  be kept at the terminal or transfer station for at least three years after the  shipment has been completed and shall be made available to the department upon  request. All such activities shall comply with any local ordinances.
    15. Open burning in accordance with the requirements of  9VAC5-130-40. 
    16. Open burning of vegetative waste is allowed at a closed  landfill that has not been released from postclosure care. The activity shall  be included in the text of the postclosure plan and conducted in accordance  with § 10.1-1410.3 of the Code of Virginia.
    17. Placement of trees, brush, or other vegetation from land  used for agricultural or silvicultural purposes on the same property or other  property of the same landowner. 
    18. Using fossil fuel combustion products in one or more of  the following applications or when handled, processed, transported, or  stockpiled for the following uses: 
    a. As a base, sub-base or fill material under a paved road,  the footprint of a structure, a paved parking lot, sidewalk, walkway or similar  structure, or in the embankment of a road. In the case of roadway embankments,  materials will be placed in accordance with VDOT specifications, and exposed  slopes not directly under the surface of the pavement must have a minimum of 18  inches of soil cover over the fossil fuel combustion products, the top six  inches of which must be capable of sustaining the growth of indigenous plant  species or plant species adapted to the area. The use, reuse, or reclamation of  unamended coal combustion byproduct shall not be placed in an area designated  as a 100-year flood plain;
    b. Processed with a cementitious binder to produce a  stabilized structural fill product that is spread and compacted with proper  equipment for the construction of a project with a specified end use; or
    c. For the extraction or recovery of materials and compounds  contained within the fossil fuel combustion products.
    E. The following solid wastes are exempt from this chapter  provided that they are managed in accordance with the requirements promulgated  by other applicable state or federal agencies: 
    1. Management of wastes regulated by the State Board of  Health, the State Water Control Board, the Air Pollution Control Board, the  Department of Mines, Minerals and Energy, Department of Agriculture and  Consumer Services, or any other state or federal agency with such authority.
    2. Drilling fluids, produced waters, and other wastes  associated with the exploration, development, or production of crude oil,  natural gas, or geothermal energy. 
    3. Solid waste from the extraction, beneficiation, and  processing of ores and minerals, including coal. 
    4. Fossil fuel combustion products used for mine reclamation,  mine subsidence, or mine refuse disposal on a mine site permitted by the  Virginia Department of Mines, Minerals and Energy (DMME) when used in  accordance with the standards.
    5. Solid waste management practices that involve only the  onsite placing of solid waste from mineral mining activities at the site of  those activities and in compliance with a permit issued by the DMME, that do  not include any municipal solid waste, are accomplished in an environmentally  sound manner, and do not create an open dump, hazard or public nuisance are  exempt from all requirements of this chapter.
    6. Waste or byproduct derived from an industrial process that  meets the definition of fertilizer, soil amendment, soil conditioner, or  horticultural growing medium as defined in § 3.2-3600 of the Code of Virginia,  or whose intended purpose is to neutralize soil acidity (see § 3.2-3700 of the  Code of Virginia), and that is regulated under the authority of the Virginia  Department of Agriculture and Consumer Services. 
    7. Fossil fuel combustion products bottom ash or boiler slag  used as a traction control material or road surface material if the use is  consistent with Virginia Department of Transportation practices.
    8. Waste tires generated by and stored at salvage yards  licensed by the Department of Motor Vehicles provided that such storage  complies with requirements set forth in § 10.1-1418.2 and such storage  does not pose a hazard or nuisance. 
    9. Tire chips used as the drainage material in construction of  septage drain fields regulated under the authority of the Virginia Department  of Health.
    F. The following solid wastes are exempt from this chapter  provided that they are reclaimed or temporarily stored incidentally to  reclamation, are not accumulated speculatively, and are managed without  creating an open dump, hazard, or a public nuisance: 
    1. Paper and paper products; 
    2. Clean wood waste that is to undergo size reduction in order  to produce a saleable product, such as mulch;
    3. Cloth;
    4. Glass;
    5. Plastics;
    6. Tire chips, tire shred, ground rubber; and
    7. Mixtures of above materials only. Such mixtures may include  scrap metals excluded from regulation in accordance with the provisions of  subsection C of this section.
    9VAC20-81-140. Operation requirements.
    The operation of all sanitary, CDD, and industrial landfills  shall be governed by the standards set forth in this section. Landfill  operations will be detailed in an operations manual that shall be maintained in  the operating record in accordance with 9VAC20-81-485. This operations manual  will include an operations plan, an inspection plan, a health and safety plan,  an unauthorized waste control plan, an emergency contingency plan, and a  landscaping plan meeting the requirements of this section and 9VAC20-81-485.  This manual shall be made available to the department when requested. If the  applicable standards of this chapter and the landfill's Operations Manual  conflict, this chapter shall take precedence.
    A. Landfill operational performance standards.
    1. Safety hazards to operating personnel shall be controlled  through an active safety program consistent with the requirements of 29 CFR  Part 1910, as amended. 
    2. A groundwater monitoring program meeting the requirements  of 9VAC20-81-250 shall be implemented, as applicable. 
    3. A corrective action program meeting the requirements of  9VAC20-81-260 is required whenever the groundwater protection standard is  exceeded at statistically significant levels.
    4. Open burning at active landfills. 
    a. Owners or operators shall ensure that the units do not  violate any applicable requirements developed by the State Air Pollution  Control Board or promulgated by the EPA administrator pursuant to § 110 of the  Clean Air Act, as amended (42 USC §§ 7401 to 7671q). 
    b. Open burning of solid waste, except for infrequent burning  of agricultural wastes, silvicultural wastes, land-clearing debris, diseased  trees, or debris from emergency cleanup operations is prohibited. There shall  be no open burning permitted on areas where solid waste has been disposed of or  is being used for active disposal.
    c. The owner or operator shall be responsible for extinguishing  any fires that may occur at the facility. A fire control plan will be developed  that outlines the response of facility personnel to fires. The fire control  plan will be provided as an attachment to the emergency contingency plan  required under the provisions of 9VAC20-81-485. The fire control plan will be  available for review upon request by the public. There shall be no open burning  permitted on areas where solid waste has been disposed or is being used for  active disposal.
    5. Except as provided in 9VAC20-81-130 K, owners or operators  shall implement a gas management plan in accordance with 9VAC20-81-200  to  control landfill gas such that: 
    a. The concentration of methane gas generated by the landfill  does not exceed 25% of the lower explosive limit for methane in landfill  structures (excluding gas control or recovery system components); and 
    b. The concentration of methane gas does not exceed the lower  explosive limit for methane at the facility boundary. 
    6. Landfills shall not: 
    a. Allow leachate from the landfill to drain or discharge into  surface waters except when treated onsite and discharged into surface water as  authorized under a VPDES Permit (9VAC25-31). 
    b. Cause a discharge of pollutants into waters of the United  States, including wetlands, that violates any requirements of the Clean Water  Act (33 USC § 1251 et seq.), including, but not limited to, the VPDES  requirements and Virginia Water Quality Standards (9VAC25-260). 
    c. Cause the discharge of a nonpoint source of pollution to  waters of the United States, including wetlands, that violates any requirement  of an areawide or statewide water quality management plan that has been  approved under § 208 or 319 of the Clean Water Act (33 USC § 1251 et  seq.), as amended or violates any requirement of the Virginia Water Quality  Standards (9VAC25-260). 
    d. Allow solid waste to be deposited in or to enter any  surface waters or groundwaters.
    7. Owners or operators shall maintain the run-on/runoff  control systems designed and constructed in accordance with 9VAC20-81-130 H. 
    8. Access to sanitary, CDD, or noncaptive industrial landfills  shall be permitted only when an attendant is on duty and only during daylight  hours, unless otherwise specified in the landfill permit. 
    9. Fencing or other suitable control means shall be used to  control litter migration. All litter blown from the landfill operations shall  be collected on a weekly basis.
    10. Odors and vectors shall be effectively controlled so they  do not constitute nuisances or hazards. Odor hazard or nuisances shall be  controlled in accordance with 9VAC20-81-200 D. Disease vectors shall be  controlled using techniques for the protection of human health and the  environment. 
    11. If salvaging is allowed by a landfill, it shall not  interfere with operation of the landfill and shall not create hazards or  nuisances. 
    12. Fugitive dust and mud deposits on main offsite roads and  access roads shall be minimized at all times to limit nuisances. Dust shall be  controlled to meet the requirements of Article 1 (9VAC5-40-60 et seq.) of Part  II of 9VAC5-40.
    13. Internal roads in the landfill shall be maintained to be  passable in all weather by ordinary vehicles. All operation areas and units  shall be accessible.
    14. All landfill appurtenances listed in 9VAC20-81-130 shall be  properly maintained and operated as designed and approved in the facility's  permit. 
    15. Adequate numbers and types of properly maintained  equipment shall be available to a landfill for operation. Provision shall be  made for substitute equipment to be available or alternate means implemented to  achieve compliance with subdivision B 1, C 1, or D 1 of this section, as  applicable, within 24 hours should the former become inoperable or unavailable.  Operators with training appropriate to the tasks they are expected to perform  and in sufficient numbers for the complexity of the site shall be on the site  whenever it is in operation.
    16. Self-Inspection. Each landfill shall implement an  inspection routine including a schedule for inspecting all applicable major aspects  of facility operations necessary to ensure compliance with the requirements of  this chapter. Records of these inspections must be maintained in the operating  record and available for review. At a minimum, the following aspects of the  facility shall be inspected on a monthly basis: erosion and sediment controls,  storm water conveyance system, leachate collection system, safety and emergency  equipment, internal roads, and operating equipment. The groundwater monitoring  system and gas management system shall be inspected at a rate consistent with  the system's monitoring frequency.
    17. Records to include, at a minimum, date of receipt,  quantity by weight or volume, and origin shall be maintained on solid waste  received and processed to fulfill the applicable requirements of the Solid  Waste Information and Assessment Program under 9VAC20-81-80 and the Control  Program for Unauthorized Waste under 9VAC20-81-100 E. Such records shall be  made available to the department for examination or use when requested.
    B. In addition to the standards in subsection A of this  section, sanitary landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread into two-foot layers or less and compacted at the working face, which  shall be confined to the smallest area practicable. 
    b. Lift heights shall be sized in accordance with daily waste  volumes. Lift height is not recommended to exceed 10 feet. 
    c. Daily cover consisting of at least six inches of  compacted soil or other approved material shall be placed upon and maintained  on all exposed solid waste prior to the end of each operating day, or at more  frequent intervals if necessary, to control disease vectors, fires, odors,  blowing litter, and scavenging. Alternate materials of an alternate thickness  may be approved by the department if it has been demonstrated that the  alternate material and thickness control disease vectors, fires, odors, blowing  litter, and scavenging without presenting a threat to human health and the  environment. At least three days of acceptable cover soil or approved material  at the average usage rate shall be maintained at the landfill or readily  available at all times. 
    d. Intermediate cover of at least six inches of additional  compacted soil shall be applied and maintained whenever an additional lift of  refuse is not to be applied within 30 days. Further, all areas with  intermediate cover exposed shall be inspected as needed, but not less than  weekly. Additional cover material shall be placed on all cracked, eroded, and  uneven areas as required to maintain the integrity of the intermediate cover  system. 
    e. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    g. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33% unless steeper slopes are approved in the  permit. 
    2. The active working face of a sanitary landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    3. A sanitary landfill that is located within 10,000 feet of  any airport runway used for turbojet aircraft or 5,000 feet of any airport  runway used by only piston type aircraft, shall operate in such a manner that  the landfill does not increase or pose additional bird hazards to aircraft. 
    4. Sanitary landfills shall not dispose of the following  wastes, except as specifically authorized by the landfill permit or by the  department: 
    a. Free liquids. 
    (1) Bulk or noncontainerized liquid waste, unless: 
    (a) The waste is household waste; or 
    (b) The waste is gas condensate derived from that landfill;
    (c) The waste is leachate derived from that landfill and the landfill  is designed with a composite liner and leachate collection system as described  in 9VAC20-81-130 J 1 a and 9VAC20-81-130 L; or 
    (2) Containers holding liquid waste, unless: 
    (a) The container is a small container similar in size to that  normally found in household waste; 
    (b) The container is designed to hold liquids for use other  than storage; or 
    (c) The waste is household waste. 
    b. Regulated hazardous wastes as defined by the Virginia  Hazardous Waste Management Regulations (9VAC20-60).
    c. Solid wastes, residues, or soils containing more than 1.0  ppb (parts per billion) TEF (dioxins). 
    d. Solid wastes, residues, or soils containing 50.0 ppm (parts  per million) or more of PCB's except as allowed under the provisions of  9VAC20-81-630. 
    e. Sludges that have not been dewatered. 
    f. Contaminated soil unless approved by the department in  accordance with the requirements of 9VAC20-81-610 or 9VAC20-81-660. 
    g. Regulated medical waste as specified in the Regulated  Medical Waste Management Regulations (9VAC20-120).
    5. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    C. In addition to the standards in subsection A of this  section, Construction/demolition/debris landfills shall also comply with the  following:
    1. Compaction and cover requirements. 
    a. Waste materials shall be compacted in shallow layers during  the placement of disposal lifts to minimize differential settlement. 
    b. Compacted soil cover shall be applied as needed for safety  and aesthetic purposes. A minimum one-foot thick progressive cover shall be  maintained weekly such that the top of the lift is fully covered at the end of  the work week. If the landfill accepts Category I or II nonfriable  asbestos-containing material for disposal, daily soil cover shall be placed  upon all exposed Category I or II nonfriable asbestos-containing material prior  to the end of each operating day. The open working face of a landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    c. When waste deposits have reached final elevations, or  disposal activities are interrupted for 15 days or more, waste deposits shall  receive a one-foot thick intermediate cover unless soil has already been  applied in accordance with subdivision 1 b of this subsection and be graded to  prevent ponding and to accelerate surface run-off. 
    d. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    e. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    f. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33%. 
    2. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    D. In addition to the standards in subsection A of this  section, Industrial Landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread and compacted at the working face, which shall be confined to the  smallest area practicable. 
    b. Lift heights shall be sized according to the volume of  waste received daily and the nature of the industrial waste. A lift height is  not required for materials such as fly ash that are not compactable. 
    c. Where it is necessary for the specific waste, such as  Category I or II nonfriable asbestos-containing material, daily soil cover, or  other suitable material shall be placed upon all exposed solid waste prior to  the end of each operating day. For wastes such as fly ash and bottom ash from  burning of fossil fuels, periodic cover to minimize exposure to precipitation  and control dust or dust control measures such as surface wetting or crusting  agents shall be applied. At least three days of acceptable cover soil or  approved material at the average usage rate shall be maintained at the fill at  all times at facilities where daily cover is required unless an offsite supply  is readily available on a daily basis.
    d. Intermediate cover of at least one foot of compacted soil  shall be applied whenever an additional lift of refuse is not to be applied  within 30 days unless the owner or operator demonstrates to the satisfaction of  the director that an alternate cover material or an alternate schedule will be  protective of public health and the environment. In the case of facilities  where fossil fuel combustion products are removed for beneficial use,  intermediate cover must be applied in any area where ash has not been placed or  removed for 30 days or more. Further, all areas with intermediate cover exposed  shall be inspected as needed but not less than weekly and additional cover  material shall be placed on all cracked, eroded, and uneven areas as required  to maintain the integrity of the intermediate cover system. 
    e. Final cover construction will be initiated in accordance  with the requirements of 9VAC20-81-160 D 2 when the following pertain: 
    (1) When an additional lift of solid waste is not to be  applied within two years or a longer period as required by the facility's  phased development. 
    (2) When any area of a landfill attains final elevation and  within 90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) When a landfill's permit is terminated within 90 days of  such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  otherwise specified by the department when seasonal conditions do not otherwise  permit. Mowing will be conducted a minimum of once a year or at a frequency  suitable for the vegetation and climate.
    2. Incinerator and air pollution control residues containing  no free liquids shall be incorporated into the working face and covered at such  intervals as necessary to minimize them from becoming airborne. 
    9VAC20-81-160. Closure requirements.
    The closure of all sanitary, CDD and industrial landfills  shall be governed by the standards set forth in this section.
    A. Closure purpose. The owner or operator shall close the  landfill in a manner that minimizes the need for further maintenance and  provides for the protection of human health and the environment. Closure shall  eliminate the postclosure escape of uncontrolled leachate or of waste  decomposition products to the groundwater or surface water to the extent  necessary to protect human health and the environment. Closure shall also  control and/or minimize surface runoff and the escape of waste decomposition  products to the atmosphere. 
    B. Closure plan and modification of plan.
    1. The owner or operator of a solid waste disposal facility  shall have a written closure plan. This plan shall identify the steps necessary  to completely close the landfill at the time when the operation will be the  most extensive and at the end of its intended life. The closure plan shall  include, at least: 
    a. A schedule for final closure that shall include, as a  minimum, the anticipated date when wastes will no longer be received, the date  when completion of final closure is anticipated, and intervening milestone  dates that will allow tracking of the progress of closure. 
    b. An estimate of waste disposed onsite over the active life  of the landfill; 
    c. An estimate of the largest area ever requiring a final  cover as required at any time during the active life; 
    d. Description of Final Cover System design in accordance with  subsection D of this section;
    e. Description of storm water management to include design,  construction, and maintenance controls;
    f. Closure cost estimate for purpose of financial assurance. 
    2. The owner or operator may amend the closure plan at any  time during the active life of the landfill. The owner or operator shall so  amend his plan any time changes in operating plans or landfill design affect  the closure plan. The amended closure plan shall be placed in the operating  record and a copy provided to the department. 
    3. Closure plans and amended closure plans not previously  approved by the director shall be submitted to the department at least 180 days  before the date the owner or operator expects to begin construction activities  related to closure. The director will approve or disapprove the plan within 90  days of receipt. 
    4. If the owner or operator intends to use an alternate final  cover design, he shall submit a proposed design meeting the requirements of  subdivision D 2 e f of this section to the department at least  180 days before the date he expects to begin closure. The department will  approve or disapprove the plan within 90 days of receipt. 
    5. At least 180 days prior to beginning closure of each solid  waste disposal unit, the owner or operator shall notify the department and the  solid waste planning unit of the intent to close. 
    C. Time allowed for closure. 
    1. The owner or operator shall begin closure activities of  each unit no later than 30 days after the date on which the unit receives the  known final receipt of wastes or, if the unit has remaining capacity and there  is a reasonable likelihood that the unit will receive additional wastes, no  later than one year after the most recent receipt of wastes. Extensions beyond  the one-year deadline for beginning closure may be granted by the director if  the owner or operator demonstrates that the unit has the capacity to receive  additional wastes and the owner or operator has taken and will continue to take  all steps necessary to prevent threats to human health and the environment from  the unclosed unit. 
    2. The owner or operator shall complete closure activities of  each unit in accordance with the closure plan and within six months after  receiving the final volume of wastes. The director may approve a longer closure  period if the owner or operator can demonstrate that the required or planned  closure activities will, of necessity, take longer than six months to complete;  and that he has taken all steps to eliminate any significant threat to human  health and the environment from the unclosed but inactive landfill.
    D. Closure implementation. 
    1. The owner or operator shall close each unit with a final  cover as specified in subdivision 2 of this subsection, grade the fill area to  prevent ponding, and provide a suitable vegetative cover. Vegetation shall be  deemed properly established when there are no large areas void of vegetation  and it is sufficient to control erosion. 
    2. Final cover system.
    a. The owner or operator shall install a final cover system  that is designed to achieve the performance requirements of this section. 
    b. Owners or operators of CDD landfill units used for the  disposal of wastes consisting only of stumps, wood, brush, and leaves from  landclearing operations may apply two feet of compacted soil as final cover  material in lieu of the final cover system specified in this section. The  provisions of this section shall not be applicable to any landfill with respect  to which the director has made a finding that continued operation of the  landfill constitutes a threat to the public health or the environment. 
    c. The final cover system shall be designed and constructed  to: 
    (1) Minimize infiltration through the closed disposal unit by  the use of an infiltration layer that is constructed of at least 18 inches of  earthen material; and which has a hydraulic conductivity less than or equal to  the hydraulic conductivity of any bottom liner system or natural subsoils  present, or a hydraulic conductivity no greater than 1x10-5 cm/sec,  whichever is less; and 
    (2) Minimize erosion of the final cover by the use of an  erosion layer that contains a minimum of six inches of earthen material that is  capable of sustaining native plant growth, and provide for protection of the  infiltration layer from the effects of erosion, frost, and wind. 
    d. The owner or operator of a sanitary landfill may choose to  use this alternate final cover system, which shall consist of at least the  following components:
    (1) An 18-inch soil infiltration layer with a hydraulic  conductivity no greater than 1x10-5 cm/sec or a geosynthetic clay  liner installed over the intermediate cover;
    (2) A barrier layer consisting of a geosynthetic membrane  having a minimum thickness of 40-mils;
    (3) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (4) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    e. The owner or operator of a CDD or industrial landfill may  choose to use this alternate final cover system, which shall consist of at  least the following components: 
    (1) A barrier layer consisting of a geosynthetic clay liner or  a geosynthetic membrane having a minimum thickness of 40 mils;
    (2) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (3) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    f. The director may approve an alternate final cover design  that includes: 
    (1) An infiltration layer that achieves an equivalent  reduction in infiltration as the infiltration layer specified in subdivision 2  c (1) of this subsection; and 
    (2) A minimum 24-inch erosion layer that is capable of  sustaining native plant growth and provide for protection of the infiltration  layer from the effects of erosion, frost, and wind.
    3. Finished side slopes shall be stable and be configured to  adequately control erosion and runoff. Slopes of 33% will be allowed provided  that adequate runoff controls are established. Steeper slopes may be considered  if supported by necessary stability calculations and appropriate erosion and  runoff control features. All finished slopes and runoff management facilities  shall be supported by necessary calculations and included in the design manual.  To prevent ponding of water, the top slope shall be at least 2.0% after  allowance for settlement. 
    4. Following construction of the final cover system for each  unit, the owner or operator shall submit to the department a certification,  signed by a professional engineer verifying that closure has been completed in  accordance with the closure plan requirements of this part. This certification  shall include the results of the CQA/QC requirements under 9VAC20-81-130 Q 1 b  (6). 
    5. Following the closure of all units the owner or operator  shall: 
    a. Post one sign at the entrance of the landfill notifying all  persons of the closing, and the prohibition against further receipt of waste  materials. Further, suitable barriers shall be installed at former accesses to  prevent new waste from being deposited.
    b. Within 90 days after closure is completed, submit to the  local land recording authority a survey plat prepared by a professional land  surveyor registered by the Commonwealth or a person qualified in accordance  with Title 54.1 of the Code of Virginia indicating the location and dimensions  of landfills. Groundwater monitoring well and landfill gas monitoring  probe locations shall be included and identified by the number on the survey  plat. The plat filed with the local land recording authority shall contain a  note, prominently displayed, which states the owner's or operator's future  obligation to restrict disturbance of the site as specified.
    c. Record a notation on the deed to the landfill property, or  on some other instrument which is normally examined during title searches,  notifying any potential purchaser of the property that the land has been used  to manage solid waste and its use is restricted under 9VAC20-81-170 A 2 c. A  copy of the deed notation as recorded shall be submitted to the department. 
    d. Submit to the department a certification, signed by a  professional engineer, verifying that closure has been completed in accordance  with the requirements of subdivisions 5 a, b, and c of this subsection and the  landfill closure plan. 
    6. The department shall inspect all solid waste management  facilities at the time of closure to confirm that the closing is complete and  adequate. It shall notify the owner or operator of a closed landfill, in  writing, if the closure is satisfactory, and shall require any construction or  such other steps necessary to bring unsatisfactory sites into compliance with  these regulations. Notification by the department that the closure is  satisfactory does not relieve the owner or operator of responsibility for  corrective action to prevent or abate problems caused by the landfill. 
    9VAC20-81-250. Groundwater monitoring program.
    A. General requirements. 
    1. Applicability. 
    a. Existing landfills. Owners or operators of all existing  landfills shall be in compliance with the groundwater monitoring requirements  specified in this section, except as provided for in subdivision 1 c of this  subsection. Owners or operators of landfills that were permitted prior to  December 21, 1988, but were closed in accordance with the requirements of their  permit or existing regulation prior to December 21, 1988, are not required to  be in compliance with the groundwater monitoring requirements specified in this  section, unless conditions are recognized that classify the landfill as an Open  Dump as defined under 9VAC20-81-45. 
    b. New landfills. Owners or operators of new facilities shall  be in compliance with the groundwater monitoring requirements specified in this  section before waste can be placed in the landfill except as provided for in  subdivision 1 c of this subsection.
    c. No migration potential exemption. Groundwater monitoring  requirements under this section may be suspended by the director if the owner  or operator can demonstrate that there is no potential for migration of any  Table 3.1 constituents to the uppermost aquifer during the active life and the  postclosure care period of the landfill. This demonstration shall be certified  by a qualified groundwater scientist and shall be based upon: 
    (1) Site-specific field collected measurements including  sampling and analysis of physical, chemical, and biological processes affecting  contaminant fate and transport; and 
    (2) Contaminant fate and transport predictions that maximize  contaminant migration and consider impacts on human health and the environment.  
    2. General requirements. 
    a. Purpose. Owners or operators shall install, operate, and  maintain a groundwater monitoring system that is capable of determining the  landfill's impact on the quality of groundwater in the uppermost aquifer at the  disposal unit boundary during the active life and postclosure care period of  the landfill. 
    b. Program requirements. The groundwater monitoring program  shall meet the requirements of subdivision 3 of this subsection and comply with  all other applicable requirements of this section. 
    c. Director authority. The groundwater monitoring and  reporting requirements set forth here are minimum requirements. The director  may require, by amending modifying the permit as allowed under  9VAC20-81-600 E, any owner or operator to install, operate, and maintain a  groundwater monitoring system and conduct a monitoring program that contains  requirements more stringent than this chapter imposes whenever it is determined  that such requirements are necessary to protect human health and the  environment. 
    3. Groundwater monitoring system. 
    a. System requirements. A groundwater monitoring system shall  be installed consisting of a sufficient number of monitoring wells, at  appropriate locations and depths, capable of yielding sufficient quantities of  groundwater for sampling and analysis purposes from the uppermost aquifer that:  
    (1) Represent the quality of background groundwater that has  not been affected by a release from the landfill; and 
    (2) Represent the quality of groundwater at the disposal unit  boundary. The downgradient monitoring system shall be installed at the disposal  unit boundary in a manner that ensures detection of groundwater contamination  in the uppermost aquifer unless a variance has been granted by the director  under 9VAC20-81-740. 
    (3) When physical obstacles preclude installation of  groundwater monitoring wells at the disposal unit boundary, the downgradient  monitoring wells may be installed at the closest practicable distance  hydraulically downgradient from the boundary in locations that ensure detection  of groundwater contamination in the uppermost aquifer. 
    b. Multiunit systems. The director may approve a groundwater  monitoring system that covers multiple waste disposal units instead of  requiring separate groundwater monitoring systems for each unit when the  landfill has several units, provided the multiunit groundwater monitoring  system meets the requirement of subdivision 3 of this subsection and can be  demonstrated to be equally protective of human health and the environment as  individual monitoring systems. The system for each waste disposal unit would be  based on the following factors: 
    (1) Number, spacing, and orientation of the waste disposal  units; 
    (2) Hydrogeologic setting; 
    (3) Site history; 
    (4) Engineering design of the waste disposal units; and 
    (5) Type of waste accepted at the waste disposal units. 
    c. Well construction. All monitoring wells shall be of a size  adequate for sampling and shall be cased and grouted in a manner that maintains  the integrity of the monitoring well bore hole. This casing shall be screened  or perforated, and packed with gravel or sand where necessary, to enable sample  collection at depths where appropriate aquifer flow zones exist. The annular  space above the sampling depth shall be sealed with a suitable material to  prevent contamination of samples and the groundwater. 
    d. Boring logs. A log shall be made of each newly installed  monitoring well describing the soils or rock encountered, and the hydraulic  conductivity of the geologic units (formations) encountered. A copy of the  final log(s) with appropriate maps, including at a minimum a site plan showing  the location of all monitoring wells, the total depth of monitoring well, the  location of the screened interval, the top and bottom of sand or gravel pack,  and the top and bottom of the seal shall be sent to the department with the  certification required under subdivision 3 g of this subsection. 
    e. Well maintenance. The monitoring wells, piezometers, and  other groundwater measurement, sampling, and analytical devices shall be  operated and maintained in a manner that allows them to perform to design  specifications throughout the duration of the groundwater monitoring program.  Nonfunctioning monitoring wells must be replaced or repaired upon recognition  of damage or nonperformance. Well repair or replacement shall be coordinated  with the department for approval prior to initiating the action. 
    f. Network specifics. The network shall include at least  one upgradient monitoring well and at least three downgradient monitoring  wells. The number, spacing, and depths of monitoring wells included in a  landfill's network shall be determined based on: 
    (1) Site-specific technical information that shall include  thorough characterization by the owner or operator of: 
    (a) The thickness of any unsaturated geologic units or fill  materials that may overlay the uppermost aquifer; 
    (b) The thickness and description of materials comprising the  uppermost aquifer;
    (c) Materials comprising the confining unit defining the lower  boundary of the uppermost aquifer, including, but not limited to, thicknesses,  stratigraphy, lithology, hydraulic conductivities, porosities, and effective  porosities; and
    (d) the calculated groundwater flow rate and direction within  the uppermost aquifer including any seasonal and temporal fluctuations in  groundwater flow. 
    (2) At least one upgradient and at least three downgradient  monitoring wells. 
    (3) A The lateral spacing between downgradient  monitoring wells based on site-specific information supplied under subdivision  3 f (1) of this subsection. 
    g. Monitoring well certification. The groundwater monitoring  well(s) shall, within 30 days of well(s) installation, be certified by a  qualified groundwater scientist noting that all wells have been installed in  accordance with the documentation submitted under subdivision 3 d of this  subsection. Within 14 days of completing this certification, the owner or  operator shall transmit the certification to the department. 
    4. The groundwater sampling and analysis requirements for the  groundwater monitoring system are as follows: 
    a. Quality assurance and control. The groundwater monitoring  program shall include consistent field sampling and laboratory analysis  procedures that are designed to ensure monitoring results that provide an  accurate representation of the groundwater quality at the background and  downgradient wells. At a minimum the program shall include procedures and  techniques for: 
    (1) Sample collection; 
    (2) Sample preservation and shipment; 
    (3) Analytical procedures; 
    (4) Chain of custody control; and 
    (5) Quality assurance and quality control. 
    b. Analytical methods. The groundwater monitoring program  shall include sampling and analytical methods that are appropriate for  groundwater sampling and that accurately measure solid waste constituents in  groundwater samples. Groundwater samples obtained pursuant to 9VAC20-81-250 B  or C shall not be filtered prior to laboratory analysis. The sampling, analysis  and quality control/quality assurance methods set forth in EPA document SW-846,  as amended, shall be used. The department may require re-sampling if it  believes the samples were not properly sampled or analyzed. 
    c. Groundwater rate and flow. Groundwater elevations at each  monitoring well shall be determined immediately prior to purging each time a  sample is obtained. The owner or operator shall determine the rate and  direction of groundwater flow each time groundwater is sampled pursuant to  subsection B or C of this section or 9VAC20-81-260. Groundwater  elevations in wells that monitor the same waste management area disposal  unit or units shall be measured within a period of time short enough to  avoid temporal variations in groundwater flow, which could preclude  accurate determination of groundwater flow rate and direction. 
    d. Background data. The owner or operator shall establish  background groundwater quality in a hydraulically upgradient or background  well, or wells, for each of the monitoring parameters or constituents required  in the particular groundwater monitoring program that applies to the landfill.  Background groundwater quality may be established at wells that are not located  hydraulically upgradient from the landfill if they meet the requirements of  subdivision 4 e of this subsection. 
    e. Alternate well provision. A determination of background  quality may be based on sampling of wells that are not upgradient from the  waste management area disposal unit or units where: 
    (1) Hydrogeologic conditions do not allow the owner or  operator to determine what wells are upgradient; and 
    (2) Sampling at these wells will provide an indication of  background groundwater quality that is as representative or more representative  than that provided by the upgradient wells. 
    f. Sampling and statistics. The number of samples collected to  establish groundwater quality data shall be consistent with the appropriate  statistical procedures determined pursuant to subdivision 4 g of this  subsection. 
    g. Statistical methods. The owner or operator shall specify in  the Groundwater Monitoring Plan the statistical method(s) listed in subsection  D of this section that will be used in evaluating groundwater monitoring data  for each monitoring constituent. The statistical test(s) chosen shall be  applied separately for each groundwater constituent in each well after each  individual sampling event required under subdivision B 2 or 3, C 2 or 3, or as  required under 9VAC20-81-260 E 1.
    h. Evaluation and response. After each sampling event required  under subsection B or C of this section, the owner or operator shall determine  whether or not there is a statistically significant increase over background  values for each groundwater constituent required in the particular groundwater  monitoring program by comparing the groundwater quality of each constituent at  each monitoring well installed pursuant to subdivision 3 a of this subsection  to the background value of that constituent. In determining whether a  statistically significant increase has occurred, the owner or operator shall:
    (1) Ensure the sampling result comparisons are made according  to the statistical procedures and performance standards specified in subsection  D of this section; 
    (2) Ensure that within 30 days of completion of sampling and  laboratory analysis actions, the determination of whether there has been a  statistically significant increase over background at each monitoring well has  been completed; and
    (3) If identified, the statistically significant increase  shall be reported to the department within the notification timeframes  identified in subsection B or C of this section and discussed in the quarterly  or semi-annual report submission described under subdivision E 2 c of this  section. Notifications qualified as being "preliminary,"  "suspect," "unverified," or otherwise not a final  determination of a statistical exceedance will not be accepted. 
    i. Verification sampling. The owner or operator may at any  time within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this section, obtain verification  samples if the initial review of analytical data suggests results that might  not be an accurate reflection of groundwater quality at the disposal unit  boundary. Undertaking verification sampling is a voluntary action on the part  of the owner or operator and shall not alter the timeframes associated with  determining or reporting a statistically significant increase as otherwise  defined under subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    j. Data validation. The owner or operator may at any time  within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this subsection, undertake third-party  data validation of the analytical data received from the laboratory.  Undertaking such validation efforts is a voluntary action on the part of the  owner or operator and shall not alter the timeframes associated with determining  or reporting a statistically significant increase as otherwise defined under  subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    5. Alternate source demonstration allowance. 
    a. Allowance. As a result of any statistically significant  increase identified while monitoring groundwater under subdivision B 2 or 3, or  C 2 or 3 of this section, or at anytime within the Corrective Action process  under 9VAC20-81-260, the owner or operator has the option of submitting an  Alternate Source Demonstration report, certified by a qualified groundwater  scientist, demonstrating:
    (1) A source other than the landfill caused the statistical  exceedance; 
    (2) The exceedance resulted from error in sampling, analysis,  or evaluation; or
    (3) The exceedance resulted from a natural variation in  groundwater quality. 
    b. Timeframes. A successful demonstration must be made within  90 days of noting a statistically significant increase. The director may  approve a longer timeframe for submittal and approval of the Alternate Source  Demonstration with appropriate justification. 
    c. Evaluation and response. Based on the information submitted  in accordance with subdivision 5 a of this subsection, the director will: 
    (1) In the case of the successful demonstration of an error in  sampling, analysis, or evaluation, allow the owner or operator to continue  monitoring groundwater in accordance with the monitoring program in place at  the time of the statistical exceedance. 
    (2) In the case of a successful demonstration of an alternate  source for the release or natural variability in the aquifer matrix:
    (a) Require changes in the groundwater monitoring system as  needed to accurately reflect the groundwater conditions and allow the owner or  operator to continue monitoring groundwater in accordance with the monitoring  program in place at the time of the statistical exceedance; 
    (b) Require any changes to the monitoring system be completed  prior to the next regularly scheduled groundwater monitoring event or within 90  days (whichever is greater); and
    (c) Require any changes to the monitoring system be approved  via the amendment modification process under 9VAC20-81-600 within  90 days of the approval of the alternate source demonstration. 
    (3) In the case of an unsuccessful Alternate Source Demonstration,  require the owner or operator to initiate the actions that would otherwise be  required as a result of the statistically significant increase noted under  subdivision B 2 or 3, or C 2 or 3 of this section as appropriate. 
    6. Establishment of groundwater protection standards. 
    a. Requirement. Upon recognition of a statistically  significant increase over background and while monitoring in the Assessment or  Phase II monitoring programs defined under subdivision B 3 or C 3 of this  section, the owner or operator shall propose a groundwater protection standard  for all detected Table 3.1 Column B constituents. The proposed standards shall  be submitted to the department by a qualified groundwater scientist and be  accompanied by relevant historical groundwater sampling data to justify the  proposed concentration levels. 
    b. Establishment process. The groundwater protection standards  shall be established in the following manner: 
    (1) For constituents for which a maximum contaminant level  (MCL) has been promulgated under § 1412 of the Safe Drinking Water Act (40 CFR  Part 141), the MCL for that constituent shall be automatically established as  the groundwater protection standard upon submission of the proposed standards. 
    (2) If the owner or operator determines that a site-specific  background concentration is greater than the MCL associated with that  constituent under subdivision 6 b (1) of this subsection, the background value  may be substituted for use as the groundwater protection standard in lieu of  the MCL for that constituent upon receiving written department approval. 
    (3) For constituents for which no MCL has been promulgated,  site-specific background concentration value(s) may be used upon receiving  written department approval. 
    (4) For constituents for which no MCL has been promulgated, a  risk-based alternate concentration levels may be used if approved by the  director as long as: 
    (a) The owner or operator submits a request to the department  asking for approval to use risk-based alternate concentration levels for a  specific list of constituents and identifies that these constituents lack an  MCL. In the request the owner or operator shall specify whether site-specific,  independently calculated, risk-based alternate concentration levels will be  applied, or if the facility will accept the default department-provided limits.  
    (b) Both the The alternate concentration levels  that may be provided as default values by the department and those  independently calculated by the owner or operator are demonstrated to meet the  following criteria or factors before they can be used as groundwater protection  standards: 
    (i) Groundwater quality - The potential for adverse quality  effects considering the physical and chemical characteristics of the waste in  the landfill, its potential for migration in the aquifer; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the proximity and withdrawal rates of groundwater users; the  current and future uses of groundwater in the area; the existing quality of  groundwater, including other sources of contamination and their cumulative  impact on the groundwater quality. 
    (ii) Human exposure - Potential for health risks caused by  exposure to waste constituents released from the landfill using federal  guidelines for assessing the health risks of environmental pollutants;  scientifically valid studies conducted in accordance with the Toxic Substances  Control Act Good Laboratory Practice Standards (40 CFR Part 792); or equivalent  standards. For carcinogens, the alternate concentration levels must be set  based on a lifetime cancer risk level due to continuous lifetime exposure  within the 1x10-4 to 1x10-6 range. For systemic  toxicants, alternate concentration levels must be demonstrated to be levels to  which the human population (including sensitive subgroups) could be exposed to  on a daily basis without the likelihood of appreciable risk of deleterious  effects during a lifetime.
    (iii) Surface water - The potential adverse effect on  hydraulically connected surface water quality based on the volume, physical and  chemical characteristics of the waste in the landfill; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the patterns of rainfall in the region; the proximity of the  landfill to surface waters; the current and future uses of surface waters in  the area and any water quality standards established for those surface waters;  the existing quality of surface water, including other sources of contamination  and the cumulative impact on surface water quality. 
    (iv) Other adverse effects - Potential damage to wildlife,  crops, vegetation, and physical structures caused by exposure to waste  constituents; the persistence and permanence of the potential adverse effects;  and the potential for health risks caused by human exposure to waste  constituents using factors shown in subdivision b (4) (b) (ii) of this  subsection. 
    (5) In making any determination regarding the use of alternate  concentration levels under this section, the director will:
    (a) Consider any identification of underground sources of  drinking water as identified by EPA under 40 CFR 144.7,
    (b) Consider additional or modified monitoring requirements or  control measures, 
    (c) Include a schedule for the periodic review of the  alternate concentration levels, or
    (d) Approve the alternate concentration levels as proposed or  issue modified alternate concentration levels.
    c. Implementation. Groundwater protection standards shall be  considered established for the facility upon completion of the actions  described under either subdivision A 6 b (1), (2), (3) or if necessary (4) and  shall be placed in the facility Operating Record and shall be used during  subsequent comparisons of groundwater sampling data consistent with the  requirements of subdivision B 3 f or C 3 e of this section. 
    d. MCL and background revisions. After establishment of  groundwater protection standards under subdivision B 6 b, if the standards are  modified as a result of revisions to any MCL or department-approved background,  the facility shall update its listing of groundwater protection standards and  shall place the new list in the Operating Record and shall use the new values  during subsequent comparisons of sampling data consistent with the requirements  of subdivision B 3 f or C 3 e of this section. 
    e. Alternate concentration levels revisions. After  establishment of groundwater protection standards under subdivision B 6 b of  this section, if the department-approved alternate concentration levels change  based on information released by EPA, to the extent practical, the department  will issue revisions to the alternate concentration levels for facility use no  more often than an annual basis. The facility shall use the alternate  concentration levels listing in effect at the time the sampling event takes  place when comparing the results against the groundwater protection standards  under subdivision B 3 f or C 3 e of this section. 
    B. Monitoring for sanitary landfills. 
    1. Applicability. 
    a. Existing facilities. Except for those sanitary landfills  identified in subdivision C 1 of this section, existing sanitary landfill  facilities and closed facilities that have accepted waste on or after October  9, 1993, and in the case of 'small' landfills on or after April 9, 1994, shall  be in compliance with the detection monitoring requirements specified in  subdivision 2 of this subsection unless existing sampling data requires a move  to assessment monitoring described under subdivision 3 of this subsection. 
    b. New facilities. Facilities placed in operation to receive  waste after October 9, 1993, shall be in compliance with the detection  monitoring requirements specified in subdivision 2 of this section before waste  can be placed in the landfill unless existing sampling data requires a move to  assessment monitoring described under subdivision 3 of this subsection. 
    c. Closed facilities. Unless an extension to the deadline  above has been granted by the director, closed facilities that have ceased to  accept any waste on or before October 9, 1993, and in the case of a  "small" landfill, before April 9, 1994, may comply with the  "State Monitoring Program" monitoring requirements specified in  subdivision C 2 or 3 of this section. 
    d. Other facilities. Owners or operators of disposal  facilities not subject to the federal groundwater monitoring requirements  prescribed under 40 CFR Parts 257 and 258 must perform the groundwater  monitoring described in subdivision C 2 or 3 of this section. 
    e. Proximity to wetlands. Owners or operators of sanitary  landfills that accepted waste after June 30, 1999, must:
    (1) Perform quarterly groundwater monitoring unless the  director determines that less frequent monitoring is necessary consistent with  the requirements of the special provisions regarding wetlands in  § 10.1-1408.5 of the Code of Virginia.
    (2) The quarterly monitoring frequency shall remain in effect  until the department is notified waste is no longer being accepted at the  sanitary landfill. 
    (3) This requirement will not limit the authority of the Waste  Management Board or the director to require more frequent groundwater  monitoring if required to protect human health and the environment. 
    (4) For purposes of this subdivision "proximity to  wetlands" shall be defined as landfills that were constructed on a  wetland, have a potential hydrologic connection to such a wetland in the event  of an escape of liquids from the facility, or are within a mile of such a  wetland.
    2. Detection monitoring program.
    a. Sampling requirements. All sanitary landfills shall  implement detection monitoring except as otherwise provided in subdivision 1 of  this subsection. The monitoring frequency for all constituents listed in Table  3.1 Column A shall be as follows: 
    (1) Initial sampling period. 
    (a) For facilities that monitor groundwater on a semi-annual  basis, a minimum of four independent samples from each well (background and  downgradient) shall be collected and analyzed for the Table 3.1 Column A  constituents during the first semi-annual sampling period. A semi-annual period  is defined under 9VAC20-81-10. 
    (b) For facilities that monitor groundwater on a quarterly  basis as a result of subdivision 1 e of this subsection, a minimum of four  samples from each well (background and downgradient) shall be collected and  analyzed for the Table 3.1 Column A constituents. The samples shall be  collected within the first quarterly period, using a schedule that ensures, to  the greatest extent possible, an accurate calculation of background concentrations.  
    (2) Subsequent sampling events. At least one sample from each  well (background and downgradient) shall be collected and analyzed during  subsequent semi-annual or quarterly events during the active life and  postclosure period. Data from subsequent background sampling events may be  added to the previously calculated background data so that the facility  maintains the most accurate representation of background groundwater quality  with which to carry out statistical analysis required under subdivision A 4 h  of this section. 
    (3) Alternate sampling events. The director may specify an  appropriate alternate frequency for repeated sampling and analysis during the  active life (including closure) and the postclosure care period. The alternate  frequency during the active life (including closure) and the postclosure period  shall be no less than annual. The alternate frequency shall be based on  consideration of the following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); and 
    (e) Resource value of the aquifer. 
    b. Evaluation and response. If the owner or operator  determines under subdivision A 4 h of this section, that there is:
    (1) A statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this section,  for one or more of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event, the owner or operator shall: 
    (a) Within 14 days of this finding, notify the department of  this fact, indicating which constituents have shown statistically significant  increases over background levels; and 
    (b) Within 90 days, (i) establish an assessment monitoring  program meeting the requirements of subdivision 3 of this subsection, or (ii)  submit an Alternate Source Demonstration as specified in subdivision A 5 of  this section. If, after 90 days, a successful demonstration has not been made,  the owner or operator shall initiate an assessment monitoring program as  otherwise required in subdivision 3 of this subsection. The 90-day Alternate  Source Demonstration period may be extended by the director for good cause. 
    (2) No statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this  section, for any of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event; the owner or operator may remain in detection monitoring and  include a discussion of the sampling results and statistical analysis in the  semi-annual or quarterly report required under subdivision E 2 c of this  section. 
    3. Assessment monitoring program. The owner or operator shall  implement the assessment monitoring program whenever a statistically  significant increase over background has been detected during monitoring  conducted under the detection monitoring program.
    a. Sampling requirements. Within 90 days of recognizing a  statistically significant increase over background for one or more of the  constituents listed in Table 3.1 Column A, the owner or operator shall, unless  in receipt of an approval to an Alternate Source Demonstration under  subdivision A 5 of this section or a director-approved extension, conduct the initial  assessment monitoring sampling event for the constituents found in Table 3.1  Column B. A minimum of one sample from each well installed under subdivision A  3 a of this section shall be collected and analyzed during the initial and all  subsequent annual Table 3.1 Column B sampling events.
    b. Director provisions: 
    (1) The owner or operator may request that the director  approve an appropriate subset of monitoring wells that may remain in detection  monitoring defined under subdivision 2 of this subsection, based on the results  of the initial, or subsequent annual Table 3.1 Column B sampling events.  Monitoring wells may be considered for the subset if:
    (a) They show no detections of Table 3.1 Column B constituents  other than those already previously detected in detection monitoring defined  under subdivision 2 of this subsection; and 
    (b) They display no statistically significant increases over  background for any constituents on the Table 3.1 Column A list. If an increase  is subsequently recognized in a well approved for the subset, the well shall no  longer be considered part of the detection monitoring subset. 
    (2) The owner or operator may request the director delete any  of the Table 3.1 Column B monitoring constituents from the assessment  monitoring program if the owner or operator demonstrates that the deleted  constituents are not reasonably expected to be in or derived from the waste. 
    (3) The director may specify an appropriate alternate  frequency for repeated sampling and analysis for the full set of Table 3.1  Column B constituents required by subdivision 3 a of this subsection during the  active life and postclosure care period based on the consideration of the  following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); 
    (e) Resource value of the aquifer; and 
    (f) Nature (fate and transport) of any constituents detected  in response to subdivision 3 f of this subsection. 
    c. Development of background. After obtaining the results from  the initial or subsequent annual sampling events required in subdivision 3 a of  this subsection, the owner or operator shall: 
    (1) Within 14 days, notify the department identifying the  Table 3.1 Column B constituents that have been detected; 
    (2) Within 90 days, and on at least a semi-annual basis  thereafter, resample all wells installed under subdivision A 3 a of this  section, conduct analyses for all constituents in Table 3.1 Column A as well as  those constituents in Column B that are detected in response to subdivision 3 a  of this subsection and subsequent Table 3.1 Column B sampling events as may be  required of this section, and report this data in the semi-annual or quarterly  report defined under subdivision E 2 c of this section;
    (3) Within 180 days of the initial sampling event, establish  background concentrations for any Table 3.1 Column B constituents detected  pursuant to subdivision B 3 a of this subsection. A minimum of four independent  samples from each well (background and downgradient) shall be collected and  analyzed to establish background for the detected constituents. 
    d. Establishment of groundwater protection standards. Within  30 days of establishing background under subdivision 3 c (3) of this  subsection, submit proposed groundwater protection standards for all  constituents detected under Assessment monitoring. The groundwater protection  standards shall be approved by the director in accordance with the provisions  of subdivision A 6 of this section. 
    e. Groundwater monitoring plan. No later than 60 days after  approval of the groundwater protection standard standards in  accordance with subdivision A 6 of this section, the owner or operator shall  submit an updated Groundwater Monitoring Plan that details the site monitoring  well network and sampling and analysis procedures undertaken during groundwater  monitoring events. The owner or operator shall additionally: 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, request a permit amendment modification  to incorporate the plan and related groundwater monitoring modules into the  landfill's permit in accordance with 9VAC20-81-600. The department may waive  the requirement for a permit amendment modification if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (2) If the 30-day timeframe specified in subdivision 3 e (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    f. Evaluation and response. 
    (1) If the concentrations of all Table 3.1 Column B constituents  are shown to be at or below background values, using the statistical procedures  in subsection D of this section, for two consecutive Table 3.1 Column B  sampling events, the owner or operator shall notify the director of this  finding in the semi-annual or quarterly monitoring report and may return to  detection monitoring defined under subdivision 2 of this subsection. 
    (2) If the concentrations of any Table 3.1 Column B  constituents are found to be above background values, but below the groundwater  protection standards established under subdivision A 6 of this section using  the statistical procedures in subsection D of this section, the owner or  operator shall continue in assessment monitoring in accordance with this  section and present the findings to the department in the semi-annual or  quarterly report. 
    (3) If one or more Table 3.1 Column B constituents are  detected at statistically significant levels above the groundwater protection  standard established under subdivision A 6 of this section using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Within 14 days of this finding, notify the department  identifying the Table 3.1 Column B constituents that have exceeded the  groundwater protection standard. The notification will include a statement that  within 90 days the owner or operator will either: 
    (i) Undertake characterization and assessment actions required  under 9VAC20-81-260 C 1; or 
    (ii) Submit an Alternate Source Demonstration as specified in  subdivision A 5 of this section. If a successful demonstration is made within  90 days, the owner or operator may continue monitoring in accordance with the  assessment monitoring program pursuant to subdivision 3 of this subsection. If  the 90-day period passes without demonstration approval, the owner or operator  shall comply with the actions under 9VAC20-81-260 C within the timeframes  specified unless the director has granted an extension to those timeframes. 
    (b) Describe the results in the semi-annual or quarterly report.  
    C. Monitoring for CDD, industrial, and State Monitoring  Program sanitary landfills. 
    1. Applicability. 
    a. Sanitary landfills. Owners or operators of sanitary  disposal facilities that have ceased to accept solid waste prior to the  federally imposed deadline of October 9, 1993, and or in the case  of a "small landfill" before April 9, 1994, are eligible, with the  director's approval, to conduct the state groundwater monitoring program  described in this section in lieu of the groundwater monitoring program  required under subdivision B 2 or 3 of this section. 
    b. CDD and industrial landfills. Owners or operators of CDD  and industrial landfills not subject to the federal groundwater monitoring  requirements prescribed under 40 CFR Parts 257 and 258 will shall  perform the groundwater monitoring described in this section. 
    c. Other landfills. All other landfills excluding sanitary  landfills, including those that accepted hazardous waste from conditionally  exempt small quantity generators after July 1, 1998, will shall  perform the groundwater monitoring described in this section. 
    2. First determination monitoring program. 
    a. Sampling requirements. A first determination monitoring  program shall consist of a background-establishing period followed by  semi-annual sampling and analysis for the constituents shown in Table 3.1  Column A at all wells installed under subdivision A 3 a of this section. Within  14 days of each event during first determination monitoring, notify the  department identifying the Table 3.1 Column A constituents that have been  detected. 
    b. Development of background. Within 360 days of the initial  first determination sampling event: 
    (1) Establish background concentrations for any constituents  detected pursuant to subdivision 2 a of this subsection. 
    (a) A minimum of four independent samples from each well  (background and downgradient) shall be collected and analyzed to establish  background concentrations for the detected constituents using the procedures in  subsection D of this section. 
    (b) In those cases where new wells are installed downgradient  of waste disposal units that already have received waste, but these wells have  not yet undergone their initial sampling event, collection of four independent  samples for background development will not be required. 
    (2) Within 30 days of completing the background calculations  required under subdivision 2 b (1) (a) of this subsection, submit a first  determination report, signed by a qualified groundwater scientist, to the  department which must include a summary of the background concentration data  developed during the background sampling efforts as well as the statistical  calculations for each constituent detected in the groundwater during the  background sampling events. 
    c. Semi-annual sampling and analysis. Within 90 days of the  last sampling event during the background-establishing period and at least  semi-annually thereafter, sample each monitoring well in the compliance network  for analysis of the constituents in Table 3.1 Column A. 
    d. Evaluation and response. Upon determination of site  background under subdivision 2 b (1) (a) of this subsection, the results of all  subsequent first determination monitoring events shall be assessed as follows: 
    (1) If no Table 3.1 Column A constituents are found to have entered  the groundwater at statistically significant levels over background, the owner  or operator shall:
    (a) Remain in first determination monitoring; and 
    (b) May request the director delete any Table 3.1 Column A  constituents from the semi-annual sampling list if the owner or operator  demonstrates that the proposed deleted constituents are not reasonably expected  to be in or derived from the waste. 
    (2) If the owner or operator recognizes a statistically  significant increase over background for any Table 3.1 Column A constituent,  within 14 days of this finding, the owner or operator shall notify the  department identifying the Table 3.1 Column A constituents that have exceeded  background levels. The notification will include a statement that within 90 days  the owner or operator will shall:
    (a) Initiate a Phase II sampling program; or 
    (b) Submit an Alternate Source Demonstration under subdivision  A 5 of this section. 
    (3) If a successful demonstration is made and approved within  the timeframes established under subdivision A 5 of this section, the owner or  operator may remain in First Determination monitoring. 
    (4) If a successful demonstration is not made and approved  within the timeframes established under subdivision A 5 of this section, the  owner or operator shall initiate Phase II monitoring in accordance with the  timeframes in subdivision C 3 of this section. The director may approve a  longer timeframe with appropriate justification. 
    3. Phase II monitoring. 
    a. Sampling requirements. The owner or operator shall:
    (1) Within 90 days of noting the exceedance over background  determined under subdivision C 2 d of this section, sample the groundwater in  all monitoring wells installed under subdivision A 3 a of this section for all  Table 3.1 Column B constituents; 
    (2) After completing the initial Phase II sampling event,  continue to sample and analyze groundwater on a semi-annual basis within the  Phase II monitoring program; 
    b. Background development. If no additional Table 3.1 Column B  constituents are detected other than those previously detected under Column A,  which already have established their background levels, the owner or operator  shall follow the requirements under subdivision 3 c of this subsection  regarding groundwater protection standard establishment while continuing to  sample for the Table 3.1 Column A list on a semi-annual basis. If one or more  additional Table 3.1 Column B constituents are detected during the initial  Phase II sampling event:
    (1) Within 360 days, establish a background value for each  additional detected Table 3.1 Column B constituent. 
    (2) Submit a Phase II Background report within 30 days of  completing the background calculations including a summary of the background  concentration data for each constituent detected in the groundwater during the  Table 3.1 Column B background sampling events.
    (3) If any detected Table 3.1 Column B constituent is  subsequently not detected for a period of two years, the owner or operator may  petition the director to delete the constituent from the list of detected Table  3.1 Column B constituents that must be sampled semi-annually. 
    c. Establishment of groundwater protection standards. No later  than:
    (1) Thirty days after submitting the Phase II Background  report required under the provisions of subdivision 3 b (2) of this subsection,  or within 30 days of obtaining the results from the initial Table 3.1 Column B  sampling event indicating no further sampling for background determination is  necessary, the owner or operator shall propose a groundwater protection  standard for all detected Table 3.1 constituents. 
    (2) The groundwater protection standard proposed shall be  established in a manner consistent with the provisions in subdivision A 6 of  this section. 
    d. Groundwater monitoring plan. No later than 60 days after  establishment of groundwater protection standards in accordance with  subdivision A 6 of this section, the owner or operator shall submit an updated  Groundwater Monitoring Plan that details the site monitoring well network and  sampling and analysis procedures undertaken during groundwater monitoring  events. The department may waive the requirement for an updated plan if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, the owner or operator shall request a permit amendment  modification to incorporate the updated plan and related groundwater  monitoring modules into the landfill's permit in accordance with 9VAC20-81-600.  
    (2) If the 30-day timeframe specified in subdivision 3 d (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    e. Evaluation and response. After each subsequent Phase II  monitoring event following establishment of groundwater protection standards,  the concentration of Table 3.1 Column B constituents found in the groundwater  at each monitoring well installed pursuant to subdivision A 3 a of this section  will be evaluated against the groundwater protection standards. The evaluation  will be presented to the department in a semi-annual Phase II report. The  evaluation will be as follows: 
    (1) If all Table 3.1 constituents are shown to be at or below  background values, using the statistical procedures in subsection D of this  section, for two consecutive Table 3.1 Column B sampling events, the owner or  operator shall notify the director of this finding in the semi-annual report  and may return to first determination monitoring; 
    (2) If any Table 3.1 Column B constituents are found to be  above background values, but are below the established groundwater protection  standard using the statistical procedures in subsection D of this section, the  owner or operator shall continue semi-annual Phase II monitoring and present  the findings in a semi-annual report; 
    (3) If one or more Table 3.1 Column B constituents are above  the established groundwater protection standard using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Notify the department within 14 days of this finding. The  notification will include a statement that within 90 days the owner or operator  will either: (i) undertake the characterization and assessment actions required  under 9VAC20-81-260 C 1; or (ii) submit an alternate source demonstration as  specified in subdivision A 5 of this section. If a successful demonstration is  made within 90 days, the owner or operator may continue monitoring in  accordance with Phase II monitoring program. If the 90-day period is exceeded,  the owner or operator shall comply with the timeframes of 9VAC20-81-260 C  unless the director has granted an extension to those timeframes; and
    (b) Present the findings in the semi-annual report. 
    D. Statistical methods and constituent lists. 
    1. Acceptable test methods. The following statistical test  methods may be used to evaluate groundwater monitoring data: 
    a. A parametric analysis of variance (ANOVA) followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's mean and the background mean levels  for each constituent. 
    b. An analysis of variance (ANOVA) based on ranks followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's median and the background median  levels for each constituent. 
    c. A tolerance or prediction interval procedure in which an  interval for each constituent is established from the distribution of the  background data, and the level of each constituent in each compliance well is  compared to the upper tolerance or prediction limit. 
    d. A control chart approach that gives control limits for each  constituent. 
    e. Another statistical test method that meets the performance  standards specified below. Based on the justification submitted to the  department, the director may approve the use of an alternative test. The  justification must demonstrate that the alternative method meets the  performance standards in subdivision 2 of this subsection. 
    2. Performance standards. Any statistical method chosen by the  owner or operator shall comply with the following performance standards, as  appropriate: 
    a. The statistical method used to evaluate groundwater  monitoring data shall be appropriate for the distribution of monitoring  parameters or constituents. If the distribution is shown by the owner or  operator to be inappropriate for a normal theory test, then the data shall be  transformed or a distribution-free theory test shall be used. If the  distributions for the constituents differ, more than one statistical method may  be needed. 
    b. If an individual well comparison procedure is used to  compare an individual compliance well constituent concentration with background  constituent concentrations or a groundwater protection standard, the test shall  be done at a Type I error level no less than 0.01 for each testing period. If a  multiple comparisons procedure is used, the Type I experiment-wise error rate  for each testing period shall be no less than 0.05; however, the Type I error  of no less than 0.01 for individual well comparisons must be maintained. 
    c. If a control chart approach is used to evaluate groundwater  monitoring data, the specific type of control chart and its associated  parameter values shall be protective of human health and the environment. The  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    d. If a tolerance interval or a predictional interval is used  to evaluate groundwater monitoring data, the levels of confidence and, for  tolerance intervals, the percentage of the population that the interval must  contain, shall be protective of human health and the environment. These  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    e. The statistical method shall account for data below the  limit of detection with one or more statistical procedures that are protective  of human health and the environment. Any estimated quantitation limit (EQL)  that is used in the statistical method shall be the lowest concentration level  that can be reliably achieved within specified limits of precision and accuracy  during routine laboratory operating conditions that are available to the  landfill. 
    f. If necessary, the statistical method shall include  procedures to control or correct for seasonal and spatial variability as well  as temporal correlation in the data.
    E. Recordkeeping and reporting. 
    1. Records pertaining to groundwater monitoring activities on  site shall be retained at a specified location by the owner or operator  throughout the active life and postclosure care period of the landfill, and  shall include at a minimum: 
    a. All historical groundwater surface elevation data obtained  from wells installed pursuant to subdivision A 3 a of this section; 
    b. All historical laboratory analytical results for  groundwater sampling events required under the groundwater monitoring programs  as described in this section; 
    c. All records of well installation, repair, or abandonment  actions; 
    d. All department correspondence to the landfill; and 
    e. All approved variances, well subsets, wetlands, or other  such director/department approvals. 
    2. Reporting requirements. 
    a. Annual report. 
    (1) An Annual Groundwater Monitoring Report shall be submitted  by the owner or operator to the department no later than 120 days from the  completion of sampling and analysis conducted under subdivision A 4 h of this  section for the second semi-annual event or fourth quarterly event during each  calendar year and shall by accompanied by:
    (a) A signature page; and 
    (b) A completed QA/QC DEQ Form ARSC-01.
    (2) The technical content of the annual report shall at a  minimum, contain the following topical content: 
    (a) The landfill's name, type, permit number, current owner or  operator, and location keyed to a USGS topographic map; 
    (b) Summary of the design type (i.e., lined versus unlined),  operational history (i.e., trench fill versus area fill), and size (acres) of  the landfill including key dates such as beginning and termination of waste  disposal actions and dates different groundwater monitoring phases were  entered;
    (c) Description of the surrounding land use noting whether any  adjoining land owners utilize private wells as a potable water source;
    (d) A discussion of the topographic, geologic, and hydrologic  setting of the landfill including a discussion on the nature of the uppermost  aquifer (i.e., confined versus unconfined) and proximity to surface waters;
    (e) A discussion of the monitoring wells network noting any  modifications that were made to the network during the year or any  nonperformance issues and a statement noting that the monitoring well network  meets (or did not meet) the requirements of subdivision A 3 of this section; 
    (f) A listing of the groundwater sampling events undertaken  during the previous calendar year; 
    (g) A historical table listing the detected constituents, and  their concentrations identified in each well during the sampling period; and
    (h) Evaluations of and appropriate responses to the  groundwater elevation data; groundwater flow rate as calculated using the prior  years elevation data; groundwater flow direction (as illustrated on a  potentiometric surface map); and sampling and analytical data obtained during  the past calendar year. 
    b. Semi-annual or quarterly report. 
    (1) After each sampling event has been completed for the 1st  semi-annual or first, second and third quarterly groundwater sampling events, a  semi-annual or quarterly monitoring report shall be submitted under separate  cover by the owner or operator to the department no later than 120 days from  the completion of sampling and analysis conducted under subdivision A 4 h of  this section, unless as allowed under a director-approved extension. The report  shall at a minimum contain the following items: 
    (a) Signature page signed by a professional geologist or  qualified groundwater scientist; 
    (b) Landfill name and permit number;
    (c) Statement noting whether or not all monitoring points  within the permitted network installed to meet the requirements of subdivision  A 3 a of this section were sampled as required under subdivision B 2 or 3 or C  2 or 3 during the event;
    (d) Calculated rate of groundwater flow during the sampling  period as required under subdivision A 4 c of this section;
    (e) The groundwater flow direction as determined during the  sampling period as required under subdivision A 4 c of this section presented  as either plain text or graphically as a potentiometric surface map;
    (f) Statement noting whether or not there were statistically  significant increases over background or groundwater protection standards  during the sampling period, the supporting statistical calculations, and  reference to the date the director was notified of the increase pursuant to  timeframes in subdivision B 2 or 3 or C 2 or 3, if applicable; 
    (g) Copy of the full Laboratory Analytical Report including  dated signature page (laboratory manager or representative) to demonstrate  compliance with the timeframes of subdivision A 4 h of this section. The  department will accept the lab report in CD-ROM format. 
    (2) In order to reduce the reporting burden on the owner or  operator and potential redundancy within the operating record, a discussion of  the second semi-annual or fourth quarterly sampling event results may be  presented in the Annual Report submission.
    c. Other submissions. Statistically significant increase  notifications, well certifications, the first determination report, alternate  source demonstration, nature and extent study, assessment of corrective  measures, presumptive remedy proposal, corrective action plan or monitoring  plan, or other such report or notification types as may be required under  9VAC20-81-250 or 9VAC20-81-260, shall be submitted in a manner which achieves  the timeframe requirements as listed in 9VAC20-81-250 or 9VAC20-81-260. 
         
                 |      TABLE 3.1      GroundWater Solid Waste Constituent Monitoring List       |    
       |      Column A – Common Name1, 2      |          Column B – Common Name1, 2      |          CAS RN3      |    
       |             |          Acenaphthene      |          83-32-9      |    
       |             |          Acenaphthylene      |          208-96-8      |    
       |      Acetone      |          Acetone      |          67-64-1      |    
       |             |          Acetonitrile; Methyl cyanide      |          75-05-8      |    
       |             |          Acetophenone      |          98-86-2      |    
       |             |          2-Acetylaminofluorene; 2-AAF      |          53-96-3      |    
       |             |          Acrolein      |          107-02-8      |    
       |      Acrylonitrile      |          Acrylonitrile      |          107-13-1      |    
       |             |          Aldrin      |          309-00-2      |    
       |             |          Allyl chloride      |          107-05-1      |    
       |             |          4-Aminobiphenyl      |          92-67-1      |    
       |             |          Anthracene      |          120-12-7      |    
       |      Antimony      |          Antimony      |          (Total)      |    
       |      Arsenic      |          Arsenic      |          (Total)      |    
       |      Barium      |          Barium      |          (Total)      |    
       |      Benzene      |          Benzene      |          71-43-2      |    
       |             |          Benzo[a]anthracene; Benzanthracene      |          56-55-3      |    
       |             |          Benzo[b]fluoranthene      |          205-99-2      |    
       |             |          Benzo[k]fluoranthene      |          207-08-9      |    
       |             |          Benzo[ghi]perylene      |          191-24-2      |    
       |             |          Benzo[a]pyrene      |          50-32-8      |    
       |             |          Benzyl alcohol      |          100-51-6      |    
       |      Beryllium      |          Beryllium      |          (Total)      |    
       |             |          alpha-BHC      |          319-84-6      |    
       |             |          beta-BHC      |          319-85-7      |    
       |             |          delta-BHC      |          319-86-8      |    
       |             |          gamma-BHC; Lindane      |          58-89-9      |    
       |             |          Bis(2-chloroethoxy)methane      |          111-91-1      |    
       |             |          Bis(2-chloroethyl) ether; Dichloroethyl ether      |          111-44-4      |    
       |             |          Bis(2-chloro-1-methylethyl) ether; 2, 2'-Dichlorodiisopropyl    ether; DCIP      |          108-60-1, See note 4      |    
       |             |          Bis(2-ethylhexyl)phthalate      |          117-81-7      |    
       |      Bromochloromethane;.Chlorobromomethane      |          Bromochloromethane;.Chlorobromomethane      |          74-97-5      |    
       |      Bromodichloromethane;.Dibromochloromethane      |          Bromodichloromethane;.Dibromochloromethane      |          75-27-4      |    
       |      Bromoform; Tribromomethane      |          Bromoform; Tribromomethane      |          75-25-2      |    
       |             |          4-Bromophenyl phenyl ether      |          101-55-3      |    
       |             |          Butyl benzyl phthalate; Benzyl butyl phthalate      |          85-68-7      |    
       |      Cadmium      |          Cadium Cadmium      |          (Total)      |    
       |      Carbon disulfide      |          Carbon disulfide      |          75-15-0      |    
       |      Carbon tetrachloride      |          Carbon tetrachloride      |          56-23-5      |    
       |             |          Chlordane      |          Note 5      |    
       |             |          p-Chloroaniline      |          106-47-8      |    
       |      Chlorobenzene      |          Chlorobenzene      |          108-90-7      |    
       |             |          Chlorobenzilate      |          510-15-6      |    
       |             |          p-Chloro-m-cresol; 4-Chloro-3-methylphenol      |          59-50-7      |    
       |      Chloroethane; Ethyl chloride      |          Chloroethane; Ethyl chloride      |          75-00-3      |    
       |      Chloroform; Trichloromethane      |          Chloroform; Trichloromethane      |          67-66-3      |    
       |             |          2-Chloronaphthalene      |          91-58-7      |    
       |             |          2-Chlorophenol      |          95-57-8      |    
       |             |          4-Chlorophenyl phenyl ether      |          7005-72-3      |    
       |             |          Chloroprene      |          126-99-8      |    
       |      Chromium      |          Chromium      |          (Total)      |    
       |             |          Chrysene      |          218-01-9      |    
       |      Cobalt      |          Cobalt      |          (Total)      |    
       |      Copper      |          Copper      |          (Total)      |    
       |             |          m-Cresol; 3-methyphenol      |          108-39-4      |    
       |             |          o-Cresol; 2-methyphenol      |          95-48-7      |    
       |             |          p-Cresol; 4-methyphenol      |          106-44-5      |    
       |             |          Cyanide      |          57-12-5      |    
       |             |          2,4-D; 2,4-Dichlorophenoxyacetic acid      |          94-75-7      |    
       |             |          4,4'-DDD      |          72-54-8      |    
       |             |          4,4'-DDE      |          72-55-9      |    
       |             |          4,4'-DDT      |          50-29-3      |    
       |             |          Diallate      |          2303-16-4      |    
       |             |          Dibenz[a,h]anthracene      |          53-70-3      |    
       |             |          Dibenzofuran      |          132-64-9      |    
       |      Dibromochloromethane; Chlorodibromomethane      |          Dibromochloromethane; Chlorodibromomethane      |          124-48-1      |    
       |      1,2-Dibromo-3-chloropropane; DBCP      |          1,2-Dibromo-3-chloropropane; DBCP      |          96-12-8      |    
       |      1,2-Dibrimoethane; Ethylene dibromide; EDB      |          1,2-Dibrimoethane; Ethylene dibromide; EDB      |          106-93-4      |    
       |             |          Di-n-butyl phthalate      |          84-74-2      |    
       |      o-Dichlorobenzene; 1,2-Dichlorobenzene      |          o-Dichlorobenzene; 1,2-Dichlorobenzene      |          95-50-1      |    
       |             |          m-Dichlorobenzene; 1,3-Dichlorobenzene      |          541-73-1      |    
       |      p-Dichlorobenzene; 1,4-Dichlorobenzene      |          p-Dichlorobenzene; 1,4-Dichlorobenzene      |          106-46-7      |    
       |             |          3,3'-Dichlorobenzidine      |          91-94-2      |    
       |      trans-1,4-Dichloro-2-butene      |          trans-1,4-Dichloro-2-butene      |          110-57-6      |    
       |             |          Dichlorodifluoromethane; CFC 12;      |          75-71-8      |    
       |      1.1-Dichloroethane; Ethylidene chloride      |          1,1-Dichloroethane; Ethylidene chloride      |          75-34-3      |    
       |      1,2-Dichloroethane; Ethylene dichloride      |          1,2-Dichloroethane; Ethylene dichloride      |          107-06-2      |    
       |      1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          75-35-4      |    
       |      cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          156-59-2      |    
       |      trans-1,2-Dichloroethylene      |          trans-1,2-Dichloroethylene; trans-1,2-Dichroroethene      |          156-60-5      |    
       |             |          2,4-Dichlorophenol      |          120-83-2      |    
       |             |          2,6-Dichlorophenol      |          87-65-0      |    
       |      1,2-Dichloropropane; Propylene dichloride      |          1,2-Dichloropropane; Propylene dichloride      |          78-87-5      |    
       |             |          1,3-Dichloropropane; Trimethylene dichloride      |          142-28-9      |    
       |             |          2, 2-Dichloropropane; isopropylidene chloride      |          594-20-7      |    
       |             |          1,1-Dichloropropene      |          563-58-6      |    
       |      cis-1,3-Dichloropropene      |          cis-1,3-Dichloropropene      |          10061-01-5      |    
       |      trans-1,3-Dichloropropene      |          trans-1,3-Dichloropropene      |          10061-02-6      |    
       |             |          Dieldrin      |          60-57-1      |    
       |             |          Diethyl phthalate      |          84-66-2      |    
       |             |          O,O-Diethyl O-2-pyrazinyl phosphorothioate; Thionazin      |          297-97-2      |    
       |             |          Dimethoate      |          60-51-5      |    
       |             |          p-(Dimethylamino)azobenzene      |          60-11-7      |    
       |             |          7,12-Dimethylbenz[a]anthracene      |          57-97-6      |    
       |             |          3,3'-Dimethylbenzidine      |          119-93-7      |    
       |             |          2,4-Dimethylphenol; m-Xylenol      |          105-67-9      |    
       |             |          Dimethyl phthalate      |          131-11-3      |    
       |             |          m-Dinitrobenzene      |          99-65-0      |    
       |             |          4,6-Dinitro-o-cresol; 4,6-Dinitro-2-methylphenol      |          534-52-1      |    
       |             |          2,4-Dinitrophenol      |          51-28-5      |    
       |             |          2,4-Dinitrotoluene      |          121-14-2      |    
       |             |          2,6-Dinitrotoluene      |          606-20-2      |    
       |             |          Dinoseb; DNBP; 2-sec-Butyl-4,6-dinitrophenol      |          88-85-7      |    
       |             |          Di-n-octyl phthalate      |          117-84-0      |    
       |             |          Diphenylamine      |          122-39-4      |    
       |             |          Disulfoton      |          298-04-4      |    
       |             |          Endosulfan I      |          959-96-8      |    
       |             |          Endosulfan II      |          33213-65-9      |    
       |             |          Endosulfan sulfate      |          1031-07-8      |    
       |             |          Endrin      |          72-20-8      |    
       |             |          Endrin aldehyde      |          7421-93-4      |    
       |      Ethylbenzene      |          Ethylbenzene      |          100-41-4      |    
       |             |          Ethyl methacrylate      |          97-63-2      |    
       |             |          Ethylmethanesulfonate      |          62-50-0      |    
       |             |          Famphur      |          52-85-7      |    
       |             |          Fluoranthene      |          206-44-0      |    
       |             |          Fluorene      |          86-73-7      |    
       |             |          Heptachlor      |          76-44-8      |    
       |             |          Heptachlor epoxide      |          1024-57-3      |    
       |             |          Hexachlorobenzene      |          118-74-1      |    
       |             |          Hexachlorobutadiene      |          87-68-3      |    
       |             |          Hexachlorocyclopentadiene      |          77-47-4      |    
       |             |          Hexachloroethane      |          67-72-1      |    
       |             |          Hexachloropropene      |          1888-71-7      |    
       |      2-Hexanone; Methyl butyl ketone      |          2-Hexanone; Methyl butyl ketone      |          591-78-6      |    
       |             |          Indeno[1,2,3-cd]pyrene      |          193-39-5      |    
       |             |          Isobutyl alcohol      |          78-83-1      |    
       |             |          Isodrin      |          465-73-6      |    
       |             |          Isophorone      |          78-59-1      |    
       |             |          Isosafrole      |          120-58-1      |    
       |             |          Kepone      |          143-50-0      |    
       |      Lead      |          Lead      |          (Total)      |    
       |             |          Mercury      |          (Total)      |    
       |             |          Methacrylonitrile      |          126-98-7      |    
       |             |          Methapyrilene      |          91-80-5      |    
       |             |          Methoxychlor      |          72-43-5      |    
       |      Methyl bromide; Bromomethane      |          Methyl bromide; Bromomethane      |          74-83-9      |    
       |      Methyl chloride; Chloromethane      |          Methyl chloride; Chloromethane      |          74-87-3      |    
       |             |          3-Methylcholanthrene      |          56-49-5      |    
       |      Methyl ethyl ketone; MEK; 2-Butanone      |          Methyl ethyl ketone; MEK; 2-Butanone      |          78-93-3      |    
       |      Methyl iodide; Iodomethane      |          Methyl iodide; Iodomethane      |          74-88-4      |    
       |             |          Methyl methacrylate      |          80-62-6      |    
       |             |          Methyl methanesulfonate      |          66-27-3      |    
       |             |          2-Methylnaphthalene      |          91-57-6      |    
       |             |          Methyl parathion; Parathion methyl methyl      |          298-00-0      |    
       |      4-Methyl-2-pentanone; Methyl isobutyl ketone      |          4-Methyl-2-pentanone; Methyl isobutyl ketone      |          108-10-1      |    
       |      Methylene bromide; Dibromomethane      |          Methylene bromide; Dibromomethane      |          74-95-3      |    
       |      Methylene chloride; Dichloromethane      |          Methylene chloride; Dichloromethane      |          75-09-2      |    
       |             |          Naphthalene      |          91-20-3      |    
       |             |          1,4-Naphthoquinone      |          130-15-4      |    
       |             |          1- Naphthylamine      |          134-32-7      |    
       |             |          2-Napthylamine      |          91-59-8      |    
       |      Nickel      |          Nickel      |          (Total)      |    
       |             |          o-Nitroaniline; 2-Nitroaniline      |          88-74-4      |    
       |             |          m-Nitroaniline; 3-Nitroaniline      |          99-09-2      |    
       |             |          p-Nitroaniline; 4-Nitroaniline      |          100-01-6      |    
       |             |          Nitrobenzene      |          98-95-3      |    
       |             |          o-Nitrophenol; 2-Nitrophenol      |          88-75-5      |    
       |             |          p-Nitrophenol; 4-Nitrophenol      |          100-02-7      |    
       |             |          N-Nitrosodi-n-butylamine      |          924-16-3      |    
       |             |          N-Nitrosodiethylamine      |          55-18-5      |    
       |             |          N-Nitrosodimethylamine      |          62-75-9      |    
       |             |          N-Nitrosodiphenylamine      |          86-30-6      |    
       |             |          N-Nitrosodipropylamine; N-Nitroso-N-dipropylamine;    Di-n-propylnitrosamine      |          621-64-7      |    
       |             |          N-Nitrosomethylethalamine      |          10595-95-6      |    
       |             |          N-Nitrosopiperidine      |          100-75-4      |    
       |             |          N-Nitrosopyrrolidine      |          930-55-2      |    
       |             |          5-Nitro-o-toluidine      |          99-55-8      |    
       |             |          Parathion      |          56-38-2      |    
       |             |          Pentachlorobenzene      |          608-93-5      |    
       |             |          Pentachloronitrobenzene      |          82-68-8      |    
       |             |          Pentachlorophenol      |          87-86-5      |    
       |             |          Phenacetin      |          62-44-2      |    
       |             |          Phenanthrene      |          85-01-8      |    
       |             |          Phenol      |          108-95-2      |    
       |             |          p-Phenylenediamine      |          106-50-3      |    
       |             |          Phorate      |          298-02-2      |    
       |             |          Polychlorinated biphenyls; PCBS; Aroclors      |          Note 6      |    
       |             |          Pronamide      |          23950-58-5      |    
       |             |          Propionitrile; Ethyl cyanide      |          107-12-0      |    
       |             |          Pyrene      |          129-00-0      |    
       |             |          Safrole      |          94-59-7      |    
       |      Selenium      |          Selenium      |          (Total)      |    
       |      Silver      |          Silver      |          (Total)      |    
       |             |          Silvex; 2,4,5-TP      |          93-72-1      |    
       |      Styrene      |          Styrene      |          100-42-5      |    
       |             |          Sulfide      |          18496-25-8      |    
       |             |          2,4,5-T; 2,4,5-Trichlorophenoxyacetic acid      |          93-76-5      |    
       |             |          1,2,4,5-Tetrachlorobenzene      |          95-94-3      |    
       |      1,1,1,2-Tetrachloroethane      |          1,1,1,2-Tetrachloroethane      |          630-20-6      |    
       |      1,1,2,2-Tetrachloroethane      |          1,1,2,2-Tetrachloroethane      |          79-34-5      |    
       |      Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          127-18-4      |    
       |             |          2,3,4,6-Tetrachlorophenol      |          58-90-2      |    
       |      Thallium      |          Thallium      |          (Total)      |    
       |             |          Tin      |          (Total)      |    
       |      Toluene      |          Toluene      |          108-88-3      |    
       |             |          o-Toluidine      |          95-53-4      |    
       |             |          Toxaphene      |          Note 7      |    
       |             |          1,2,4-Trichlorobenzene      |          120-82-1      |    
       |      1,1,1-Trichloroethane; Methychloroform      |          1,1,1-Trichloroethane; Methychloroform      |          71-55-6      |    
       |      1,1,2-Trichloroethane      |          1,1,2-Trichloroethane      |          79-00-5      |    
       |      Trichloroethylene; Trichloroethene ethene      |          Trichloroethylene; Trichloroethene ethane      |          79-01-6      |    
       |      Trichlorofluoromethane; CFC-11      |          Trichlorofluoromethane; CFC-11      |          75-69-4      |    
       |             |          2,4,5-Trichlorophenol      |          95-95-4      |    
       |             |          2,4,6-Trichlorophenol      |          88-06-2      |    
       |      1,2,3-Trichloropropane      |          1,2,3-Trichloropropane      |          96-18-4      |    
       |             |          O,O,O-Triethyl phosphorothioate      |          126-68-1      |    
       |             |          sym-Trinitrobenzene      |          99-35-4      |    
       |      Vanadium      |          Vanadium      |          (Total)      |    
       |      Vinyl acetate      |          Vinyl acetate      |          108-05-4      |    
       |      Vinyl chloride; Chloroethene      |          Vinyl chloride; Chloroethene      |          75-01-4      |    
       |      Xylene(total)      |          Xylene(total)      |          Note 8      |    
       |      Zinc      |          Zinc      |          (Total)      |    
  
    NOTES:
    1Common names are those widely used in government  regulations, scientific publications, and commerce; synonyms exist for many  chemicals.
    2The corresponding Chemical Abstracts Service Index  name as used in the 9th Collective Index, may be found in Appendix II of 40 CFR  258.
    3Chemical Abstracts Service Registry Number. Where  "Total" is entered, all species in the groundwater that contains this  element are included.
    4This substance is often called  Bis(2-chloroisopropyl) ether, the name Chemical Abstracts Service applies to  its noncommercial isomer, Propane, 2.2'-oxybis2-chloro (CAS RN 39638-32-9).
    5Chlordane: This entry includes alpha-chlordane (CAS  RN 5103-71-9), beta-chlordane (CAS RN 5103-74-2), gamma-chlordane (CAS RN  5566-34-7), and constituents of chlordane (CAS RN 57-74-9 and CAS RN  12739-03-6).
    6Polychlorinated biphenyls (CAS RN 1336-36-3); this  category contains congener chemicals, including constituents of Aroclor 1016  (CAS RN 12674-11-2), Aroclor 1221 (CAS RN 11104-28-2), Aroclor 1232 (CAS RN  11141-16-5), Aroclor 1242 (CAS RN 53469-21-9), Aroclor 1248 (CAS RN  12672-29-6), Aroclor 1254 (CAS RN 11097-69-1), and Arclor 1260 (CAS RN  11096-82-5).
    7Toxaphene: This entry includes congener chemicals  contained in technical toxaphene (CAS RN 8001-35-2), i.e., chlorinated  camphene.
    8Xylene (total): This entry includes o-xylene (CAS  RN 96-47-6), m-xylene (CAS RN 108-38-3), p-xylene (CAS RN 106-42-3), and  unspecified xylenes (dimethylbenzenes) (CAS RN 1330-20-7).
         
          9VAC20-81-260. Corrective action program.
    A. Corrective action is required whenever one or more  groundwater protection standard is exceeded at statistically significant  levels. An owner or operator of a landfill may elect to initiate corrective  action at any time; however, prior to such initiation, the appropriate  groundwater protection standards for all Table 3.1 constituents shall be  established consistent with 9VAC20-81-250 A 6. At any time during the  corrective action process, the owner or operator may elect to pursue, or the  director can determine that, interim measures as defined under subsection F of  this section are required in accordance with subdivision E 3 of this section.
    B. The director may require periodic progress reports when a  corrective action program is required but not yet implemented. At any time  during the corrective action process, the owner or operate may elect to pursue,  or the director can determine that, interim measures as defined under  subsection F of this section are required in accordance with subdivision E 3 of  this section. 
    C. Characterization and assessment requirements. 
    1. Upon notifying the department that one or more of the  constituents listed in Table 3.1 Column B has been detected at a statistically  significant level exceeding the groundwater protection standards, the owner or  operator shall, unless department approval of an Alternate Source Demonstration  has been received as noted under 9VAC20-81-250 B 3 f (3) (a) (ii) or  9VAC20-81-250 C 3 c (3) (a) (ii):
    a. Characterization. Within 90 days, install additional  monitoring wells as necessary including the installation of at least one  additional monitoring well at the facility boundary in the direction of  contaminant migration sufficient to define the vertical and horizontal  extent of the release of constituents at statistically significant levels  exceeding the groundwater protection standards including the installation of  at least one additional monitoring well at the facility boundary in the  direction of contaminant migration. 
    b. Notification. Notify all persons who own the land or reside  on the land that directly overlies any part of the release if contaminants have  migrated offsite as indicated by the results of sampling of the  characterization wells installed under subdivision 1 a of this subsection  within 15 days of completion of the characterization sampling and analysis  efforts. 
    c. Assessment. Within 90 days, initiate an assessment of  corrective measures or a proposal for presumptive remedy. 
    d. Financial assurance. Within 120 days, provide additional  financial assurance in the amount of $1 million to the department using the  mechanisms required in 9VAC20-70-140 of the Financial Assurance Requirements  for Solid Waste Disposal, Transfer, and Treatment Facilities. 
    e. Public meeting. Prior to submitting the document required  under subdivision 1 f of this subsection, schedule and hold a public meeting to  discuss the draft results of the corrective measures assessment or the proposal  for presumptive remedy, prior to the final selection of remedy. The meeting  shall be held to the extent practicable in the vicinity of the landfill. The  process to be followed for scheduling and holding the public hearing is  described under subdivision 4 of this subsection. 
    f. Submission requirements. Within 180 days, submit the  completed assessment of corrective measures defined under subdivision 3 of this  subsection, or the proposal for presumptive remedies defined under subdivision  2 of this subsection, including any responses to public comments received. 
    g. Director allowance. The submission timeframe noted in  subdivision 1 f of this subsection may be extended by the director for good cause  upon request of the owner or operator. 
    2. Presumptive remedy  allowance. 
    a. Applicability. To expedite corrective action, in lieu of an  analysis meeting the requirements of subdivision 3 of this subsection, the  owner or operator of any facility monitoring groundwater in accordance with  9VAC20-81-250 C may propose a presumptive remedy for the landfill. 
    b. Options. The presumptive remedy for solid waste landfills  shall be limited to one or more of the following: 
    (1) Containment of the landfill mass, including an impermeable  cap; 
    (2) Control of the landfill leachate; 
    (3) Control of the migration of contaminated groundwater; 
    (4) Collection and treatment of landfill gas; and 
    (5) Reduction of saturation of the landfill mass. 
    Containment may be selected as a sole or partial remedy until  a determination is made under subdivision F 1 of this section that another  remedy shall be employed to meet the requirements of subdivision G 1 of this  section concerning remediation completion. Upon recognition that presumptive  remedies may not be able to achieve the groundwater protection standards, an  assessment of corrective measures shall be initiated within 90 days.
    c. Restrictions. Presumptive remedies are not applicable to:
    (1) Landfills monitoring groundwater under the Federal  Subtitle D equivalent program defined under 9VAC20-81-250 B when the use of the  presumptive remedy will be the sole remedy applied to the groundwater release;  or
    (2) Landfills that may monitor groundwater under 9VAC20-81-250  C but that exhibit contamination beyond facility boundaries unless the proposed  presumptive remedy option under subdivision 2 b of this subsection can be  demonstrated to show it will address the reduction of contamination already  present beyond the facility boundary, and the demonstration is approved by the  department. 
    d. Submission requirements. Owner or operators who wish to  propose use of the presumptive remedy allowance shall submit with the proposal,  signed by a qualified groundwater professional, an: 
    (1) Assessment of risks resulting from the contamination at  the disposal unit boundary and at the facility boundary; 
    (2) Evaluation of the current trends in groundwater quality  data with respect to the established groundwater protection standards; and
    (3) Anticipated schedule for initiating and completing  presumptive remedy-based remedial activities. 
    e. Implementation. Upon conducting a public meeting as  required under subdivision 4 of this subsection, submitting a corrective action  monitoring plan meeting subdivision D 1 of this section, and amending modifying  the landfill permit in accordance with 9VAC20-81-600 F 2, the owner or operator  may proceed with the implementation of the remedy in accordance with  subdivision E 1 of this section. 
    f. Evaluation and response. The owner or operator shall  provide an evaluation of the performance of the implemented presumptive remedy  every three years, unless an alternate schedule is approved by the director, in  a Corrective Action Site Evaluation report containing, at a minimum, the  following information: 
    (a) A description of how the presumptive remedy is performing  with respect to the conditions in subdivision H 1 of this section;
    (b) Current and historical groundwater data and analysis; 
    (c) An evaluation of the changes seen in groundwater  contamination after the implementation of the remedy and a projection of when  the conditions in subdivision H 1 of this section will be achieved; and 
    (d) The progress toward achieving the schedule required in  subdivision C 2 d (3) of this section. 
    3. Assessment of corrective measures. 
    a. Purpose. The assessment shall include an analysis of the  effectiveness of several potential corrective measures in meeting all of the  requirements and objectives of the remedy as described under this subsection,  addressing at least the following: 
    (1) The performance, reliability, implementation ease, and  potential impacts of appropriate potential remedies, including safety impacts,  cross-media impacts, and control of exposure to any residual contamination; 
    (2) The time required to begin and complete the remedy; 
    (3) The costs of remedy implementation; and 
    (4) The institutional requirements such as state or local  permit requirements or other environmental or public health requirements that  may substantially affect implementation of the remedies. 
    b. Requirements. As part of the assessment of corrective  measures submitted to the department for review, the owner or operator must  demonstrate that one or more possible groundwater remedy has been evaluated for  potential application on site. These remedies may include a specific technology  or combination of technologies that achieve or may achieve the standards for  remedies specified in subdivision 3 c (1) of this subsection given appropriate  consideration of the factors specified in subdivision D 1 a of this section. 
    c. Selection of remedy. As part of submission of the  assessment of corrective measures document, the owner or operator shall select  a remedy that, at a minimum, meets the standards listed in subdivision H 1 of  this section. 
    (1) The selected remedies to be included in the corrective  action plan shall: 
    (a) Be protective of human health and the environment; 
    (b) Attain the groundwater protection standard as specified  pursuant to 9VAC20-81-250 A 6; 
    (c) Control the sources of releases so as to reduce or  eliminate, to the maximum extent practicable, further releases of solid waste  constituents into the environment that may pose a threat to human health or the  environment; and 
    (d) Comply with standards for management of wastes. 
    d. Evaluation and response. The department shall review the  assessment of corrective measures to evaluate the proposed remedy and may  require revisions to the assessment. If the assessment is approved without  revision, the department will notify the owner or operator to prepare a written  corrective action plan based on the proposed remedy and such plan will be  submitted within 180 days of the department's notification of approval of the  assessment of corrective measures. 
    4. Public meeting process. As part of the public meeting  process completed prior to the submission of a proposal for presumptive remedy  or assessment of corrective measures: 
    a. Newspaper notice. The owner or operator must publish a  notice once a week for two consecutive weeks in a major local newspaper of  general circulation inviting public comment on the results of the corrective  measures assessment or proposal for presumptive remedy as applicable. The  notice shall include: 
    (1) The name of the landfill, its location, and the date,  time, and place for the public meeting, and the beginning and ending dates for  the 30-day comment period. The public meeting shall be held at a time  convenient to the public. The comment period will begin on the date the owner  or operator publishes the notice in the local newspaper;
    (2) The name, telephone, and address of the owner's or  operator's representative who can be contacted by the interested persons to  answer questions or where comments shall be sent; 
    (3) Location where copies of the documentation to be submitted  to the department in support of the corrective measures assessment or proposal  of presumptive remedy can be viewed and copied prior to the meeting; 
    (4) A statement indicating that the need to perform the  corrective measures assessment or presumptive remedy is a result of a  statistically significant increase in one or more groundwater protection  standards; and 
    (5) A statement that the purpose of the public meeting is to  acquaint the public with the technical aspects of the proposal, describe how  the requirements of these regulations will be met, identify issues of concern,  facilitate communication, and establish a dialogue between the permittee and  persons who may be affected by the landfill.
    b. Document review. The owner or operator shall place a copy  of the report and supporting documentation in a location accessible to the  public during the public comment period in the vicinity of the proposed  landfill. 
    c. Meeting timeframe. The owner or operator shall hold a  public meeting within a timeframe that allows for the submission of a completed  assessment of corrective measures or presumptive remedy within 180 days of  notifying the department of a groundwater protection standard exceedance or as  granted under subdivision 1 g of this subsection. The meeting must be scheduled  and held:
    (1) No earlier than 15 days after the publication of the  notice; and
    (2) No later than seven days before the close of the 30-day  comment period.
    D. Corrective action plan and monitoring plan. 
    1. The owner or operator shall submit to the department a  Corrective Action Plan (CAP) and related Corrective Action Monitoring Plan  (CAMP) consistent with the findings as presented in the assessment of  corrective measures required under subdivision C 3 of this section, or proposal  for presumptive remedy described under subdivision C 2 of this section.
    a. Requirements. In preparing a proposed corrective action  plan, the owner or operator will consider the following evaluation factors: 
    (1) The long-term and short-term effectiveness and  protectiveness of the potential remedies, along with the degree of certainty  that the remedy will prove successful based on consideration of the following: 
    (a) Magnitude of reduction of existing risks; 
    (b) Magnitude of residual risks in terms of likelihood of  further releases due to waste remaining following implementation of a remedy; 
    (c) The type and degree of long-term management required,  including monitoring, operation, and maintenance; 
    (d) Short-term risks that might be posed to the community,  workers, or the environment during implementation of such a remedy, including  potential threats to human health and the environment associated with  excavation, transportation, and redisposal or containment; 
    (e) Time until full protection is achieved; 
    (f) Potential for exposure of humans and environmental  receptors to remaining wastes, considering the potential threat to human health  and the environment associated with excavation, transportation, re-disposal, or  containment; 
    (g) Long-term reliability of the engineering and institutional  controls; and 
    (h) Potential need for replacement of the remedy. 
    (2) The effectiveness of the remedy in controlling the source  to reduce further releases based on consideration of the following factors: 
    (a) The extent to which containment practices will reduce  further releases; 
    (b) The extent to which treatment technologies may be used; 
    (c) Magnitude of reduction of existing risks; and 
    (d) Time until full protection is achieved. 
    (3) The ease or difficulty of implementing a potential remedy  based on consideration of the following types of factors: 
    (a) Degree of difficulty associated with constructing the  technology; 
    (b) Expected operational reliability of the technologies; 
    (c) Need to coordinate with and obtain necessary approvals and  permits from other agencies; 
    (d) Availability of necessary equipment and specialists; and 
    (e) Available capacity and location of needed treatment,  storage, and disposal services. 
    (4) Practicable capability of the owner or operator, including  a consideration of the technical and economic capability. At a minimum the  owner or operator must consider capital costs, operation and maintenance costs,  net present value of capital and operation and maintenance costs, and potential  future remediation costs. 
    (5) Ensure that all solid wastes that are managed while  undergoing corrective action or an interim measure shall be managed in a  manner: 
    (a) That is protective of human health and the environment;  and 
    (b) That complies with all applicable federal and Virginia  requirements. 
    (6) The degree to which community concerns raised as the  result of the public meeting required by subdivision C 4 of this section are  addressed by the potential remedy. 
    b. Implementation and completion timeframes. The owner or  operator shall specify as part of the selected remedy a schedule for initiating  and completing remedial activities. Such a schedule shall require the  initiation of remedial activities within a reasonable period of time taking into  consideration the factors set forth in this section. The owner or operator  shall consider the following factors in determining the schedule of remedial  activities: 
    (1) Extent and nature Nature and extent of  contamination; 
    (2) Practical capabilities of remedial technologies in  achieving compliance with groundwater protection standards established under  9VAC20-81-250 A 6 and other objectives of the remedy; 
    (3) Availability of treatment or disposal capacity for wastes  managed during implementation of the remedy; 
    (4) Desirability of utilizing technologies that are not  currently available, but which may offer significant advantages over already  available technologies in terms of effectiveness, reliability, safety, or  ability to achieve remedial objectives; 
    (5) Potential risks to human health and the environment from  exposure to contamination prior to completion of the remedy; 
    (6) Resource value of the aquifer including: 
    (a) Current and future uses; 
    (b) Proximity and withdrawal rates of users; 
    (c) Groundwater quantity and quality; 
    (d) The potential damage to wildlife, crops, vegetation, and  physical structures caused by exposure to the waste constituents; 
    (e) The hydrological characteristics of the landfill and  surrounding land; 
    (f) Groundwater removal and treatment costs; and 
    (g) The cost and availability of alternate water supplies; 
    (7) Practical capability of the owner or operator; 
    (8) Timeframes for periodic progress reports during design,  construction, operation, and maintenance. Items to consider when preparing the  reports include but are not limited to: 
    (a) Progress of remedy implementation; 
    (b) Results of monitoring and sampling activities; 
    (c) Progress in meeting cleanup standards; 
    (d) Descriptions of remediation activities; 
    (e) Problems encountered during the reporting period and  actions taken to resolve problems; 
    (f) Work for next reporting period;
    (g) Copies of laboratory reports including drilling logs,  QA/QC documentation, and field data; and
    (9) Other relevant factors. 
    c. Corrective action monitoring program. Any groundwater  monitoring program to be employed during the corrective action process: 
    (1) Shall at a minimum, meet the requirements of the  applicable groundwater monitoring program described under 9VAC20-81-250 B 3 or  C 3; 
    (2) Shall determine the horizontal and vertical extent of the  plume of contamination for constituents at statistically significant levels  exceeding background concentrations; 
    (3) Can be used to demonstrate the effectiveness of the  implemented corrective action remedy; and 
    (4) Shall demonstrate compliance with the groundwater  protection standard established under 9VAC20-81-250 A 6. 
    2. The proposed corrective action plan shall be submitted to  the director for approval. Prior to rendering his approval, the director may: 
    a. Request an evaluation of one or more alternative remedies; 
    b Request technical modification of the monitoring program; 
    c. Request a change in the time schedule; or 
    d. Determine that the remediation of the release of Table 3.1  constituents is not necessary if the owner or operator demonstrates to the  satisfaction of the director that: 
    (1) The groundwater is additionally contaminated by substances  that have originated from a source other than the landfill in a demonstration  meeting the requirements of 9VAC20-81-250 A 5 and those substances are present  in concentrations such that cleanup of the release from the landfill would  provide no significant reduction in risk to actual or potential receptors;
    (2) The constituent is present in groundwater that is not  currently or reasonably expected to be a source of drinking water and not  hydraulically connected with waters to which the constituents are migrating or  are likely to migrate in a concentration that would exceed the groundwater  protection standards established;
    (3) Remediation of the release is technically impracticable;  or 
    (4) Remediation results in unacceptable cross-media impacts. 
    3. A determination by the director pursuant to subdivision 2 d  of this subsection shall not affect the authority of the state to require the  owner or operator to undertake source control measures or other measures that  may be necessary to eliminate or minimize further releases to the groundwater,  to prevent exposure to the groundwater, or to remediate the groundwater to  concentrations that are technically practicable and significantly reduce  threats to human health or the environment. 
    4. After an evaluation of the proposed or revised plan, the  director will: 
    a. Approve the proposed corrective action plan as written;
    b. Approve the proposed corrective action plan as modified by  the owner or operator;
    c. Proceed with the permit amendment modification  process in accordance with 9VAC20-81-600 F 2; or 
    d. Disapprove the proposed corrective action plan and undertake  appropriate containment or clean up actions in accordance with § 10.1-1402  (18) of the Virginia Waste Management Act. 
    E. Remedy implementation. Upon completion of the permit amendment  modification action described under subdivision D 4 c of this section,  the owner or operator shall: 
    1. Monitoring program. Implement a corrective action  groundwater monitoring program meeting the requirements of subdivision D 1 c of  this section;
    2. Remedy. Implement the remedy described in the Corrective  Action Plan and the Permit as amended under subdivision D 4 c of this section;  and 
    3. Interim measures. Take any interim measures necessary to  ensure the protection of human health and the environment as described in  subsection F of this section.
    F. Interim measures. 
    1. To the greatest extent practicable, interim measures shall  be consistent with the objectives of and contribute to the performance of any  remedy that may be required pursuant to meeting the groundwater protection  standard. 
    2. Should the director require interim measures pursuant to  this section, the director will notify the owner or operator of the necessary  actions required. Such actions will be implemented as soon as practicable in  accordance with a schedule as specified by the director. 
    3. The following factors shall be considered in determining  whether interim measures are necessary: 
    a. Timeframes. Time required to develop or implement a final  remedy; 
    b. Exposure. Actual or potential exposure of nearby  populations or environmental receptors to hazardous constituents; 
    c. Drinking water. Actual or potential contamination of  drinking water supplies; 
    d. Resource degradation. Further degradation of the  groundwater that may occur if remedial action is not initiated expeditiously; 
    e. Migration potential. Weather conditions that may cause the  constituents to migrate or be released; 
    f. Accident. Risks of fire or explosion, or potential for  exposure to constituents as a result of an accident or failure of a container  or handling system; and 
    g. Other. Situations including the presence of wastes or other  contaminants that may pose threats to human health, sensitive ecosystems, and  the environment. 
    G. Remedy performance. 
    1. The owner or operator shall provide an evaluation of the  performance of the remedy consistent with the timeframes established in the  permit and present the findings in a Corrective Action Site Evaluation report.  The evaluation shall describe the progress toward achieving the groundwater  protection standards since implementation of the remedy. 
    2. An owner or operator or the director may determine, based  on information developed after implementation of the remedy or other  information contained in the evaluation, that compliance with requirements of  subdivision H 1 of this section are not being achieved through the remedy  selected. In such cases, the owner or operator shall implement other methods or  techniques that could practicably achieve compliance with the requirements,  unless the owner or operator makes the determination under subdivision G 3 of  this section. 
    3. If the owner or operator determines that groundwater  protection standards cannot be practically achieved with any currently  available methods, the owner or operator shall, within 90 days of recognizing  that condition: 
    a. Submit a report, certified by a qualified groundwater  scientist, for director approval, that demonstrates that compliance with  groundwater protection standards established under 9VAC20-81-250 A 6 cannot be  practically achieved with any currently available groundwater remedial methods;  
    b. Upon receiving director approval under subdivision 2 a  3 a of this subsection, implement alternate measures to control exposure  of humans or the environment to residual contamination that will remain as a  result of termination of remedial actions, as necessary to protect human health  and the environment;
    c. Implement alternate measures for removal or decontamination  of any remediation-related equipment, units, devices, or structures that are: 
    (1) Technically practicable; and 
    (2) Consistent with the overall objective of the remedy; and
    d. At least 14 days prior to implementing the alternate  measures, Submit submit a request for approval to the director  describing and justifying the alternate measures to be applied. 
    H. Remedy completion.
    1. The groundwater remedy implemented under corrective action  shall be considered complete when: 
    a. The owner or operator complies with the groundwater  protection standards at all points within the plume of contamination that lie  at or beyond the disposal unit boundary by demonstrating that no Table 3.1  Column B constituents have exceeded groundwater protection standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards as described under 9VAC20-81-250 D; and
    b. All other actions required as part of the remedy have been  satisfied or completed, and the owner or operator obtains the certification  required under subdivision H 2 of this section. 
    2. Upon completion of the remedy, the owner or operator shall  notify the director within 14 days by submitting a certification that the  remedy has been completed in compliance with the requirements of the Corrective  Action Plan and the permit as amended modified under subdivision  D 4 c of this section. 
    3. The certification shall be signed by the owner or operator  and by a qualified groundwater scientist, and shall include all data relevant  to the demonstration of a successful remedy completion. 
    4. If the director, based on the review of information presented  under subdivision H 3 of this section, determines that:
    a. The corrective action remedy has been completed in  accordance with the requirements of the Corrective Action Plan, the permit as  amended, and subdivision H 1 of this section, the director will release the  owner or operator from the requirements for financial assurance for corrective  action under 9VAC20-70; or
    b. The remedy has not yet achieved completion, the owner or  operator shall remain in corrective action and meet the financial assurance requirements  until such time as a successful demonstration and certification can be made. 
    Part IV 
  Other Solid Waste Management Facility Standards: 
  Compost Facilities; Solid Waste Transfer Stations; Centralized Waste Treatment  Facilities; Materials Recovery Facilities; Waste to Energy; Incineration  Facilities; Surface Impoundments and Lagoons; Waste Piles; Remediation Waste  Management Units; Landfill Mining; Miscellaneous Units; and Exempt Management  Facilities
    9VAC20-81-300. General.
    A. Any person who designs, constructs, or operates any solid  waste treatment or storage facility not otherwise exempt under 9VAC20-81-35  D 9VAC20-81-95 shall comply with the requirements of this part. In  addition, this part sets forth conditions that yard waste composting facilities  must meet to maintain their exempt status, where applicable, under 9VAC20-81-95  D 6. Further, all applications pursuant to these standards shall demonstrate  specific means proposed for compliance with requirements set forth in this  part.
    B. All facilities, except exempted facilities, shall be  maintained and operated in accordance with the permit issued or permit-by-rule  status pursuant to this regulation. All facilities shall be maintained and  operated in accordance with the approved design and intended use of the  facility. 
    C. Hazardous wastes shall not be disposed or managed in  facilities subject to this regulation unless specified in the permit or by  specific approval of the executive director. 
    D. Solid waste management facilities regulated under this  part that place solid wastes or residues on site for disposal, or leave such  wastes or residues in place after closure, are subject to the provisions of  Part III (9VAC20-81-100 et seq.) of this chapter, including:
    1. Groundwater monitoring requirements in 9VAC20-81-250;
    2. Closure and postclosure care requirements in 9VAC20-81-160  and 9VAC20-81-170; and
    3. Permitting requirements of Part V (9VAC20-81-400 et seq.)  of this chapter.
    E. All other facilities shall close in accordance with the  closure plan prepared per the requirements described in this part and  9VAC20-81-480, as applicable.
    F. Control program for unauthorized waste. Facilities  managing solid waste per activities exempted under the provisions of  9VAC20-81-95 are not required to implement the control program for unauthorized  waste as provided in this section.
    1. Solid waste treatment or storage facilities regulated under  this part shall implement a control program for unauthorized waste in  accordance with the following provisions. The owner or operator of the facility  shall:
    a. Place a written description of the control program for  unauthorized waste in the facility's operating manual; 
    b. Institute a control program (including measures such as  signs at all maintained access points indicating hours of operation and the  types of solid waste accepted and not accepted, monitoring, alternate  collection programs, passage of local laws, etc.) to assure that only solid  waste authorized by the department to be managed at the solid waste management  facility is being managed there; and
    c. Develop and implement a program to teach the solid waste  management facility's staff to recognize, remove, and report receipt of solid  waste not authorized by the department to be managed at the solid waste  management facilities.
    2. If unauthorized waste is observed in the waste delivered to  the facility prior to unloading, the owner or operator may refuse to accept the  waste. If the unauthorized waste is observed in the waste delivered to the  facility, the owner or operator shall segregate it, notify the generator,  document the incident in the operating record, make necessary arrangements to  have the material managed in accordance with applicable federal and state laws,  and notify the department of the incident to include the means of proper  handling. If the unauthorized waste is accepted, the owner or operator shall  remove it, segregate it, and provide to the department a record identifying  that waste and its final disposition. Any unauthorized waste accepted by the  owner or operator shall be managed in accordance with applicable federal or  state laws and regulations. Unauthorized waste that has been segregated shall  be adequately secured and contained to prevent leakage or contamination to the  environment. The solid waste management facility owner or operator shall have  the unauthorized waste removed or properly managed as soon as practicable, but  not to exceed 90 days after discovery. Removal shall be by a person authorized  to transport such waste to a waste management facility approved to receive it  for treatment, disposal, or transfer.
    3. Owners or operators of waste to energy or incinerator  facilities receiving waste generated outside of Virginia shall also comply with  the increased random inspection provisions in 9VAC20-81-340 E 3.
    G. Solid waste management facilities regulated under this  part that store waste tires shall also adhere to the requirements of  9VAC20-81-640 for the waste tire storage. 
    9VAC20-81-397. Exempt yard waste composting facilities.
    A. Applicability.
    1. The standards in subsection B of this section apply to  persons who compost vegetative waste in a manner described in the conditional  exemption set forth at 9VAC20-81-95 D.
    2. The standards in subsection C of this section apply to  persons who operate small vegetative waste disposal units on their property.
    B. Composting of yard waste. Additional requirements for  managing conditionally exempt yard waste compost facilities, described under  9VAC20-81-95 D 6, are as follows: 
    1. Owners or operators of agricultural operational activities  that accept only yard waste generated offsite are exempt from all other  provisions of this chapter as applied to the composting activities provided  that:
    a. The total time for composting process and storage of  material that is being composted shall not exceed 18 months prior to its field  application or sale as a horticultural or agricultural product;
    b. No waste material other than yard waste is received;
    c. The total amount of yard waste received from offsite never  exceeds 6,000 cubic yards in any consecutive 12-month period;
    d. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;
    e. They pose no nuisance or present or potential threat to  human health or the environment; and
    f. Before receiving any waste, the owner submits a complete  DEQ Form YW-3:
    2. Owners or operators of agricultural operations that accept  only Category I yard waste feedstocks and manures from herbivorous  animals generated offsite are exempt from all other provisions of this chapter  as applied to the composting activities provided that:
    a. The composting area is located not less 300 feet from a  property boundary of a parcel owned or controlled by another person, is located  not less than 1,000 feet from an occupied dwelling not located on the same  property as the composting area, and is not located within an area designated  as a flood plain;
    b. The agricultural operation has at least one acre of ground  suitable to receive yard waste for each 150 cubic yards of finished compost;
    c. The total time for the composting process and storage of  material that is being composted or has been composted shall not exceed 18  months prior to the field application or sale as horticultural or agricultural  product;
    d. The owner or operator of any agricultural operation that  receives in any 12-month period (consecutive) more than 6,000 cubic yards of  waste generated from property not within the control of the owner or the  operator shall submit by April 1 each year to the director an annual report in  accordance with subdivision 4 of this subsection describing the volume and  types of yard waste received for composting by the operation between January 1  and December 31 of the preceding consecutive 12 months and shall certify that  the yard waste composting facility complies with local ordinances; 
    e. No waste material other than yard waste and manures from  herbivorous animals are received;
    f. The quantities of offsite manures from herbivorous animals  brought onsite are limited to achieve a carbon to nitrogen ratio of 25:1 to  40:1. All manures must be incorporated into the compost within 24 hours of  delivery. No offsite manures may be stored onsite; and
    g. Prior to the receipt of solid waste generated offsite, the  owner or operator of the agricultural operation intending to operate under this  exemption shall submit a complete DEQ Form YW-4.
    3. Owners or other persons authorized by the owner of real  property who receive only yard waste generated offsite for the purpose of  producing compost on said property shall be exempt from all requirements of  this chapter as applied to the composting activity provided that: 
    a. Not more than 500 cubic yards of yard waste generated  offsite is received at the owner's said property in any consecutive 12-month  period; 
    b. No compensation will be received, either directly or  indirectly, by the owner or other persons authorized by the owner of said  property from parties providing yard waste generated off said property; 
    c. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;  and 
    d. They pose no nuisance or present or potential threat to  human health or the environment.
    4. Owners or operators of an agricultural composting operation  in accordance with subdivision 2 of this subsection, who are exempt from the  permitting requirements in accordance with 9VAC20-81-95 D and who may receive  more than 6,000 cubic yards of yard waste generated from property not within  the control of the owner or operator in any 12-month period shall submit an  annual report on DEQ Form YW-2. The report shall describe the volume and  types of yard waste received for composting. Completion and filing of the form  by July 15 April 1 for activities in the preceding 12 months  (January 1 through December 31) constitutes compliance with the requirements.  The annual report shall be submitted on DEQ Form YW-2.
    C. Small disposal units for vegetative wastes from land  clearing. Additional requirements for managing small disposal units for  vegetative waste from land clearing as exempted under 9VAC20-81-95 D 17 are as  follows:
    Owners of real property who operate small waste disposal  units that qualify under all the conditions of this subsection shall be exempt  from other provisions, including permitting, of this chapter as applied to  those units provided:
    1. No person other than the owner of the real property shall  be exempt under this section.
    2. All owners of the real property who hold title to property  at the time the disposal unit is initially opened or during the time the unit  remains open (limited to two calendar years below) shall, in the exercise of  this exemption, accept responsibility for maintaining compliance of the unit  with all requirements of this chapter as set out in this exemption.
    3. The owner agrees that he shall not sell, give, or otherwise  transfer the responsibility for the unit's compliance to any other party  throughout its active life, the postclosure care period, and the corrective  action period, and that he shall remain the principal party responsible for the  compliance of the unit with this chapter. 
    4. Only units that are in compliance with all requirements of  this section shall qualify, and units that are not in compliance with all  requirements of this section shall not qualify or shall cease to qualify. Units  that qualify for this exemption shall comply with the following requirements:
    a. Only vegetative waste or yard waste shall be placed in the  disposal unit; however, grass trimmings or bulk leaves shall not be placed in  the disposal unit.
    b. The waste disposal unit shall not be larger than 0.50 acres  in size.
    c. The waste disposal unit shall not be located within 1,000  feet of any other waste disposal unit of any type, including other disposal  units exempted by this chapter.
    d. The waste disposal unit shall not be located within 150  feet of any existing building or planned building. The waste disposal unit  shall not be located within 50 feet of any existing or planned subdivision lot  that may be used for the erection of a building.
    e. The waste disposal unit shall not be located within 100  feet of a flowing stream; body of water; any well, spring, sinkhole, or  unstable geologic feature. Also, it shall not be located within 200 feet of any  groundwater source of drinking water.
    f. The waste disposal unit shall be constructed to separate  all waste by at least two feet vertically from the seasonal high water table.
    g. The waste disposal unit should not obstruct the scenic view  from any public road and should be graded to present a good appearance.
    h. Mounding of the waste disposal unit shall not reach an  elevation more than 20 feet above the original elevation of the terrain before  the disposal began. The elevation of the original terrain should be based on  the general area and not the bottom of ravines and small depressions in the  disposal area.
    i. The waste received by the waste disposal unit shall be  limited to the following:
    (1) Waste generated onsite;
    (2) Waste generated by clearing the path of a roadway or  appurtenances to the roadway when buried within the right-of-way of the roadway  (waste shall not be buried in the structural roadway prism) or adjacent land  under a permanent easement and the terms of the easement incorporate the  construction of the disposal unit; and
    (3) Waste from property that is owned by the owner of the  disposal unit, within the same construction project, and generated not more  than two miles from the unit.
    j. The waste disposal unit shall be closed two calendar years  from the date it first receives waste. The closure shall include cover with two  feet of compacted soil, grading for good appearance with slopes that prevent  erosion, and seeding or revegetation. During the life of the unit, earthen material  should be applied periodically to prevent excessive subsidence of the waste  disposal unit when closed. Sides of the finished unit shall be sloped to  prevent erosion, and slopes shall not be steeper than one vertical foot to  three horizontal feet.
    k. The location plat and legal description, as set out in  subdivision 4 p of this subsection, of all units that are not located wholly  within the bed or right-of-way of a public road shall be recorded in the deed  book for the property in the court of record prior to the first receipt of  waste. Waste disposal shall not be allowed within the structural roadway prism.
    l. The owner shall maintain continuous control of access to  all disposal units from the time they are opened until they are closed in  accordance with this section. The owner shall prevent fires and provide standby  equipment and supplies sufficient to easily suppress a fire. Brush and small  limbs that might provide tinder for a fire shall be covered at the end of the  work day with one foot of soil.
    m. The owner shall not be exempt from the CDD landfill  groundwater monitoring and corrective action requirements of 9VAC20-81-250 and  9VAC20-81-260, respectively, to include required monitoring during the  postclosure period.
    n. The owner shall not be exempt from the decomposition gas  monitoring and venting requirements of 9VAC20-81-210. The owner of a small  waste disposal unit shall comply in all respects with the decomposition gas  monitoring and venting requirements as established in this chapter.
    o. The owner shall not be exempt from any requirement of the  Financial Assurance Regulations For Solid Waste Disposal Facilities,  (9VAC20-70), and shall comply with all financial assurance requirements.
    p. At least six weeks before beginning construction of a  vegetative waste disposal unit, the owner of the real property shall notify in  writing the director, the governing board of the city, county, or town wherein  the property lies, and all property owners whose parcel will abut the area of  the proposed disposal unit. The notice shall give the names and legal addresses  of the owners, the type of unit to be developed, and the projected date of  initial construction of the unit. The owner shall include a plat and legal  description of the disposal unit's metes and bounds prepared and stamped by a  Virginia licensed land surveyor. The plat and description shall follow all  standard practice such as inclusion of the nearest existing intersection of  state roads and existing fixed survey markers in the vicinity.
    q. Unless otherwise designated, all monitoring and reporting  requirements shall begin at the initiation of the disposal operations and all  reports shall be sent to the department and the chief executive of the local  government. 
    9VAC20-81-470. Part B permit application for solid waste l  disposal facilities.
    Part B permit application requirements for all solid waste  disposal facilities regulated under Part III (9VAC20-81-100 et seq.) are  contained in this section. The Part B applications shall include the following  requirements and documentation: 
    A. Plans submitted as part of the Part B application shall  include the following: 
    1. Design plans. Design plans shall be certified by a  professional engineer and shall consist of, at least, the following: 
    a. A title sheet indicating the project title, who prepared  the plans, the person for whom the plans were prepared, a table of contents,  and a location map showing the location of the site and the area to be served. 
    b. An existing site conditions plans sheet indicating site  conditions prior to development. 
    c. A base grade plan sheet indicating site base grades or the  appearance of the site if it were excavated in its entirety to the base  elevation, before installation of any engineering modifications or the  beginning of any filing. 
    d. An engineering modification plan sheet indicating the  appearance of the site after installation of engineering modifications. More  than one plan sheet may be required for complicated sites. This plan is  required only for those sites with engineering modifications. 
    e. A final site topography plan sheet indicating the  appearance of the site, and final contours of the site at closing including the  details necessary to prepare the site for long-term care. 
    f. A series of phasing plan sheets showing the progression of  site development through time. At a minimum, a separate plan shall be provided  for initial site preparations and for each subsequent major phase or new area  where substantial site preparation must be performed. Each such plan shall  include a list of construction items and quantities necessary to prepare the  phase indicated. 
    g. A site monitoring plan showing the location of all devices  for the monitoring of leachate production, groundwater quality, and gas  production and venting. This plan shall include a table indicating the  parameters to be monitored for the frequency of monitoring before and during  site development. The groundwater monitoring plan shall include information as  applicable under 9VAC20-81-250 or 9VAC20-81-260. 
    h. A series of site cross-sections shall be drawn  perpendicular and parallel to the site base line at a maximum distance of 500  feet between cross-sections and at points of grade break and important  construction features. The location of the cross-sections shall be shown on the  plan sheets and the section labeled using the site grid system. Where  applicable, each cross-section shall show existing, proposed base and final  grades; soil borings and monitoring wells that the section passes through or is  adjacent to; soil types, bedrock and water table; leachate control, collection,  and monitoring systems; limits of filling for each major waste type; drainage  control structures; access roads and ramps on the site parameter perimeter  and within the active fill area; the filling sequence or phases; and other site  features. 
    i. Detailed drawings and typical sections for drainage control  structures, access roads, fencing, leachate and gas control systems, and  monitoring devices, buildings, signs, and other construction details. 
    j. Plan sheets shall include: 
    (1) A survey grid with base lines and bench marks to be used  for field control. 
    (2) Limits of filling for each major waste type or fill area. 
    (3) All drainage patterns and surface water drainage control  structures both within the actual fill area and at the site perimeter. Such  structures may include berms, ditches, sedimentation basins, pumps, sumps,  culverts, pipes, inlets, velocity breaks, sodding, erosion matting, or other  methods of erosion control. 
    (4) Ground surface contours at the time represented by the  drawing. Spot elevations shall be indicated for key features. 
    (5) Areas to be cleared and grubbed and stripped of topsoil. 
    (6) Borrow areas for liner materials, gas venting materials,  berms, roadway construction, daily cover, and final cover. 
    (7) All soil stockpiles including daily and final cover,  topsoil, liner materials, gas venting materials, and other excavation. 
    (8) Access roads and traffic flow patterns to and within the  active fill area. 
    (9) All temporary and permanent fencing. 
    (10) The methods of screening such as berms, vegetation, or  special fencing. 
    (11) Leachate collection, control, storage, and treatment  systems that may include pipes, manholes, trenches, berms, collection sumps,  storage units, pumps, risers, liners, and liner splices. 
    (12) Gas, leachate, and groundwater monitoring devices and  systems. 
    (13) Severe weather solid waste disposal areas. 
    (14) Support buildings, scale, utilities, gates, and signs. 
    (15) Special waste handling areas. 
    (16) Construction notes and references to details. 
    (17) Other site features. 
    2. Closure plan. A detailed closure plan be prepared and  submitted. Such a plan shall be prepared in two parts, one reflecting those  measures to be accomplished at the midpoint of the permit period, and the other  when the useful life of the landfill is reached. The plan shall show how the  facility will be closed to meet the requirements of 9VAC20-81-160 and  9VAC20-81-170. The plan shall include the procedures to be followed in closing  the site, sequence of closure, time schedules, final plans of completion of  closure to include final contours, and long-term care plan sheets showing the  site at the completion of closing and indicating those items anticipated to be  performed during the period of long-term care for the site. The plans shall  include a table listing the items and the anticipated schedule for monitoring  and maintenance. In many instances this information can be presented on the  final site topography sheet. 
    3. Postclosure plan. A postclosure care plan containing  long-term care information including a discussion of the procedures to be  utilized for the inspection and maintenance of: run-off control structures;  settlement; erosion damage; gas and leachate control facilities; monitoring for  gas, leachate, and groundwater; and other long-term care needs. 
    B. A design report shall be submitted, which shall include  supplemental discussions and design calculations, to facilitate department  review and provide supplemental information including the following  information: 
    1. The design report shall identify the project title;  engineering consultants; site owner, permittee and operator; proposed permitted  acreage; hours of operation; wastes to be accepted; site life; design capacity;  and the daily disposal limit. It shall also identify any variances desired by  the applicant.
    2. A discussion of the basis for the design of the major  features of the site, such as traffic routing, base grade and relationships to  subsurface conditions, anticipated waste types and characteristics, phases  development, liner design, leachate management system design, facility  monitoring, and similar design features shall be provided. A list of the  conditions of site development as stated in the department determination of  site feasibility and the measures taken to meet the conditions shall be  included. A discussion of all calculations, such as refuse-cover balance  computations, stockpile sizing estimates, estimate of site life, and run-off  and leachate volume estimates shall be included. The calculations shall be  summarized with the detailed equations presented in an appendix.
    3. Specifications, including detailed instructions to the site  operator for all aspects of site construction.
    a. Initial site preparations including specifications for  clearing and grubbing, topsoil stripping, other excavations, berm construction,  drainage control structures, leachate collection system, access roads and  entrance, screening, fencing, groundwater monitoring, and other special design  features.
    b. A plan for initial site preparation including a discussion  of the field measurements, photographs to be taken, sampling and testing  procedures to be utilized to verify that the in-field conditions encountered  were the same as those defined in the feasibility report, and to document that  the site was constructed according to the engineering plans and specifications  submitted for department approval.
    C. Financial assurance documentation. When required by the  Financial Assurance Regulations of Solid Waste Disposal, Transfer, and  Treatment Facilities (9VAC20-70), the applicant shall provide the completed  documentation to demonstrate compliance with those regulations; proof of  financial responsibility must be for the entity identified in accordance with  9VAC20-81-450 B 10.
    D. DEQ Form SW PTB (Part B Permit Application Form). The  applicant shall submit a completed DEQ Form SW PTB.
    9VAC20-81-485. Operations manual requirements for solid waste  management facilities.
    A. Solid waste disposal facilities. An operations manual  shall be prepared and maintained in the operating record. The operations manual  shall include a certification page signed by a responsible official. This  signature shall certify the manual meets the requirements of this chapter. This  manual shall be reviewed and recertified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements, and shall be made available for review by the department upon  request. The operations manual for disposal facility operation shall contain at  least the following plans: 
    1. An operations plan that at a minimum includes:
    a. Explanation of how the design and construction plans will  be implemented from the initial phase of operation until closure;
    b. Municipalities, industries, and collection and  transportation agencies served; 
    c. Waste types and quantities to be disposed; 
    d. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the operational requirements  of Part III (9VAC20-81-100 et seq.) of this chapter are achieved. References to  specifications on the plan sheet shall be pointed out as well as additional  instructions included, where appropriate. At a minimum, the plan specifications  shall include: 
    (1) Daily operations including a discussion of the timetable  for development, waste types accepted or excluded, inspection of incoming  waste, typical waste handling techniques, hours of operation, traffic routing,  drainage and erosion control, windy, wet and cold weather operations, fire  protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, direction of  filling, salvaging, recordkeeping, parking for visitors and employees,  monitoring, maintenance, closure of filled areas, gas and leachate control  methods, backup equipment with names and telephone numbers where equipment may  be obtained, and other special design features; 
    (2) Development of subsequent phases; and 
    (3) Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan. 
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part III (9VAC20-81-100 et seq.) of this chapter. 
    b. The frequency of inspection based on the rate of potential  equipment deterioration or malfunction and the probability of an adverse  incident occurring if the deterioration or malfunction goes undetected between  inspections. The plan shall establish the minimum frequencies for inspections  required in 9VAC20-81-140. This plan shall identify areas of the facility  subject to spills such as loading and unloading areas and areas in which  significant adverse environmental or health consequences may result if  breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the requirements of  9VAC20-81-140.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses, and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates. 
    6. A landscaping plan that shall:
    a. Delineate existing site vegetation to be retained;
    b. Discuss methods to be employed in order to ensure protection  of vegetation to be retained during the clearing, grading and construction  phases of the project and the supplemental vegetation to be planted; and 
    c. Information relating to vegetation type, location and  purpose, such as for buffer, screening or aesthetics, and schedules for  planting, shall accompany the plan. 
    B. Other solid waste management facilities. An operations  manual shall be prepared and maintained in the operating record. The Operations  Manual shall include a certification page signed by a responsible official.  This signature shall certify the manual meets the requirements of this chapter.  This manual shall be reviewed and re-certified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements and shall be made available to the department upon request. The  manual for facility operation shall contain at least the following plans:
    1. An operations plan that at a minimum includes:
    a. An explanation of how the design and construction plans  will be implemented from the initial phase of operation until closure.
    b. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the applicable operational  requirements of Part IV (9VAC20-81-300 et seq.) are achieved. Daily operations  including a discussion of the timetable for development, waste types accepted  or excluded, typical waste handling techniques, hours of operation, traffic  routing, drainage and erosion control, windy, wet and cold weather operations,  fire protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, salvaging,  record keeping, parking for visitors and employees, monitoring, backup equipment  with names and telephone numbers where equipment may be obtained, and other  special design features. The daily operations section of the operations manual  may be developed as a removable section to improve accessibility for the site  operator. 
    c. Development of subsequent phases of the facility, if  applicable.
    d. Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan.
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part IV (9VAC20-81-300 et seq.) of this chapter. 
    b. The frequency of inspection shall be based on the rate of  potential equipment deterioration or malfunction and the probability of an  adverse incident occurring if the deterioration or malfunction goes undetected  between inspections. The plan shall establish the minimum frequencies for  inspections required in 9VAC20-81-140 9VAC20-81-340. This plan  shall identify areas of the facility subject to spills such as loading and  unloading areas and areas in which significant adverse environmental or health  consequences may result if breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the applicable  requirements of 9VAC20-81-340.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates.
    9VAC20-81-490. Effect of the permit.
    A. A completed permit for a solid waste management facility  shall be prepared at the conclusion of the procedures outlined in  9VAC20-81-450. The permit shall be prepared in detail to establish the  construction requirements, monitoring requirements, operating limitations or  guides, waste limitations if any, and any other details essential to the  operation and maintenance of the facility and its closure. Before receipt of  waste by the facility, the applicant must: 
    1. Notify the department, in writing, that construction has been  completed; and submit to the department a letter from a professional engineer  certifying that the facilities have been completed in accordance with the  approved plans and specifications and is ready to begin operation. This  certification letter is in addition to the CQA certification required in  9VAC20-81-130 Q 3 and must be provided by a different individual than the CQA  certification. This certification letter is typically provided by the design  engineer. 
    2. Arrange for a department representative to inspect the site  and confirm that the site is ready for operation. 
    B. Certificate-to-Operate (CTO). Following review of a  complete CQA certification and site inspection the department shall issue a CTO  authorizing the facility to begin receiving waste. The facility shall not  receive waste until a CTO has been issued by the department. 
    C. Inspections. Each facility permitted to accept solid waste  requires periodic inspection and review of records and reports. Such  requirements shall be set forth in the final permit issued by the department.  The permit applicant by accepting the permit, agrees to the specified periodic  inspections. 
    D. Compliance with a valid permit during its term constitutes  compliance, for purposes of enforcement, with the Virginia Waste Management  Act. However, a permit may be modified, revoked and reissued, or revoked for  cause as set forth in 9VAC20-81-570 and 9VAC20-81-600. 
    E. The issuance of a permit does not convey any property  rights of any sort, or any exclusive privilege. 
    F. The issuance of a permit does not authorize any injury to  persons or property or invasion of other private rights, or any infringement of  federal, Commonwealth, or local law or regulations. 
    G. A permit may be transferred by the permittee to a new  owner or operator only if the permit has been revoked and reissued, or a minor  modification made to identify the new permittee and incorporate such other  requirements as may be necessary. Upon presentation of the financial assurance  proof required by 9VAC20-70 by the new owner, the department will release the  old owner from his closure and financial responsibilities and acknowledge  existence of the new or modified permit in the name of the new owner. 
    H. This section provides for the approval of permits or  permit modifications that include a time allowance for the permittee to achieve  the new standards contained in the approved permit or permit modification.
    1. The permit may specify a schedule of compliance leading to  compliance with this chapter. 
    a. Any schedules of compliance under this subsection shall  require compliance as soon as possible. 
    b. Except as otherwise provided, if a permit establishes a  schedule of compliance that exceeds one year from the date of permit issuance,  the schedule shall set forth interim requirements and the dates for their  achievement. 
    (1) The time between interim dates shall not exceed one year;  and 
    (2) If the time necessary for completion of any interim  requirement is more than one year and is not readily divisible into stages of  completion, the permit shall specify interim dates for the submission of  reports of progress toward completion of the interim requirements and indicate  a projected completion date. 
    c. The permit shall be written to require that no later than  14 days following each interim date and the final date of compliance, a  permittee shall notify the department, in writing, of his compliance or  noncompliance with the interim or final requirements. 
    2. A permit applicant or permittee may cease conducting  regulated activities (by receiving a terminal volume of solid waste, and, in  case of treatment or storage facilities, closing pursuant to applicable  requirements, or, in case of disposal facilities, closing and conducting  postclosure care pursuant to applicable requirements) rather than continue to  operate and meet permit requirements as follows: 
    a. If the permittee decides to cease conducting regulated  activities at a specified time for a permit that has already been issued: 
    (1) The permit may be modified to contain a new or additional  schedule leading to timely cessation of activities; or 
    (2) The permittee shall cease conducting permitted activities  before noncompliance with any interim or final compliance schedule requirement  already specified in the permit. 
    b. If the decision to cease conducting regulated activities is  made before the issuance of a permit whose terms will include the termination  date, the permit shall contain a schedule leading to termination that will  ensure timely compliance with applicable requirements. 
    c. If the permittee is undecided whether to cease conducting  regulated activities, the director may issue or modify a permit to continue two  schedules as follows: 
    (1) Both schedules shall contain an identical interim deadline  requiring a final decision on whether to cease conducting regulated activities  no later than a date that ensures sufficient time to comply with applicable  requirements in a timely manner if the decision is to continue conducting  regulated activities; 
    (2) One schedule shall lead to timely compliance with  applicable requirements; 
    (3) The second schedule shall lead to cessation of regulated  activities by a date that will ensure timely compliance with applicable  requirements; and
    (4) Each permit containing two schedules shall include a  requirement that, after the permittee has made a final decision, he shall  follow the schedule leading to compliance if the decision is to continue  conducting regulated activities, and follow the schedule leading to termination  if the decision is to cease conducting regulated activities. 
    d. The applicant's decisions to cease conducting regulated  activities shall be evidenced by a firm public commitment satisfactory to the  department, such as a resolution of the board of directors of a corporation.
    9VAC20-81-530. Recording and reporting required of a permitee  permittee.
    A. A permit shall specify: 
    1. Required monitoring, including type, intervals and  frequency, sufficient to yield data that are representative of the monitored  activity; 
    2. Requirements concerning the proper use, maintenance, and  installation of monitoring equipment or methods, including biological  monitoring methods when appropriate; and
    3. Applicable reporting requirements based upon the impact of  the regulated activity and as specified in this chapter. 
    B. A permittee shall be subject to the following whenever  monitoring is required by the permit: 
    1. The permittee shall retain records at the permitted  facility or another location approved by the department. Records shall include  all records required by the facility permit, these regulations, or other  applicable regulations. Records of all required monitoring information,  including all calibration and maintenance records will be maintained for at  least three years from the sample or measurement date. The director may request  that this period be extended. For operating landfills, records of the most  recent gas and groundwater monitoring event will be maintained at the facility.  
    2. Records of monitoring information shall include: 
    a. The date, exact place, and time of sampling or  measurements; 
    b. The individuals who performed the sampling or measurements;  
    c. The dates analyses were performed; 
    d. The individuals who performed the analyses; 
    e. The analytical techniques or methods used; and 
    f. The results of such analyses. 
    3. Required monitoring results shall be maintained on file for  inspection by the department. 
    C. A permittee shall be subject to the following reporting  requirements: 
    1. Written notice of any planned physical alterations to the  permitted facility shall be submitted to the department and approved before  such alterations are to occur, unless such items were included in the plans and  specifications approved by the department.
    2. Reports of compliance or noncompliance with, or any  progress reports on, interim and final requirements contained in any compliance  schedule of the permit, shall be submitted no later than 14 days following each  schedule date. 
    3. The permittee shall report to the department any  noncompliance or unusual condition that may endanger health or environment. Any  information shall be provided orally within 24 hours from the time the  permittee becomes aware of the circumstances. A written submission shall also  be provided within five days of the time the permittee becomes aware of the  circumstances. The written submission shall contain a description of the  circumstances and its cause; the period of occurrence, including exact dates  and times, and, if the circumstance has not been corrected, the anticipated time  it is expected to continue. It shall also contain steps taken or planned to  reduce, eliminate, and prevent reoccurrence of the circumstances resulting in  an unusual condition or noncompliance. 
    D. Copies of all reports required by the permit, and records  of all data used to complete the permit application must be retained by the  permittee for at least three years from the date of the report or application.  The director may request that this period be extended. 
    E. When the permittee becomes aware that he failed to submit  any relevant facts or submitted incorrect information in a permit application  or in any report to the director, he shall promptly submit such omitted facts  or the correct information with an explanation.
    9VAC20-81-600. Modification of permits.
    A. Permits may be modified at the request of any interested  person or upon the director's initiative. However, permits may only be modified  for the reasons specified in subsections E and F of this section. All requests  shall be in writing and shall contain facts or reasons supporting the request.  Any permit modification authorizing expansion of an existing sanitary landfill  shall incorporate the conditions required for a disposal capacity guarantee in  § 10.1-1408.1 P of the Code of Virginia. This provision does not apply to  permit applications from one or more political subdivisions that will only  accept waste from within those political subdivisions' jurisdiction or  municipal solid waste generated within other political subdivisions pursuant to  an interjurisdictional agreement. 
    B. If the director decides the request is not justified, he  shall send the requester a response providing justification for the decision. 
    C. If the director tentatively decides to modify, he shall  prepare a draft permit incorporating the proposed changes. The director may  request additional information and may require the submission of an updated  permit application. In a permit modification under subsection E of this  section, only those conditions to be modified shall be reopened when a new  draft permit is prepared. All other aspects of the existing permit shall remain  in effect. During any modification proceeding the permittee shall comply with  all conditions of the existing permit until the modified permit is issued. 
    D. When the director receives any information, he may  determine whether or not one or more of the causes listed for modification  exist. If cause exists, the director may modify the permit on his own  initiative subject to the limitations of subsection E of this section and may  request an updated application if necessary. If a permit modification satisfies  the criteria in subsection F of this section for minor modifications, the  permit may be modified without a draft permit or public review. Otherwise, a  draft permit shall be prepared and other appropriate procedures followed. 
    E. Causes for modification. The director may modify a permit  upon his own initiative or at the request of a third party: 
    1. When there are material and substantial alterations or  additions to the permitted facility or activity that occurred after permit  issuance that justify the application of permit conditions that are different  or absent in the existing permit; 
    2. When there is found to be a possibility of pollution  causing significant adverse effects on the air, land, surface water, or  groundwater; 
    3. When an investigation has shown the need for additional  equipment, construction, procedures and testing to ensure the protection of the  public health and the environment from adverse effects; 
    4. If the director has received information pertaining to  circumstances or conditions existing at the time the permit was issued that was  not included in the administrative record and would have justified the  application of different permit conditions, the permit may be modified  accordingly if in the judgment of the director such modification is necessary  to prevent significant adverse effects on public health or the environment; 
    5. When the standards or regulations on which the permit was  based have been changed by promulgation of amended standards or regulations or  by judicial decision after the permit was issued; 
    6. When the director determines good cause exists for  modification of a compliance schedule, such as an act of God, strike, flood, or  material shortage or other events over which the permittee has little or no  control and for which there is no reasonably available remedy; 
    7. When a modification of a closure plan is required under  9VAC20-81-160 or 9VAC20-81-360 and the permittee has failed to submit a permit  modification request within the specified period; 
    8. When the corrective action program specified in the permit  under 9VAC20-81-260 has not brought the facility into compliance with the  groundwater protection standard within a reasonable period of time; or 
    9. When cause exists for revocation under 9VAC20-81-570 and  the director determines that a modification is more appropriate. 
    F. Permit modification at the request of the permittee. 
           |      TABLE 5.2     PERMIT MODIFICATIONS      |    
       |      MAJOR      |          1. Implementation of a groundwater corrective action program    as required by 9VAC20-81-260      |    
       |      2. Change in the remedy applied as part of the groundwater    corrective action program      |    
       |      3. Groundwater monitoring plan for an existing facility    where no written plan has previously been provided      |    
       |      4. Changes to the design of final closure cover      |    
       |      5. Landfill mining      |    
       |      6. Reduction in the postclosure care period      |    
       |      7. Changes in postclosure use of the property with    disturbance of cover      |    
       |      8. All new or modifications of a leachate collection tank or    a leachate collection surface impoundment      |    
       |      9. Addition of new landfill units      |    
       |      10. Expansion or increase in capacity      |    
       |      11. Increase in daily disposal limit      |    
       |      12. Addition or modification of a liner, leachate collection    system, leachate detection system      |    
       |      13. Incorporation or modification of a Research,    Development, and Demonstration Plan       |    
       |      MINOR      |          Any change not specified as    major modification (above) or a permittee change (below)      |    
       |      PERMITTEE CHANGE      |          1. Correction of typographical errors      |    
       |      2. Equipment replacement or upgrade with functionally    equivalent components      |    
       |      3. Replacement of an existing leachate tank with a tank that    meets the same design standards and has a capacity within +/-10% of the    replaced tank      |    
       |      4. Replacement with functionally equivalent, upgrade, or    relocation of emergency equipment      |    
       |      5. Changes in name, address, or phone number of contact    personnel      |    
       |      6. Replacement of an existing well that has been damaged or    rendered nonoperable, without change to location, design, or depth of the    well      |    
       |      7. Changes to the expected year of final closure, where    other permit conditions are not changed      |    
       |      8. Changes in postclosure use of the property, without    disturbance of the cover      |    
       |      9. Modification of a leachate tank management practice      |    
  
    1. Permittee change. Items listed under Permittee Change in  Table 5.2 may be implemented without approval of the department. If a permittee  changes such an item, the permittee shall: 
    a. Notify the department of the change at least 14 calendar  days before the change is put into effect, indicating the affected permit  conditions; and
    b. Notify the governing body of the county, city, or town in  which the facility is located, within 90 calendar days after the change is put  into effect.
    2. Minor modifications. 
    a. Minor modifications apply to minor changes that keep the  permit current with routine changes to the facility or its operation. These  changes do not substantially alter the permit conditions or reduce the capacity  of the facility to protect human health or the environment.
    b. Minor modifications may be requested for changes that will  result in a facility being more protective of human health and the environment  or equivalent to the standards contained in this chapter, unless otherwise  noted in Table 5.2. The request for such a minor permit modification will be  accompanied by a description of the desired change and an explanation of the  manner in which the health and environment will be protected in a greater  degree than required by the chapter.
    c. Minor permit modifications may be made only with the prior  written approval of the department. The permittee shall notify the department  that a minor modification is being requested. Notification of the department  shall be provided by certified mail or other means that establish proof of  delivery. This notice shall specify the changes being made to permit conditions  or supporting documents referenced by the permit and shall  include an  explanation of why they are necessary. Along with the notice, the permittee  shall provide the applicable information required by 9VAC20-81-460 and  9VAC20-81-470 or as required by 9VAC20-81-480.
    d. The permittee shall send a notice of the modification to  the governing body of the county, city or town in which the facility is  located. This notification shall be made within 90 days after the department  approves the request. 
    3. Major modifications. 
    a. Major modifications substantially alter the facility or its  operation. Major modifications are listed in Table 5.2. 
    b. The permittee shall submit a modification request to the  department that: 
    (1) Describes the exact change to be made to the permit  conditions and supporting documents referenced by the permit; 
    (2) Identifies that the alteration is a major modification; 
    (3) Contains an explanation of why the modification is needed;  and
    (4) Provides the applicable information required by  9VAC20-81-460 and 9VAC20-81-470 or as required by 9VAC20-81-480. 
    c. No later than 90 days after receipt of the notification  request, the director will determine whether the information submitted under  subdivision  3 b (4) of this subsection is adequate to formulate a  decision. If found to be inadequate, the permittee will be requested to furnish  additional information within 30 days of the request by the director to complete  the modification request record. The 30-day period may be extended at the  request of the applicant. After the completion of the record, the director will  either: 
    (1) Approve the modification request, with or without changes,  and draft a permit modification accordingly;
    (2) Deny the request; or 
    (3) Approve the request, with or without changes, as a  temporary authorization having a term of up to 180 days in accordance with  subdivision 3 of this subsection. 
    d. If the director proposes to approve the permit  modification, he will proceed with the permit issuance in accordance with  9VAC20-81-450 E. 
    e. The director may deny or change the terms of a major permit  modification request under subdivision  F 3 b of this section for the  following reasons: 
    (1) The modification request is incomplete; 
    (2) The requested modification does not comply with the  appropriate requirements of Part III (9VAC20-81-100 et seq.) or Part IV  (9VAC20-81-300 et seq.) of this chapter or other applicable requirements; or 
    (3) The conditions of the modification fail to protect human  health and the environment. 
    4. Temporary authorizations. 
    a. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of subdivision  4 of this subsection.  Temporary authorizations shall have a term of not more than 180 days. 
    b. (1) The permittee may request a temporary authorization for  any major modification that meets the criteria in subdivision 4 c (2) (a) or  (b) of this subsection; or that meets the criteria in subdivision 4 c (2) (c)  and (d) of this subsection and provides improved management or treatment of a  solid waste already listed in the facility permit. 
    (2) The temporary authorization request shall include: 
    (a) A description of the activities to be conducted under the  temporary authorization; 
    (b) An explanation of why the temporary authorization is  necessary; and 
    (c) Sufficient information to ensure compliance with Part III  (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et seq.) standards. 
    (3) The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven days of submission of the authorization  request. 
    c. The director shall approve or deny the temporary  authorization as quickly as practical. To issue a temporary authorization, the  director shall find: 
    (1) The authorized activities are in compliance with the  standards of Part III (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et  seq.) of this chapter. 
    (2) The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an modification  request: 
    (a) To facilitate timely implementation of closure or  corrective action activities; 
    (b) To prevent disruption of ongoing waste management  activities; 
    (c) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (d) To facilitate other changes to protect human health and  the environment. 
    d. A temporary authorization may be reissued for one  additional term of up to 180 days provided that the permittee has requested a  major permit modification for the activity covered in the temporary  authorization, and the director determines that the reissued temporary  authorization involving a major permit modification request is warranted to  allow the authorized activities to continue while the modification procedures  of subdivision 2 3 of this subsection are conducted. 
    5. The director's decision to grant or deny a permit  modification request under subdivision of this subsection may be appealed under  the case decision provisions of the Virginia Administrative Process Act  (§ 2.2-4000 et seq. of the Code of Virginia). 
    6. Newly defined or identified wastes. The permitted facility  is authorized to continue to manage wastes defined or identified as solid waste  under 9VAC20-81-95 if: 
    a. It was in existence as a solid waste management facility  with respect to the newly defined or identified solid waste on the effective  date of the final rule defining or identifying the waste; and 
    b. It is in compliance with the standards of Part III  (9VAC20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, submits a minor modification request  on or before the date on which the waste becomes subject to the new  requirements; or 
    c. It is not in compliance with the standards of Part III  (9VAC 20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, also submits a complete permit  modification request within 180 days after the effective date of the definition  or identifying the waste. 
    7. Research, development and demonstration plans. Research,  development and demonstration (RDD) plans may be submitted for sanitary  landfills that meet the applicability requirements. These plans shall be  submitted as a major permit modification application for existing sanitary  landfills or as a part of the Part B application for new sanitary landfills.
    a. Applicability.
    (1) RDD shall be restricted to permitted sanitary landfills  designed with a composite liner system, as required by 9VAC20-81-130 J 1. The  effectiveness of the liner system and leachate collection system shall be  demonstrated in the plan and shall be assessed at the end of the testing period  in order to compare the effectiveness of the systems to the start of the RDD  testing period.
    (2) Operating permitted sanitary landfills that have exceeded  groundwater protection standards at statistically significant levels in  accordance with 9VAC20-81-250 B, from any waste unit on site shall have  implemented a remedy in accordance with 9VAC20-81-260 C prior to the RDD plan  submittal. Operating permitted sanitary landfills that have an exceedance in  the concentration of methane gas migrating from the landfill in accordance with  9VAC20-81-200 shall have a gas control system in place per 9VAC20-81-200 B  prior to the RDD plan submittal. 
    (3) An owner or operator of a sanitary landfill that disposes  of 20 tons of municipal solid waste per day or less, based on annual average,  may not apply for a modification to include a RDD plan.
    (4) The sanitary landfill shall have a leachate collection  system designed and constructed to maintain less than a 30 cm depth of leachate  on the liner.
    b. Requirements.
    (1) RDD Plans may be submitted for activities such as:
    (a) The addition of liquids in addition to leachate and gas  condensate from the same landfill for accelerated decomposition of the waste  mass; prior to the RDD Plan submittal.
    (b) Allowing run-on water to flow into the landfill waste  mass; and
    (c) Allowing testing of the construction and infiltration  performance of alternative final cover systems. An RDD plan may be proposed  for; and
    (d) For other measures to be taken to enhance  stabilization of the waste mass.
    (2) No landfill owner or operator may continue to implement an  RDD plan beyond any time limit placed in the initial plan approval or any  renewal without issuance of written prior approval by the department.  Justification for renewals shall be based upon information in annual and final  reports as well as research and findings in technical literature.
    (3) RDD plans may not include changes to the approved design  and construction of subgrade preparation, liner system, leachate collection and  removal systems, final cover system, gas and leachate systems outside the  limits of waste, run-off controls, run-on controls, or environmental monitoring  systems exterior to the waste mass.
    (4) Implementation of an approved RDD plan shall comply with  the specific conditions of the RDD Plan as approved in the permit for the  initial testing period and any renewal.
    (5) Structures and features exterior to the waste mass or  waste final grades shall be removed at the end of the testing period, unless  otherwise approved by the department in writing.
    (6) The RDD plan may propose an alternate final cover  installation schedule.
    c. An RDD plan shall include the following details and  specifications. Processes other than adding liquids to the waste mass and  leachate recirculation may be practiced in conjunction with the RDD plan.
    (1) Initial applications for RDD plans shall be submitted for  review and approval prior to the initiation of the process to be tested. These  plans shall specify the process that will be tested, describe preparation and  operation of the process, describe waste types and characteristics that the  process will affect, describe desired changes and end points that the process  is intended to achieve, define testing methods and observations of the process  or waste mass that are necessary to assess effectiveness of the process, and  include technical literature references and research that support use of the  process. The plans shall specify the time period for which the process will be  tested. The plans shall specify the additional information, operating  experience, data generation, or technical developments that the process to be  tested is expected to generate. 
    (2) The test period for the initial application shall be  limited to a maximum of three years.
    (3) Renewals of testing periods shall be limited to a maximum  of three years each. The maximum number of renewals shall be limited to three.
    (4) Renewals shall require department review and approval of  reports of performance and progress on achievement of goals specified in the  RDD plan.
    (5) RDD Plans for addition of liquids, in addition to leachate  and gas condensate from the same landfill, for accelerated decomposition of the  waste mass and/or for allowing run-on water to flow into the landfill waste  mass shall demonstrate that there is no increased risk to human health and the  environment. The following minimum performance criteria shall be demonstrated.
    (a) Risk of contamination to groundwater or surface water will  not be greater than the risk without an approved RDD plan.
    (b) Stability analysis demonstrating the physical stability of  the landfill.
    (c) Landfill gas collection and control in accordance with  applicable Clean Air Act requirements (i.e., Title V, NSPS or EG rule, etc.).
    (d) For RDD plans that include the addition of offsite  nonhazardous waste liquids to the landfill, the following information shall be  submitted with the RDD plan: 
    (i) Demonstration of adequate facility liquid storage volume  to receive the offsite liquid;
    (ii) A list of proposed characteristics for screening the  accepted liquids is developed; and
    (iii) The quantity and quality of the liquids are compatible  with the RDD plan. 
    If offsite nonhazardous liquids are certified by the offsite  generator as stormwater uncontaminated by solid waste, screening is not  required for this liquid.
    (6) RDD plans for testing of the construction and infiltration  performance of alternative final cover systems shall demonstrate that there is  no increased risk to human health and the environment. The proposed final cover  system shall be as protective as the final cover system required by  9VAC20-81-160 D. The following minimum performance criteria shall be  demonstrated:
    (a) No build up of excess liquid in the waste and on the  landfill liner;
    (b) Stability analysis demonstrating the physical stability of  the landfill; 
    (c) No moisture will escape from the landfill to the surface  water or groundwater; and
    (d) Sufficient reduction in infiltration so that there will be  no leakage of leachate from the landfill.
    (7) RDD plans that evaluate introduction of liquids in  addition to leachate or gas condensate from the same landfill shall propose  measures to be integrated with any approved leachate recirculation plan and  compliance with requirements for leachate recirculation.
    (8) RDD plans shall include a description of warning symptoms  and failure thresholds that will be used to initiate investigation, stand-by,  termination, and changes to the process and any other landfill systems that  might be affected by the process, such as gas extraction and leachate  recirculation. Warning symptoms shall result in a reduction or suspension of liquids  addition, leachate recirculation, investigation, and changes to be implemented  before resuming the process being tested. Failure thresholds shall result in  termination of the process being tested, investigation, and changes that will  be submitted to the department for review and approval in writing prior to  resumption of the process being tested.
    (9) RDD plans shall include an assessment of the manner in  which the process to be tested might alter the impact that the landfill may  have on human health or environmental quality. The assessment shall include  both beneficial and deleterious effects that could result from the process.
    (10) RDD plans shall include a geotechnical stability analysis  of the waste mass and an assessment of the changes that the implementation of  the plan are expected to achieve. The geotechnical stability analysis and  assessment shall be repeated at the end of testing period, with alteration as  needed to include parameters and parameter values derived from field  measurements. The plan shall define relevant parameters and techniques for  field measurement.
    (11) RDD plans shall propose monitoring parameters,  frequencies, test methods, instrumentation, recordkeeping and reporting to the  department for purposes of tracking and verifying goals of the process selected  for testing.
    (12) RDD plans shall propose monitoring techniques and  instrumentation for potential movements of waste mass and settlement of waste  mass, including proposed time intervals and instrumentation, pertinent to the  process selected for testing. 
    (13) RDD plans shall propose construction documentation,  construction quality control and construction quality assurance measures, and  recordkeeping for construction and equipment installation that is part of the  process selected for testing. 
    (14) RDD plans shall propose operating practices and controls,  staffing, monitoring parameters, and equipment needed to support operations of  the process selected for testing. 
    (15) RDD plans that include aeration of the waste mass shall  include a temperature monitoring plan, a fire drill and safety program,  instructions for use of liquids for control of temperature and fires in the  waste mass, and instructions for investigation and repair of damage to the  liner and leachate collection system. 
    (16) RDD plans may include an alternate interim cover system  and final cover installation schedule. The interim cover system shall be  designed to account for weather conditions, slope stability, and leachate and  gas generation. The interim cover shall also control, at a minimum, disease  vectors, fires, odors, blowing litter, and scavenging.
    d. Reporting. An annual report shall be prepared for each year  of the RDD testing period, including any renewal periods, and a final report  shall be prepared for the end of the testing period. These reports shall assess  the attainment of goals proposed for the process selected for testing,  recommend changes, recommend further work, and summarize problems and their  resolution. Reports shall include a summary of all monitoring data, testing  data and observations of process or effects and shall include recommendations  for continuance or termination of the process selected for testing. Annual  reports shall be submitted to the department within three months after the  anniversary date of the approved permit or permit modification. Final reports  shall be submitted at least 90 days prior to the end of the testing period for  evaluation by the department. The department shall review this report within 90  days. If the department's evaluation indicates that the goals of the project  have been met, are reliable and predictable, the department will provide a  minor permit modification to incorporate the continued operation of the project  with the appropriate monitoring.
    e. Termination. The department may require modifications to or  immediate termination of the RDD process being tested if any of the following  conditions occur:
    (1) Significant and persistent odors;
    (2) Significant leachate seeps or surface exposure of  leachate;
    (3) Significant leachate head on the liner;
    (4) Excessively acidic leachate chemistry or gas production  rates or other monitoring data indicate poor waste decomposition conditions;
    (5) Instability in the waste mass; or 
    (6) Other persistent and deleterious effects.
    The RDD program is an optional participation program, by  accepting the modification or new permit, the applicant acknowledges that the  program is optional; and that they are aware the department may provide  suspension or termination of the RDD program for any reasonable cause, without  a public hearing. Notice of suspension or termination will be by letter for a  cause related to a technical problem, nuisance problem, or for protection of  human health or the environment as determined by the department.
    G. Facility siting. The suitability of the facility location  will not be considered at the time of permit modification unless new  information or standards indicate that an endangerment to human health or the  environment exists which was unknown at the time of permit issuance or the  modification is for an expansion or increase in capacity. 
    Part I 
  Definitions 
    9VAC20-85-10. Definitions as established in Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.). 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations 9VAC20-80-10 et seq., 9VAC20-81,  are incorporated by reference. 
    9VAC20-85-40. Applicability. 
    A. This chapter applies to all persons who use, reuse, or  reclaim fossil fuel combustion products by applying them to or placing them on  land in a manner other than addressed in 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations, 9VAC20-80-150 and 9VAC20-80-160. 9VAC20-80-150  9VAC20-81-95 provides for the beneficial use of waste materials such as  fossil fuel combustion products, and 9VAC20-80-160 provides for  conditional exemptions from regulation for fossil fuel combustion products. 
    B. This chapter establishes minimum standards for the owners  or operators of coal mining facilities that accept CCB for mine reclamation or  mine refuse disposal on a mine site permitted by the Virginia Department of  Mines, Minerals and Energy (DMME) unless otherwise exempt under 9VAC20-80-160  B 9VAC20-81-95 D 18 of the Solid Waste Management Regulations. If  the permit issued by the DMME in accordance with the Virginia Surface Mining  Regulations, 4VAC25-130-700.1 et seq., specifies the applicable conditions set  forth in Parts III and IV of this chapter, the permittee is exempt from this  chapter. 
    C. Conditions of applicability are as follows: 
    1. Persons using fossil fuel combustion products other than in  a manner prescribed under this chapter, or managing fossil fuel combustion  products containing any constituent at a level exceeding levels set forth in  Table 1 in Part IV of this chapter, shall manage their waste in accordance with  all applicable provisions of the Virginia Solid Waste Management  Regulations, 9VAC20-80 9VAC20-81; 
    2. Materials which are accumulated speculatively, materials  which are not utilized in a manner described in the operation plan required by  9VAC20-85-90 of this chapter, and off-specification materials which cannot be  utilized or reprocessed to make them usable shall be managed in accordance with  all appropriate provisions of the Virginia Solid Waste Management Regulations,  9VAC20-80 9VAC20-81; and 
    3. Storage, stockpiling, and other processing or handling of  fossil fuel combustion products, which may need to occur prior to their final  placement or use, reuse, or reclamation, shall be in a manner necessary to protect  human health and safety and the environment. For projects permitted by the  DMME, the storage, stockpiling, or handling of CCB shall be managed in  accordance with the Virginia Surface Mining Regulations, 4VAC25-130-700.1 et  seq. 
    9VAC20-85-50. Relationship to other regulations. 
    This chapter does not affect the Virginia Solid Waste  Management Regulations, 9VAC20-80-10 et seq. 9VAC20-81, or other  pertinent regulations of the department or other agencies of the Commonwealth,  except that persons subject to and in compliance with this chapter are exempt  from the Virginia Solid Waste Management Regulations and the Financial  Assurance Regulations for Solid Waste Facilities, 9VAC20-70-10 et seq. 9VAC20-70,  for those activities covered by this chapter. 
    9VAC20-85-60. Enforcement and appeals. 
    A. All administrative enforcement and appeals taken from  actions of the department relative to the provisions of this chapter shall be  governed by the Virginia Administrative Process Act (§ 2.2-4000 et seq. of the  Code of Virginia). 
    B. The owner or operator of the fossil fuel combustion  products site who violates any provision of this chapter will be considered to  be operating an unpermitted facility as provided for in 9VAC20-80-90 9VAC20-81-40  of the Solid Waste Management Regulations and shall be required to either  obtain a permit as required by Part VII V or close under Part V  III of this chapter 9VAC20-81. 
    C. The requirement to obtain a permit or to close the project  shall not preclude additional action for remediation or enforcement, including  (without limitations) the assessment of civil charges or civil penalties, as is  otherwise authorized by law. 
    Article 3 
  Operations 
    9VAC20-85-90. Operations. 
    The owner or operator of a fossil fuel combustion products  site shall prepare an operation plan. At a minimum, the plan shall address the  requirements contained in this section. 
    1. Tracking of mud or fossil fuel combustion products onto  public roads from the site shall be controlled at all times to minimize  nuisances. 
    2. The addition of any solid waste including but not limited  to hazardous, infectious, construction, debris, demolition, industrial,  petroleum-contaminated soil, or municipal solid waste to fossil fuel combustion  products is prohibited. This prohibition does not apply to solid wastes from  the extraction, beneficiation and processing of ores and minerals conditionally  exempted under 9VAC20-80-160 A 2 9VAC20-81-95 E 3 of the Solid  Waste Management Regulations. 
    3. Fugitive dust shall be controlled at the site so it does  not constitute nuisances or hazards. 
    4. After preparing the subbase, fossil fuel combustion  products shall be placed uniformly and compacted to standards, including insitu  density, compaction effort and relative density as specified by a registered  professional engineer based on the intended use of the fossil fuel combustion  products. The placement and compaction of CCB on coal mine sites shall be  subject to the applicable requirements of the Coal Surface Mining Reclamation  Regulations, 4VAC25-130-700.1 et seq. 
    5. A surface run on and runoff control program shall be  implemented to control and reduce the infiltration of surface water through the  fossil fuel combustion products and to control the runoff from the placement  area to other areas and to surface waters. 
    6. Runoff shall not be permitted to drain or discharge into  surface waters except when in accordance with 9VAC25-10-10 et seq., of the  State Water Control Board, or otherwise approved by the department. 
    7. Fossil fuel combustion products site development shall be  in accordance with the Virginia Erosion and Sediment Control Regulations,  4VAC50-30, or the Coal Surface Mining Reclamation Regulations, 4VAC25-130-700.1  et seq., as applicable. 
    Part IV 
  Administrative Requirements 
    9VAC20-85-150. General. 
    A. Notwithstanding any provisions of Part VII V  of the Virginia Solid Waste Management Regulations, 9VAC20-80 9VAC20-81,  the owner or operator of a site which manages only fossil fuel combustion  products allowed under 9VAC20-85-40 shall not be required to have a solid waste  management facility permit, neither must a fossil fuel combustion products  facility operator certified by the Board for Waste Management Facility  Operators directly supervise operations at the site, if the owner or operator at  least 30 days prior to initial placement of fossil fuel combustion products  provides to the appropriate department regional office and verifies receipt of:  
    1. A certification that it has legal control over the fossil  fuel combustion products site for the project life and the closure period. For  the purposes of this section, on a coal mine site permitted by the DMME,  demonstration of legal right to enter and begin surface coal mining and  reclamation operations shall constitute compliance with the provisions of this  section. 
    2. A certification from the governing body of the county,  city, or town in which the fossil fuel combustion products site is to be  located that the location and operation of the fossil fuel combustion products  site are consistent with all applicable ordinances, with the exception of  projects permitted by the DMME. 
    3. A general description of the intended use, reuse, or  reclamation of fossil fuel combustion products. Such description will include: 
    a. A description of the nature, purpose and location of the  fossil fuel combustion products site, including a topographic map showing the  site area and available soils, and geological maps. The description shall  include an explanation of how fossil fuel combustion products will be stored  prior to use, reuse or reclamation, if applicable; 
    b. The estimated beginning and ending dates for the operation;  
    c. An estimate of the volume of the fossil fuel combustion  products to be utilized; and 
    d. A description of the proposed type of fossil fuel combustion  products to be used, reused or reclaimed, including physical and chemical  characteristics of the fossil fuel combustion products. The chemical  description shall contain the results of TCLP analyses for the constituents  shown in Table 1. The description shall also contain a statement that the  project will not manage fossil fuel combustion products that contain any  constituent at a level exceeding those shown in the table. 
           |      TABLE 1.      LIST OF CONSTITUENTS AND MAXIMUM LEVELS.      |    
       |      Constituent      |          Level, mg/lit      |    
       |      Arsenic      |          5.0      |    
       |      Barium      |          100      |    
       |      Cadmium      |          1.0      |    
       |      Chromium      |          5.0      |    
       |      Lead      |          5.0      |    
       |      Mercury      |          0.2      |    
       |      Selenium      |          1.0      |    
       |      Silver      |          5.0      |    
  
    4. A certification by a professional engineer licensed to  practice by the Commonwealth that the project meets the locational restrictions  of 9VAC20-85-70. Such certificate shall contain no qualifications or exemptions  from the requirements. 
    5. A certificate signed by a professional engineer licensed to  practice by the Commonwealth that the project has been designed in accordance  with the standards of 9VAC20-85-80 if applicable. Such certificate shall  contain no qualifications or exceptions from the requirements and plans. 
    6. An operational plan describing how the standards of  9VAC20-85-90 will be met. 
    7. A closure plan describing how the standards of Article 4 of  Part III of this chapter will be met, if applicable. 
    8. A signed statement that the owner or operator shall allow  authorized representatives of the Commonwealth, upon presentation of  appropriate credentials, to have access to areas in which the activities  covered by this chapter will be, are being, or have been conducted to ensure  compliance. 
    B. The materials submitted under the provisions of subsection  A of this section will be evaluated for completeness within 30 days of receipt  by the appropriate department regional office. If the department notifies the  applicant of deficiencies within 30 days, the applicant shall postpone any  construction or activities proposed in the application for the department's  approval until the department's approval has been received. If the applicant  has not received a notice of deficiency within 30 days, the applicant can  proceed. 
    9VAC20-85-180. Administrative procedures. 
    The administrative procedures associated with the submission  of the variance petition, its processing and resolution will be accomplished in  accordance with the requirements of 9VAC20-80-790 Part VII  (9VAC20-81-700 et seq.) of the Solid Waste Management Regulations. 
    Part I 
  Definitions 
    9VAC20-120-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise.  Chapter 14 (§ 10.1-1400 et seq.) of Title 10.1 of the Code of Virginia defines  words and terms that supplement those in this chapter. The Virginia  Solid Waste Management Regulations, 9VAC20-80 9VAC20-81, define  additional words and terms that supplement those in the statutes and this  chapter. When the statutes, as cited, and the solid waste management  regulations, as cited, conflict, the definitions of the statutes are  controlling. 
    "Act" or "regulations" means the federal  or state law or regulation last cited in the context, unless otherwise  indicated. 
    "Alternative treatment method" means a method for  the treatment of regulated medical waste that is not incineration or steam  sterilization (autoclaving). 
    "Approved sanitary sewer system" means a network of  sewers serving a facility that has been approved in writing by the Virginia  Department of Health, including affiliated local health departments. Such sewer  systems may be approved septic tank/drainfield systems and on-site treatment  systems, or they may be a part of a collection system served by an NPDES  permitted treatment works. 
    "Associated" means two or more firms that share  staff members, management, directors, and assets or engage in joint ventures.  Holding companies and part owners are associated parties. 
    "Ash" means the residual waste material produced  from an incineration process or any combustion. 
    "ASTM" means the American Society For Testing and  Materials. 
    "Autoclave tape" means tape that changes color or  becomes striped when subjected to temperatures that will provide sterilization  of materials during treatment in an autoclave or similar device. 
    "Blood" means human blood, human blood components,  and products made from human blood. 
    "Board" means the Virginia Waste Management Board. 
    "Body fluids" means liquid emanating or derived  from humans including blood; cerebrospinal, synovial, pleural, peritoneal and  pericardial fluids; semen and vaginal secretions; amniotic fluid; urine; saliva  in dental procedures; and any other body fluids that are contaminated with  blood, and any other liquids emanating from humans that may be mixed or  combined with body fluids. 
    "Closure" means the act of securing a regulated  medical waste management facility pursuant to the requirements of these  regulations. 
    "Closure plan" means the plan for closure prepared  in accordance with the requirements of this chapter. 
    "Commonwealth" means the Commonwealth of Virginia. 
    "Container" means any portable enclosure in which a  material is stored, transported, treated, or otherwise handled. 
    "Contaminated" means the presence or the reasonably  anticipated presence of blood or other body fluids on an item or surface. 
    "Contingency plan" means a document setting out an  organized, planned and coordinated course of action to be followed in the event  of a fire, explosion, or release of regulated medical waste or regulated  medical waste constituents that could threaten human health or the environment.  
    "CWA" means the Clean Water Act (formerly referred  to as the Federal Water Pollution Control Act), 33 USC § 1251 et seq.; PL  92-500, PL 93-207, PL 93-243, PL 93-592, PL 94-238, PL 94-273, PL 94-558, PL  95-217, PL 95-576, PL 96-148, PL 96-478, PL 96-483, PL 96-510, PL 96-561, PL  97-35, PL 97-117, PL 97-164, PL 97-216, PL 97-272, PL 97-440, PL 98-45, PL  100-4, PL 100-202, PL 100-404, and PL 100-668. 
    "Decontamination" means the use of physical or  chemical means to remove, inactivate, or destroy human pathogens on a surface  or item to the point where they are no longer capable of transmitting disease  and the surface or item is rendered safe for handling, use, or disposal. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. 
    "Discard" means to throw away or reject. When a  material is soiled, contaminated or no longer usable and it is placed in a  waste receptacle for disposal or treatment prior to disposal, it is considered  discarded. 
    "Discharge" or "waste discharge" means  the accidental or intentional spilling, leaking, pumping, pouring, emitting,  emptying, or dumping of regulated medical waste into or on any land or state  waters. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters, including  ground waters. 
    "Disposal facility" means a facility or part of a  facility at which solid waste is intentionally placed into or on any land or  water, and at which the solid waste will remain after closure. 
    "Domestic sewage" means untreated sanitary wastes  that pass through a sewer system. 
    "Empty" means wastes have been removed from a  container using the practices commonly employed to remove materials of that  type. 
    "EPA" means the U.S. Environmental Protection  Agency. 
    "Etiologic agents" means the specific organisms  defined to be etiologic agents in 42 CFR 72.3. In general, etiologic agents as  defined in 42 CFR 72.1 means a viable microorganism or its toxin which causes  or may cause human disease. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Generate" means to cause waste to become subject  to regulation. When regulated medical waste is first discarded, it must be  appropriately packaged in accordance with this regulation. At the point a  regulated medical waste is discarded it has been generated. 
    Note: Timeframes associated with storage and refrigeration  are no longer linked to the "date of generation." 
    "Generator" means any person, by site location,  whose act or process produces regulated medical waste identified or listed in  Part III (9VAC20-120-80 et seq.) of this chapter or whose act first causes a  regulated medical waste to become subject to this chapter. 
    "Hazardous material" means a substance or material  that has been so designated under 49 Parts CFR 171 and 173. 
    "Hazardous waste" means any solid waste defined as  a "hazardous waste" by the Virginia Hazardous Waste Management  Regulations. 
    "Health Care Professional" means a medical doctor  or nurse practicing under a license issued by the Department of Health  Professions. 
    "Highly leak resistant" means that leaks will not  occur in the container even if the container receives severe abuse and stress,  but remains substantially intact. 
    "Highly puncture resistant" means that punctures  will not penetrate the container even if the container receives severe abuse  and stress, but remains substantially intact. 
    "Motor vehicle" means a vehicle, machine, roll off  container, tractor, trailer, or semi-trailer, or any combination of them,  propelled or drawn by mechanical power and used in transportation or designed  for such use. 
    "Nonstationary health care providers" means those  persons who routinely provide health care at locations that change each day or  frequently. This term includes traveling doctors, nurses, midwives, and others  providing care in patients' homes, first aid providers operating from emergency  vehicles, and mobile blood service collection stations. 
    "NPDES" or "National Pollutant Discharge  Elimination System" means the national program for issuing, modifying,  revoking, reissuing, terminating, monitoring, and enforcing permits pursuant to  §§ 307, 402, 318, and 405 of the Clean Water Act. The term includes any state  or interstate program that has been approved by the Administrator of the United  States Environmental Protection Agency. 
    "Off-site" means any site that does not meet the  definition of on-site as defined in this part, including areas of a facility  that are not on geographically contiguous property or outside of the boundary  of the site. 
    "On-site" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same person  but connected by a right-of-way that he controls and to which the public does  not have access are also considered on-site property. 
    "Owner" means the person or persons who own a  regulated medical waste management facility or part of a regulated medical  waste management facility. 
    "Package" or "outside package" means a  package plus its contents. 
    "Packaging" means the assembly of one or more  containers and any other components necessary to assure compliance with minimum  packaging requirements under VRGTHM or this chapter. 
    "Permit by rule" means provisions of this chapter  stating that a facility or activity is deemed to have a permit if it meets the  requirements of the provision. 
    "Permitted waste management facility" or  "permitted facility" means a regulated medical waste treatment or  storage facility that has received a permit in accordance with the requirements  of the chapter. 
    "Physical construction" means excavation, movement  of earth, erection of forms or structures, the purchase of equipment, or any  other activity involving the actual preparation of the regulated medical waste management  facility. 
    "Processing" means preparation, treatment, or  conversion of regulated medical waste by a series of actions, changes, or  functions that bring about a decided result. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act (42 USC § 6901 et  seq.), the Hazardous and Solid Waste Amendments of 1984, and any other  applicable amendments to these laws. 
    "Regulated medical waste" means solid wastes  defined to be regulated medical wastes in Part III (9VAC20-120-80 et seq.) of  this chapter. 
    "Regulated medical waste management" means the  systematic administration of activities that provide for the collection, source  separation, storage, transportation, transfer, processing, treatment, and  disposal of regulated medical wastes whether or not such facility is associated  with facilities generating such wastes or otherwise. 
    "Regulated medical waste management facility" means  a solid waste management facility that manages regulated medical waste. 
    "Safe sharps program" means a program supported by  a city, county, town or public authority that is intended to enhance the safe  disposal of sharps discarded by private individuals. 
    "Sanitary sewer system" means a system for the  collection and transport of sewage, the construction of which was approved by  the Department of Health or other appropriate authority. 
    "Secondary container" means a storage device into  which a container can be placed for the purpose of containing any leakage from  the original container. 
    "Section" means a subpart of this chapter and when  referred to all portions of that part apply. 
    "Sharps" means needles, scalpels, knives, syringes  with attached needles, pasteur pipettes and similar items having a point or  sharp edge or that are likely to break during transportation and result in a  point or sharp edge. 
    "Shipment" means the movement or quantity conveyed  by a transporter of a regulated medical waste between a generator and a  designated facility or a subsequent transporter. 
    "Site" means the land or water area upon which a  facility or activity is physically located or conducted, including but not  limited to adjacent land used for utility systems such as repair, storage,  shipping, or processing areas, or other areas incident to the controlled facility  or activity. 
    "Solid waste" means any garbage, refuse, sludge and  other discarded material, including solid, liquid, semisolid or contained  gaseous material, resulting from industrial, commercial, mining and agriculture  operations, or community activities, but does not include (i) solid or  dissolved material in domestic sewage, (ii) solid or dissolved material in  irrigation return flows or in industrial discharges which are sources subject  to a permit from the State Water Control Board, or (iii) source, special  nuclear, or by-product material as defined by the Federal Atomic Energy Act of  1954, as amended 42 USC §§ 2011-2284. The definition of solid waste is further  clarified in the Virginia Solid Waste Management Regulations (9VAC20-80-140)  (9VAC20-81-95). 
    "Solid waste management" means the collection,  source separation, storage, transportation, transfer, processing, treatment,  and disposal of solid wastes or resource recovery. 
    "Spill" means any accidental or unpermitted  discharge, leaking, pumping, pouring, emitting, or dumping of wastes or  materials that, when spilled, become wastes. 
    "Start-up" or "cold start-up" means the  beginning of a combustion operation from a condition where the combustor unit  is not operating and less than 140°F in all areas. 
    "Storage" means the holding, including during  transportation, of more than 200 gallons of waste, at the end of which the  regulated medical waste is treated or stored elsewhere. 
    "Training" means formal instruction, supplementing  an employee's existing job knowledge, designed to protect human health and the  environment via attendance and successful completion of a course of instruction  in regulated medical waste management procedures, including contingency plan  implementation, relevant to those operations connected with the employee's  position at the facility. 
    "Transfer facility" means any transportation  related facility including loading docks, parking areas, storage areas, and  other similar areas where shipments of regulated medical waste are held during  the normal course of transportation. 
    "Transportation" or "transport" means the  movement of regulated medical waste by air, rail, highway, or water. 
    "Transport vehicle" means any vehicle used for the  transportation of cargo. 
    "Vector" means a living animal, insect or other  arthropod that may transmits an infectious disease from one organism to  another. 
    "VRGTHM" means Virginia Regulations Governing the  Transportation of Hazardous Materials promulgated by the Virginia Waste  Management Board as authorized by §§ 10.1-1450 through 10.1-1454 of the Code of  Virginia. 
    "Waste management facility" means all contiguous  land and structures, other appurtenances, and improvements on them used for  treating, storing, or disposing of waste. 
    "Waste management unit" means any unit at a  treatment or storage facility that possesses a permit, or that has received  regulated medical waste (as defined in this chapter) at any time, including  units that are not currently active. 
    9VAC20-120-70. Relationship to other bodies of regulation. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  address other requirements for regulated medical waste management. Any  regulated medical waste management facility must also conform to any applicable  sections of the solid waste management regulations issued by the board and any  special solid waste management regulations such as those defining financial  assurance requirements. If there is a conflict between the details of  regulations here and the others, this chapter is controlling. 
    B. Regulated medical waste management facility must also  comply with any applicable sections of the Hazardous Waste Management  Regulations (9VAC20-60) issued by the department. If there is a conflict  between the details of regulations here and the hazardous waste management  regulations, the latter regulations are controlling. 
    C. Intrastate shipment of hazardous materials is subject to  the Regulations Governing the Transportation of Hazardous Materials  (9VAC20-110) of the department. If there is a conflict between the details of  regulations here and the hazardous materials transportation regulations, the  latter are controlling. 
    D. Generators of regulated medical waste and regulated  medical waste management facilities may be subject to the general industry  standard for occupational exposure to bloodborne pathogens in  16VAC25-90-1910.1030 (29 CFR 1910.1030). 
    E. Persons transporting regulated medical waste are subject  to the federal hazardous material transportation requirements in 49 CFR 171  through 178. 
    F. If there is a conflict between the regulations here and  adopted regulations of another agency of the Commonwealth, the provisions of  these regulations are set aside to the extent necessary to allow compliance  with the regulations of the other agency. If neither regulation controls, the  more stringent standard applies. 
    G. Nothing here either precludes or enables a local governing  body to adopt ordinances. Compliance with one body of regulation does not  insure compliance with the other, and, normally, both bodies of regulation must  be complied with fully. 
    9VAC20-120-100. Recycled materials. 
    A. Untreated regulated medical wastes shall not be used,  reused, or reclaimed. 
    B. Wastes that have been treated in accord with these  regulations are no longer regulated medical waste and may be used, reused, or  reclaimed in accordance with the provisions of the Virginia Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81). 
    C. Bed linen, instruments, medical care equipment and other  materials that are routinely reused for their original purpose are not subject  to these regulations until they are discarded and are a solid waste. These  items do not include reusable carts or other devices used in the management of  regulated medical waste (see 9VAC20-120-260). 
    Article 6 
  Treatment and Disposal 
    9VAC20-120-300. Methods of treatment and disposal. 
    A. All regulated medical waste must be incinerated,  sterilized by steam, or treated by a method as described in Part VII  (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.), or IX (9VAC20-120-630  et seq.) of this chapter. 
    B. No regulated medical waste shall be disposed of in a solid  waste landfill or other solid waste management facility. Upon authorized  treatment and management in accord with this chapter, the solid waste or its  ash is not regulated medical waste and may be disposed of at any landfill or  other solid waste management facility permitted to receive municipal solid  waste or garbage, provided the disposal is in accordance with the Solid Waste  Management Regulations, 9VAC20-80 9VAC20-81, and other applicable  regulations and standards. 
    C. Regulated medical waste in closed bags or containers shall  not be compacted or subjected to violent mechanical stress; however, after it  is fully treated and it is no longer regulated medical waste, it may be  compacted in a closed container. Nothing in this section shall prevent the  puncturing of containers or packaging immediately prior to permitted treatment  in which grinding, shredding, or puncturing is integral to the process units;  however, all grinding, shredding and puncturing shall be done with safe and  sanitary methods. Nothing in this section shall prevent the use of devices that  grind, shred or compact to reduce volume at the point of generation. Devices  will be constructed in a manner that prevents employee exposure to the waste,  contains any aerosol or mist that may be caused by the process, and treats or  filters any air evacuated from the chamber during processing. These devices may  be employed at the point of generation and prior to enclosing the regulated  medical waste in plastic bags and other required packaging; however, the waste  remains regulated medical waste. Appropriate means must be employed to  appropriately protect workers and contain the waste when unloading regulated  medical wastes from such a device. 
    9VAC20-120-540. Analysis and management of the ash product;  procedure; results and records; disposition of ash; ash storage. 
    A. Once every eight hours of operation of a continuously fed  incinerator and once every batch or 24 hours of operation of a batch fed  incinerator, a representative sample of 250 milliliters of the bottom ash shall  be collected from the ash discharge or the ash discharge conveyer. Samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous Waste  Management Regulations for determining if a solid waste is a hazardous waste.  Also, the sample shall be tested for total organic carbon content. 
    At incinerators equipped with air pollution control devices  that remove and collect incinerator emissions control ash or dust, this ash  shall be held separately and not mixed with bottom ash. Once every eight hours  of operation of a continuously fed incinerator and once every batch or 24 hours  of operation of a batch fed incinerator, a representative sample of 250  milliliters of the air pollution control ash or dust shall be collected from  the pollution control ash discharge. Air pollution control ash or dust samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous  Waste Management Regulations for determining if a waste is a hazardous waste. 
    B. A log shall document the ash sampling, to include the date  and time of each sample collected; the date, time and identification number of  each composite sample; and the results of the analyses, including laboratory  identification. Results of analyses must be returned from the laboratory and  recorded within four weeks following collection of the composite sample. The  results and records described in this part shall be maintained for a period of  three years, and shall be available for review. 
    C. If a waste ash is found to be hazardous waste (based on a  sample and a confirmation sample) the waste ash shall be disposed of as a  hazardous waste in accord with the Virginia Hazardous Waste Management  Regulations. If ash is found not to be hazardous waste by analysis, it may be  disposed of in a solid waste landfill that is permitted to receive garbage,  municipal solid waste or incinerator ash, provided the disposal is in  accordance with the Solid Waste Management Regulations, 9VAC20-80 9VAC20-81.  If the ash is found to be hazardous waste, the operator shall notify the  Director of the Department of Environmental Quality within 24 hours. No later  than 15 calendar days following, the permittee shall submit a plan for treating  and disposing of the waste on hand at the facility and all unsatisfactorily  treated waste that has left the facility. The permittee may include with the  plan a description of the corrective actions to be taken to prevent further  unsatisfactory performance. No ash subsequently generated from the incinerator  waste stream that was found to be hazardous waste shall be sent to a  nonhazardous solid waste management facility in the Commonwealth without the  express written approval of the director. 
    D. Air pollution control ash and bottom ash shall be held  separately and not mixed; however, once both are determined not to be hazardous  waste, they may be combined and disposed of as other solid waste. Throughout  the storage of the untested material it shall be kept in covered highly leak  resistant containers. It should be held until the generator determines whether  the ash waste is hazardous waste. Areas where untested material containers are  placed must be constructed with a berm to prevent runoff from that area. 
    E. Regulated medical waste treated in compliance with Part  VII (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.) or IX  (9VAC20-120-630 et seq.) of this chapter shall be deemed to be treated in  accordance with this chapter. Regulated medical waste not treated in accordance  with this chapter shall not be transported, received for transport or disposal,  or disposed of in any solid waste management facility. 
    9VAC20-120-810. Amendment of permits. 
    A. Temporary authorizations. 
    1. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of this section. Temporary authorizations  shall have a term of not more than 180 calendar days. 
    2. a. The permittee may request a temporary authorization for:  
    (1) Any substantive amendment meeting the criteria in  subdivision 3 b (1) of this subsection; and 
    (2) Any major amendment that meets the criteria in subdivision  3 b (1) or (2) of this subsection; or that meets the criteria in subdivisions 3  b (3) and (4) of this subsection and provides improved management or treatment  of a regulated medical waste already listed in the facility permit. 
    b. The temporary authorization request shall include: 
    (1) A description of the activities to be conducted under the  temporary authorization; 
    (2) An explanation of why the temporary authorization is  necessary; and 
    (3) Sufficient information to ensure compliance with standards  in Part V (9VAC20-120-330 et seq.) or VI (9VAC20-120-400 et seq.) of this  chapter. 
    c. The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven calendar days of submission of the  authorization request. 
    3. The director shall approve or deny the temporary  authorization as quickly as is practical. To issue a temporary authorization,  the director shall find: 
    a. The authorized activities are in compliance with the  standards of Part V (9VAC20-120-330 et seq.), VII (9VAC20-120-520 et seq.),  VIII (9VAC20-120-580 et seq.) or IX (9VAC20-120-630 et seq.) of this chapter. 
    b. The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an amendment  request: 
    (1) To facilitate timely implementation of closure or  corrective action activities; 
    (2) To prevent disruption of ongoing waste management  activities; 
    (3) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (4) To facilitate other changes to protect human health and  the environment. 
    4. A temporary authorization may be reissued for one  additional term of up to 180 calendar days provided that the permittee has  requested a substantive or a major permit amendment for the activity covered in  the temporary authorization, and (i) the reissued temporary authorization  constitutes the director's decision on a substantive permit amendment in  accordance with the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  or (ii) the director determines that the reissued temporary authorization  involving a major permit amendment request is warranted to allow the authorized  activities to continue while the amendment procedures of the Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81) are conducted. 
    B. Newly defined or identified wastes. The permittee is  authorized to continue to manage wastes defined or identified as regulated  medical waste under Part III (9VAC20-120-80 et seq.) of this chapter if he: 
    1. Was in existence as a regulated medical waste management  facility with respect to the newly defined or identified regulated medical  waste on the effective date of the final rule defining or identifying the  waste; and 
    2. (i) Is in compliance with the standards of Part V, VII,  VIII or IX, as applicable, with respect to the new waste, submits a minor  modification request on or before the date on which the waste becomes subject  to the new requirements or (ii) is not in compliance with the standards of Part  V or VI, as applicable, with respect to the new waste, but submits a complete  permit amendment request within 180 calendar days after the effective date of  the definition or identifying the waste. 
    C. The suitability of the facility location will not be  considered at the time of permit amendment unless new information or standards  indicate that an endangerment to human health or the environment exists that  was unknown at the time of permit issuance. 
    9VAC20-130-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Board" means the Virginia Waste Management Board. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants  and shopping centers.
    "Compost" means a stabilized organic product  produced by composting in such a manner that the product can be handled,  stored, and/or applied to the land.
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes  include, but are not limited to, lumber, wire, sheetrock, broken brick,  shingles, glass, pipes, concrete, paving materials, and metal and plastics if  the metal or plastics are a part of the materials of construction or empty containers  for such materials. Paints, coatings, solvents, asbestos-containing material,  any liquid, compressed gases, or semi-liquids and garbage are not construction  wastes. 
    "Debris waste" means solid waste resulting from  land clearing operations. Debris wastes include, but are not limited to,  stumps, wood, brush, leaves, soil, and road spoils. 
    "Demolition waste" means solid waste produced by  the destruction of structures and their foundations and includes the same  materials as construction wastes. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. For purposes of submissions to the  director as specified in the Waste Management Act, submissions may be made to  the department.
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulation,  9VAC20-60. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts;  inorganic chemicals; iron and steel manufacturing; leather and leather  products; nonferrous metals manufacturing/foundries; organic chemicals;  plastics and resins manufacturing; pulp and paper industry; rubber and  miscellaneous plastic products; stone, glass, clay, and concrete products;  textile manufacturing; transportation equipment; and water treatment. This term  does not include mining waste or oil and gas waste. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Integrated waste management plan" means a  governmental plan that considers all elements of waste management during  generation, collection, transportation, treatment, storage, disposal, and  litter control and selects the appropriate methods of providing necessary  control and services for effective and efficient management of all wastes. An  "integrated waste management plan" must provide for source reduction,  reuse and recycling within the jurisdiction and the proper funding and  management of waste management programs. 
    "Jurisdiction" means a local governing body; city,  county or town; or any independent entity, such as a federal or state agency,  which join with local governing bodies to develop a waste management plan. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill (as these terms  are defined in the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    "Litter" means all waste material disposable  packages or containers, but not including the wastes of the primary processes  of mining, logging, farming, or manufacturing.
    "Market" or "markets" means interim or  end destinations for the recyclable materials, including a materials recovery  facility (MRF).
    "Market conditions" means business and system  related issues used to determine if materials can be targeted, collected, and  delivered to an interim or end market in an efficient manner. Issues may  include, but are not limited to: the cost of collection, storage and  preparation or both; the cost of transportation; accessible volumes of  materials targeted for recycling; market value of materials targeted for  collection/recycling; and distance to viable markets.
    "Materials recovery facility (MRF)" means, for the  purpose of this regulation, a facility for the collection, processing and  marketing of recyclable materials including, but not limited to: metal, paper,  plastics, and glass. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses, except composting as defined and regulated under the Solid  Waste Management Regulations (9VAC20-80) or the Vegetative Waste Management  and Yard Waste Composting Regulations (9VAC20-101) (9VAC20-81). 
    "Municipal solid waste" means waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from the combustion of these wastes. 
    "Permit" means the written permission of the  director to own, operate or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Principal recyclable materials (PRMs)" means  paper, metal, plastic, glass, commingled yard waste, wood, textiles, tires,  used oil, used oil filters, used antifreeze, batteries, electronics, or  material as may be approved by the director. Commingled materials refers to  single stream collections of recyclables where sorting is done at a materials  recovery facility.
    "Recycling" means the process of separating a given  waste material from the waste stream and processing it so that it may be used  again as a raw material for a product, which may or may not be similar to the  original product. For the purpose of this chapter, recycling shall not include  processes that only involve size reduction. 
    "Recycling residue" means the (i) nonmetallic  substances, including but not limited to plastic, rubber, and insulation, which  remain after a shredder has separated for purposes of recycling the ferrous and  nonferrous metal from a motor vehicle, appliance or other discarded metallic  item and (ii) organic waste remaining after removal of metals, glass, plastics  and paper that are to be recycled as part of a resource recovery process for  municipal solid waste resulting in the production of a refuse derived fuel.
    "Regional boundary" means the boundary defining an  area of land that will be a unit for the purpose of developing a waste  management plan, and is established in accordance with 9VAC20-130-180 through  9VAC20-130-220. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Residential waste" means any waste material,  including garbage, trash and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds and day-use recreation  areas. Residential wastes do not include sanitary waste in septic tanks  (septage), that is regulated by other state agencies. 
    "Resource recovery system" means a solid waste  management system that provides for collection, separation, recycling and  recovery of energy or solid wastes, including disposal of nonrecoverable waste  residues. 
    "Reuse" means the process of separating a given  solid waste material from the waste stream and using it, without processing or  changing its form, other than size reduction, for the same or another end use. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste, which is so located, designed,  constructed and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste.  (Note: This term includes all sites whether they are planned and managed  facilities or open dumps.) 
    "Sludge" means any solid, semisolid or liquid waste  generated from a public, municipal, commercial or industrial  wastewater treatment plant, water supply treatment plant, or air pollution  control facility. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Solid Waste Management Regulations (9VAC20-80)  (9VAC20-81).
    "Solid waste planning unit" means each region or  locality that submits a solid waste management plan. 
    "Solid waste management facility  ("SWMF")" means a site used for planned treating, storing, or  disposing of solid waste. A facility may consist of several treatment, storage,  or disposal units. 
    "Source reduction" means any action that reduces or  eliminates the generation of waste at the source, usually within a process.  Source reduction measures include process modifications, feedstock  substitutions, improvements in feedstock purity, improvements in housekeeping  and management practices, increases in the efficiency of machinery, and  recycling within a process. Source reduction minimizes the material that must  be managed by waste disposal or nondisposal options by creating less waste.  "Source reduction" is also called "waste prevention,"  "waste minimization," or "waste reduction."
    "Source separation" means separation of recyclable  materials by the waste generator of materials that are collected for use,  reuse, reclamation, or recycling. 
    "Tons" means 2,000 pounds.
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, and woody wastes such as shrub and  tree prunings, bark, limbs, roots, and stumps. For more detail see Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101) the  Solid Waste Management Regulations (9VAC20-81).
    "Waste exchange" means any system to identify  sources of wastes with potential for use reuse, recycling or reclamation and to  facilitate its acquisition by persons who reuse, recycle or reclaim it, with a  provision for maintaining confidentiality of trade secrets. 
    "White goods" means any stoves, washers, hot water  heaters or other large appliances. For the purposes of this chapter, this  definition also includes, but is not limited to, such Freon-containing appliances  as refrigerators, freezers, air conditioners, and dehumidifiers. 
    "Yard waste" means decomposable waste materials  generated by yard and lawn care and includes leaves, grass trimmings, brush,  wood chips, and shrub and tree trimmings. Yard waste shall not include roots or  stumps that exceed six inches in diameter. 
    9VAC20-130-60. Applicability of regulations. 
    A. This chapter applies to all cities, counties, towns,  designated solid waste planning units (under 9VAC20-130-180) and permitted  solid waste facilities within the solid waste planning unit, including those  facilities covered under permit by rule procedures found in 9VAC20-80 9VAC20-81.  Any city, county, and town may mutually agree to unite for the purpose of solid  waste management planning, and upon joint written notification to the director,  shall be deemed to be a solid waste planning unit for development of a solid  waste management plan. 
    B. Any cities, counties, and towns may be represented by a  planning district, public service authority, or designated region that has been  adopted under 9VAC20-130-90 B. 
    C. The plan may (subject to statutory authority) specify that  all solid waste must be recycled at the rate established by the plan regardless  of the point of origin of the solid waste. Solid wastes from both public and  private sources shall be subject to such requirement. 
    9VAC20-130-120. Planning requirements. 
    A. Basic planning elements:
    1. Objectives for solid waste management within the planning  unit;
    2. A discussion as to how the plan will be implemented and  tracked, consisting of an integrated waste management strategy to support and  promote the hierarchy set forth at 9VAC20-130-30; giving preference to  alternatives in the following order of priority: source reduction, reuse,  recycling, resource recovery, incineration, and landfilling;
    3. Definition of incremental stages of progress toward the  objectives and schedule for their implementation, including, for compliance  with 9VAC20-80-500 9VAC20-81-450, specific solid waste management  facility names, facility capacities, and life based on 20-year need;
    4. Strategy for the provision of necessary funds and  resources;
    5. Descriptions of the funding and resources necessary,  including consideration of fees dedicated to future facility development;
    6. Strategy for public education and information on source  reduction, reuse, and recycling; and
    7. Consideration of public and private sector partnerships and  private sector participation in execution of the plan. Existing private sector  recycling operations should be incorporated in the plan and the expansion of  such operations should be encouraged. 
    B. A minimum recycling rate as specified in § 10.1-1411 of  the Code of Virginia for total municipal solid waste generated annually in each  solid waste planning unit shall be met and maintained. 
    1. The plan shall describe how the minimum recycling rate  shall be met or exceeded. The department may approve the solid waste management  plans of units that do not currently meet the minimum recycling rate only if all  other requirements of these regulations have been met and the solid waste  planning unit demonstrates its commitment to implementing a strong and detailed  action plan for recycling to meet the required rate.
    2. When a solid waste planning unit's annual recycling rate  falls below the minimum rate, it shall constitute evidence of a significant  deviation from the plan. The plan may be subject to revocation by the  department under 9VAC20-130-110 E unless the solid waste planning unit submits  a recycling action plan acceptable to the department per subsection I of this  section.
    C. The solid waste management plan shall include data and  analyses of the following type(s) for each jurisdiction. Each item below shall  be in a separate section and labeled as to content:
    1. Population information and projections for 20 years of  population growth and development patterns;
    2. Urban concentrations, geographic conditions, economic  growth and development, markets for the reuse and recycling of materials,  transportation conditions, and related factors;
    3. Estimates of solid waste generation from residential,  commercial institutional, industrial, construction, demolition, debris and  other types of sources, including the amounts reused, recycled, recovered as a  resource, incinerated and landfilled. Entities engaged in the collection,  processing, and marketing of recyclable materials should provide data for  incorporation into the recycling rate calculation, when requested by the  planning unit.
    4. A listing of existing and planned solid waste collection,  storage, treatment, transportation, disposal and other management facilities,  their projected capacities, expected life and systems for their use;
    5. All milestones in the implementation of the solid waste  management plan over the 20-year projection and the parties responsible for  each milestone;
    6. A description of programs for solid waste reduction, reuse,  recycling, resource recovery, incineration, storage, treatment, disposal and  litter control;
    7. A description of outreach programs for waste exchange,  public education and public participation;
    8. The procedures for and results of evaluating solid waste  collection, including transfer stations; and
    9. The assessment of all current and predicted needs for solid  waste management for a period of 20 years and a description of the action to be  taken to meet those needs.
    D. All known solid waste disposal sites, closed, inactive and  active, within the area of the solid waste management plan shall be documented  and recorded at a centralized archive authorized to receive and record  information and a copy shall be sent to the department. All new sites shall be  recorded at the same central data source.
    E. A methodology shall be utilized to monitor the amount of  solid waste of each type produced within the area of the solid waste management  plan and to record the annual production by solid waste types at a centralized  archive and a copy shall be sent to the department. 
    F. The solid waste management plan shall include, when  developed locally, a copy of the local governing body's resolution adopting the  solid waste management plan.
    G. The solid waste management plan shall include, when  developed regionally, a copy of the resolution approving the plan adopted in  accordance with the Virginia Area Development Act, the Virginia Water and Waste  Authorities Act, the provisions of the Code of Virginia governing joint  exercise of powers by political subdivisions (§ 15.2-1300 of the Code of  Virginia), or other authority as applicable.
    H. The solid waste management plan shall clearly and  explicitly demonstrate the manner in which the goals of the planning  requirements in these regulations shall be accomplished and actions to take if  these requirements are not met.
    I. A planning unit that does not meet the requirements of  these regulations shall submit an action plan, by mail or electronic mail, for  approval by the department. Such action plans shall include:
    1. A description of the deficiency that requires the  development of the action plan.
    2. A time schedule to resolve the deficiency(ies) associated  with the planning unit's failure to meet the requirements of the approved solid  waste management plan.
    3. A reporting requirement to the department, of a minimum of  once every six months, including activities or updates documenting how the  action plan requirements are being met.
    4. Plans and all subsequent reports and submittals shall be  reviewed by the department within 30 days of receipt by the department.
    5. All the department's requests for further information or  response(s) shall be provided within 30 days of receipt at the planning unit.  The department may grant reasonable extensions to these deadlines on a  case-by-case basis. 
    Part I 
  Definitions 
    9VAC20-140-10. Definition incorporated by reference. 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  are incorporated by reference. 
    9VAC20-150-10. Definitions. 
    A. The definitions set out in Part I of the Virginia  Solid Waste Management Regulations, 9VAC20-80-10 et seq., (9VAC20-81)  are incorporated by reference. 
    B. The following words and terms, when used in this chapter,  shall have the following meanings, unless the context clearly indicates  otherwise: 
    "Applicant" means any person or persons seeking  reimbursement under this chapter. 
    "Asphalt pavement containing recycled rubber" means  any hot mix or spray applied binder in asphalt paving mixture that contains  rubber from waste tire materials which is used for asphalt pavement base,  surface course or interlayer, or other road and highway related uses. 
    "Authorized signature" means the signature of an  individual who has authority to sign on behalf of, and bind, the applicant. 
    "Available funds" means for a given fiscal year, a  maximum of 80% of the previous fiscal year's collection of the waste tire tax  plus 85% of nonobligated carryover funds at the end of the previous fiscal  year. 
    "Burning" means the controlled burning of waste  tire materials for the purpose of energy recovery. 
    "Cost of use" means the equipment, leasehold  improvements, buildings, land, engineering, transportation, operating, taxes,  interest, and depreciation or replacement costs of using waste tire materials  incurred by the end user after deducting any tipping fee received by the end  user. 
    "Daily cover" means using waste tire material as an  alternate cover placed upon exposed solid waste to control disease vectors,  fires, odors, blowing litter and scavenging without presenting a threat to  human health and the environment. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or the director's designee. 
    "Embankment" means a raised earthen structure to  carry a roadway. 
    "End user" means: 
    1. For energy recovery: the person who utilizes the heat  content or other forms of energy from the burning or pyrolysis of waste tire  materials; 
    2. For other eligible uses: the last person who uses the  waste tire materials to make a product with economic value. If the waste tire  materials are processed by more than one person in becoming a product, the end  user is the last person to use the tire as waste tire materials. A person who  produces waste tire materials and gives or sells them to another person to use  is not an end user. 
    "Energy recovery" means utilizing the heat content  or other forms of energy from the burning or pyrolysis of waste tire materials.  
    "Fill material for construction" means the material  is used as a base or sub-base under the footprint of a structure, a paved  parking lot, sidewalk, walkway or similar application. 
    "Generator" means any person whose act or process  produces waste tires or whose act first causes a tire to become a solid waste. 
    "Hauler" means a person who picks up or transports  waste tires for the purpose of removal to a permitted storage, processing or  disposal facility. 
    "Partial reimbursement" means reimbursement that  does not exceed the purchase price of waste tire materials or the cost of use  if the waste tire materials were not purchased. 
    "Passenger tire equivalent" means a measure of  passenger, truck tires, and oversize tires where: One passenger car tire equals  20 pounds or 1/100 ton. One truck tire 20-24 inch rim equals 100 pounds or  1/200 ton and a tire with over 24-inch rim equals 200 pounds or greater as  computed by the end user. 
    "Processor" means a person engaged in the  processing of waste tires including, but not limited to, stamping, stripping,  shredding, or crumbing; that operates under a permit issued by the local, state,  or federal government; or is exempt from permit requirements. 
    "Pyrolysis" means thermal treatment of waste tire  materials to separate it into other components with economic value. 
    "Retreading" means processing a waste tire by  attaching a new tread to make a usable tire. 
    "Road bed base" means the foundation of a road  prepared for surfacing. 
    "Tipping fee" means a fee charged to a person for  disposal of a waste tire. 
    "Tire" means a continuous solid or pneumatic rubber  covering encircling the wheel of a vehicle in which a person or property is  transported, or by which they may be drawn on a highway. 
    "Tire pile" means an accumulation of waste tire  materials that violates the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81). 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. 
    "Waste tire materials" means whole waste tires or  waste tires that have been size reduced by physical or chemical process. This  term includes waste tires or chips or similar materials as specified in §§ 10.1-1422.3  and 10.1-1422.4 of the Code of Virginia. 
    "Waste Tire Trust Fund" means the nonreverting fund  set up by § 10.1-1422.3 of the Code of Virginia in which proceeds from the  waste tire tax are deposited. 
    Part II
  General Information 
    9VAC20-150-20. Purpose. 
    The purpose of this chapter is to define the types of uses  eligible for partial reimbursement, to establish the procedures for application  and processing of reimbursement, and to establish the amount of reimbursement. 
    9VAC20-150-40. End uses of waste tires eligible for  reimbursement. 
    A. The following uses of waste tire materials will be  eligible for the reimbursement if the use complies with applicable local  ordinances and regulations and the Virginia Solid Waste Management  Regulations, 9VAC20-80 (9VAC20-81) or the equivalent regulations  in another state. The eligible uses are: 
    1. Civil engineering applications, which utilize waste tire  materials as a substitute for soil, sand, or aggregate in a construction  project such as land or surface applications, road bed base and embankments;  fill material for construction projects; and daily cover and other  substitutions at a permitted solid waste facility if the facility's permit is  so modified; 
    2. Burning of waste tire materials for energy recovery; 
    3. Pyrolysis; and 
    4. Products made from waste tire materials such as molded  rubber products, rubberized asphalt, soil amendments, playground and horse  arena surfacing materials, mulches, mats, sealers, etc. 
    B. Uses that are not eligible for reimbursement include: 
    1. Reuse as a vehicle tire; 
    2. Retreading; 
    3. Burning without energy recovery; and 
    4. Landfilling, except use as specified in subdivision A 1 of  this section. 
    9VAC20-160-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise. 
    "Authorized agent" means any person who is  authorized in writing to fulfill the requirements of this program. 
    "Carcinogen" means a chemical classification for  the purpose of risk assessment as an agent that is known or suspected to cause  cancer in humans, including but not limited to a known or likely human  carcinogen or a probable or possible human carcinogen under an EPA  weight-of-evidence classification system. 
    "Certificate" means a written certification of  satisfactory completion of remediation issued by the director pursuant to § 10.1-1232  of the Code of Virginia. 
    "Completion" means fulfillment of the commitment  agreed to by the participant as part of this program. 
    "Contaminant" means any man-made or man-induced  alteration of the chemical, physical or biological integrity of soils,  sediments, air and surface water or groundwater including, but not limited to,  such alterations caused by any hazardous substance (as defined in the  Comprehensive Environmental Response, Compensation and Liability Act, 42 USC  § 9601(14)), hazardous waste (as defined in 9VAC20-60), solid waste (as  defined in 9VAC20-80-10) 9VAC20-81), petroleum (as defined in  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.))  of the Virginia State Water Control Law, or natural gas. 
    "Cost of remediation" means all costs incurred by  the participant pursuant to activities necessary for completion of voluntary  remediation at the site, based on an estimate of the net present value (NPV) of  the combined costs of the site investigation, report development, remedial  system installation, operation and maintenance, and all other costs associated  with participating in the program and addressing the contaminants of concern at  the site. 
    "Department" means the Department of Environmental  Quality of the Commonwealth of Virginia or its successor agency. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Engineering controls" means physical modification  to a site or facility to reduce or eliminate potential for exposure to  contaminants. These include, but are not limited to, stormwater conveyance  systems, pump and treat systems, slurry walls, liner systems, caps, monitoring  systems, and leachate collection systems. 
    "Hazard index (HI)" means the sum of more than one  hazard quotient for multiple contaminants or multiple exposure pathways or  both. The HI is calculated separately for chronic, subchronic, and shorter  duration exposures. 
    "Hazard quotient" means the ratio of a single  contaminant exposure level over a specified time period to a reference dose for  that contaminant derived from a similar period. 
    "Incremental upper-bound lifetime cancer risk  level" means a conservative estimate of the incremental probability of an  individual developing cancer over a lifetime. Upper-bound lifetime cancer risk  level is likely to overestimate "true risk." 
    "Institutional controls" means legal or contractual  restrictions on property use that remain effective after remediation is  completed, and are used to reduce or eliminate the potential for exposure to  contaminants. The term may include, but is not limited to, deed and water use  restrictions. 
    "Land use controls" means legal or physical  restrictions on the use of, or access to, a site to reduce or eliminate  potential for exposure to contaminants, or prevent activities that could  interfere with the effectiveness of remediation. Land use controls include but  are not limited to engineering and institutional controls. 
    "Noncarcinogen" means a chemical classification for  the purposes of risk assessment as an agent for which there is either  inadequate toxicological data or is not likely to be a carcinogen based on an  EPA weight-of-evidence classification system. 
    "Operator" means the person currently responsible  for the overall operations at a site, or any person responsible for operations  at a site at the time of, or following, the release. 
    "Owner" means any person currently owning or  holding legal or equitable title or possessory interest in a property,  including the Commonwealth of Virginia, or a political subdivision thereof,  including title or control of a property conveyed due to bankruptcy,  foreclosure, tax delinquency, abandonment, or similar means. 
    "Participant" means a person who has received  confirmation of eligibility and has remitted payment of the registration fee. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Program" means the Virginia Voluntary Remediation  Program. 
    "Property" means a parcel of land defined by the  boundaries in the deed. 
    "Reference dose" means an estimate of a daily  exposure level for the human population, including sensitive subpopulations,  that is likely to be without an appreciable risk of deleterious effects during  a lifetime. 
    "Registration fee" means the fee paid to enroll in  the Voluntary Remediation Program, based on 1.0% of the total cost of  remediation at a site, not to exceed the statutory maximum. 
    "Release" means any spilling, leaking, pumping,  pouring, emitting, emptying, discharging, injecting, escaping, leaching,  dumping or disposing of any contaminant into the environment. 
    "Remediation" means actions taken to cleanup,  mitigate, correct, abate, minimize, eliminate, control and contain or prevent a  release of a contaminant into the environment in order to protect human health  and the environment, including actions to investigate, study or assess any  actual or suspected release. Remediation may include, when appropriate and  approved by the department, land use controls. 
    "Remediation level" means the concentration of a  contaminant with applicable land use controls, that is protective of human  health and the environment. 
    "Report" means the Voluntary Remediation Report  required by 9VAC20-160-70. 
    "Restricted use" means any use other than  residential. 
    "Risk" means the probability that a contaminant  will cause an adverse effect in exposed humans or to the environment. 
    "Risk assessment" means the process used to  determine the risk posed by contaminants released into the environment.  Elements include identification of the contaminants present in the  environmental media, assessment of exposure and exposure pathways, assessment  of the toxicity of the contaminants present at the site, characterization of  human health risks, and characterization of the impacts or risks to the  environment. 
    "Site" means any property or portion thereof, as  agreed to and defined by the participant and the department, which contains or  may contain contaminants being addressed under this program. 
    "Termination" means the formal discontinuation of  participation in the Voluntary Remediation Program without obtaining a  certification of satisfactory completion. 
    "Unrestricted use" means the designation of  acceptable future use for a site at which the remediation levels, based on  either background or standard residential exposure factors, have been attained  throughout the site in all media. 
    9VAC20-160-30. Eligibility criteria. 
    A. Candidate sites shall meet eligibility criteria as defined  in this section. 
    B. Any persons who own, operate, have a security interest in  or enter into a contract for the purchase or use of an eligible site who wish  to voluntarily remediate that site may participate in the program. Any person  who is an authorized agent of any of the parties identified in this subsection  may participate in the program. 
    C. Sites are eligible for participation in the program if (i)  remediation has not been clearly mandated by the United States Environmental  Protection Agency, the department or a court pursuant to the Comprehensive  Environmental Response, Compensation and Liability Act (42 USC § 9601 et  seq.), the Resource Conservation and Recovery Act (42 USC § 6901 et seq.),  the Virginia Waste Management Act (§ 10.1-1400 et seq. of the Code of  Virginia), the Virginia State Water Control Law (§ 62.1-44.2 et seq. of the  Code of Virginia), or other applicable statutory or common law; or (ii)  jurisdiction of the statutes listed in clause (i) has been waived. 
    A site on which an eligible party has completed remediation  of a release is potentially eligible for the program if the actions can be  documented in a way which are equivalent to the requirements for prospective  remediation, and provided the site meets applicable remediation levels. 
    Petroleum or oil releases not mandated for remediation under  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.) of  the Virginia State Water Control Law may be eligible for participation in the  program. 
    Where an applicant raises a genuine issue based on documented  evidence as to the applicability of regulatory programs in subsection D of this  section, the site may be eligible for the program. Such evidence may include a  demonstration that: 
    1. It is not clear whether the release involved a waste  material or a virgin material; 
    2. It is not clear that the release occurred after the  relevant regulations became effective; or 
    3. It is not clear that the release occurred at a regulated  unit. 
    D. For the purposes of this chapter, remediation has been  clearly mandated if any of the following conditions exist, unless jurisdiction  for such mandate has been waived: 
    1. Remediation of the release is the subject of a permit  issued by the U.S. Environmental Protection Agency or the department, a pending  or existing closure plan, a pending or existing administrative order, a pending  or existing court order, a pending or existing consent order, or the site is on  the National Priorities List; 
    2. The site at which the release occurred is subject to the  Virginia Hazardous Waste Management Regulations (9VAC20-60) (VHWMR), is a  permitted facility, is applying for or should have applied for a permit, is  under interim status or should have applied for interim status, or was  previously under interim status, and is thereby subject to requirements of the  VHWMR; 
    3. The site at which the release occurred constitutes an open  dump or unpermitted solid waste management facility under Part IV  (9VAC20-80-170 et seq.) 9VAC20-81-45 of the Virginia Solid  Waste Management Regulations; 
    4. The director determines that the release poses an imminent  and substantial threat to human health or the environment; or 
    5. Remediation of the release is otherwise the subject of a  response action required by local, state, or federal law or regulation. 
    E. The director may determine that a site under subdivision D  3 of this section may participate in the program provided that such  participation complies with the substantive requirements of the applicable  regulations. 
    9VAC20-170-30. Applicability. 
    A. This chapter applies to each owner and/or operator of a  vessel transporting solid wastes or regulated medical wastes for the purposes  of commercial carriage as cargo, and each owner or operator of a receiving  facility. This chapter also applies to the receiving facilities and vessels  transporting solid wastes or regulated medical wastes upon the navigable waters  of the Commonwealth to the extent allowable under state law. 
    B. This chapter does not apply to a public vessel as defined  under 9VAC20-170-10, the owner and operator of a public vessel, vessels transporting  solid wastes or regulated medical wastes incidental to their predominant  business or purposes, vessels transporting solid wastes or regulated medical  wastes generated during normal operations of the vessel, solid wastes or  regulated medical wastes generated during the normal operations of the vessel,  and solid wastes excluded pursuant to 9VAC20-80-150 or conditionally  exempted pursuant to 9VAC20-80-160 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations. 
    9VAC20-170-40. Relationship to other regulations. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  prescribe requirements for the solid waste management facilities in general.  While a facility utilized to receive solid wastes or regulated medical wastes  transported, loaded, or unloaded upon the navigable waters of the Commonwealth,  to the extent allowable under state law, by a commercial transporter is a solid  waste management facility, this chapter herein prescribes specific  requirements, including siting, design/construction, operation, and permitting,  for this type of facilities. If there is any overlapping requirement between  these two regulations, whichever is more stringent shall apply. 
    B. The Regulated Medical Waste Management Regulations  (9VAC20-120) address special needs for regulated medical waste management. A  facility utilized to receive regulated medical waste transported, loaded, or  unloaded upon the navigable waters of the Commonwealth, to the extent allowable  under state law, by a commercial transporter is a regulated medical waste  facility and it must conform to any applicable sections of the Regulated  Medical Waste Management Regulations adopted by the board. If there is any  overlapping requirement between these two regulations, whichever is more stringent  shall apply. 
    C. This chapter does not exempt any receiving facility from  obtaining a Virginia Water Protection Permit as required by the Virginia Water  Protection Permit Program Regulation (9VAC25-210), whenever it is applicable. 
    VA.R. Doc. No. R11-2731; Filed June 8, 2011, 1:15 p.m. 
TITLE 9. ENVIRONMENT
VIRGINIA WASTE MANAGEMENT BOARD
Final Regulation
        REGISTRAR'S NOTICE: The  Virginia Waste Management Board is claiming an exemption from the  Administrative Process Act in accordance with § 2.2-4006 A 3,  which excludes regulations that consist only of changes in style or form or  corrections of technical errors. The Virginia Waste Management Board will  receive, consider, and respond to petitions by any interested person at any  time with respect to reconsideration or revision.
         Titles of Regulations: 9VAC20-60. Virginia Hazardous  Waste Management Regulations (amending 9VAC20-60-261).
    9VAC20-70. Financial Assurance Regulations for Solid Waste  Disposal, Transfer and Treatment Facilities (amending 9VAC20-70-10, 9VAC20-70-50,  9VAC20-70-70, 9VAC20-70-75, 9VAC20-70-90, 9VAC20-70-113, 9VAC20-70-210,  9VAC20-70-290).
    9VAC20-81. Solid Waste Management Regulations (amending 9VAC20-81-10, 9VAC20-81-35, 9VAC20-81-95,  9VAC20-81-140, 9VAC20-81-160, 9VAC20-81-250, 9VAC20-81-260, 9VAC20-81-300,  9VAC20-81-397, 9VAC20-81-470, 9VAC20-81-485, 9VAC20-81-490, 9VAC20-81-530,  9VAC20-81-600).
    9VAC20-85. Coal Combustion Byproduct Regulations (amending 9VAC20-85-10, 9VAC20-85-40,  9VAC20-85-50, 9VAC20-85-60, 9VAC20-85-90, 9VAC20-85-150, 9VAC20-85-180).
    9VAC20-120. Regulated Medical Waste Management Regulations (amending 9VAC20-120-10, 9VAC20-120-70,  9VAC20-120-100, 9VAC20-120-300, 9VAC20-120-540, 9VAC20-120-810).
    9VAC20-130. Solid Waste Planning and Recycling Regulations (amending 9VAC20-130-10, 9VAC20-130-60,  9VAC20-130-120).
    9VAC20-140. Regulations for the Certification of Recycling  Machinery and Equipment for Tax Exemption Purposes (amending 9VAC20-140-10).
    9VAC20-150. Waste Tire End User Reimbursement Regulation (amending 9VAC20-150-10, 9VAC20-150-20,  9VAC20-150-40).
    9VAC20-160. Voluntary Remediation Regulations (amending 9VAC20-160-10, 9VAC20-160-30).
    9VAC20-170. Transportation of Solid and Medical Wastes on  State Waters (amending 9VAC20-170-30, 9VAC20-170-40). 
    Statutory Authority: §§ 10.1-1232, 10.1-1402, 10.1-1410, 10.1-1411, 10.1-1422.3, 10.1-1422.4, and 58.1-3661 of the Code of  Virginia.
    Effective Date: August 3, 2011. 
    Agency Contact: Debra Miller, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4206, FAX (804) 698-4346, or email  debra.miller@deq.virginia.gov.
    Summary:
    Amendment 7 to the Solid Waste Management Regulations  amended and recodified these regulations creating 9VAC20-81, which became  effective March 16, 2011. This regulatory action makes necessary style and form  changes and technical corrections to that chapter and, as a secondary action,  makes the appropriate citations changes in other waste management regulations. 
    9VAC20-60-261. Adoption of 40 CFR Part 261 by reference. 
    A. Except as otherwise provided, the regulations of the  United States Environmental Protection Agency set forth in 40 CFR Part 261 are  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. Except as otherwise provided, all material definitions, reference  materials and other ancillaries that are a part of 40 CFR Part 261 are also  hereby incorporated as part of the Virginia Hazardous Waste Management  Regulations. 
    B. In all locations in these regulations where 40 CFR Part  261 is incorporated by reference, the following additions, modifications and  exceptions shall amend the incorporated text for the purpose of its  incorporation into these regulations: 
    1. Any agreements required by 40 CFR 261.4(b)(11)(ii) shall be  sent to the United States Environmental Protection Agency at the address shown  and to the Department of Environmental Quality, P.O. Box 1105, Richmond,  Virginia 23218. 
    2. In 40 CFR 261.4(e)(3)(iii), the text "in the Region  where the sample is collected" shall be deleted. 
    3. In 40 CFR 261.4(f)(1), the term "Regional  Administrator" shall mean the regional administrator of Region III of the  United States Environmental Protection Agency or his designee. 
    4. In 40 CFR 261.6(a)(2), recyclable materials shall be  subject to the requirements of 9VAC20-60-270 and Part XII (9VAC20-60-1260 et  seq.) of this chapter. 
    5. No hazardous waste from a conditionally exempt small  quantity generator shall be managed as described in 40 CFR 261.5(g)(3)(iv) or  40 CFR 261.5(g)(3)(v) unless such waste management is in full compliance with  all requirements of the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    6. In 40 CFR 261.9 and wherever elsewhere in Title 40 of the  Code of Federal Regulations there is a listing of universal wastes or a listing  of hazardous wastes that are the subject of provisions set out in 40 CFR Part  273 as universal wastes, it shall be amended by addition of the following  sentence: "In addition to the hazardous wastes listed herein, the term  "universal waste" and all lists of universal waste or waste subject  to provisions of 40 CFR Part 273 shall include those hazardous wastes listed in  Part XVI (9VAC20-60-1495 et seq.) of the Virginia Hazardous Waste Management  Regulations as universal wastes, under such terms and requirements as shall  therein be ascribed." 
    7. In Subparts B and D of 40 CFR Part 261, the term  "Administrator" shall mean the administrator of the United States  Environmental Protection Agency, and the term "Director" shall not  supplant "Administrator" throughout Subparts B and D. 
    8. Regardless of the provisions of 9VAC20-60-18, the revisions  to 40 CFR Part 261 as promulgated by U.S. EPA on October 30, 2008, (73 FR 64757  - 64788) (definition of solid waste rule) are not adopted herein.
    Part I 
  Definitions 
    9VAC20-70-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings, unless the context clearly indicates otherwise: 
    "Abandoned facility" means any inactive solid waste  management facility that has not met closure and post-closure care  requirements. 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at the completion  of closure activities required by 9VAC20-80-10 et seq the Solid Waste  Management Regulations (9VAC20-81). Active life does not include the  post-closure care monitoring period. 
    "Anniversary date" means the date of issuance of a  financial mechanism. 
    "Assets" means all existing and all probable future  economic benefits obtained or controlled by a particular entity. 
    "Authority" means an authority created under the  provisions of the Virginia Water and Waste Authorities Act, Chapter 51 (§ 15.2-5100  et seq.) of Title 15.2 of the Code of Virginia, or, if any such authority shall  be abolished, the board, body, or commission succeeding to the principal  functions thereof or to whom the powers given by the Virginia Water and Waste  Authorities Act to such authority shall be given by law. 
    "Board" means the Virginia Waste Management Board. 
    "Cash plus marketable securities" means all the  cash plus marketable securities held on the last day of a fiscal year,  excluding cash and marketable securities designed to satisfy past obligations  such as pensions. 
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of 9VAC20-80-10  et seq., 9VAC20-101-10 et seq., 9VAC20-120-10 et seq., or 9VAC20-170-10 et seq.  the Solid Waste Management Regulations (9VAC20-81), the Regulated Medical  Waste Management Regulations (9VAC20-120), or the Transportation of Solid and  Medical Wastes on State Waters Regulations (9VAC20-170). A closed facility  may be undergoing post-closure care. 
    "Closure" means the act of securing a solid waste  management facility pursuant to the requirements of this chapter and any other  applicable solid waste management standards. 
    "Commercial transporter" means any person who  transports for the purpose of commercial carriage of solid wastes or regulated  medical wastes as cargo. 
    "Corrective action" means all actions necessary to  mitigate the public health or environmental threat from a release to the  environment of solid waste or constituents of solid waste from an operating,  abandoned, or closed solid waste management facility and to restore the  environmental conditions as required. 
    "Current annual inflation factor" means the annual  inflation factor derived from the most recent Implicit Price Deflator for Gross  National Product published by the U.S. Department of Commerce in its Survey of  Current Business. 
    "Current assets" means cash or other assets or  resources commonly identified as those which are reasonably expected to be  realized in cash or sold or consumed during the normal operating cycle of the  business. 
    "Current closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-111. 
    "Current dollars" means the figure represented by  the total of the cost estimate multiplied by the current annual inflation  factor. 
    "Current liabilities" means obligations whose  liquidation is reasonably expected to require the use of existing resources  properly classifiable as current assets or the creation of other current  liabilities. 
    "Current post-closure cost estimate" means the most  recent of the estimates prepared in accordance with the requirements of  9VAC20-70-112. 
    "Current year expenses for closure" means  expenditures documented by the facility during the previous fiscal year for  construction-related activities associated with closing the facility. Expenses  for closure must be detailed and identified in an approved closure plan. 
    "Debt service" means the amount of principal and  interest due on a loan in a given time period, typically the current year. 
    "Deficit" means total annual revenues less total  annual expenditures. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent thereof may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means any solid waste management facility  unless the context clearly indicates otherwise. The term "facility"  includes transfer stations. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Governmental unit" means any department,  institution or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.  
    "Groundwater" means any water, except capillary  moisture or unsaturated zone moisture, beneath the land surface in the zone of  saturation or beneath the bed of any stream, lake, reservoir or other body of  surface water within the boundaries of this Commonwealth, whatever may be the  subsurface geologic structure in which such water stands, flows, percolates or  otherwise occurs. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60). 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill as defined by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Leachate" means a liquid that has passed through  or emerged from solid waste and that contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation for disposal in an off-site facility is regulated as septage,  and leachate discharged into a wastewater collection system is regulated as  industrial wastewater. 
    "Liabilities" means probable future sacrifices of  economic benefits arising from present obligations to transfer assets or  provide services to other entities in the future as a result of past  transactions or events. 
    "Local government" means a county, city or town or  any authority, commission, or district created by one or more counties, cities  or towns. 
    "Net working capital" means current assets minus  current liabilities. 
    "Net worth" means total assets minus total  liabilities and is equivalent to owner's equity. 
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means a person who owns a solid waste  management facility or part of a solid waste management facility. For the  purposes of this chapter, all individuals, corporations, companies, partnerships,  societies or associations, and any federal agency or governmental unit of the  Commonwealth having any title or interest in any solid waste management  facility or the services or facilities to be rendered thereby shall be  considered an owner. 
    "Parent corporation" means a corporation that  directly owns at least 50% of the voting stock of the corporation that is the  facility owner or operator; the latter corporation is deemed a  "subsidiary" of the parent corporation. 
    "Permit" means the written permission of the  director to own, operate, modify, or construct a solid waste management  facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Post-closure care" means the requirements placed  upon an owner or operator of a solid waste disposal facility after closure to  ensure environmental and public health and safety are protected for a specified  number of years after closure. 
    "Receiving facility" means a facility, vessel or  operation that receives solid wastes or regulated medical wastes transported,  loaded or unloaded upon the navigable waters of the Commonwealth, to the extent  allowable under state law, by a commercial transporter. A receiving facility is  considered as a solid waste management facility. A facility that receives solid  waste from a ship, barge or other vessel and is regulated under § 10.1-1454.1  of the Code of Virginia shall be considered a transfer facility for purposes of  this chapter. 
    "Regulated medical waste" means solid waste so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120) as promulgated by the Virginia Waste  Management Board. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of solid waste which is so located, designed,  constructed and operated to contain and isolate the solid waste so that it does  not pose a substantial present or potential hazard to human health or the  environment. 
    "Signature" means the name of a person written with  his own hand. 
    "Site" means all land and structures, other  appurtenances, and improvements thereon used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the property  boundary used for utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Virginia Waste Management Act and the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81).
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility (SWMF)" means a  site used for planned treating, storing, or disposing of solid waste. A  facility may consist of several treatment, storage, or disposal units. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Substantial business relationship" means the  extent of a business relationship necessary under applicable Virginia law to  make a guarantee contract incident to that relationship valid and enforceable.  A "substantial business relationship" shall arise from a pattern of recent  and on-going business transactions, in addition to the guarantee itself, such  that a currently existing business relationship between the guarantor and the  owner or operator is demonstrated to the satisfaction of the director. 
    "Tangible net worth" means the tangible assets that  remain after deducting liabilities; such assets would not include intangibles  such as goodwill and rights to patents or royalties. 
    "Total expenditures" means all expenditures  excluding capital outlays and debt repayment. 
    "Total revenue" means revenue from all taxes and  fees but does not include the proceeds from borrowing or asset sales, excluding  revenue from funds managed on behalf of a specific third party. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Treatment" means any method, technique, or  process, including incineration or neutralization, designed to change the  physical, chemical, or biological character or composition of any waste to  neutralize it or render it less hazardous or nonhazardous, safer for transport,  or more amenable to use, reuse, reclamation or recovery. 
    "Unit" means a discrete area of land used for the  management of solid waste. 
    9VAC20-70-50. Applicability of chapter. 
    A. This chapter applies to all persons who own, operate, or  allow the following permitted or unpermitted facilities to be operated on their  property: 
    1. Solid waste treatment, transfer and disposal facilities  regulated under the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81);
    2. Facilities Vegetative waste management facilities  regulated under the Vegetative Waste Management and Yard Waste Composting  Regulations (9VAC20-101-10 et seq.) Solid Waste Management Regulations  (9VAC20-81);
    3. Medical waste treatment, transfer or disposal facilities  regulated under the Regulated Medical Waste Management Regulations (9VAC20-120-10  et seq.) (9VAC20-120); or 
    4. Receiving facilities as defined herein.
    B. Exemptions. 
    1. Owners or operators of facilities who are federal or state  government entities whose debts and liabilities are the debts or liabilities of  the United States or the Commonwealth, are exempt from this chapter; 
    2. Owners and operators of facilities conditionally exempt  under 9VAC20-80-60 D 9VAC20-81-95 of the Virginia Solid  Waste Management Regulations are exempt from this chapter so long as they meet  the conditions of the exemption; 
    3. Owners and operators of facilities that manage solely  wastes excluded under 9VAC20-80-150 or conditionally exempt under 9VAC20-80-160  9VAC20-81-95 of the Virginia Solid Waste Management Regulations  are exempt from this chapter; 
    4. Owners or operators of facilities exempt under  9VAC20-120-120 or excluded under 9VAC20-120-130 of the Virginia  Regulated Medical Waste Management Regulations (9VAC20-120-10 et seq.) (9VAC20-120)  are exempt from this chapter; 
    5. Owners and operators of yard waste composting facilities  exempt under 9VAC20-101-60 and 9VAC20-101-70 of the Vegetative Waste  Management and Yard Waste Composting Regulations 9VAC20-81-95 of the  Solid Waste Management Regulations are exempt from this chapter; and 
    6. Owners and operators of hazardous waste management units  regulated under the Virginia Hazardous Waste Management Regulations (9VAC20-60-12  et seq.) (9VAC20-60) are exempt from this chapter as far as such  units are concerned. 
    C. Owners and operators of facilities or units that treat or  dispose of wastes which are exempted from the Virginia Hazardous Waste  Management Regulations (9VAC20-60-12 et seq.) (9VAC20-60) are  subject to these regulations unless also exempted herein. 
    D. Facilities with separate ownership and operation. If  separate, nonexempt persons own and operate a facility subject to this chapter,  the owner and operator shall be jointly and severally liable for meeting the  requirements of this chapter. If either the owner or operator is exempt, as  provided in 9VAC20-70-50 B, then the other person shall be liable for meeting  the requirements of this chapter. If both the owner and the operator are  exempt, as provided in 9VAC20-70-50 B, then the requirements of this chapter  are not applicable to that facility. 
    E. Exemptions for facilities owned and operated by local  governments. 
    1. Closed facilities. Owners and operators of facilities who  are local governmental entities or regional authorities that have completed  closure by October 9, 1994, are exempt from all the requirements of this  chapter, provided they: 
    a. Have (i) disposed of less than 100 tons per day of solid  waste during a representative period prior to October 9, 1993; (ii) disposed of  less than 100 tons per day of solid waste each month between October 9, 1993,  and April 9, 1994; (iii) ceased to accept solid waste prior to April 9, 1994;  and (iv) whose units are not on the National Priority List as found in Appendix  B to 40 CFR Part 300; or 
    b. Have (i) disposed of more than 100 tons per day of solid  waste prior to October 9, 1993, and (ii) ceased to accept solid waste prior to  that date. 
    2. All other facilities. Owners and operators of facilities  who are local governmental entities or regional authorities that are not exempt  under subdivision 1 of this subsection are subject to the requirements of this  chapter. 
    9VAC20-70-70. Suspensions and revocations. 
    The director may revoke, suspend, or amend any permit for  cause as set in § 10.1-1409 of the Code of Virginia and as provided for in  9VAC20-80-600 9VAC20-81-570 and 9VAC20-80-620 9VAC20-81-600  of the Virginia Solid Waste Management Regulations, 9VAC20-120-790 and  9VAC20-120-810 of the Regulated Medical Waste Management Regulations, 9VAC20-101-200  of the Vegetative Waste Management and Yard Waste Composting Regulations,  and any other applicable regulations. Failure to provide or maintain adequate  financial assurance in accordance with these regulations shall be a basis for  revocation of such facility permit. Failure to provide or maintain adequate  financial assurance in accordance with this chapter, taken with other relevant  facts and circumstances, may be a basis for summary suspension of such facility  permit pending a hearing to amend or revoke the permit, or to issue any other appropriate  order. 
    9VAC20-70-75. Forfeitures. 
    Forfeiture of any financial obligation imposed pursuant to  this chapter shall not relieve any owner or operator of a solid waste  management facility from any obligations to comply with provisions of the Solid  Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  or the Regulated Medical Waste Management Regulations (9VAC20-120-10 et  seq.), the Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.) (9VAC20-120), and any other applicable  regulations or any other legal obligations for the consequences of abandonment  of any facility. 
    Article 2 
  Closure, Post-Closure Care and Corrective Action Requirements 
    9VAC20-70-90. Closure, post-closure care and corrective action  requirements. 
    A. The owner or operator shall close his facility in a manner  that minimizes the need for further maintenance; and controls, minimizes or  eliminates, to the extent necessary to protect human health and the  environment, the post-closure escape of uncontrolled leachate, surface runoff,  or waste decomposition products to the groundwater, surface water, or to the  atmosphere. The owner or operator shall close his facility in accordance with  all applicable regulations. 
    The closure standards applicable to the solid waste  management facilities are described in 9VAC20-80-210 B, 9VAC20-80-210 B 2,  9VAC20-80-250 E, 9VAC20-80-260 E, 9VAC20-80-270 E, 9VAC20-80-330 E,  9VAC20-80-340 E, 9VAC20-80-360 E, 9VAC20-80-370 E, 9VAC20-80-380 B, and  9VAC20-80-470 E 9VAC20-81-160, 9VAC20-81-360, and 9VAC20-81-370 of  the Solid Waste Management Regulations. The closure requirements applicable to  the regulated medical waste facilities are specified in 9VAC20-120-290 of the  Regulated Medical Waste Management Regulations. The closure requirements for  vegetative waste management and yard waste composting facilities are specified  in 9VAC20-101-150 of the Vegetative Waste Management and Yard Waste Composting  Regulations. 
    B. Following closure of each solid waste disposal unit, the  owner or operator shall conduct post-closure care in accordance with the  requirements of 9VAC20-80-250 F, 9VAC20-80-260 F, or 9VAC20-80-270 F 9VAC20-81-170  of the Solid Waste Management Regulations, as applicable. 
    C. The owner or operator shall institute a corrective action  program when required to do so by 9VAC20-80-190, 9VAC20-80-210 B 2, or  9VAC20-80-310 9VAC20-81-45 or 9VAC20-81-260 of the Solid Waste  Management Regulations, as applicable. 
    D. During any re-examination of a determination of the amount  of financial assurance required, the owner or operator of a landfill facility  not closed in accordance with 9VAC20-80-10 et seq. 9VAC20-81  shall demonstrate financial assurance by using one or more of the approved  mechanisms listed in Article 4 (9VAC20-70-140 et seq.) of this part for the  lesser of the following: 
    1. The amount requested by the director; or 
    2. The following default amounts: 
    a. $200,000 per acre of fill for sanitary landfills; or 
    b. $150,000 per acre of fill for construction demolition  debris landfills and industrial landfills. 
    9VAC20-70-113. Financial assurance for corrective action. 
    A. Within 120 days of a facility's finding or the director's  determining (whichever first occurs) that Groundwater Protection Standards  established as required by 9VAC20-80-250 D 6, or Appendix 5.6 D of  9VAC20-80-10 et seq. as applicable 9VAC20-81-250 have been  statistically exceeded, an owner or operator of a landfill or other unit  subject to groundwater monitoring shall provide additional financial assurance  in the amount of $1 million to the department using the mechanisms listed under  Article 4 (9VAC20-70-140 et seq.) of this part. The director shall release the  owner or operator from this requirement after the director has determined: 
    1. The owner or operator is providing financial assurance for  a corrective action program using one or more mechanisms listed under Article 4  (9VAC20-70-140 et seq.) of this part, as required under 9VAC20-70-90 C and  subsections B and C of this section; or 
    2. The owner of operator has achieved compliance with  Groundwater Protection Standards by demonstrating that concentrations of APPENDIX  5.1 constituents of 9VAC20-80-10 et seq. Table 3.1, Column B of  9VAC20-81-250 have not exceeded the Groundwater Protection Standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards. 
    B. An owner or operator of a solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  prepare and submit to the director a detailed written estimate, in current  dollars, of the cost of hiring a third party to perform the corrective action.  The corrective action cost estimate shall account for the total costs of  corrective action activities as described in the corrective action plan for the  entire corrective action period. The owner or operator shall notify the  director that the estimate has been placed in the operating record unless  corrective action is proceeding under Part IV of the Solid Waste Management  Regulations (9VAC20-80-10 et seq.) 9VAC20-81-45. In the latter case,  the new corrective action cost estimate shall be submitted to the director  within 30 days of its preparation. The corrective action cost estimate shall be  approved by the director. 
    1. The owner or operator shall adjust the estimate annually  for inflation within 60 days prior to the anniversary date of the establishment  of the financial mechanism used to comply with this part until the corrective  action program is completed. For owners or operators using the financial test  or guarantee, the corrective action cost estimate shall be updated for  inflation within 30 days after the close of the owner's or operator's fiscal  year. The adjustment process to be used is described in 9VAC20-70-111 B. 
    2. The owner or operator shall increase the corrective action  cost estimate and the amount of financial assurance provided under this  subsection no later than 30 days after revisions to the corrective action  program or where a change in the solid waste management unit conditions  increase the maximum costs of corrective action. 
    3. The owner or operator may request a reduction in the amount  of the corrective action cost estimate and the amount of financial assurance  provided under this subsection if the cost estimate exceeds the maximum  remaining costs of corrective action. The owner or operator shall submit a  revised cost estimate with the justification for the reduction to the director  when requesting a reduction in the amount of the corrective action cost  estimate and the amount of financial assurance provided. The justification  shall include an itemization of all corrective action costs. No reduction  request shall be reviewed until a complete cost estimate acceptable to the  department has been submitted. A request for a reduction in the corrective  action cost estimate shall be reviewed in a timely manner. 
    C. The owner or operator of each solid waste management unit  required to undertake a corrective action program under 9VAC20-70-90 C shall  establish financial assurance in the amount specified by the most recently  approved cost estimate for the selected remedy in accordance with  9VAC20-70-140. The owner or operator shall provide continuous coverage for  corrective action until released from financial assurance requirements for  corrective action by the director. 
    9VAC20-70-210. Local government financial test. 
    An owner or operator that satisfies the requirements of  subdivisions 1 through 3 of this section may demonstrate financial assurance  using the local government financial test up to the amount specified in  subdivision 4 of this section. 
    1. Financial component. 
    a. The owner or operator shall satisfy the provisions of  subdivision 1 a of this section, as applicable: 
    (1) If the owner or operator has outstanding, rated, general  obligation bonds that are not secured by insurance, a letter of credit, or  other collateral or guarantee, he shall supply the director with documentation  demonstrating that the owner or operator has a current rating of Aaa, Aa, A, or  Baa, as issued by Moody's, or AAA, AA, A, or BBB, as issued by Standard and  Poor's on all such general obligation bonds; or 
    (2) If the owner or operator does not have outstanding, rated  general obligation bonds, he shall satisfy each of the following financial  ratios based on the owner's or operator's most recent audited annual financial  statement: 
    (a) A ratio of cash plus marketable securities to total  expenditures greater than or equal to 0.05; and 
    (b) A ratio of annual debt service to total expenditures less  than or equal to 0.20. 
    b. The owner or operator shall prepare his financial  statements in conformity with Generally Accepted Accounting Principles for  governments and have its financial statements audited by an independent  certified public accountant or by the Auditor of Public Accounts. 
    c. An owner or operator is not eligible to assure its  obligations under this section if he: 
    (1) Is currently in default on any outstanding general  obligation bonds; 
    (2) Has any outstanding general obligation bonds rated lower  than Baa as issued by Moody's or BBB as issued by Standard and Poor's; 
    (3) Operated at a deficit equal to 5.0% or more of total  annual revenue in each of the past two fiscal years; or 
    (4) Receives an adverse opinion, disclaimer of opinion, or  other qualified opinion from the independent certified public accountant or  Auditor of Public Accounts auditing its financial statement as required under  subdivision 1 b of this section. However, the director may evaluate qualified  opinions on a case-by-case basis and allow use of the financial test in cases  where the director deems the qualification insufficient to warrant disallowance  of the test. 
    2. Public notice component. The local government owner or  operator shall place a reference to the closure, post-closure care, or  corrective action costs assured through the financial test into the next  comprehensive annual financial report (CAFR) after January 7, 1998, or prior to  the initial receipt of waste at the facility, whichever is later. Disclosure  shall include the nature and source of closure and post-closure requirements,  the reported liability at the balance sheet date, the estimated total closure  and post-closure care cost remaining to be recognized, the percentage of  landfill capacity used to date, and the estimated landfill life in years. A  reference to corrective action cost shall be placed in CAFR no later than 120  days after the corrective action remedy has been selected in accordance with 9VAC20-80-310  9VAC20-81-260. For the first year the financial test is used to assure  costs at a particular facility, the reference may instead be placed in the  operating record until issuance of the next available CAFR if timing does not  permit the reference to be incorporated into the most recently issued CAFR or  budget. For closure and post-closure care costs, conformance with Government  Accounting Standards Board Statement 18 assures compliance with this public  notice component. 
    3. Recordkeeping and reporting requirements. 
    a. The local government owner or operator must submit to the  department the following items and place copies of the items in the facility's  operating record: 
    (1) An original letter signed by the local government's chief  financial officer worded as specified in 9VAC20-70-290 G; 
    (2) The local government's independently audited year-end  financial statements for the latest fiscal year, including the unqualified  opinion of the auditor who must be an independent, certified public accountant  or an appropriate state agency that conducts equivalent comprehensive audits; 
    (3) A report to the local government from the local  government's independent certified public accountant (CPA) or the Auditor of  Public Accounts based on performing an agreed upon procedures engagement  relative to the financial ratios required by subdivision 1 a (3) of this  section, if applicable, and the requirements of subdivisions 1 b, 1 c (3) and 1  c (4) of this section. The CPA or state agency's report shall state the  procedures performed and the CPA or state agency's findings; 
    (4) A copy of the comprehensive annual financial report (CAFR)  used to comply with subdivision 2 of this section or certification that the  requirements of General Accounting Standards Board Statement 18 have been met; 
    (5) A certification from the local government's chief  executive officer stating in detail the method selected by the local government  for funding closure and post-closure costs. If the method selected by the local  government is a trust fund, escrow account or similar mechanism, there shall be  included a certification from the local government's chief financial officer  indicating the current reserve obligated to closure and post-closure care cost.  If the method selected by local governments is the use of annual operating  budget and Capital Investment Funds, there shall be a certification from the  local government's chief financial officer so indicating. Nothing herein shall  be construed to prohibit the local government from revising its plan for  funding closure and post-closure care costs if such revision provides economic  benefit to the local government and if such revision provides adequate means  for funding closure and post-closure care cost. This certification shall be  worded as specified in 9VAC20-70-290 H; and 
    (6) If the local government is required under this section to  fund a restricted sinking fund, escrow account, or to obtain an irrevocable  letter of credit, an original letter signed by the local government's chief  financial officer and worded as specified in 9VAC20-70-290 I must be submitted.  
    b. The items required in subdivision 3 a of this section shall  be submitted to the department and placed in the facility operating record as  follows: 
    (1) In the case of closure and post-closure care, either  before January 7, 1998, or prior to the initial receipt of waste at the  facility, whichever is later; or 
    (2) In the case of corrective action, not later than 120 days  after the corrective action remedy is selected in accordance with the  requirements of 9VAC20-80-310 9VAC20-81-260. 
    c. After the initial submission of the items, the local  government owner or operator must update the information, place a copy of the  updated information in the operating record, and submit the updated  documentation described in subdivisions 3 a (1) through (6) of this section to  the department within 180 days following the close of the owner or operator's  fiscal year. 
    d. The local government owner or operator is no longer  required to meet the requirements of subdivision 3 of this section when: 
    (1) The owner or operator substitutes alternate financial  assurance as specified in this section; or 
    (2) The owner or operator is released from the requirements of  this section in accordance with 9VAC20-70-111 E, 9VAC20-70-112 B, or  9VAC20-70-113 C. 
    e. A local government shall satisfy the requirements of the  financial test at the close of each fiscal year. If the local government owner  or operator no longer meets the requirements of the local government financial  test it must, within 210 days following the close of the owner or operator's  fiscal year, obtain alternative financial assurance that meets the requirements  of this section, place a copy of the financial assurance mechanism in the  operating record, and submit the original financial assurance mechanism to the  director. 
    f. The director, based on a reasonable belief that the local  government owner or operator may no longer meet the requirements of the local  government financial test, may require additional reports of financial  condition from the local government at any time. If the director finds, on the  basis of such reports or other information, that the owner or operator no  longer meets the requirements of the local government financial test, the local  government shall provide alternate financial assurance in accordance with this  article. 
    4. Calculation of costs to be assured. The portion of the  closure, post-closure, and corrective action costs for which an owner or  operator can assure under subdivision 1 of this section is determined as  follows: 
    a. If the local government owner or operator does not assure  other environmental obligations through a financial test, it may assure  closure, post-closure, and corrective action costs that equal up to 43% of the  local government's total annual revenue or the sum of total revenues of  constituent governments in the case of regional authorities. If the local  government assures closure, post-closure, and corrective action costs that  exceed 20% (but do not exceed 43%) of the local government's total annual  revenue or the sum of the revenue of constituent governments in the case of  regional authorities, the locality must also establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    b. If the local government assures other environmental obligations  through a financial test, including those associated with UIC facilities under  40 CFR 144.62, petroleum underground storage tank facilities under  9VAC25-590-10 et seq., PCB storage facilities under 40 CFR Part 761, and  hazardous waste treatment, storage, and disposal facilities under Part IX or X  of the Virginia Hazardous Waste Management Regulations (9VAC20-60-12 et  seq.) (9VAC20-60), it shall add those costs to the closure,  post-closure, and corrective action costs it seeks to assure under subdivision  1 of this section. The total shall not exceed 43% of the local government's  total annual revenue. If the local government's total environmental liabilities  assured through financial tests exceed 20% (but do not exceed 43%) of the local  government's total annual revenue or the sum of the revenue of constituent  governments in the case of regional authorities, the locality must also  establish one of the following: 
    (1) A restricted sinking fund for the purpose of funding  closure of the facility; 
    (2) An escrow account managed by a third party escrow agent  for the purpose of funding closure of the facility; or 
    (3) A letter of credit for the purpose of funding closure of  the facility. 
    The funding of the restricted sinking fund, escrow account, or  letter of credit shall be determined by the following formula: 
    ((CE*CD)-E) where CE is the current closure cost estimate, CD  is the percent of the landfill capacity used to date, and E is the current year  expenses for closure. 
    c. The owner or operator shall obtain an alternate financial  assurance mechanism for those costs that exceed the limits set in subdivisions  4 a and 4 b of this section. 
    9VAC20-70-290. Wording of financial mechanisms. 
    A. Wording of trust agreements. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    TRUST AGREEMENT 
    Trust agreement, the "Agreement," entered into as  of (date) by and between (name of the owner or operator), a (State)  (corporation, partnership, association, proprietorship), the  "Grantor," and (name of corporate trustee), a (State corporation)  (national bank), the "Trustee." 
    Whereas, the Virginia Waste Management Board has established  certain regulations applicable to the Grantor, requiring that the owner or operator  of a (solid) (regulated medical) (yard) waste (transfer station) (receiving)  (management) facility must provide assurance that funds will be available when  needed for (closure, post-closure care, or corrective action) of the facility, 
    Whereas, the Grantor has elected to establish a trust to  provide (all or part of) such financial assurance for the facility identified  herein, 
    Whereas, the Grantor, acting through its duly authorized  officers, has selected the Trustee to be the trustee under this agreement, and  the Trustee is willing to act as trustee, 
    Now, therefore, the Grantor and the Trustee agree as follows:  
    Section 1. Definitions. As used in this Agreement: 
    A. The term "fiduciary" means any person who  exercises any power of control, management, or disposition or renders  investment advice for a fee or other compensation, direct or indirect, with  respect to any moneys or other property of this trust fund, or has any  authority or responsibility to do so, or who has any authority or  responsibility in the administration of this trust fund. 
    B. The term "Grantor" means the owner or operator  who enters into this Agreement and any successors or assigns of the Grantor. 
    C. The term "Trustee" means the Trustee who enters  into this Agreement and any successor Trustee. 
    Section 2. Identification of Facility and Cost Estimates.  This Agreement pertains to facility(ies) and cost estimates identified on  attached Schedule A. 
    (NOTE: On Schedule A, for each facility list, as applicable,  the permit number, name, address, and the current closure, post-closure,  corrective action cost estimates, or portions thereof, for which financial  assurance is demonstrated by this Agreement.) 
    Section 3. Establishment of Fund. The Grantor and the Trustee  hereby establish a trust fund, the "Fund," for the benefit of the  Department of Environmental Quality, Commonwealth of Virginia. The Grantor and  the Trustee intend that no third party have access to the Fund except as herein  provided. The Fund is established initially as property consisting of cash or  securities, which are acceptable to the Trustee, described in Schedule B  attached hereto. Such property and any other property subsequently transferred  to the Trustee is referred to as the fund, together with all earnings and  profits thereon, less any payments or distributions made by the Trustee  pursuant to this Agreement. The Fund will be held by the Trustee, IN TRUST, as  hereinafter provided. The Trustee undertakes no responsibility for the amount  or adequacy of, nor any duty to collect from the Grantor, any payments to  discharge any liabilities of the Grantor established by the Commonwealth of  Virginia's Department of Environmental Quality. 
    Section 4. Payment for (Closure, Post-Closure Care, or  Corrective Action). The Trustee will make such payments from the Fund as the  Department of Environmental Quality, Commonwealth of Virginia will direct, in  writing, to provide for the payment of the costs of (closure, post-closure  care, corrective action) of the facility covered by this Agreement. The Trustee  will reimburse the Grantor or other persons as specified by the Department of  Environmental Quality, Commonwealth of Virginia, from the Fund for (closure,  post-closure care, corrective action) expenditures in such amounts as the  Department of Environmental Quality will direct, in writing. In addition, the  Trustee will refund to the Grantor such amounts as the Department of  Environmental Quality specifies in writing. Upon refund, such funds will no  longer constitute part of the Fund as defined herein. 
    Section 5. Payments Comprising the Fund. Payments made to the  Trustee for the fund will consist of cash or securities acceptable to the  Trustee. 
    Section 6. Trustee Management. The Trustee will invest and  reinvest the principal and income of the Fund and keep the Fund invested as a  single fund, without distinction between principal and income, in accordance  with investment guidelines and objectives communicated in writing to the  Trustee from time to time by the Grantor, subject, however, to the provisions  of this Section. In investing, reinvesting, exchanging, selling and managing  the Fund, the Trustee or any other fiduciary will discharge his duties with  respect to the trust fund solely in the interest of the beneficiary and with  the care, skill, prudence, and diligence under the circumstances then  prevailing which persons of prudence, acting in a like capacity and familiar  with such matters, would use in the conduct of any enterprise of a like  character and with like aims; except that: 
    A. Securities or other obligations of the Grantor, or any  other owner or operator of the facility, or any of their affiliates as defined  in the Investment Company Act of 1940, as amended, 15 USC § 80a-2(a), will not  be acquired or held, unless they are securities or other obligations of the  federal or a state government; 
    B. The Trustee is authorized to invest the Fund in time or  demand deposits of the Trustee, to the extent insured by an agency of the  federal or state government; and 
    C. The Trustee is authorized to hold cash awaiting investment  or distribution uninvested for a reasonable time and without liability for the  payment of interest thereon. 
    Section 7. Commingling and Investment. The Trustee is  expressly authorized in its discretion: 
    A. To transfer from time to time any or all of the assets of  the Fund to any common, commingled or collective trust fund created by the  Trustee in which the Fund is eligible to participate subject to all of the  provisions thereof, to be commingled with the assets of other trusts  participating herein. To the extent of the equitable share of the Fund in any  such commingled trust, such commingled trust will be part of the Fund; and 
    B. To purchase shares in any investment company registered  under the Investment Company Act of 1940, 15 USC § 80a-1 et seq., of one which  may be created, managed, underwritten, or to which investment advice is  rendered or the shares of which are sold by the Trustee. The Trustees may vote  such shares in its discretion. 
    Section 8. Express Powers of Trustee. Without in any way  limiting the powers and discretions conferred upon the Trustee by the other  provisions of this Agreement or by law, the Trustee is expressly authorized and  empowered: 
    A. To sell, exchange, convey, transfer or otherwise dispose of  any property held by it, by private contract or at public auction. No person  dealing with the Trustee will be bound to see to the application of the  purchase money or to inquire into the validity or expediency of any such sale  or other dispositions; 
    B. To make, execute, acknowledge and deliver any and all  documents of transfer and conveyance and any and all other instruments that may  be necessary or appropriate to carry out the powers herein granted; 
    C. To register any securities held in the fund in its own name  or in the name of a nominee and to hold any security in bearer form or in book  entry, or to combine certificates representing such securities with  certificates of the same issue held by the Trustee in other fiduciary  capacities, or to deposit or arrange for the deposit of such securities in a  qualified central depository even though, when so deposited, such securities  may be merged and held in bulk in the name of the nominee of such depository  with other securities deposited therein by another person, or to deposit or  arrange for the deposit of any securities issued by the United State  government, or any agency or instrumentality thereof with a Federal Reserve  Bank, but the books and records of the Trustee will at all times show that all  such securities are part of the Fund; 
    D. To deposit any cash in the fund in interest-bearing  accounts maintained or savings certificates issued by the Trustee, in its  separate corporate capacity, or in any other banking institution affiliated  with the Trustee, to the extent insured by an agency of the Federal or State  government; and 
    E. To compromise or otherwise adjust all claims in favor of or  against the Fund. 
    Section 9. Taxes and Expenses. All taxes of any kind that may  be assessed or levied against or in respect of the Fund and all brokerage  commissions incurred by the Fund will be paid from the Fund. All other expenses  incurred by the Trustee in connection with the administration of this Trust,  including fees for legal services rendered to the Trustee, the compensation of  the Trustee to the extent not paid directly by the Grantor, and all other  proper charges and disbursements of the Trustee will be paid from the Fund. 
    Section 10. Annual Valuation. The Trustee will annually, at  the end of the month coincident with or preceding the anniversary date of  establishment of the Fund, furnish the Grantor and to the director of the  Department of Environmental Quality, Commonwealth of Virginia, a statement  confirming the value of the Trust. Any securities in the Fund will be valued at  market value as of no more than 30 days prior to the date of the statement. The  failure of the Grantor to object in writing to the Trustee within 90 days after  the statement has been furnished to the Grantor and the director of the  Department of Environmental Quality, Commonwealth of Virginia will constitute a  conclusively binding assent by the Grantor, barring the Grantor from asserting  any claim or liability against the Trustee with respect to matters disclosed in  the statement. 
    Section 11. Advice of Counsel. The Trustee may from time to  time consult with counsel, who may be counsel to the Grantor, with respect to  any question arising as to the construction of this Agreement or any action to  be taken hereunder. The Trustee will be fully protected, to the extent  permitted by law, in acting upon the advice of counsel. 
    Section 12. Trustee Compensation. The Trustee will be  entitled to reasonable compensation for its services as agreed upon in writing  from time to time with the Grantor. 
    Section 13. Successor Trustee. The Trustee may resign or the  Grantor may replace the Trustee, but such resignation or replacement shall not  be effective until the Grantor has appointed a successor trustee and this  successor accepts the appointment. The successor trustee shall have the same  powers and duties as those conferred upon the Trustee hereunder. Upon  acceptance of the appointment by the successor trustee, the Trustee will  assign, transfer and pay over to the successor trustee the funds and properties  then constituting the Fund. If for any reason the grantor cannot or does not  act in the event of the resignation of the Trustee, the Trustee may apply to a  court of competent jurisdiction for the appointment of a successor trustee or  for instructions. The successor trustee and the date on which he assumes  administration of the trust will be specified in writing and sent to the  Grantor, the director of the Department of Environmental Quality, Commonwealth  of Virginia, and the present trustees by certified mail 10 days before such  change becomes effective. Any expenses incurred by the Trustee as a result of  any of the acts contemplated by this section will be paid as provided in Part  IX. 
    Section 14. Instructions to the Trustee. All orders, requests  and instructions by the Grantor to the Trustee will be in writing, signed by  such persons as are designated in the attached Exhibit A or such other  designees as the grantor may designate by amendment to Exhibit A. The Trustee  will be fully protected in acting without inquiry in accordance with the  Grantor's orders, requests and instructions. All orders, requests, and  instructions by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, to the Trustee will be in writing, signed by the  Director and the Trustee will act and will be fully protected in acting in  accordance with such orders, requests and instructions. The Trustee will have  the right to assume, in the absence of written notice to the contrary, that no  event constituting a change or a termination of the authority of any person to  act on behalf of the Grantor or the Commonwealth of Virginia's Department of  Environmental Quality hereunder has occurred. The Trustee will have no duty to  act in the absence of such orders, requests and instructions from the Grantor  and/or the Commonwealth of Virginia's Department of Environmental Quality,  except as provided for herein. 
    Section 15. Notice of Nonpayment. The Trustee will notify the  Grantor and the Director of the Department of Environmental Quality,  Commonwealth of Virginia, by certified mail within 10 days following the  expiration of the 30-day period after the anniversary of the establishment of  the Trust, if no payment is received from the Grantor during that period. After  the pay-in period is completed, the Trustee is not required to send a notice of  nonpayment. 
    Section 16. Amendment of Agreement. This Agreement may be  amended by an instrument in writing executed by the Grantor, the Trustee, and  the Director of the Department of Environmental Quality, Commonwealth of  Virginia, or by the Trustee and the Director of the Department of Environmental  Quality, Commonwealth of Virginia, if the Grantor ceases to exist. 
    Section 17. Irrevocability and Termination. Subject to the  right of the parties to amend this Agreement as provided in Section 16, this  Trust will be irrevocable and will continue until terminated at the written  agreement of the Grantor, the Trustee, and the Director of the Department of  Environmental Quality, Commonwealth of Virginia, or by the Trustee and the  Director if the Grantor ceases to exist. Upon termination of the Trust, all  remaining trust property, less final trust administration expenses, will be  delivered to the Grantor. 
    Section 18. Immunity and Indemnification. The Trustee will  not incur personal liability of any nature in connection with any act or  omission, made in good faith, in the administration of this Trust, or in  carrying out any directions by the Grantor or the Director of the Department of  Environmental Quality, Commonwealth of Virginia, issued in accordance with this  Agreement. The Trustee will be indemnified and saved harmless by the Grantor or  from the Trust Fund, or both, from and against any personal liability to which  the Trustee may be subjected by reason of any act or conduct in its official  capacity, including all expenses reasonably incurred in its defense in the  event the Grantor fails to provide such defense. 
    Section 19. Choice of Law. This Agreement will be  administered, construed and enforced according to the laws of the Commonwealth  of Virginia. 
    Section 20. Interpretation. As used in the Agreement, words  in the singular include the plural and words in the plural include the  singular. The descriptive headings for each section of this Agreement will not  affect the interpretation of the legal efficacy of this Agreement. 
    In witness whereof the parties have caused this Agreement to  be executed by their respective officers duly authorized and their corporate  seals to be hereunto affixed and attested as of the date first above written.  The parties below certify that the wording of this Agreement is identical to  the wording specified in 9VAC20-70-290 A of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer and Treatment Facilities, as such regulations  were constituted on the date shown immediately below. 
           |      (Signature of Grantor)      |                 |    
       |      By: (Title)      |          (Date)      |    
       |      Attest:      |                 |    
       |      (Title)      |          (Date)      |    
       |      (Seal)      |                 |    
       |      (Signature of Trustee)      |                 |    
       |      By      |                 |    
       |      Attest:      |                 |    
       |      (Title)      |                 |    
       |      (Seal)      |          (Date)      |    
  
    Certification of Acknowledgment: 
    COMMONWEALTH OF VIRGINIA 
    STATE OF __________ 
    CITY/COUNTY OF __________ 
    On this date, before me personally came (owner or operator)  to me known, who being by me duly sworn, did depose and say that she/he resides  at (address), that she/he is (title) of (corporation), the corporation  described in and which executed the above instrument; that she/he knows the  seal of said corporation; that the seal affixed to such instrument is such  corporate seal; that it was so affixed by order of the Board of Directors of said  corporation, and that she/he signed her/his name thereto by like order. 
    (Signature of Notary Public) 
    B. Wording of surety bond guaranteeing performance or  payment. 
    (NOTE: instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    PERFORMANCE OR PAYMENT BOND 
    Date bond executed: __________ 
    Effective date: __________ 
    Principal: (legal name and business address) _____________ 
    Type of organization: (insert "individual,"  "joint venture," "partnership," or "corporation")  _____________ 
    State of incorporation: __________ 
    Surety: (name and business address) _____________ 
    Name, address, permit number, if any, and (closure,  post-closure care, or corrective action) cost estimate for the facility:  _____________ 
    Penal sum of bond: $________ 
    Surety's bond number: __________ 
    Know all men by these present, That we, the Principal and  Surety hereto are firmly bound to the Department of Environmental Quality,  Commonwealth of Virginia, (hereinafter called the Department) in the above  penal sum for the payment of which we bind ourselves, our heirs, executors,  administrators, successors and assigns, jointly and severally; provided that,  where the Surety(ies) are corporations acting as co-sureties, we, the Sureties,  bind ourselves in such sum "jointly and severally" only for the  purpose of allowing a joint action or actions against any or all of us, and for  all other purposes each Surety binds itself, jointly and severally with the  Principal, for the payment of each sum only as is set forth opposite the name  of such Surety, but if no limit of liability is indicated, the limit of  liability shall be the full amount of the penal sum. 
    Whereas, said Principal is required to have a permit from the  Department of Environmental Quality, Commonwealth of Virginia, in order to own  or operate the (solid, regulated medical, yard) waste management facility  identified above, and 
    Whereas, said Principal is required to provide financial  assurance for (closure, post-closure care, corrective action) of the facility  as a condition of the permit or an order issued by the department, 
    Now, therefore the conditions of this obligation are such  that if the Principal shall faithfully perform (closure, post-closure care,  corrective action), whenever required to do so, of the facility identified  above in accordance with the order or the (closure, post-closure care,  corrective action) plan submitted to receive said permit and other requirements  of said permit as such plan and permit may be amended or renewed pursuant to  all applicable laws, statutes, rules, and regulations, as such laws, statutes,  rules, and regulations may be amended, 
    Or, if the Principal shall faithfully perform (closure,  post-closure care, corrective action) following an order to begin (closure,  post-closure care, corrective action) issued by the Commonwealth of Virginia's  Department of Environmental Quality or by a court, or following a notice of  termination of the permit, 
    Or, if the Principal shall provide alternate financial assurance  as specified in the Department's regulations and obtain the director's written  approval of such assurance, within 90 days of the date notice of cancellation  is received by the Director of the Department of Environmental Quality from the  Surety, then this obligation will be null and void, otherwise it is to remain  in full force and effect for the life of the management facility identified  above. 
    The Surety shall become liable on this bond obligation only  when the Principal has failed to fulfill the conditions described above. Upon  notification by the Director of the Department of Environmental Quality,  Commonwealth of Virginia, that the Principal has been found in violation of the  requirements of the Department's regulations, the Surety must either perform  (closure, post-closure care, corrective action) in accordance with the approved  plan and other permit requirements or forfeit the (closure, post-closure care,  corrective action) amount guaranteed for the facility to the Commonwealth of  Virginia. 
    Upon notification by the Director of the Department of  Environmental Quality, Commonwealth of Virginia, that the Principal has been  found in violation of an order to begin (closure, post-closure care, corrective  action), the Surety must either perform (closure, post-closure care, corrective  action) in accordance with the order or forfeit the amount of the (closure,  post-closure care, corrective action) guaranteed for the facility to the  Commonwealth of Virginia. 
    The Surety hereby waives notification of amendments to the  (closure, post-closure care, corrective action) plans, orders, permit,  applicable laws, statutes, rules, and regulations and agrees that such  amendments shall in no way alleviate its obligation on this bond. 
    For purposes of this bond, (closure, post-closure care,  corrective action) shall be deemed to have been completed when the Director of  the Department of Environmental Quality, Commonwealth of Virginia, determines  that the conditions of the approved plan have been met. 
    The liability of the Surety shall not be discharged by any  payment or succession of payments hereunder, unless and until such payment or  payments shall amount in the aggregate to the penal sum of the bond, but the  obligation of the Surety hereunder shall not exceed the amount of said penal  sum unless the Director of the Department of Environmental Quality,  Commonwealth of Virginia, should prevail in an action to enforce the terms of  this bond. In this event, the Surety shall pay, in addition to the penal sum  due under the terms of the bond, all interest accrued from the date the  Director of the Department of Environmental Quality, Commonwealth of Virginia,  first ordered the Surety to perform. The accrued interest shall be calculated  at the judgment rate of interest pursuant to § 6.1-330.54 6.2-302  of the Code of Virginia. 
    The Surety may cancel the bond by sending written notice of  cancellation to the owner or operator and to the Director of the Department of  Environmental Quality, Commonwealth of Virginia, provided, however, that cancellation  cannot occur (1) during the 120 days beginning on the date of receipt of the  notice of cancellation by the director as shown on the signed return receipt;  or (2) while an enforcement action is pending. 
    The Principal may terminate this bond by sending written  notice to the Surety, provided, however, that no such notice shall become  effective until the Surety receives written authorization for termination of  the bond by the Director of the Department of Environmental Quality,  Commonwealth of Virginia. 
    In witness whereof, the Principal and Surety have executed  this Performance Bond and have affixed their seals on the date set forth above.  
    The persons whose signatures appear below hereby certify that  they are authorized to execute this surety bond on behalf of the Principal and  Surety and I hereby certify that the wording of this surety bond is identical  to the wording specified in 9VAC20-70-290 B of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    Principal 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Surety 
    Name and Address: __________ 
    State of Incorporation: __________ 
    Liability Limit: $___ 
    Signature(s): __________ 
    Name(s) and Title(s): (typed)__________ 
    Corporate Seal: 
    C. Wording of irrevocable standby letter of credit. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    IRREVOCABLE STANDBY LETTER OF CREDIT 
    Director 
    Department of Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia 23240-0009 
    Dear (Sir or Madam): 
    We hereby establish our Irrevocable Letter of Credit No......  in your favor at the request and for the account of (owner's or operator's name  and address) up to the aggregate amount of (in words) U.S. dollars $____,  available upon presentation of 
    1. Your sight draft, bearing reference to this letter of  credit No ____ together with 
    2. Your signed statement declaring that the amount of the  draft is payable pursuant to regulations issued under the authority of the  Department of Environmental Quality, Commonwealth of Virginia. 
    The following amounts are included in the amount of this  letter of credit: (Insert the facility permit number, if any, name and address,  and the closure, post-closure care, corrective action cost estimate, or  portions thereof, for which financial assurance is demonstrated by this letter  of credit.) 
    This letter of credit is effective as of (date) and will  expire on (date at least one year later), but such expiration date will be  automatically extended for a period of (at least one year) on (date) and on  each successive expiration date, unless, at least 120 days before the current  expiration date, we notify you and (owner or operator's name) by certified mail  that we decide not to extend the Letter of Credit beyond the current expiration  date. In the event you are so notified, unused portion of the credit will be  available upon presentation of your sight draft for 120 days after the date of  receipt by you as shown on the signed return receipt or while a compliance  procedure is pending, whichever is later. 
    Whenever this letter of credit is drawn on under and in  compliance with the terms of this credit, we will duly honor such draft upon  presentation to us, and we will pay to you the amount of the draft promptly and  directly. 
    I hereby certify that I am authorized to execute this letter  of credit on behalf of (issuing institution) and I hereby certify that the  wording of this letter of credit is identical to the wording specified in  9VAC20-70-290 C of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities as such regulations were  constituted on the date shown immediately below. 
    Attest: 
    (Print name and title of official of issuing institution)  (Date) 
        This credit is subject to (insert "the most recent  edition of the Uniform Customs and Practice for Documentary Credits, published by  the International Chamber of Commerce," of "the Uniform Commercial  Code.") 
    D. Assignment of certificate of deposit account. 
    City _______________________ ____________, 20___ 
    FOR VALUE RECEIVED, the undersigned assigns all right, title  and interest to the Virginia Department of Environmental Quality, Commonwealth  of Virginia, and its successors and assigns the Virginia Department of  Environmental Quality the principal amount of the instrument, including all  monies deposited now or in the future to that instrument, indicated below: 
    ( ) If checked here, this assignment includes all interest  now and hereafter accrued. 
    Certificate of Deposit Account No. _____________________ 
    This assignment is given as security to the Virginia  Department of Environmental Quality in the amount of _______________________  Dollars ($_____________). 
    Continuing Assignment. This assignment shall continue to  remain in effect for all subsequent terms of the automatically renewable  certificate of deposit. 
    Assignment of Document. The undersigned also assigns any  certificate or other document evidencing ownership to the Virginia Department  of Environmental Quality. 
    Additional Security. This assignment shall secure the payment  of any financial obligation of the (name of owner/operator) to the Virginia  Department of Environmental Quality for ("closure" "post closure  care" "corrective action") at the (facility name and permit  number) located (physical address) 
    Application of Funds. The undersigned agrees that all or any  part of the funds of the indicated account or instrument may be applied to the  payment of any and all financial assurance obligations of (name of  owner/operator) to the Virginia Department of Environmental Quality for  ("closure" "post closure care" "corrective  action") at the (facility name and address). The undersigned authorizes  the Virginia Department of Environmental Quality to withdraw any principal  amount on deposit in the indicated account or instrument including any  interest, if indicated, and to apply it in the Virginia Department of  Environmental Quality's discretion to fund ("closure" "post  closure care" "corrective action") at the (facility name) or in  the event of (owner or operator's) failure to comply with the Virginia Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities, 9VAC20-70-10 et seq 9VAC20-70. The undersigned agrees  that the Virginia Department of Environmental Quality may withdraw any  principal and/or interest from the indicated account or instrument without demand  or notice. (The undersigned) agrees to assume any and all loss of penalty due  to federal regulations concerning the early withdrawal of funds. Any partial  withdrawal of principal or interest shall not release this assignment. 
    The party or parties to this Assignment set their hand or  seals, or if corporate, has caused this assignment to be signed in its  corporate name by its duly authorized officers and its seal to be affixed by  authority of its Board of Directors the day and year above written. 
           |             |                 |          SEAL       |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
       |             |                 |          SEAL      |    
       |             |          (Owner)       |                 |    
       |             |                 |                 |    
       |             |          (print owner's name)       |                 |    
  
    THE FOLLOWING SECTION IS TO BE COMPLETED BY THE BRANCH OR  LENDING OFFICE: 
    The signature(s) as shown above compare correctly with the  name(s) as shown on record as owner(s) of the Certificate of Deposit indicated  above. The above assignment has been properly recorded by placing a hold in the  amount of $ _______________________ for the benefit of the Department of  Environmental Quality. 
    ( ) If checked here, the accrued interest on the Certificate  of Deposit indicated above has been maintained to capitalize versus being  mailed by check or transferred to a deposit account. 
           |             |                 |                 |    
       |      (Signature)      |                 |          (Date)      |    
       |             |                 |                 |    
       |      (print name)      |                 |                 |    
       |             |                 |                 |    
       |      (Title)      |                 |                 |    
  
    E. Wording of certificate of insurance. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    CERTIFICATE OF INSURANCE 
    Name and Address of Insurer (herein called the  "Insurer"): 
    _____________ 
    _____________
    Name and Address of Insured (herein called the  "Insured"): 
    _____________ 
    _____________ 
    _____________
    Facilities Covered: (List for each facility: Permit number  (if applicable), name, address and the amount of insurance for closure,  post-closure care, or corrective action. (These amounts for all facilities  covered shall total the face amount shown below.)) 
    Face Amount: $___ 
    Policy Number: __________ 
    Effective Date: __________ 
    The Insurer hereby certifies that it has issued to the  Insured the policy of insurance identified above to provide financial assurance  for (insert "closure," "post-closure care,"  "corrective action") for the facilities identified above. The Insurer  further warrants that such policy conforms in all respects with the requirements  of 9VAC20-70-190 of the Financial Assurance Regulations for Solid Waste  Disposal, Transfer, and Treatment Facilities ("Regulations") (9VAC20-70-10  et seq.) (9VAC20-70), as such regulations were constituted on the  date shown immediately below. It is agreed that any provision of the policy  inconsistent with such regulations is hereby amended to eliminate such  inconsistency. 
    Whenever requested by the Director, the Insurer agrees to  furnish to the Director a duplicate original of the policy listed above,  including all endorsements thereon. 
    I hereby certify that the wording of this certificate is  identical to the wording specified in 9VAC20-70-290 E of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Authorized signature for Insurer) 
    (Name of person signing) 
    (Title of person signing) 
    Signature of witness or notary: 
    (Date) 
    F. Wording of letter from chief financial officer. 
    (NOTE: Instructions in  parentheses are to be replaced with the relevant information and the  parentheses removed.) 
    Director 
    Department of  Environmental Quality 
    P.O. Box 10009 
    Richmond, Virginia  23240-0009 
    Dear (Sir, Madam): 
    I am the chief financial officer of (name and address of  firm). This letter is in support of this firm's use of the financial test to  demonstrate financial assurance, as specified in 9VAC20-70-200 of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer, and Treatment  Facilities (9VAC20-70-10 et seq.) (9VAC20-70)  ("Regulations"). 
    (Fill out the following four paragraphs regarding solid  waste, regulated medical waste, yard waste composting, hazardous waste,  underground injection (regulated under the federal program in 40 CFR Part 144,  or its equivalent in other states), petroleum underground storage (9VAC25-590-10  et seq.) (9VAC25-590), above ground storage facilities (9VAC25-640-10  et seq.) (9VAC25-640) and PCB storage (regulated under 40 CFR Part  761) facilities and associated cost estimates. If your firm has no facilities  that belong in a particular paragraph, write "None" in the space  indicated. For each facility, include its name, address, permit number, if any,  and current closure, post-closure care, corrective action or any other  environmental obligation cost estimates. Identify each cost estimate as to  whether it is for closure, post-closure care, corrective action or other  environmental obligation.) 
    1. This firm is the owner or operator of the following  facilities for which financial assurance is demonstrated through the corporate  test specified in 9VAC20-70-200 or its equivalent in other applicable  regulations. The current cost estimates covered by the test are shown for each  facility: 
    2. This firm guarantees, through the corporate guarantee  specified in 9VAC20-70-220, the financial assurance for the following  facilities owned or operated by subsidiaries of this firm. The current cost  estimates so guaranteed are shown for each facility: 
    3. This firm, as owner or operator or guarantor, is  demonstrating financial assurance for the following facilities through the use  of a financial test. The current cost estimates covered by such a test are  shown for each facility: 
    4. This firm is the owner or operator of the following waste  management facilities for which financial assurance is not demonstrated through  the financial test or any other financial assurance mechanism. The current cost  estimates for the facilities which are not covered by such financial assurance  are shown for each facility: 
    This firm (insert "is required" or "is not  required") to file a Form 10K with the Securities and Exchange Commission  (SEC) for the latest fiscal year. 
    The fiscal year of this firm ends on (month, day). The  figures for the following items marked with an asterisk are derived from this  firm's independently audited, year-end financial statements for the latest  completed fiscal year, ended (date). 
           |      1) Sum of current closure, post-closure care, corrective    action or other environmental obligations cost estimates (total of all cost    estimates shown in the four paragraphs above.)       |          $__________      |    
       |      2) Tangible net worth*       |          $__________      |    
       |      3) Total assets located in the United States*       |          $__________      |    
       |             |           YES      |          NO      |    
       |      Line 2 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
       |      Line 3 exceeds line 1 by at least $10 million?      |          ____      |          ____       |    
        |      |      |      |    
  
    (Fill in Alternative I if the criteria of 9VAC20-70-200 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-200 1 a (2)  are used. Fill in Alternative III if the criteria of 9VAC20-70-200 1 a (3) are  used.) 
    ALTERNATIVE I 
    Current bond rating of this firm's senior unsubordinated debt  and name of rating service 
    Date of issuance of bond 
    Date of maturity of bond 
           |      ALTERNATIVE II       |    
       |      4) Total liabilities* (if any portion of the closure,    post-closure care, corrective action or other environmental obligations cost    estimates is included in total liabilities, you may deduct the amount of that    portion from this line and add that amount to line 5.)       |          $___________      |    
       |      5) Net worth*       |          $___________      |    
       |      Is line 4 divided by line 5 less than 1.5?      |          YES      |          NO      |    
        |      |      |      |    
  
     
     
                    ALTERNATIVE III       |    
       |      6) Total liabilities*        |          $___________      |    
       |      7) The sum of net income plus depreciation, depletion, and    amortization minus $10 million*      |                 |          $___________      |    
       |      Is line 7 divided by line 6 less than 0.1?      |           YES      |          NO      |                 |    
        |      |      |      |    
  
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 F of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name) 
    (Title) 
    (Date) 
    G. Wording of the local government letter from chief  financial officer. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses deleted.) 
    LETTER FROM CHIEF FINANCIAL OFFICER 
    I am the chief financial officer of (insert: name and address  of local government owner or operator, or guarantor). This letter is in support  of the use of the financial test to demonstrate financial responsibility for  ("closure care" "post-closure care" "corrective action  costs") arising from operating a solid waste management facility. 
    The following facilities are assured by this financial test:  (List for each facility: the name and address of the facility, the permit  number, the closure, post-closure and/or corrective action costs, whichever  applicable, for each facility covered by this instrument). 
    This owner's or operator's financial statements were prepared  in conformity with Generally Accepted Accounting Principles for governments and  have been audited by ("an independent certified public accountant"  "Auditor of Public Accounts"). The owner or operator has not received  an adverse opinion or a disclaimer of opinion from ("an independent  certified public accountant" "Auditor of Public Accounts") on  its financial statements for the latest completed fiscal year. 
    This owner or operator is not currently in default on any  outstanding general obligation bond. Any outstanding issues of general  obligation, if rated, have a Moody's rating of Aaa, Aa, A, or Baa or a Standard  and Poor's rating of AAA, AA, A or BBB; if rated by both firms, the bonds have  a Moody's rating of Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA,  AA, A, or BBB. 
    The fiscal year of this owner or operator ends on (month,  day). The figures for the following items marked with the asterisk are derived  from this owner's or operator's independently audited, year-end financial  statements for the latest completed fiscal year ended (date). 
    (Please complete Alternative I or Alternative II.) 
    (Fill in Alternative I if the criteria in 9VAC20-70-210 1 a  (1) are used. Fill in Alternative II if the criteria of 9VAC20-70-210 1 a (2)  are used.) 
    ALTERNATIVE I—BOND RATING TEST 
    The details of the issue date, maturity, outstanding amount,  bond rating, and bond rating agency of all outstanding general obligation bond  issues that are being used by (name of local government owner or operator, or  guarantor) to demonstrate financial responsibility are as follows: (complete  table): 
           |      Issue Date      |          Maturity Date      |          Outstanding Amount      |          Bond Rating      |          Rating Agency      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
       |      _______      |          _______      |          _________      |          ______      |          ________      |    
  
    Any outstanding issues of general obligation bonds, if rated,  have a Moody's rating of Aaa, Aa, A, or Baa or a Standard and Poor's rating of  AAA, AA, A or BBB; if rated by both firms, the bonds have a Moody's rating of  Aaa, Aa, A or Baa and a Standard and Poor's rating of AAA, AA, A or BBB. 
           |      1) Sum of current closure,    post-closure and corrective action cost estimates (total of all cost    estimates listed above)      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |             |           YES      |          NO      |                 |    
       |      5) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |                 |    
       |      6) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |                 |    
       |      7) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |                 |    
       |      8) Is (line 1 + line 4e) <= (line 3a x 0.20)?      |          ____      |          ____      |                 |    
        |      |      |      |      |      |    
  
    If the answer to line 7 is yes and the answer to line 8 is  no, please attach documentation from the agent/trustee /issuing institution  stating the current balance of the account/fund /irrevocable letter of credit  as of the latest fiscal reporting year to this form as required by  9VAC20-70-210. 
    ALTERNATIVE II—FINANCIAL RATIO  TEST 
           |      1) Sum of current closure, post-closure and corrective    action cost estimates      |          $_______________      |    
       |      *2) Operating Deficit      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      *3) Total Revenue      |                 |    
       |             |          (a) latest completed fiscal year (insert year)      |          $_______________      |    
       |             |          (b) previous fiscal year (insert year)      |          $_______________      |    
       |      4) Other self-insured environmental costs      |                 |    
       |             |          (a) Amount of aggregate underground injection control    systems financial assurance insured by a financial test under 40 CFR 144.62      |          $_______________      |    
       |             |          (b) Amount of annual underground storage tank aggregate    coverage insured by a financial test under 40 CFR Part 280 and 9VAC25-590-10    et seq. 9VAC25-590       |          $_______________      |    
       |             |          (c) Amount of aggregate costs associated with PCB storage    facilities insured by a financial test under 40 CFR Part 761      |          $_______________      |    
       |             |          (d) Amount of annual aggregate hazardous waste financial    assurance insured by a financial test under 40 CFR Parts 264 and 265 and 9VAC20-60-12    et seq. 9VAC20-60      |          $_______________      |    
       |             |          (e) Total of lines 4(a) through 4(d)      |          $_______________      |    
       |      *5) Cash plus marketable securities      |          $_______________      |    
       |      *6) Total Expenditures      |          $_______________      |    
       |      *7) Annual Debt Service      |          $_______________      |    
       |             |          YES      |          NO      |    
       |      8) Is (line 2a / line 3a) < 0.05?      |          ____      |          ____      |    
       |      9) Is (line 2b / line 3b) < 0.05?      |          ____      |          ____      |    
       |      10) Is (line 1 + line 4e) <= (line 3a x 0.43)?      |          ____      |          ____      |    
       |      11) Is (line 5 / line 6) >= 0.05?      |          ____      |          ____      |    
       |      12) Is (line 7 / line 6) <= 0.20?      |          ____      |          ____      |    
       |      13) Is (line 1 + line 4e) <= (line 3a x.20)      |          ____      |          ____      |    
  
    If the answer to line 13 is no, please attach documentation  from the agent/trustee/issuing institution stating the current balance of the  account/fund/irrevocable letter of credit as of the latest fiscal reporting  year to this form as required by 9VAC20-70-210. 
    I hereby certify that the wording of this letter is identical  to the wording in 9VAC20-70-290 G of the Financial Assurance Regulations for  Solid Waste Disposal, Transfer, and Treatment Facilities as such regulations  were constituted on the date shown immediately below. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    H. Certification of funding. 
    CERTIFICATION OF FUNDING 
    I certify the following information details the current plan  for funding closure and post closure at the solid waste management facilities  listed below. 
           |       Facility Permit #       |                 |          Source for funding closure and post closure       |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |             |                 |                 |                 |    
       |      Name of Locality or Corporation:    _______________________________________      |    
       |             |                 |                 |                 |                 |    
       |      Signature      |                 |          Printed Name      |                 |          Date      |    
       |             |                 |                 |                 |                 |    
       |      Title      |                 |                 |                 |                 |    
        |      |      |      |      |      |      |      |    
  
    I. Certification of escrow/sinking fund /irrevocable letter  of credit balance. 
    CERTIFICATION OF ESCROW/SINKING FUND BALANCE OR AMOUNT OF  IRREVOCABLE LETTER OF CREDIT 
    I am the Chief Financial Officer of (name of locality) and  hereby certify that as of (date) the current balance in the restricted sinking  (type of fund) fund or the escrow account or the amount of the irrevocable  letter of credit restricted to landfill closure costs is $_____________ 
    The calculation used to determine the amount required to be  funded is as follows: 
    (Show the values that were used in the following formula: 
    (CE * CD) - E 
    Where CE is the current closure cost estimate, CD is the  percentage of landfill capacity used to date, and E is current year expenses  for closure.) 
    Therefore, this account has been funded or an irrevocable  letter of credit has been obtained in accordance with the Financial Assurance  Regulations for Solid Waste Disposal, Transfer and Treatment Facilities, 9VAC20-70-10  et seq 9VAC20-70. 
    (Signature) 
    (Name of person signing) 
    (Title of person signing) 
    (Date) 
    J. Wording of corporate guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    CORPORATE GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a business corporation organized under the laws of the state of (insert name of  state), herein referred to as guarantor. This guarantee is made on behalf of  the (owner or operator) of (business address), which is (one of the following:  "our subsidiary"; "a subsidiary of (name and address of common  parent corporation) of which guarantor is a subsidiary"; or "an  entity with which the guarantor has a substantial business relationship, as  defined in Part I of the Virginia Financial Assurance Regulations for Solid  Waste Disposal, Transfer, and Treatment Facilities (9VAC20-70-10 et seq.)  (9VAC20-70)") to the Virginia Department of Environmental Quality  ("Department"), obligee, on behalf of our subsidiary (owner or  operator) of (business address). 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-200 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-220 of the Financial Assurance Regulations  for Solid Waste Disposal, Transfer, and Treatment Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care, corrective  action or other environmental obligations.) 
    3. "Closure plans", "post-closure care  plans" and "corrective action plans" as used below refer to the  plans maintained as required by the Solid Waste Management Regulations (9VAC20-80-10  et seq.), (9VAC20-81), or the Regulated Medical Waste Management  Regulations (9VAC20-120-10 et seq.), (9VAC20-120) or  Vegetative Waste Management and Yard Waste Composting Regulations  (9VAC20-101-10 et seq.). 
    4. For value received from (owner or operator), guarantor guarantees  to the Department that in the event that (owner or operator) fails to perform  (insert "closure," "post-closure care," or "corrective  action") of the above facility(ies) in accordance with the closure or  post-closure care plans and other (requirements of the) permit or (the order)  whenever required to do so, the guarantor shall do so or establish a trust fund  as specified in 9VAC20-70-140 in the name of (owner or operator) in the amount  of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (Bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure, post-closure or corrective action plan, amendment or modification of  the permit, amendment or modification of the order, the extension or reduction  of the time of performance of closure, post-closure, or corrective action or  any other modification or alteration of an obligation of the owner or operator  pursuant to the (Virginia Solid or Regulated Medical Waste Management or  Vegetative Waste Management and Yard Waste Composting Regulations or § 10.1-1454.1 of the Code of Virginia) (Solid Waste Management Regulations  or Regulated Medical Waste Management Regulations or § 10.1-1454.1 of the  Code of Virginia). 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. (Insert the following language if the guarantor is (a) a  direct or higher-tier corporate parent, or (b) a firm whose parent corporation  is also the parent corporation of the owner or operator:) Guarantor may  terminate this guarantee by sending notice by certified mail to the Director of  the Department of Environmental Quality and to the (owner or operator),  provided that this guarantee may not be terminated unless and until (the owner  or operator) obtains and the director approves, alternate (closure,  post-closure, corrective action) coverage complying with the requirements of 9VAC20-70-10  et seq 9VAC20-70. (Insert the following language if the guarantor is  a firm qualifying as a guarantor due to its "substantial business  relationship" with the owner or operator:) Guarantor may terminate this  guarantee 120 days following the receipt of notification, through certified  mail, by the director and by (the owner or operator). 
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of the  Regulations, and obtain written approval of such assurance from the director  within 90 days after a notice of cancellation by the guarantor is received by  the director from guarantor, guarantor shall provide such alternate financial  assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording in 9VAC20-70-290 J of the Financial Assurance  Regulations for Solid Waste Disposal, Transfer, and Treatment Facilities as  such regulations were constituted on the date shown immediately below. 
    (Name of guarantor) 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    K. Wording of local government guarantee. 
    (NOTE: Instructions in parentheses are to be replaced with  the relevant information and the parentheses removed.) 
    LOCAL GOVERNMENT GUARANTEE 
    Guarantee made this (date) by (name of guaranteeing entity),  a local government created under the laws of the state of Virginia, herein  referred to as guarantor. This guarantee is made on behalf of the (owner or  operator) of (address), to the Virginia Department of Environmental Quality  ("Department"), obligee. 
    Recitals 
    1. Guarantor meets or exceeds the financial test criteria in  9VAC20-70-210 and agrees to comply with the reporting requirements for  guarantors as specified in 9VAC20-70-230 of the Financial Assurance Regulations  for Solid Waste Disposal, Treatment and Transfer Facilities  ("Regulations"). 
    2. (Owner or operator) owns or operates the following (solid,  regulated medical, yard) waste management facility(ies) covered by this  guarantee: (List for each facility: name, address, and permit number, if any.  Indicate for each whether guarantee is for closure, post-closure care,  corrective action or other environmental obligations.) 
    3. "Closure plans" and "post-closure care  plans" as used below refer to the plans maintained as required by the  Solid Waste Management Regulations (9VAC20-80-10 et seq.), or Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101-10 et seq.)  (9VAC20-81).
    4. For value received from (owner or operator), guarantor  guarantees to the Department that in the event that (owner or operator) fails  to perform (insert "closure," "post-closure care," or  "corrective action") of the above facility(ies) in accordance with  the closure or post-closure care plans and other (requirements of the) permit  or (the order) whenever required to do so, the guarantor shall do so or  establish a trust fund as specified in 9VAC20-70-150 in the name of (owner or  operator) in the amount of the current cost estimates. 
    5. Guarantor agrees that if, at the end of any fiscal year  before termination of this guarantee, the guarantor fails to meet the financial  test criteria, guarantor shall send within 90 days, by certified mail, notice  to the director and to (owner or operator) that he intends to provide alternate  financial assurance as specified in Article 4 of Part III of the Regulations,  in the name of (owner or operator). Within 120 days after the end of such  fiscal year, the guarantor shall establish such financial assurance unless  (owner or operator) has done so. 
    6. The guarantor agrees to notify the director by certified  mail, of a voluntary or involuntary proceeding under Title 11 (bankruptcy),  U.S. Code, naming guarantor as debtor, within 10 days after commencement of the  proceeding. 
    7. Guarantor agrees that within 30 days after being notified  by the director of a determination that guarantor no longer meets the financial  test criteria or that he is disallowed from continuing as a guarantor of  closure, post-closure care, or corrective action, he shall establish alternate  financial assurance as specified in Article 4 of Part III of the Regulations in  the name of (owner or operator) unless (owner or operator) has done so. 
    8. Guarantor agrees to remain bound under this guarantee  notwithstanding any or all of the following: amendment or modification of the  closure or post-closure plan, amendment or modification of the closure or  post-closure plan, amendment or modification of the permit, amendment or  modification of the order, the extension or reduction of the time of performance  of the closure or post-closure, or any other modification or alteration of an  obligation of the owner or operator pursuant to the Virginia (Solid Waste  Management or Regulated Medical Waste Management) or Vegetative  Waste Management and Yard Waste Composting) Regulations. 
    9. Guarantor agrees to remain bound under this guarantee for  so long as (owner or operator) shall comply with the applicable financial  assurance requirements of Article 4 of Part III of the Regulations for the  above-listed facilities, except as provided in paragraph 10 of this agreement. 
    10. Guarantor may terminate this guarantee by sending notice  by certified mail to the Director of the Department of Environmental Quality  and to the (owner or operator), provided that this guarantee may not be  terminated unless and until (the owner or operator) obtains and the director  approves, alternate (closure, post-closure, corrective action,) coverage  complying with the requirements of 9VAC20-70-10 et seq 9VAC20-70.  
    11. Guarantor agrees that if (owner or operator) fails to  provide alternate financial assurance as specified in Article 4 of Part III of  the Regulations, and obtain written approval of such assurance from the  director with 90 days after a notice of cancellation by the guarantor is  received by the director from guarantor, guarantor shall provide such alternate  financial assurance in the name of (owner or operator). 
    12. Guarantor expressly waives notice of acceptance of this  guarantee by the Department or by (owner or operator). Guarantor also expressly  waives notice of amendments or modifications of the closure and/or post-closure  plan and of amendments or modifications of the facility permit(s). 
    I hereby certify that the wording of this guarantee is  identical to the wording specified in 9VAC20-70-290 K of the Financial  Assurance Regulations for Solid Waste Disposal, Transfer and Treatment  Facilities as such regulations were constituted on the date shown immediately  below. 
    (Name of guarantor) __________ 
    Effective date: __________ 
    (Authorized signature for guarantor) __________ 
    (Name of person signing) __________ 
    (Title of person signing) __________ 
    Signature of witness or notary: __________ 
    Part I 
  Definitions 
    9VAC20-81-10. Definitions.
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Active life" means the period of operation  beginning with the initial receipt of solid waste and ending at completion of  closure activities required by this chapter. 
    "Active portion" means that part of a facility or  unit that has received or is receiving wastes and that has not been closed in  accordance with this chapter. 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Airport" means, for the purpose of this chapter, a  military airfield or a public-use airport open to the public without prior  permission and without restrictions within the physical capacities of available  facilities.
    "Aquifer" means a geologic formation, group of  formations, or a portion of a formation capable of yielding significant  quantities of groundwater to wells or springs.
    "Ash" means the fly ash or bottom ash residual  waste material produced from incineration or burning of solid waste or from any  fuel combustion. 
    "Base flood" see "Hundred-year flood."
    "Bedrock" means the rock that underlies soil or  other unconsolidated, superficial material at a site. 
    "Benchmark" means a permanent monument constructed  of concrete and set in the ground surface below the frostline with identifying  information clearly affixed to it. Identifying information will include the  designation of the benchmark as well as the elevation and coordinates on the  local or Virginia state grid system. 
    "Beneficial use" means a use that is of benefit as  a substitute for natural or commercial products and does not contribute to  adverse effects on health or environment. 
    "Bioremediation" means remediation of contaminated  media by the manipulation of biological organisms to enhance the degradation of  contaminants. 
    "Bird hazard" means an increase in the likelihood  of bird/aircraft collisions that may cause damage to the aircraft or injury to  its occupants. 
    "Board" means the Virginia Waste Management Board. 
    "Bottom ash" means ash or slag that has been  discharged from the bottom of the combustion unit after combustion. 
    "Capacity" means the maximum permitted volume of  solid waste, inclusive of daily and intermediate cover, that can be disposed in  a landfill. This volume is measured in cubic yards.
    "Captive industrial landfill" means an industrial  landfill that is located on property owned or controlled by the generator of  the waste disposed of in that landfill.
    "Clean wood" means solid waste consisting of  untreated wood pieces and particles that do not contain paint, laminate,  bonding agents, or chemical preservatives or are otherwise unadulterated.
    "Closed facility" means a solid waste management  facility that has been properly secured in accordance with the requirements of  this chapter. 
    "Closure" means that point in time when a permitted  landfill has been capped, certified as properly closed by a professional  engineer, inspected by the department, and closure notification is performed by  the department in accordance with 9VAC20-81-160 D. 
    "Coal combustion byproducts" or "CCB"  means residuals, including fly ash, bottom ash, boiler slag, and flue gas  emission control waste produced by burning coal. 
    "Combustion unit" means an incinerator, waste heat  recovery unit, or boiler. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants,  and shopping centers. 
    "Compliance schedule" means a time schedule for  measures to be employed on a solid waste management facility that will  ultimately upgrade it to conform to this chapter. 
    "Compost" means a stabilized organic product  produced by a controlled aerobic decomposition process in such a manner that  the product can be handled, stored, and/or applied to the land without  adversely affecting public health or the environment. 
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Conditionally exempt small quantity generator"  means a generator of hazardous waste who has been so defined in 40 CFR 261.5,  as amended. That section applies to the persons who generate in that calendar  month no more than 100 kilograms of hazardous waste or one kilogram of acutely  hazardous waste. 
    "Construction" means the initiation of permanent  physical change at a property with the intent of establishing a solid waste  management unit. This does not include land-clearing activities, excavation for  borrow purposes, activities intended for infrastructure purposes, or activities  necessary to obtain Part A siting approval (i.e., advancing of exploratory  borings, digging of test pits, groundwater monitoring well installation, etc.).
    "Construction/demolition/debris landfill" or  "CDD landfill" means a land burial facility engineered, constructed  and operated to contain and isolate construction waste, demolition waste,  debris waste, split tires, and white goods or combinations of the above solid  wastes. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes include,  but are not limited to lumber, wire, sheetrock, broken brick, shingles, glass,  pipes, concrete, paving materials, and metal and plastics if the metal or  plastics are a part of the materials of construction or empty containers for  such materials. Paints, coatings, solvents, asbestos, any liquid, compressed  gases or semi-liquids and garbage are not construction wastes. 
    "Contaminated soil" means, for the purposes of this  chapter, a soil that, as a result of a release or human usage, has absorbed or  adsorbed physical, chemical, or radiological substances at concentrations above  those consistent with nearby undisturbed soil or natural earth materials. 
    "Container" means any portable device in which a  material is stored, transported, treated, or otherwise handled and includes  transport vehicles that are containers themselves (e.g., tank trucks) and  containers placed on or in a transport vehicle. 
    "Containment structure" means a closed vessel such  as a tank or cylinder. 
    "Convenience center" means a collection point for  the temporary storage of solid waste provided for individual solid waste  generators who choose to transport solid waste generated on their own premises  to an established centralized point, rather than directly to a disposal  facility. To be classified as a convenience center, the collection point may  not receive waste from collection vehicles that have collected waste from more  than one real property owner. A convenience center shall be on a system of  regularly scheduled collections.
    "Cover material" means compactable soil or other  approved material that is used to blanket solid waste in a landfill.
    "Daily disposal limit" means the amount of solid  waste that is permitted to be disposed at the facility and shall be computed on  the amount of waste disposed during any operating day.
    "Debris waste" means wastes resulting from  land-clearing operations. Debris wastes include, but are not limited to stumps,  wood, brush, leaves, soil, and road spoils. 
    "Decomposed vegetative waste" means a stabilized organic  product produced from vegetative waste by a controlled natural decay process in  such a manner that the product can be handled, stored, or applied to the land  without adversely affecting public health or the environment.
    "Demolition waste" means that solid waste that is  produced by the destruction of structures and their foundations and includes  the same materials as construction wastes. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality. For purposes of submissions to the director as specified  in the Waste Management Act, submissions may be made to the department. 
    "Discard" means to abandon, dispose of, burn,  incinerate, accumulate, store, or treat before or instead of being abandoned,  disposed of, burned, or incinerated. 
    "Discarded material" means a material that is: 
    1. Abandoned by being: 
    a. Disposed of; 
    b. Burned or incinerated; or 
    c. Accumulated, stored, or treated (but not used, reused, or  reclaimed) before or in lieu of being abandoned by being disposed of, burned,  or incinerated; or
    2. Recycled used, reused, or reclaimed material as defined in  this part.
    "Disclosure statement" means a sworn statement or  affirmation as required by § 10.1-1400 of the Code of Virginia. (see DEQ  Form DISC-01 and 02 (Disclosure Statement)).
    "Displacement" means the relative movement of any  two sides of a fault measured in any direction. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Disposal unit boundary" or "DUB" means  the vertical plane located at the edge of the waste disposal unit. This  vertical plane extends down into the uppermost aquifer. The DUB must be  positioned within or coincident to the waste management boundary.
    "EPA" means the United States Environmental  Protection Agency. 
    "Exempt management facility" means a site used for  activities that are conditionally exempt from management as a solid waste under  this chapter. The facility remains exempt from solid waste management  requirements provided it complies with the applicable conditions set forth in  Parts II (9VAC20-81-20 et seq.) and IV (9VAC20-81-300 et seq.) of this chapter.
    "Expansion" means a horizontal expansion of the  waste management boundary as identified in the Part A application. If a  facility's permit was issued prior to the establishment of the Part A process,  an expansion is a horizontal expansion of the disposal unit boundary. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Facility boundary" means the boundary of the solid  waste management facility. For landfills, this boundary encompasses the waste  management boundary and all ancillary activities including, but not limited to  scales, groundwater monitoring wells, gas monitoring probes, and maintenance  facilities as identified in the facility's permit application. For facilities  with a permit-by-rule (PBR) the facility boundary is the boundary of the  property where the permit-by-rule activity occurs. For unpermitted solid waste  management facilities, the facility boundary is the boundary of the property  line where the solid waste is located.
    "Facility structure" means any building, shed, or  utility or drainage line on the facility. 
    "Fault" means a fracture or a zone of fractures in  any material along which strata on one side have been displaced with respect to  that on the other side. 
    "Floodplain" means the lowland and relatively flat  areas adjoining inland and coastal waters, including low-lying areas of  offshore islands where flooding occurs. 
    "Fly ash" means ash particulate collected from air  pollution attenuation devices on combustion units. 
    "Food-chain crops" means crops grown for human  consumption, tobacco, and crops grown for pasture and forage or feed for  animals whose products are consumed by humans. 
    "Fossil fuel combustion products" means coal  combustion byproducts as defined in this regulation, coal combustion byproducts  generated at facilities with fluidized bed combustion technology, petroleum  coke combustion byproducts, byproducts from the combustion of oil, byproducts  from the combustion of natural gas, and byproducts from the combustion of  mixtures of coal and "other fuels" (i.e., co-burning of coal with  "other fuels" where coal is at least 50% of the total fuel). For  purposes of this definition, "other fuels" means waste-derived fuel  product, auto shredder fluff, wood wastes, coal mill rejects, peat, tall oil,  tire-derived fuel, deionizer resins, and used oil. 
    "Free liquids" means liquids that readily separate  from the solid portion of a waste under ambient temperature and pressure as  determined by the Paint Filter Liquids Test, Method 9095, U.S. Environmental  Protection Agency, Publication SW-846. 
    "Garbage" means readily putrescible discarded  materials composed of animal, vegetable or other organic matter. 
    "Gas condensate" means the liquid generated as a  result of gas control or recovery processes at the solid waste management  facility. 
    "Governmental unit" means any department,  institution, or commission of the Commonwealth and any public corporate  instrumentality thereof, and any district, and shall include local governments.
    "Ground rubber" means material processed from waste  tires that is no larger than 1/4 inch in any dimension. This includes crumb  rubber that is measured in mesh sizes. 
    "Groundwater" means water below the land surface in  a zone of saturation. 
    "Hazardous constituent" means a constituent of  solid waste found listed in Appendix VIII of 9VAC20-60-261.
    "Hazardous waste" means a "hazardous  waste" as described by the Virginia Hazardous Waste Management Regulations  (9VAC20-60).
    "Holocene" means the most recent epoch of the  Quaternary period, extending from the end of the Pleistocene Epoch to the  present. 
    "Home use" means the use of compost for growing  plants that is produced and used on a privately owned residential site. 
    "Host agreement" means any lease, contract,  agreement, or land use permit entered into or issued by the locality in which  the landfill is situated that includes terms or conditions governing the  operation of the landfill. 
    "Household hazardous waste" means any waste  material derived from households (including single and multiple residences,  hotels, motels, bunkhouses, ranger stations, crew quarters, campgrounds, picnic  grounds, and day-use recreation areas) which, except for the fact that it is  derived from a household, would otherwise be classified as a hazardous waste in  accordance with 9VAC20-60.
    "Household waste" means any waste material,  including garbage, trash, and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds, and day-use recreation  areas. Household wastes do not include sanitary waste in septic tanks (septage)  that is regulated by other state agencies. 
    "Hundred-year flood" means a flood that has a 1.0%  or greater chance of recurring in any given year or a flood of magnitude  equaled or exceeded on the average only once in a hundred years on the average  over a significantly long period. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Incinerator" means a facility or device designed  for the treatment of solid waste by combustion. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts; inorganic  chemicals; iron and steel manufacturing; leather and leather products;  nonferrous metals manufacturing/foundries; organic chemicals; plastics and  resins manufacturing; pulp and paper industry; rubber and miscellaneous plastic  products; stone, glass, clay, and concrete products; textile manufacturing;  transportation equipment; and water treatment. This term does not include  mining waste or oil and gas waste. 
    "Industrial waste landfill" means a solid waste  landfill used primarily for the disposal of a specific industrial waste or a  waste that is a byproduct of a production process. 
    "Injection well" means, for the purposes of this  chapter, a well or bore hole into which fluids are injected into selected  geological horizons. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Interim cover systems" means temporary cover  systems applied to a landfill area when landfilling operations will be  temporarily suspended for an extended period (typically, longer than one year).  At the conclusion of the interim period, the interim cover system may be  removed and landfilling operations resume or final cover is installed.
    "Karst topography" means areas where karst terrane,  with its characteristic surface and subterranean features, is developed as the  result of dissolution of limestone, dolomite, or other soluble rock.  Characteristic physiographic features present in karst terranes include, but  are not limited to, sinkholes, sinking streams, caves, large springs, and blind  valleys. 
    "Key personnel" means the applicant itself and any  person employed by the applicant in a managerial capacity, or empowered to make  discretionary decisions, with respect to the solid waste or hazardous waste  operations of the applicant in Virginia, but shall not include employees  exclusively engaged in the physical or mechanical collection, transportation,  treatment, storage, or disposal of solid or hazardous waste and such other  employees as the director may designate by regulation. If the applicant has not  previously conducted solid waste or hazardous waste operations in Virginia, the  term also includes any officer, director, partner of the applicant, or any  holder of 5.0% or more of the equity or debt of the applicant. If any holder of  5.0% or more of the equity or debt of the applicant or of any key personnel is  not a natural person, the term includes all key personnel of that entity,  provided that where such entity is a chartered lending institution or a  reporting company under the Federal Security and Exchange Act of 1934, the term  does not include key personnel of such entity. Provided further that the term  means the chief executive officer of any agency of the United States or of any  agency or political subdivision of the Commonwealth, and all key personnel of  any person, other than a natural person, that operates a landfill or other  facility for the disposal, treatment, or storage of nonhazardous solid waste  under contract with or for one of those governmental entities. 
    "Lagoon" means a body of water or surface  impoundment designed to manage or treat waste water. 
    "Land-clearing activities" means the removal of  flora from a parcel of land.
    "Land-clearing debris" means vegetative waste  resulting from land-clearing activities. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill. 
    "Landfill gas" means gas generated as a byproduct  of the decomposition of organic materials in a landfill. Landfill gas consists  primarily of methane and carbon dioxide. 
    "Landfill mining" means the process of excavating  solid waste from an existing landfill. 
    "Leachate" means a liquid that has passed through  or emerged from solid waste and contains soluble, suspended, or miscible  materials from such waste. Leachate and any material with which it is mixed is  solid waste; except that leachate that is pumped from a collection tank for  transportation to disposal in an off-site facility is regulated as septage,  leachate discharged into a waste water collection system is regulated as  industrial waste water and leachate that has contaminated groundwater is  regulated as contaminated groundwater. 
    "Lead acid battery" means, for the purposes of this  chapter, any wet cell battery. 
    "Lift" means the daily landfill layer of compacted  solid waste plus the cover material. 
    "Liquid waste" means any waste material that is  determined to contain "free liquids" as defined by this chapter. 
    "Lithified earth material" means all rock,  including all naturally occurring and naturally formed aggregates or masses of  minerals or small particles of older rock, that formed by crystallization of  magma or by induration of loose sediments. This term does not include manmade  materials, such as fill, concrete, and asphalt, or unconsolidated earth  materials, soil, or regolith lying at or near the earth's surface. 
    "Litter" means, for purposes of this chapter, any  solid waste that is discarded or scattered about a solid waste management  facility outside the immediate working area. 
    "Lower explosive limit" means the lowest  concentration by volume of a mixture of explosive gases in air that will  propagate a flame at 25°C and at atmospheric pressure. 
    "Materials recovery facility" means a solid waste  management facility for the collection, processing, and recovery of material  such as metals from solid waste or for the production of a fuel from solid  waste. This does not include the production of a waste-derived fuel product. 
    "Maximum horizontal acceleration in lithified earth  material" means the maximum expected horizontal acceleration depicted on a  seismic hazard map, with a 90% or greater probability that the acceleration  will not be exceeded in 250 years, or the maximum expected horizontal  acceleration based on a site-specific seismic risk assessment. 
    "Monitoring" means all methods, procedures, and  techniques used to systematically analyze, inspect, and collect data on  operational parameters of the facility or on the quality of air, groundwater,  surface water, and soils. 
    "Monitoring well" means a well point below the  ground surface for the purpose of obtaining periodic water samples from  groundwater for quantitative and qualitative analysis. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses except composting as defined and regulated under this  chapter. 
    "Municipal solid waste" means that waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from combustion of these wastes. 
    "New solid waste management facility" means a  facility or a portion of a facility that was not included in a previous  determination of site suitability (Part A approval). 
    "Nuisance" means an activity that unreasonably  interferes with an individual's or the public's comfort, convenience or  enjoyment such that it interferes with the rights of others by causing damage,  annoyance, or inconvenience. 
    "Offsite" means any site that does not meet the  definition of onsite as defined in this part. 
    "Onsite" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same  person, but connected by a right-of-way that he controls and to which the  public does not have access, are also considered onsite property. 
    "Open burning" means the combustion of solid waste  without:
    1. Control of combustion air to maintain adequate temperature  for efficient combustion;
    2. Containment of the combustion reaction in an enclosed  device to provide sufficient residence time and mixing for complete combustion;  and
    3. Control of the combustion products' emission. 
    "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.
    "Operating record" means records required to be  maintained in accordance with the facility permit or this part (see  9VAC20-81-530). 
    "Operation" means all waste management activities  at a solid waste management facility beginning with the initial receipt of  solid waste for treatment, storage, disposal, or transfer and ceasing with the  initiation of final closure activities at the solid waste management facility  subsequent to the final receipt of waste.
    "Operator" means the person responsible for the  overall operation and site management of a solid waste management facility. 
    "Owner" means the person who owns a solid waste  management facility or part of a solid waste management facility.
    "PCB" means any chemical substance that is limited  to the biphenyl molecule that has been chlorinated to varying degrees or any  combination of substances that contain such substance (see 40 CFR 761.3, as  amended).
    "Perennial stream" means a well-defined channel  that contains water year round during a year of normal rainfall. Generally, the  water table is located above the streambed for most of the year and groundwater  is the primary source for stream flow. A perennial stream exhibits the typical  biological, hydrological, and physical characteristics commonly associated with  the continuous conveyance of water.
    "Permit" means the written permission of the  director to own, operate, or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation, or any  other legal entity. 
    "Point source" means any discernible, confined, and  discrete conveyance, including but not limited to any pipe, ditch, channel,  tunnel, conduit, well, discrete fissure, container, rolling stock, vessel, or  other floating craft, from which pollutants are or may be discharged. Return  flows from irrigated agriculture are not included. 
    "Pollutant" means any substance that causes or  contributes to, or may cause or contribute to, environmental degradation when  discharged into the environment. 
    "Poor foundation conditions" means those areas  where features exist that indicate that a natural or man-induced event may  result in inadequate foundation support for the structural components of a  solid waste management facility. 
    "Postclosure" means the requirements placed upon  solid waste disposal facilities after closure to ensure environmental and  public health safety for a specified number of years after closure. 
    "Process rate" means the maximum rate of waste  acceptance that a solid waste management facility can process for a  treatment and/or storage. This rate is limited by the capabilities of  equipment, personnel, and infrastructure. 
    "Processing" means preparation, treatment, or  conversion of waste by a series of actions, changes, or functions that bring  about a desired end result. 
    "Professional engineer" means an engineer licensed  to practice engineering in the Commonwealth as defined by the rules and  regulations set forth by the Board of Architects, Professional Engineers, Land  Surveyors, and Landscape Architects (18VAC10-20).
    "Professional geologist" means a geologist licensed  to practice geology in the Commonwealth as defined by the rules and regulations  set forth by the Board for Geology (18VAC70-20).
    "Progressive cover" means cover material placed  over the working face of a solid waste disposal facility advancing over the  deposited waste as new wastes are added keeping the exposed area to a minimum. 
    "Putrescible waste" means solid waste that contains  organic material capable of being decomposed by micro-organisms and cause  odors. 
    "Qualified groundwater scientist" means a scientist  or engineer who has received a baccalaureate or postgraduate degree in the  natural sciences or engineering and has sufficient training and experience in  groundwater hydrology and related fields as may be demonstrated by professional  certifications, or completion of accredited university programs that enable  that individual to make sound professional judgments regarding groundwater  monitoring, contaminant fate and transport, and corrective action. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act of 1976 (42 USC  § 6901 et seq.), the Hazardous and Solid Waste Amendments of 1984, and any  other applicable amendments to these laws. 
    "Reclaimed material" means a material that is  processed or reprocessed to recover a usable product or is regenerated to a  usable form. 
    "Refuse" means all solid waste products having the  character of solids rather than liquids and that are composed wholly or  partially of materials such as garbage, trash, rubbish, litter, residues from  clean up of spills or contamination, or other discarded materials. 
    "Refuse-derived fuel (RDF)" means a type of  municipal solid waste produced by processing municipal solid waste through  shredding and size classification. This includes all classes of refuse-derived  fuel including low-density fluff refuse-derived fuel through densified  refuse-derived fuel and pelletized refuse-derived fuel.
    "Regulated hazardous waste" means a solid waste  that is a hazardous waste, as defined in the Virginia Hazardous Waste  Management Regulations (9VAC20-60), that is not excluded from those regulations  as a hazardous waste. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Release" means, for the purpose of this chapter,  any spilling, leaking, pumping, pouring, emitting, emptying, discharging,  injection, escaping, leaching, dumping, or disposing into the environment solid  wastes or hazardous constituents of solid wastes (including the abandonment or  discarding of barrels, containers, and other closed receptacles containing  solid waste). This definition does not include any release that results in  exposure to persons solely within a workplace; release of source, byproduct, or  special nuclear material from a nuclear incident, as those terms are defined in  the Atomic Energy Act of 1954 (68 Stat. 923); and the normal application of  fertilizer. For the purpose of this chapter, release also means substantial  threat of release. 
    "Remediation waste" means all solid waste,  including all media (groundwater, surface water, soils, and sediments) and  debris, that are managed for the purpose of remediating a site in accordance  with 9VAC20-81-45 or Part III (9VAC20-81-100 et seq.) of this chapter or under  the Voluntary Remediation Regulations (9VAC20-160) or other regulated  remediation program under DEQ oversight. For a given facility, remediation  wastes may originate only from within the boundary of that facility, and may  include wastes managed as a result of remediation beyond the boundary of the  facility. Hazardous wastes as defined in 9VAC20-60, as well as "new"  or "as generated" wastes, are excluded from this definition. 
    "Remediation waste management unit" or  "RWMU" means an area within a facility that is designated by the  director for the purpose of implementing remedial activities required under  this chapter or otherwise approved by the director. An RWMU shall only be used  for the management of remediation wastes pursuant to implementing such remedial  activities at the facility. 
    "Responsible official" means one of the following:
    1. For a business entity, such as a corporation, association,  limited liability company, or cooperative: a duly authorized representative of  such business entity if the representative is responsible for the overall  operation of one or more operating facilities applying for or subject to a  permit. The authority to sign documents must be assigned or delegated to such  representative in accordance with procedures of the business entity;
    2. For a partnership or sole proprietorship: a general partner  or the proprietor, respectively; or
    3. For a municipality, state, federal, or other public agency:  a duly authorized representative of the locality if the representative is responsible  for the overall operation of one or more operating facilities applying for or  subject to a permit. The authority to sign documents must be assigned or  delegated to such representative in accordance with procedures of the locality.
    "Rubbish" means combustible or slowly putrescible  discarded materials that include but are not limited to trees, wood, leaves,  trimmings from shrubs or trees, printed matter, plastic and paper products,  grass, rags and other combustible or slowly putrescible materials not included  under the term "garbage." 
    "Runoff" means any rainwater, leachate, or other  liquid that drains over land from any part of a solid waste management  facility. 
    "Run-on" means any rainwater, wastewater, leachate,  or other liquid that drains over land onto any part of the solid waste  management facility. 
    "Salvage" means the authorized, controlled removal  of waste materials from a solid waste management facility. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste that is so located, designed,  constructed, and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Saturated zone" means that part of the earth's crust  in which all voids are filled with water. 
    "Scavenging" means the unauthorized or uncontrolled  removal of waste materials from a solid waste management facility. 
    "Scrap metal" means metal parts such as bars, rods,  wire, empty containers, or metal pieces that are discarded material and can be  used, reused, or reclaimed. 
    "Secondary containment" means an enclosure into  which a container or tank is placed for the purpose of preventing discharge of  wastes to the environment. 
    "Seismic impact zone" means an area with a 10% or  greater probability that the maximum horizontal acceleration in lithified earth  material, expressed as a percentage of the earth's gravitational pull (g), will  exceed 0.10g in 250 years. 
    "Semiannual" means an interval corresponding to  approximately 180 days. For the purposes of scheduling monitoring activities,  sampling within 30 days of the 180-day interval will be considered semiannual. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste. 
    "Sludge" means any solid, semi-solid or liquid  waste generated from a municipal, commercial or industrial wastewater treatment  plant, water supply treatment plant, or air pollution control facility  exclusive of treated effluent from a wastewater treatment plant. 
    "Small landfill" means a landfill that disposed of  100 tons/day or less of solid waste during a representative period prior to  October 9, 1993, and did not dispose of more than an average of 100 tons/day of  solid waste each month between October 9, 1993, and April 9, 1994. 
    "Solid waste" means any of those materials defined  as "solid waste" in 9VAC20-81-95. 
    "Solid waste disposal facility" means a solid waste  management facility at which solid waste will remain after closure. 
    "Solid waste management facility" or  "SWMF" means a site used for planned treating, storing, or disposing  of solid waste. A facility may consist of several treatment, storage, or  disposal units. 
    "Special wastes" means solid wastes that are  difficult to handle, require special precautions because of hazardous  properties, or the nature of the waste creates waste management problems in  normal operations. (See Part VI (9VAC20-81-610 et seq.) of this chapter.) 
    "Speculatively accumulated material" means any  material that is accumulated before being used, reused, or reclaimed or in  anticipation of potential use, reuse, or reclamation. Materials are not being  accumulated speculatively when they can be used, reused, or reclaimed, have a  feasible means of use, reuse, or reclamation available and 75% of the materials  accumulated are being removed from the facility annually. 
    "State waters" means all water, on the surface and  under the ground, wholly or partially within, or bordering the Commonwealth, or  within its jurisdiction. 
    "Storage" means the holding of waste, at the end of  which the waste is treated, disposed, or stored elsewhere. 
    "Structural fill" means an engineered fill with a  projected beneficial end use, constructed using soil or fossil fuel combustion  products spread and compacted with proper equipment and covered with a  vegetated soil cap. 
    "Sudden event" means a one-time, single event such  as a sudden collapse or a sudden, quick release of contaminants to the  environment. An example would be the sudden loss of leachate from an impoundment  into a surface stream caused by failure of a containment structure. 
    "Surface impoundment or impoundment" means a  facility or part of a facility that is a natural topographic depression,  manmade excavation, or diked area formed primarily of earthen materials  (although it may be lined with manmade materials), that is designed to hold an  accumulation of liquid wastes or wastes containing free liquids and that is not  an injection well. 
    "Surface waters" means all state waters that are  not groundwater as defined in § 62.1-255 of the Code of Virginia.
    "SW-846" means Test Methods for Evaluating Solid  Waste, Physical/Chemical Methods, EPA Publication SW-846, Second Edition, 1982  as amended by Update I (April, 1984), and Update II (April, 1985) and the third  edition, November, 1986, as amended. 
    "Tank" means a stationary device, designed to  contain an accumulation of liquid or semi-liquid components of solid waste that  is constructed primarily of nonearthen materials that provide structural  support. 
    "TEF" or "Toxicity Equivalency Factor"  means a factor developed to account for different toxicities of structural  isomers of polychlorinated dibenzodioxins and dibenzofurans and to relate them  to the toxicity of 2,3,7,8-tetrachloro dibenzo-p-dioxin. 
    "Terminal" means the location of transportation  facilities such as classification yards, docks, airports, management offices,  storage sheds, and freight or passenger stations, where solid waste that is  being transported may be loaded, unloaded, transferred, or temporarily stored. 
    "Thermal treatment" means the treatment of solid  waste in a device that uses elevated temperature as the primary means to change  the chemical, physical, or biological character, or composition of the solid  waste. 
    "Tire chip" means a material processed from waste  tires that is a nominal two square inches in size, and ranges from 1/4 inch to  four inches in any dimension. Tire chips contain no wire protruding more than  1/4 inch. 
    "Tire shred" means a material processed from waste  tires that is a nominal 40 square inches in size, and ranges from 4 inches to  10 inches in any dimension. 
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration, or resource recovery. 
    "Trash" means combustible and noncombustible  discarded materials and is used interchangeably with the term rubbish. 
    "Treatment" means, for the purpose of this chapter,  any method, technique, or process, including but not limited to incineration,  designed to change the physical, chemical, or biological character or  composition of any waste to render it more stable, safer for transport, or more  amenable to use, reuse, reclamation, recovery, or disposal. 
    "Underground source of drinking water" means an  aquifer or its portion:
    1. Which contains water suitable for human consumption; or
    2. In which the groundwater contains less than 10,000 mg/liter  total dissolved solids. 
    "Unit" means a discrete area of land used for the  disposal of solid waste. 
    "Unstable area" means a location that is  susceptible to natural or human-induced events or forces capable of impairing  the integrity of some or all of the landfill structural components responsible  for preventing releases from a landfill. Unstable areas can include poor  foundation conditions, areas susceptible to mass movements, and karst terranes.  
    "Uppermost aquifer" means the geologic formation  nearest the natural ground surface that is an aquifer, as well as, lower  aquifers that are hydraulically interconnected with this aquifer within the  facility boundary. 
    "Used or reused material" means a material that is  either: 
    1. Employed as an ingredient (including use as an  intermediate) in a process to make a product, excepting those materials  possessing distinct components that are recovered as separate end products; or 
    2. Employed in a particular function or application as an  effective substitute for a commercial product or natural resources. 
    "Vector" means a living animal, insect, or other  arthropod that transmits an infectious disease from one organism to another. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, woody wastes such as shrub and tree  prunings, bark, limbs, roots, and stumps. 
    "Vermicomposting" means the controlled and managed  process by which live worms convert organic residues into fertile excrement.
    "Vertical design capacity" means the maximum design  elevation specified in the facility's permit or if none is specified in the  permit, the maximum elevation based on a 3:1 slope from the waste disposal unit  boundary. 
    "VPDES" (Virginia Pollutant Discharge Elimination  System) means the Virginia system for the issuance of permits pursuant to the  Permit Regulation (9VAC25-31), the State Water Control Law (§ 62.1-44.2 et  seq. of the Code of Virginia), and § 402 of the Clean Water Act (33 USC  § 1251 et seq.). 
    "Washout" means carrying away of solid waste by  waters of the base flood. 
    "Waste-derived fuel product" means a solid waste or  combination of solid wastes that have been treated (altered physically,  chemically, or biologically) to produce a fuel product with a minimum heating  value of 5,000 BTU/lb. Solid wastes used to produce a waste-derived fuel  product must have a heating value, or act as binders, and may not be added to  the fuel for the purpose of disposal. Waste ingredients may not be listed or  characteristic hazardous wastes. The fuel product must be stable at ambient  temperature, and not degraded by exposure to the elements. This material may  not be "refuse derived fuel (RDF)" as defined in 9VAC5-40-890. 
    "Waste management boundary" means the vertical  plane located at the boundary line of the area approved in the Part A  application for the disposal of solid waste and storage of leachate. This  vertical plane extends down into the uppermost aquifer and is within the  facility boundary.
    "Waste pile" means any noncontainerized  accumulation of nonflowing, solid waste that is used for treatment or storage. 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. (See 9VAC20-150 for other definitions dealing with the  waste tire program.) 
    "Wastewaters" means, for the purpose of this  chapter, wastes that contain less than 1.0% by weight total organic carbon  (TOC) and less than 1.0% by weight total suspended solids (TSS). 
    "Water pollution" means such alteration of the  physical, chemical, or biological properties of any state water as will or is  likely to create a nuisance or render such waters: 
    1. Harmful or detrimental or injurious to the public health,  safety, or welfare, or to the health of animals, fish, or aquatic life or  plants; 
    2. Unsuitable, with reasonable treatment, for use as present  or possible future sources of public water supply; or
    3. Unsuitable for recreational, commercial, industrial, agricultural,  or other reasonable uses, provided that:
    a. An alteration of the physical, chemical, or biological  properties of state waters or a discharge or deposit of sewage, industrial  wastes, or other wastes to state waters by any owner that by itself is not  sufficient to cause pollution but which in combination with such alteration or  discharge or deposit to state waters by other persons is sufficient to cause  pollution;
    b. The discharge of untreated sewage by any person into state  waters; and 
    c. The contribution to the degradation of water quality  standards duly established by the State Water Control Board, are  "pollution" for the terms and purposes of this chapter. 
    "Water table" means the upper surface of the zone  of saturation in groundwaters in which the hydrostatic pressure is equal to the  atmospheric pressure. 
    "Waters of the United States" or "waters of  the U.S." means:
    1. All waters that are currently used, were used in the past,  or may be susceptible to use in interstate or foreign commerce, including all  waters that are subject to the ebb and flow of the tide;
    2. All interstate waters, including interstate  "wetlands";
    3. All other waters such as intrastate lakes, rivers, streams  (including intermittent streams), mud flats, sand flats, "wetlands,"  sloughs, prairie potholes, wet meadows, playa lakes, or natural ponds the use,  degradation, or destruction of which would affect or could affect interstate or  foreign commerce including:
    a. Any such waters that are or could be used by interstate or  foreign travelers for recreational or other purposes;
    b. Any such waters from which fish or shellfish are or could  be taken and sold in interstate or foreign commerce;
    c. Any such waters that are used or could be used for  industrial purposes by industries in interstate commerce;
    d. All impoundments of waters otherwise defined as waters of  the United States under this definition; 
    e. Tributaries of waters identified in subdivisions 3 a  through d of this definition;
    f. The territorial sea; and 
    g. Wetlands adjacent to waters (other than waters that are  themselves wetlands) identified in subdivisions 3 a through f of this  definition. 
    "Wetlands" means those areas that are defined by  the federal regulations under 33 CFR Part 328, as amended. 
    "White goods" means any stoves, washers, hot water  heaters, and other large appliances. 
    "Working face" means that area within a landfill  that is actively receiving solid waste for compaction and cover. 
    "Yard waste" means a subset of vegetative waste and  means decomposable waste materials generated by yard and lawn care and includes  leaves, grass trimmings, brush, wood chips, and shrub and tree trimmings. Yard  waste shall not include roots or stumps that exceed 12 inches in diameter. 
    9VAC20-81-35. Applicability of chapter.
    A. This chapter applies to all persons who treat, store,  dispose, or otherwise manage solid wastes as defined in Part III  (9VAC20-81-100 et seq.) of this chapter 9VAC20-81-95. 
    B. All facilities that were permitted prior to March 15,  1993, and upon which solid waste has been disposed of prior to October 9, 1993,  may continue to receive solid waste until they have reached their vertical  design capacity or until the closure date established pursuant to § 10.1-1413.2  of the Code of Virginia, in Table 2.1 provided: 
    1. The facility is in compliance with the requirements for  liners and leachate control in effect at the time of permit issuance. 
    2. On or before October 9, 1993, the owner or operator of the  solid waste management facility submitted to the director: 
    a. An acknowledgment that the owner or operator is familiar  with state and federal law and regulations pertaining to solid waste management  facilities operating after October 9, 1993, including postclosure care,  corrective action, and financial responsibility requirements; 
    b. A statement signed by a professional engineer that he has  reviewed the regulations established by the department for solid waste  management facilities, including the open dump criteria contained therein, that  he has inspected the facility and examined the monitoring data compiled for the  facility in accordance with applicable regulations and that, on the basis of  his inspection and review, he has concluded: 
    (1) That the facility is not an open dump; 
    (2) That the facility does not pose a substantial present or  potential hazard to human health and the environment; and 
    (3) That the leachate or residues from the facility do not  pose a threat of contamination or pollution of the air, surface water, or  groundwater in a manner constituting an open dump or resulting in a substantial  present or potential hazard to human health or the environment; and 
    c. A statement signed by the owner or operator: 
    (1) That the facility complies with applicable financial  assurance regulations; and 
    (2) Estimating when the facility will reach its vertical  design capacity. 
    3. Enlargement or closure of these facilities shall conform  with the following subconditions:
    a. The facility may not be enlarged prematurely to avoid  compliance with this chapter when such enlargement is not consistent with past  operating practices, the permit, or modified operating practices to ensure good  management.
    b. The facility shall not dispose of solid waste in any  portion of a landfill disposal area that has received final cover or has not  received waste for a period of one year, in accordance with 9VAC20-81-160 C.  The facility shall notify the department, in writing, within 30 days, when an  area has received final cover or has not received waste for a one-year period,  in accordance with 9VAC20-81-160 C. However, a facility may apply for a permit,  and if approved, can construct and operate a new cell that overlays  ("piggybacks") over a closed area in accordance with the permit  requirements of this chapter.
    c. The facilities subject to the restrictions in this  subsection are listed in Table 2.1. The closure dates were established in:  Final Prioritization and Closure Schedule for HB 1205 Disposal Areas (DEQ,  September 2001). The publication of these tables is for the convenience of the  regulated community and does not change established dates. Any facility,  including, but not limited to those listed in Table 2.1, must cease operation  if that facility meets any of the open dump criteria listed in 9VAC20-81-45 A  1.
    d. Those facilities assigned a closure date in accordance with  § 10.1-1413.2 of the Code of Virginia shall designate on a map, plat, diagram,  or other engineered drawing, areas in which waste will be disposed of in  accordance with Table 2.1 until the latest cessation of waste acceptance date  as listed in Table 2.1 is achieved. This map or plat shall be placed in the  operating record and a copy shall be submitted upon request to the department  in order to track the progress of closure of these facilities. If the facility  already has provided this information under 9VAC20-81-160, then the facility  may refer to that information.
           |      TABLE 2.1      Final Prioritization and Closure Schedule For House Bill (HB) 1205 Disposal    Areas       |    
       |      Solid Waste Permit Number and    Site Name      |          Location      |          Department Regional Office1      |          Latest Cessation of Waste    Acceptance Date2      |    
       |      429 - Fluvanna County Sanitary    Landfill      |          Fluvanna County      |          VRO      |          12/31/2007      |    
       |      92 - Halifax County Sanitary    Landfill3      |          Halifax County      |          BRRO      |          12/31/2007      |    
       |      49 - Martinsville Landfill      |          City of Martinsville      |          BRRO      |          12/31/2007      |    
       |      14 - Mecklenburg County    Landfill      |          Mecklenburg County      |          BRRO      |          12/31/2007      |    
       |      228 - Petersburg City Landfill3      |          City of Petersburg      |          PRO      |          12/31/2007      |    
       |      31 - South Boston Sanitary    Landfill      |          Town of South Boston      |          BRRO      |          12/31/2007      |    
       |      204 - Waynesboro City Landfill      |          City of Waynesboro      |          VRO      |          12/31/2007      |    
       |      91 - Accomack County Landfill    – Bobtown South      |          Accomack County      |          TRO      |          12/31/2012      |    
       |      580 – Bethel Landfill3       |          City of Hampton      |          TRO      |          12/31/2012      |    
       |      182 - Caroline County Landfill      |          Caroline County      |          NVRO      |          12/31/2012      |    
       |      149 - Fauquier County Landfill      |          Fauquier County      |          NVRO      |          12/31/2012      |    
       |      405 - Greensville County    Landfill      |          Greensville County      |          PRO      |          12/31/2012      |    
       |      29 - Independent Hill Landfill3      |          Prince William County      |          NVRO      |          12/31/2012      |    
       |      1 - Loudoun County Sanitary    Landfill      |          Loudoun County      |          NVRO      |          12/31/2012      |    
       |      194 - Louisa County Sanitary    Landfill      |          Louisa County      |          NVRO      |          12/31/2012      |    
       |      227 - Lunenburg County    Sanitary Landfill      |          Lunenburg County      |          BRRO      |          12/31/2012      |    
       |      507 - Northampton County    Landfill      |          Northampton County      |          TRO      |          12/31/2012      |    
       |      90 - Orange County Landfill      |          Orange County      |          NVRO      |          12/31/2012      |    
       |      75 - Rockbridge County    Sanitary Landfill      |          Rockbridge County      |          VRO      |          12/31/2012      |    
       |      23 - Scott County Landfill      |          Scott County      |          SWRO      |          12/31/2012      |    
       |      587 - Shoosmith Sanitary    Landfill3      |          Chesterfield County      |          PRO      |          12/31/2012      |    
       |      417 - Southeastern Public    Service Authority Landfill3       |          City of Suffolk      |          TRO      |          12/31/2012      |    
       |      461 - Accomack County Landfill    #2      |          Accomack County      |          TRO      |          12/31/2020      |    
       |      86    - Appomattox County Sanitary Landfill      |          Appomattox    County      |          BRRO      |          12/31/2020      |    
       |      582 - Botetourt County    Landfill3      |          Botetourt County      |          BRRO      |          12/31/2020      |    
       |      498 - Bristol City Landfill      |          City of Bristol      |          SWRO      |          12/31/2020      |    
       |      72 - Franklin County Landfill      |          Franklin County      |          BRRO      |          12/31/2020      |    
       |      398 - Virginia Beach Landfill    #2 – Mount Trashmore II3      |          City of Virginia Beach      |          TRO      |          12/31/2020      |    
       |      Notes:       |                 |                 |                 |    
       |      1Department of Environmental Quality Regional Offices:      |    
       |      BRRO      |          Blue Ridge Regional Office      |    
       |      NVRO      |          Northern Virginia Regional    Office      |    
       |      PRO      |          Piedmont Regional Office       |    
       |      SWRO      |          Southwest Regional    Office       |    
       |      TRO      |          Tidewater Regional    Office       |    
       |      VRO      |          Valley Regional Office       |    
       |      2This date means the latest date that the disposal    area must cease accepting waste.       |    
       |      3A portion of these facilities operated under HB 1205    and another portion currently is compliant with Subtitle D    requirements.       |    
        |      |      |      |      |    
  
    C. Facilities are authorized to expand beyond the waste  boundaries existing on October 9, 1993, as follows: 
    1. Existing captive industrial landfills. 
    a. Existing nonhazardous industrial waste facilities that are  located on property owned or controlled by the generator of the waste disposed  of in the facility shall comply with all the provisions of this chapter except  as shown in subdivision 1 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a captive industrial landfill  beyond the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements in effect at  the time of permit issuance. 
    c. Owners or operators of facilities that are authorized under  subdivision 1 of this subsection to accept waste for disposal beyond the waste  boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120. 
    d. Facilities authorized for expansion in accordance with  subdivision 1 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    2. Other existing industrial waste landfills. 
    a. Existing nonhazardous industrial waste facilities that are  not located on property owned or controlled by the generator of the waste  disposed of in the facility shall comply with all the provisions of this  chapter except as shown in subdivision 2 of this subsection. 
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand an industrial landfill beyond  the waste boundaries existing on October 9, 1993. Liners and leachate  collection systems constructed beyond the waste boundaries existing on October  9, 1993, shall be constructed in accordance with the requirements of  9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 2 of this subsection to accept waste for disposal beyond the  waste boundaries existing on October 9, 1993, shall ensure that such expanded  disposal areas maintain setback distances applicable to such facilities in  9VAC20-81-120 and 9VAC20-81-130.
    e. Facilities authorized for expansion in accordance with  subdivision 2 of this subsection are limited to expansion to the limits of the  permitted disposal area existing on October 9, 1993, or the facility boundary  existing on October 9, 1993, if no discrete disposal area is defined in the  facility permit. 
    3. Existing construction/demolition/debris landfills. 
    a. Existing facilities that accept only  construction/demolition/debris waste shall comply with all the provisions of  this chapter except as shown in subdivision 3 of this subsection.
    b. Facility owners or operators shall not be required to  modify their facility permit in order to expand a  construction/demolition/debris landfill beyond the waste boundaries existing on  October 9, 1993. Liners and leachate collection systems constructed beyond the  waste boundaries existing on October 9, 1993, shall be constructed in  accordance with the requirements of 9VAC20-81-130. 
    c. Prior to the expansion of any such facility, the owner or  operator shall submit to the department a written notice of the proposed  expansion at least 60 days prior to commencement of construction. The notice  shall include recent groundwater monitoring data sufficient to determine that  the facility does not pose a threat of contamination of groundwater in a manner  constituting an open dump or creating a substantial present or potential hazard  to human health or the environment (see 9VAC20-81-45). The director shall  evaluate the data included with the notification and may advise the owner or  operator of any additional requirements that may be necessary to ensure  compliance with applicable laws and prevent a substantial present or potential  hazard to health or the environment. 
    d. Owners or operators of facilities which are authorized  under subdivision 3 of this subsection to accept waste for disposal beyond the  active portion of the landfill existing on October 9, 1993, shall ensure that  such expanded disposal areas maintain setback distances applicable to such  facilities in 9VAC20-81-120 and 9VAC20-81-130. 
    e. Facilities, or portions thereof, which have reached their  vertical design capacity shall be closed in compliance with 9VAC20-81-160. 
    f. Facilities authorized for expansion in accordance with  subdivision 3 of this subsection are limited to expansion to the permitted  disposal area existing on October 9, 1993, or the facility boundary existing on  October 9, 1993, if no discrete disposal area is defined in the facility  permit. 
    4. Facilities or units undergoing expansion in accordance with  the partial exemptions created by subdivision 1 b, 2 b, or 3 b of this  subsection may not receive hazardous wastes generated by the exempt small  quantity generators, as defined by the Virginia Hazardous Waste Management  Regulations ( 9VAC20-60), for disposal on the expanded portions of the  facility. Other wastes that require special handling in accordance with the  requirements of Part VI (9VAC20-81-610 et seq.) of this chapter or that contain  hazardous constituents that would pose a risk to health or environment, may  only be accepted with specific approval by the director. 
    5. Nothing in subdivisions 1 b, 2 b, and 3 b of this  subsection shall alter any requirement for ground water monitoring, financial  responsibility, operator certification, closure, postclosure care, operation,  maintenance, or corrective action imposed under this chapter, or impair the  powers of the director to revoke or modify a permit pursuant to § 10.1-1409  of the Virginia Waste Management Act or Part V (9VAC20-81-400 et seq.) of this  chapter. 
    D. An owner or operator of a previously unpermitted facility  or unpermitted activity that managed materials previously exempt or excluded  from this chapter shall submit a complete application for a solid waste  management facility permit, permit by rule or a permit modification, as  applicable, in accordance with Part V (9VAC20-81-430 et seq.) of this chapter  within six months after these materials have been defined or identified as  solid wastes. If the director finds that the application is complete, the owner  or operator may continue to manage the newly defined or identified waste until  a permit or permit modification decision has been rendered or until a date two  years after the change in definition whichever occurs sooner, provided however,  that in so doing he shall not operate or maintain an open dump, a hazard, or a  nuisance. 
    Owners or operators of solid waste management facilities in  existence prior to September 24, 2003, shall now be in compliance with this  chapter. Where conflicts exist between the existing facility permit and the new  requirements of the regulations, the regulations shall supersede the permit  except where the standards in the permit are more stringent than the  regulation. Language in an existing permit shall not act as a shield to  compliance with the regulation, unless a variance to the regulations has been  approved by the director in accordance with the provisions of Part VII  (9VAC20-81-700 et seq.) of this chapter. Existing facility permits will not be  required to be updated to eliminate requirements conflicting with the  regulation, except at the request of the director or if a permit is modified  for another reason. However, all sanitary landfills and incinerators that  accept waste from jurisdictions outside of Virginia must have submitted the  materials required under 9VAC20-81-100 E 4 by March 22, 2004. 
    E. This chapter is not applicable to landfill units closed in  accordance with regulations or permits in effect prior to December 21, 1988,  unless releases from these closed landfills meet the open dump criteria found  in 9VAC20-81-45, or the closed landfills are found to be a hazard or a nuisance  under subdivision 21 of § 10.1-1402 of the Code of Virginia, or a site  where improper waste management has occurred under subdivision 19 of  § 10.1-1402 of the Code of Virginia.
    9VAC20-81-95. Identification of solid waste.
    A. Wastes identified in this part section  are solid wastes that are subject to this chapter unless regulated  pursuant to other applicable regulations issued by the department. 
    B. Except as otherwise provided, the definition of solid  waste per 40 CFR 261.2 as incorporated by 9VAC20-60-261, as amended, is also  hereby incorporated as part of this chapter. Except as otherwise provided, all  material definitions, reference materials and other ancillaries that are a part  of 9VAC20-60-261, as amended, are also hereby incorporated as part of this  chapter as well.
    C. Except as otherwise modified or excepted by 9VAC20-60, the  materials listed in the regulations of the United States Environmental  Protection Agency set forth in 40 CFR 261.4 (a) are considered a solid waste  for the purposes of this chapter. However, these materials are not regulated  under the provisions of this chapter if all conditions specified therein are  met. This list and all material definitions, reference materials and other  ancillaries that are part of 40 CFR Part 261.4 (a), as incorporated, modified  and/or accepted by 9VAC20-60 are incorporated as part of this chapter. In  addition, the following materials are not solid wastes for the purpose of this  chapter:
    1. Materials generated by any of the following, which are  returned to the soil as fertilizers: 
    a. The growing and harvesting of agricultural crops. 
    b. The raising and husbanding of animals, including animal  manures and used animal bedding. 
    2. Mining overburden returned to the mine site. 
    3. Recyclable materials used in manner constituting disposal  per 9VAC20-60-266. 
    4. Wood wastes burned for energy recovery. 
    5. Materials that are:
    a. Used or reused, or prepared for use or reuse, as an  ingredient in an industrial process to make a product, or as effective  substitutes for commercial products or natural resources provided the materials  are not being reclaimed or accumulated speculatively; or 
    b. Returned to the original process from which they are  generated. 
    6. Materials that are beneficially used as determined by the  department under this subsection. The department may consider other waste  materials and uses to be beneficial in accordance with the provisions of  9VAC20-81-97. 
    7. The following materials and uses listed in this part are  exempt from this chapter as long as they are managed so they do not create an  open dump, hazard, or public nuisance. These materials and the designated use  are considered a beneficial use of waste materials: 
    a. Clean wood, wood chips, or bark from land clearing, logging  operations, utility line clearing and maintenance operations, pulp and paper  production, and wood products manufacturing, when these materials are placed in  commerce for service as mulch, landscaping, animal bedding, erosion control,  habitat mitigation, wetlands restoration, or bulking agent at a compost  facility operated in compliance with Part IV (9VAC20-81-300 et seq.) of this  chapter;
    b. Clean wood combustion residues when used for pH adjustment  in compost, liquid absorbent in compost, or as a soil amendment or fertilizer,  provided the application rate of the wood ash is limited to the nutrient need  of the crop grown on the land on which the wood combustion residues will be  applied and provided that such application meets the requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    c. Compost that satisfies the applicable requirements of the  Virginia Department of Agriculture and Consumer Services (2VAC5-400 and  2VAC5-410); 
    d. Nonhazardous, contaminated soil that has been excavated as  part of a construction project and that is used as backfill for the same  excavation or excavations containing similar contaminants at the same site, at  concentrations at the same level or higher. Excess contaminated soil from these  projects is subject to the requirements of this chapter; 
    e. Nonhazardous petroleum contaminated soil that has been  treated to the satisfaction of the department in accordance with 9VAC20-81-660;  
    f. Nonhazardous petroleum contaminated soil when incorporated  into asphalt pavement products; 
    g. Solid wastes that are approved in advance of the placement,  in writing, by the department or that are specifically mentioned in the  facility permit for use as alternate daily cover material or other protective  materials for landfill liner or final cover system components; 
    h. Fossil fuel combustion products when used as a material in  the manufacturing of another product (e.g., concrete, concrete products,  lightweight aggregate, roofing materials, plastics, paint, flowable fill) or as  a substitute for a product or material resource (e.g., blasting grit, roofing  granules, filter cloth pre-coat for sludge dewatering, pipe bedding); 
    i. Tire chips and tire shred when used as a sub base fill for  road base materials or asphalt pavements when approved by the Virginia  Department of Transportation or by a local governing body; 
    j. Tire chips, tire shred, and ground rubber used in the  production of commercial products such as mats, pavement sealers, playground  surfaces, brake pads, blasting mats, and other rubberized commercial products; 
    k. Tire chips and tire shred when used as backfill in landfill  gas or leachate collection pipes, recirculation lines, and drainage material in  landfill liner and cover systems, and gas interception or remediation  applications; 
    l. Waste tires, tire chips or tire shred when burned for  energy recovery or when used in pyrolysis, gasification, or similar treatment  process to produce fuel; 
    m. "Waste -derived fuel product,"  as defined in 9VAC20-81-10, derived from nonhazardous solid waste; 
    n. Uncontaminated concrete and concrete products, asphalt  pavement, brick, glass, soil, and rock placed in commerce for service as a  substitute for conventional aggregate; and
    o. Clean, ground gypsum wallboard when used as a soil  amendment or fertilizer, provided the following conditions are met:
    (1) No components of the gypsum wallboard have been glued,  painted, or otherwise contaminated from manufacture or use (e.g., waterproof or  fireproof drywall) unless otherwise processed to remove contaminants. 
    (2) The gypsum wallboard shall be processed so that 95% of the  gypsum wallboard is less than 1/4 inch by 1/4 inch in size, unless an alternate  size is approved by the department.
    (3) The gypsum wallboard shall be applied only to  agricultural, silvicultural, landscaped, or mined lands or roadway construction  sites that need fertilization.
    (4) The application rate for the ground gypsum wallboard shall  not exceed the following rates.
           |      Region      |          Rate      |    
       |      Piedmont, Mountains, and Ridge and Valley      |          250 lbs/1,000 ft2      |    
       |      Coastal Plain      |          50 lbs/1,000 ft2      |    
       |      Note: These weights are for dry ground gypsum wallboard.      |    
  
    D. The following activities are conditionally exempt from  this chapter provided no open dump, hazard, or public nuisance is created: 
    1. Composting of sewage sludge at the sewage treatment plant  of generation without addition of other types of solid wastes.
    2. Composting of household waste generated at a residence and  composted at the site of generation. 
    3. Composting activities performed for educational purposes as  long as no more than 100 cubic yards of materials are on site at any time.  Greater quantities will be allowed with suitable justification presented to the  department. For quantities greater than 100 cubic yards, approval from the  department will be required prior to composting.
    4. Composting of animal carcasses onsite at the farm of  generation.
    5. Composting of vegetative waste and/or yard waste generated  onsite by owners or operators of agricultural operations or owners of the real  property or those authorized by the owners of the real property provided:
    a. All decomposed vegetative waste and compost produced is  utilized on said property;
    b. No vegetative waste or other waste material generated from  other sources other than said property is received;
    c. All applicable standards of local ordinances that govern or  concern vegetative waste handling, composting, storage or disposal are  satisfied; and 
    d. They pose no nuisance or present no potential threat to  human health or the environment. 
    6. Composting of yard waste by owners or operators who accept  yard waste generated offsite shall be exempt from all other provisions of this  chapter as applied to the composting activities provided the requirements of  9VAC20-81-397 B are met.
    7. Composting of preconsumer food waste and kitchen culls  generated onsite and composted in containers designed to prohibit vector  attraction and prevent nuisance odor generation. 
    8. Vermicomposting, when used to process Category I, Category  II, or Category III feedstocks in containers designed to prohibit vector  attraction and prevent nuisance odor generation. If offsite feedstocks are  received no more than 100 cubic yards of materials may be onsite at any one  time. For quantities greater than 100 cubic yards, approval from the department  will be required prior to composting.
    9. Composting of sewage sludge or combinations of sewage  sludge with nonhazardous solid waste provided the composting facility is  permitted under the requirements of a Virginia Pollution Abatement (VPA) or  VPDES permit.
    10. Management of solid waste in appropriate containers at the  site of its generation, provided that: 
    a. Putrescible waste is not stored more than seven days  between time of collection and time of removal for disposal; 
    b. Nonputrescible wastes are not stored more than 90 days  between time of collection and time of removal for proper management; and
    c. Treatment of waste is conducted in accordance with the  following:
    (1) In accordance with a waste analysis plan that:
    (a) Contains a detailed chemical and physical analysis of a  representative sample of the waste being treated, and contains all records  necessary to treat the waste in accordance with the requirements of this part,  including the selected testing frequency; and
    (b) Is kept in the facility's onsite file and made available  to the department upon request.
    (2) Notification is made to the receiving waste management  facility that the waste has been treated.
    11. Using rocks, brick, block, dirt, broken concrete, crushed  glass, porcelain, and road pavement as clean fill. 
    12. Storage of less than 100 waste tires at the site of  generation provided that no waste tires are accepted from offsite and that the  storage will not present a hazard or a nuisance.
    13. Storage in piles of land-clearing debris including stumps  and brush, clean wood wastes, log yard scrapings consisting of a mixture of  soil and wood, cotton gin trash, peanut hulls, and similar organic wastes that  do not readily decompose, are exempt from this chapter if they meet the  following conditions at a minimum: 
    a. The wastes are managed in the following manner: 
    (1) They do not cause discharges of leachate, or attract  vectors. 
    (2) They cannot be dispersed by wind and rain. 
    (3) Fire is prevented. 
    (4) They do not become putrescent. 
    b. Any facility storing waste materials under the provisions  of this subsection shall obtain a storm water discharge permit if they are  considered a significant source under the provisions of 9VAC25-31-120 A 1 c. 
    c. No more than a total of 1/3 acre of waste material is  stored onsite and the waste pile does not exceed 15 feet in height above base  grade. 
    d. Siting provisions. 
    (1) All log yard scrapings consisting of a mixture of soil and  wood, cotton gin trash, peanut hulls, and similar organic wastes that do not  readily decompose are stored at the site of the industrial activity that  produces them; 
    (2) A 50-foot fire break is maintained between the waste pile  and any structure or tree line; 
    (3) The slope of the ground within the area of the pile and  within 50 feet of the pile does not exceed 4:1; 
    (4) No waste material may be stored closer than 50 feet to any  regularly flowing surface water body or river, floodplain, or wetland; and
    (5) No stored waste materials shall extend closer than 50 feet  to any property line. 
    e. If activities at the site cease, any waste stored at the  site must be properly managed in accordance with these regulations within 90  days. The director can approve longer time frames with appropriate  justification. Justification must be provided in writing no more than 30 days  after ceasing activity at the site. 
    f. Waste piles that do not meet these provisions are required  to obtain a permit in accordance with the permitting provisions in Part V  (9VAC20-81-400 et seq.) of this chapter and meet all of the applicable waste  pile requirements in Part IV (9VAC20-81-300 et seq.) of this chapter.  Facilities that do not comply with the provisions of this subsection and fail  to obtain a permit are subject to the provisions of 9VAC20-81-40.
    14. Storage of nonhazardous solid wastes and hazardous wastes,  or hazardous wastes from conditionally exempt small quantity generators as  defined in Virginia Hazardous Waste Management Regulations (9VAC20-60) at a  transportation terminal or transfer station in closed containers meeting the  U.S. Department of Transportation specifications is exempt from this section  and the permitting provisions of Part V (9VAC20-81-400 et seq.) of this chapter  provided such wastes are removed to a permitted storage or disposal facility  within 10 days from the initial receipt from the waste generator. To be  eligible for this exemption, each shipment must be properly documented to show  the name of the generator, the date of receipt by the transporter, and the date  and location of the final destination of the shipment. The documentation shall  be kept at the terminal or transfer station for at least three years after the  shipment has been completed and shall be made available to the department upon  request. All such activities shall comply with any local ordinances.
    15. Open burning in accordance with the requirements of  9VAC5-130-40. 
    16. Open burning of vegetative waste is allowed at a closed  landfill that has not been released from postclosure care. The activity shall  be included in the text of the postclosure plan and conducted in accordance  with § 10.1-1410.3 of the Code of Virginia.
    17. Placement of trees, brush, or other vegetation from land  used for agricultural or silvicultural purposes on the same property or other  property of the same landowner. 
    18. Using fossil fuel combustion products in one or more of  the following applications or when handled, processed, transported, or  stockpiled for the following uses: 
    a. As a base, sub-base or fill material under a paved road,  the footprint of a structure, a paved parking lot, sidewalk, walkway or similar  structure, or in the embankment of a road. In the case of roadway embankments,  materials will be placed in accordance with VDOT specifications, and exposed  slopes not directly under the surface of the pavement must have a minimum of 18  inches of soil cover over the fossil fuel combustion products, the top six  inches of which must be capable of sustaining the growth of indigenous plant  species or plant species adapted to the area. The use, reuse, or reclamation of  unamended coal combustion byproduct shall not be placed in an area designated  as a 100-year flood plain;
    b. Processed with a cementitious binder to produce a  stabilized structural fill product that is spread and compacted with proper  equipment for the construction of a project with a specified end use; or
    c. For the extraction or recovery of materials and compounds  contained within the fossil fuel combustion products.
    E. The following solid wastes are exempt from this chapter  provided that they are managed in accordance with the requirements promulgated  by other applicable state or federal agencies: 
    1. Management of wastes regulated by the State Board of  Health, the State Water Control Board, the Air Pollution Control Board, the  Department of Mines, Minerals and Energy, Department of Agriculture and  Consumer Services, or any other state or federal agency with such authority.
    2. Drilling fluids, produced waters, and other wastes  associated with the exploration, development, or production of crude oil,  natural gas, or geothermal energy. 
    3. Solid waste from the extraction, beneficiation, and  processing of ores and minerals, including coal. 
    4. Fossil fuel combustion products used for mine reclamation,  mine subsidence, or mine refuse disposal on a mine site permitted by the  Virginia Department of Mines, Minerals and Energy (DMME) when used in  accordance with the standards.
    5. Solid waste management practices that involve only the  onsite placing of solid waste from mineral mining activities at the site of  those activities and in compliance with a permit issued by the DMME, that do  not include any municipal solid waste, are accomplished in an environmentally  sound manner, and do not create an open dump, hazard or public nuisance are  exempt from all requirements of this chapter.
    6. Waste or byproduct derived from an industrial process that  meets the definition of fertilizer, soil amendment, soil conditioner, or  horticultural growing medium as defined in § 3.2-3600 of the Code of Virginia,  or whose intended purpose is to neutralize soil acidity (see § 3.2-3700 of the  Code of Virginia), and that is regulated under the authority of the Virginia  Department of Agriculture and Consumer Services. 
    7. Fossil fuel combustion products bottom ash or boiler slag  used as a traction control material or road surface material if the use is  consistent with Virginia Department of Transportation practices.
    8. Waste tires generated by and stored at salvage yards  licensed by the Department of Motor Vehicles provided that such storage  complies with requirements set forth in § 10.1-1418.2 and such storage  does not pose a hazard or nuisance. 
    9. Tire chips used as the drainage material in construction of  septage drain fields regulated under the authority of the Virginia Department  of Health.
    F. The following solid wastes are exempt from this chapter  provided that they are reclaimed or temporarily stored incidentally to  reclamation, are not accumulated speculatively, and are managed without  creating an open dump, hazard, or a public nuisance: 
    1. Paper and paper products; 
    2. Clean wood waste that is to undergo size reduction in order  to produce a saleable product, such as mulch;
    3. Cloth;
    4. Glass;
    5. Plastics;
    6. Tire chips, tire shred, ground rubber; and
    7. Mixtures of above materials only. Such mixtures may include  scrap metals excluded from regulation in accordance with the provisions of  subsection C of this section.
    9VAC20-81-140. Operation requirements.
    The operation of all sanitary, CDD, and industrial landfills  shall be governed by the standards set forth in this section. Landfill  operations will be detailed in an operations manual that shall be maintained in  the operating record in accordance with 9VAC20-81-485. This operations manual  will include an operations plan, an inspection plan, a health and safety plan,  an unauthorized waste control plan, an emergency contingency plan, and a  landscaping plan meeting the requirements of this section and 9VAC20-81-485.  This manual shall be made available to the department when requested. If the  applicable standards of this chapter and the landfill's Operations Manual  conflict, this chapter shall take precedence.
    A. Landfill operational performance standards.
    1. Safety hazards to operating personnel shall be controlled  through an active safety program consistent with the requirements of 29 CFR  Part 1910, as amended. 
    2. A groundwater monitoring program meeting the requirements  of 9VAC20-81-250 shall be implemented, as applicable. 
    3. A corrective action program meeting the requirements of  9VAC20-81-260 is required whenever the groundwater protection standard is  exceeded at statistically significant levels.
    4. Open burning at active landfills. 
    a. Owners or operators shall ensure that the units do not  violate any applicable requirements developed by the State Air Pollution  Control Board or promulgated by the EPA administrator pursuant to § 110 of the  Clean Air Act, as amended (42 USC §§ 7401 to 7671q). 
    b. Open burning of solid waste, except for infrequent burning  of agricultural wastes, silvicultural wastes, land-clearing debris, diseased  trees, or debris from emergency cleanup operations is prohibited. There shall  be no open burning permitted on areas where solid waste has been disposed of or  is being used for active disposal.
    c. The owner or operator shall be responsible for extinguishing  any fires that may occur at the facility. A fire control plan will be developed  that outlines the response of facility personnel to fires. The fire control  plan will be provided as an attachment to the emergency contingency plan  required under the provisions of 9VAC20-81-485. The fire control plan will be  available for review upon request by the public. There shall be no open burning  permitted on areas where solid waste has been disposed or is being used for  active disposal.
    5. Except as provided in 9VAC20-81-130 K, owners or operators  shall implement a gas management plan in accordance with 9VAC20-81-200  to  control landfill gas such that: 
    a. The concentration of methane gas generated by the landfill  does not exceed 25% of the lower explosive limit for methane in landfill  structures (excluding gas control or recovery system components); and 
    b. The concentration of methane gas does not exceed the lower  explosive limit for methane at the facility boundary. 
    6. Landfills shall not: 
    a. Allow leachate from the landfill to drain or discharge into  surface waters except when treated onsite and discharged into surface water as  authorized under a VPDES Permit (9VAC25-31). 
    b. Cause a discharge of pollutants into waters of the United  States, including wetlands, that violates any requirements of the Clean Water  Act (33 USC § 1251 et seq.), including, but not limited to, the VPDES  requirements and Virginia Water Quality Standards (9VAC25-260). 
    c. Cause the discharge of a nonpoint source of pollution to  waters of the United States, including wetlands, that violates any requirement  of an areawide or statewide water quality management plan that has been  approved under § 208 or 319 of the Clean Water Act (33 USC § 1251 et  seq.), as amended or violates any requirement of the Virginia Water Quality  Standards (9VAC25-260). 
    d. Allow solid waste to be deposited in or to enter any  surface waters or groundwaters.
    7. Owners or operators shall maintain the run-on/runoff  control systems designed and constructed in accordance with 9VAC20-81-130 H. 
    8. Access to sanitary, CDD, or noncaptive industrial landfills  shall be permitted only when an attendant is on duty and only during daylight  hours, unless otherwise specified in the landfill permit. 
    9. Fencing or other suitable control means shall be used to  control litter migration. All litter blown from the landfill operations shall  be collected on a weekly basis.
    10. Odors and vectors shall be effectively controlled so they  do not constitute nuisances or hazards. Odor hazard or nuisances shall be  controlled in accordance with 9VAC20-81-200 D. Disease vectors shall be  controlled using techniques for the protection of human health and the  environment. 
    11. If salvaging is allowed by a landfill, it shall not  interfere with operation of the landfill and shall not create hazards or  nuisances. 
    12. Fugitive dust and mud deposits on main offsite roads and  access roads shall be minimized at all times to limit nuisances. Dust shall be  controlled to meet the requirements of Article 1 (9VAC5-40-60 et seq.) of Part  II of 9VAC5-40.
    13. Internal roads in the landfill shall be maintained to be  passable in all weather by ordinary vehicles. All operation areas and units  shall be accessible.
    14. All landfill appurtenances listed in 9VAC20-81-130 shall be  properly maintained and operated as designed and approved in the facility's  permit. 
    15. Adequate numbers and types of properly maintained  equipment shall be available to a landfill for operation. Provision shall be  made for substitute equipment to be available or alternate means implemented to  achieve compliance with subdivision B 1, C 1, or D 1 of this section, as  applicable, within 24 hours should the former become inoperable or unavailable.  Operators with training appropriate to the tasks they are expected to perform  and in sufficient numbers for the complexity of the site shall be on the site  whenever it is in operation.
    16. Self-Inspection. Each landfill shall implement an  inspection routine including a schedule for inspecting all applicable major aspects  of facility operations necessary to ensure compliance with the requirements of  this chapter. Records of these inspections must be maintained in the operating  record and available for review. At a minimum, the following aspects of the  facility shall be inspected on a monthly basis: erosion and sediment controls,  storm water conveyance system, leachate collection system, safety and emergency  equipment, internal roads, and operating equipment. The groundwater monitoring  system and gas management system shall be inspected at a rate consistent with  the system's monitoring frequency.
    17. Records to include, at a minimum, date of receipt,  quantity by weight or volume, and origin shall be maintained on solid waste  received and processed to fulfill the applicable requirements of the Solid  Waste Information and Assessment Program under 9VAC20-81-80 and the Control  Program for Unauthorized Waste under 9VAC20-81-100 E. Such records shall be  made available to the department for examination or use when requested.
    B. In addition to the standards in subsection A of this  section, sanitary landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread into two-foot layers or less and compacted at the working face, which  shall be confined to the smallest area practicable. 
    b. Lift heights shall be sized in accordance with daily waste  volumes. Lift height is not recommended to exceed 10 feet. 
    c. Daily cover consisting of at least six inches of  compacted soil or other approved material shall be placed upon and maintained  on all exposed solid waste prior to the end of each operating day, or at more  frequent intervals if necessary, to control disease vectors, fires, odors,  blowing litter, and scavenging. Alternate materials of an alternate thickness  may be approved by the department if it has been demonstrated that the  alternate material and thickness control disease vectors, fires, odors, blowing  litter, and scavenging without presenting a threat to human health and the  environment. At least three days of acceptable cover soil or approved material  at the average usage rate shall be maintained at the landfill or readily  available at all times. 
    d. Intermediate cover of at least six inches of additional  compacted soil shall be applied and maintained whenever an additional lift of  refuse is not to be applied within 30 days. Further, all areas with  intermediate cover exposed shall be inspected as needed, but not less than  weekly. Additional cover material shall be placed on all cracked, eroded, and  uneven areas as required to maintain the integrity of the intermediate cover  system. 
    e. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    g. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33% unless steeper slopes are approved in the  permit. 
    2. The active working face of a sanitary landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    3. A sanitary landfill that is located within 10,000 feet of  any airport runway used for turbojet aircraft or 5,000 feet of any airport  runway used by only piston type aircraft, shall operate in such a manner that  the landfill does not increase or pose additional bird hazards to aircraft. 
    4. Sanitary landfills shall not dispose of the following  wastes, except as specifically authorized by the landfill permit or by the  department: 
    a. Free liquids. 
    (1) Bulk or noncontainerized liquid waste, unless: 
    (a) The waste is household waste; or 
    (b) The waste is gas condensate derived from that landfill;
    (c) The waste is leachate derived from that landfill and the landfill  is designed with a composite liner and leachate collection system as described  in 9VAC20-81-130 J 1 a and 9VAC20-81-130 L; or 
    (2) Containers holding liquid waste, unless: 
    (a) The container is a small container similar in size to that  normally found in household waste; 
    (b) The container is designed to hold liquids for use other  than storage; or 
    (c) The waste is household waste. 
    b. Regulated hazardous wastes as defined by the Virginia  Hazardous Waste Management Regulations (9VAC20-60).
    c. Solid wastes, residues, or soils containing more than 1.0  ppb (parts per billion) TEF (dioxins). 
    d. Solid wastes, residues, or soils containing 50.0 ppm (parts  per million) or more of PCB's except as allowed under the provisions of  9VAC20-81-630. 
    e. Sludges that have not been dewatered. 
    f. Contaminated soil unless approved by the department in  accordance with the requirements of 9VAC20-81-610 or 9VAC20-81-660. 
    g. Regulated medical waste as specified in the Regulated  Medical Waste Management Regulations (9VAC20-120).
    5. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    C. In addition to the standards in subsection A of this  section, Construction/demolition/debris landfills shall also comply with the  following:
    1. Compaction and cover requirements. 
    a. Waste materials shall be compacted in shallow layers during  the placement of disposal lifts to minimize differential settlement. 
    b. Compacted soil cover shall be applied as needed for safety  and aesthetic purposes. A minimum one-foot thick progressive cover shall be  maintained weekly such that the top of the lift is fully covered at the end of  the work week. If the landfill accepts Category I or II nonfriable  asbestos-containing material for disposal, daily soil cover shall be placed  upon all exposed Category I or II nonfriable asbestos-containing material prior  to the end of each operating day. The open working face of a landfill shall be  kept as small as practicable, determined by the tipping demand for unloading. 
    c. When waste deposits have reached final elevations, or  disposal activities are interrupted for 15 days or more, waste deposits shall  receive a one-foot thick intermediate cover unless soil has already been  applied in accordance with subdivision 1 b of this subsection and be graded to  prevent ponding and to accelerate surface run-off. 
    d. Final cover construction will be initiated and maintained  in accordance with the requirements of 9VAC20-81-160 D 2 when the following  pertain: 
    (1) An additional lift of solid waste is not to be applied  within one year, or a longer period as required by the facility's phased  development. 
    (2) Any area of a landfill attains final elevation and within  90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) An entire landfill's permit is terminated for any reason,  and within 90 days of such denial or termination. 
    e. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  specified by the department when seasonal conditions do not permit. Mowing will  be conducted a minimum of once a year or at a frequency suitable for the  vegetation and climate. 
    f. Areas where waste has been disposed that have not received  waste within 30 days will not have slopes exceeding the final cover slopes  specified in the permit or 33%. 
    2. Chloroflourocarbons, hydrochlorofluorocarbons, and PCBs  must be removed from white goods prior to placement on the working face.
    D. In addition to the standards in subsection A of this  section, Industrial Landfills shall also comply with the following:
    1. Compaction and cover requirements. 
    a. Unless provided otherwise in the permit, solid waste shall  be spread and compacted at the working face, which shall be confined to the  smallest area practicable. 
    b. Lift heights shall be sized according to the volume of  waste received daily and the nature of the industrial waste. A lift height is  not required for materials such as fly ash that are not compactable. 
    c. Where it is necessary for the specific waste, such as  Category I or II nonfriable asbestos-containing material, daily soil cover, or  other suitable material shall be placed upon all exposed solid waste prior to  the end of each operating day. For wastes such as fly ash and bottom ash from  burning of fossil fuels, periodic cover to minimize exposure to precipitation  and control dust or dust control measures such as surface wetting or crusting  agents shall be applied. At least three days of acceptable cover soil or  approved material at the average usage rate shall be maintained at the fill at  all times at facilities where daily cover is required unless an offsite supply  is readily available on a daily basis.
    d. Intermediate cover of at least one foot of compacted soil  shall be applied whenever an additional lift of refuse is not to be applied  within 30 days unless the owner or operator demonstrates to the satisfaction of  the director that an alternate cover material or an alternate schedule will be  protective of public health and the environment. In the case of facilities  where fossil fuel combustion products are removed for beneficial use,  intermediate cover must be applied in any area where ash has not been placed or  removed for 30 days or more. Further, all areas with intermediate cover exposed  shall be inspected as needed but not less than weekly and additional cover  material shall be placed on all cracked, eroded, and uneven areas as required  to maintain the integrity of the intermediate cover system. 
    e. Final cover construction will be initiated in accordance  with the requirements of 9VAC20-81-160 D 2 when the following pertain: 
    (1) When an additional lift of solid waste is not to be  applied within two years or a longer period as required by the facility's  phased development. 
    (2) When any area of a landfill attains final elevation and  within 90 days after such elevation is reached or longer if specified in the  landfill's approved closure plan. 
    (3) When a landfill's permit is terminated within 90 days of  such denial or termination. 
    f. Vegetation shall be established and maintained on all  exposed final cover material within four months after placement, or as  otherwise specified by the department when seasonal conditions do not otherwise  permit. Mowing will be conducted a minimum of once a year or at a frequency  suitable for the vegetation and climate.
    2. Incinerator and air pollution control residues containing  no free liquids shall be incorporated into the working face and covered at such  intervals as necessary to minimize them from becoming airborne. 
    9VAC20-81-160. Closure requirements.
    The closure of all sanitary, CDD and industrial landfills  shall be governed by the standards set forth in this section.
    A. Closure purpose. The owner or operator shall close the  landfill in a manner that minimizes the need for further maintenance and  provides for the protection of human health and the environment. Closure shall  eliminate the postclosure escape of uncontrolled leachate or of waste  decomposition products to the groundwater or surface water to the extent  necessary to protect human health and the environment. Closure shall also  control and/or minimize surface runoff and the escape of waste decomposition  products to the atmosphere. 
    B. Closure plan and modification of plan.
    1. The owner or operator of a solid waste disposal facility  shall have a written closure plan. This plan shall identify the steps necessary  to completely close the landfill at the time when the operation will be the  most extensive and at the end of its intended life. The closure plan shall  include, at least: 
    a. A schedule for final closure that shall include, as a  minimum, the anticipated date when wastes will no longer be received, the date  when completion of final closure is anticipated, and intervening milestone  dates that will allow tracking of the progress of closure. 
    b. An estimate of waste disposed onsite over the active life  of the landfill; 
    c. An estimate of the largest area ever requiring a final  cover as required at any time during the active life; 
    d. Description of Final Cover System design in accordance with  subsection D of this section;
    e. Description of storm water management to include design,  construction, and maintenance controls;
    f. Closure cost estimate for purpose of financial assurance. 
    2. The owner or operator may amend the closure plan at any  time during the active life of the landfill. The owner or operator shall so  amend his plan any time changes in operating plans or landfill design affect  the closure plan. The amended closure plan shall be placed in the operating  record and a copy provided to the department. 
    3. Closure plans and amended closure plans not previously  approved by the director shall be submitted to the department at least 180 days  before the date the owner or operator expects to begin construction activities  related to closure. The director will approve or disapprove the plan within 90  days of receipt. 
    4. If the owner or operator intends to use an alternate final  cover design, he shall submit a proposed design meeting the requirements of  subdivision D 2 e f of this section to the department at least  180 days before the date he expects to begin closure. The department will  approve or disapprove the plan within 90 days of receipt. 
    5. At least 180 days prior to beginning closure of each solid  waste disposal unit, the owner or operator shall notify the department and the  solid waste planning unit of the intent to close. 
    C. Time allowed for closure. 
    1. The owner or operator shall begin closure activities of  each unit no later than 30 days after the date on which the unit receives the  known final receipt of wastes or, if the unit has remaining capacity and there  is a reasonable likelihood that the unit will receive additional wastes, no  later than one year after the most recent receipt of wastes. Extensions beyond  the one-year deadline for beginning closure may be granted by the director if  the owner or operator demonstrates that the unit has the capacity to receive  additional wastes and the owner or operator has taken and will continue to take  all steps necessary to prevent threats to human health and the environment from  the unclosed unit. 
    2. The owner or operator shall complete closure activities of  each unit in accordance with the closure plan and within six months after  receiving the final volume of wastes. The director may approve a longer closure  period if the owner or operator can demonstrate that the required or planned  closure activities will, of necessity, take longer than six months to complete;  and that he has taken all steps to eliminate any significant threat to human  health and the environment from the unclosed but inactive landfill.
    D. Closure implementation. 
    1. The owner or operator shall close each unit with a final  cover as specified in subdivision 2 of this subsection, grade the fill area to  prevent ponding, and provide a suitable vegetative cover. Vegetation shall be  deemed properly established when there are no large areas void of vegetation  and it is sufficient to control erosion. 
    2. Final cover system.
    a. The owner or operator shall install a final cover system  that is designed to achieve the performance requirements of this section. 
    b. Owners or operators of CDD landfill units used for the  disposal of wastes consisting only of stumps, wood, brush, and leaves from  landclearing operations may apply two feet of compacted soil as final cover  material in lieu of the final cover system specified in this section. The  provisions of this section shall not be applicable to any landfill with respect  to which the director has made a finding that continued operation of the  landfill constitutes a threat to the public health or the environment. 
    c. The final cover system shall be designed and constructed  to: 
    (1) Minimize infiltration through the closed disposal unit by  the use of an infiltration layer that is constructed of at least 18 inches of  earthen material; and which has a hydraulic conductivity less than or equal to  the hydraulic conductivity of any bottom liner system or natural subsoils  present, or a hydraulic conductivity no greater than 1x10-5 cm/sec,  whichever is less; and 
    (2) Minimize erosion of the final cover by the use of an  erosion layer that contains a minimum of six inches of earthen material that is  capable of sustaining native plant growth, and provide for protection of the  infiltration layer from the effects of erosion, frost, and wind. 
    d. The owner or operator of a sanitary landfill may choose to  use this alternate final cover system, which shall consist of at least the  following components:
    (1) An 18-inch soil infiltration layer with a hydraulic  conductivity no greater than 1x10-5 cm/sec or a geosynthetic clay  liner installed over the intermediate cover;
    (2) A barrier layer consisting of a geosynthetic membrane  having a minimum thickness of 40-mils;
    (3) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (4) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    e. The owner or operator of a CDD or industrial landfill may  choose to use this alternate final cover system, which shall consist of at  least the following components: 
    (1) A barrier layer consisting of a geosynthetic clay liner or  a geosynthetic membrane having a minimum thickness of 40 mils;
    (2) A protective cover layer for protection of the  infiltration layer from the effects of erosion, frost, and wind, and consisting  of a minimum of 18 inches of soil; and
    (3) A vegetative support layer that contains a minimum of six  inches of earthen material that is capable of sustaining native plant growth.
    f. The director may approve an alternate final cover design  that includes: 
    (1) An infiltration layer that achieves an equivalent  reduction in infiltration as the infiltration layer specified in subdivision 2  c (1) of this subsection; and 
    (2) A minimum 24-inch erosion layer that is capable of  sustaining native plant growth and provide for protection of the infiltration  layer from the effects of erosion, frost, and wind.
    3. Finished side slopes shall be stable and be configured to  adequately control erosion and runoff. Slopes of 33% will be allowed provided  that adequate runoff controls are established. Steeper slopes may be considered  if supported by necessary stability calculations and appropriate erosion and  runoff control features. All finished slopes and runoff management facilities  shall be supported by necessary calculations and included in the design manual.  To prevent ponding of water, the top slope shall be at least 2.0% after  allowance for settlement. 
    4. Following construction of the final cover system for each  unit, the owner or operator shall submit to the department a certification,  signed by a professional engineer verifying that closure has been completed in  accordance with the closure plan requirements of this part. This certification  shall include the results of the CQA/QC requirements under 9VAC20-81-130 Q 1 b  (6). 
    5. Following the closure of all units the owner or operator  shall: 
    a. Post one sign at the entrance of the landfill notifying all  persons of the closing, and the prohibition against further receipt of waste  materials. Further, suitable barriers shall be installed at former accesses to  prevent new waste from being deposited.
    b. Within 90 days after closure is completed, submit to the  local land recording authority a survey plat prepared by a professional land  surveyor registered by the Commonwealth or a person qualified in accordance  with Title 54.1 of the Code of Virginia indicating the location and dimensions  of landfills. Groundwater monitoring well and landfill gas monitoring  probe locations shall be included and identified by the number on the survey  plat. The plat filed with the local land recording authority shall contain a  note, prominently displayed, which states the owner's or operator's future  obligation to restrict disturbance of the site as specified.
    c. Record a notation on the deed to the landfill property, or  on some other instrument which is normally examined during title searches,  notifying any potential purchaser of the property that the land has been used  to manage solid waste and its use is restricted under 9VAC20-81-170 A 2 c. A  copy of the deed notation as recorded shall be submitted to the department. 
    d. Submit to the department a certification, signed by a  professional engineer, verifying that closure has been completed in accordance  with the requirements of subdivisions 5 a, b, and c of this subsection and the  landfill closure plan. 
    6. The department shall inspect all solid waste management  facilities at the time of closure to confirm that the closing is complete and  adequate. It shall notify the owner or operator of a closed landfill, in  writing, if the closure is satisfactory, and shall require any construction or  such other steps necessary to bring unsatisfactory sites into compliance with  these regulations. Notification by the department that the closure is  satisfactory does not relieve the owner or operator of responsibility for  corrective action to prevent or abate problems caused by the landfill. 
    9VAC20-81-250. Groundwater monitoring program.
    A. General requirements. 
    1. Applicability. 
    a. Existing landfills. Owners or operators of all existing  landfills shall be in compliance with the groundwater monitoring requirements  specified in this section, except as provided for in subdivision 1 c of this  subsection. Owners or operators of landfills that were permitted prior to  December 21, 1988, but were closed in accordance with the requirements of their  permit or existing regulation prior to December 21, 1988, are not required to  be in compliance with the groundwater monitoring requirements specified in this  section, unless conditions are recognized that classify the landfill as an Open  Dump as defined under 9VAC20-81-45. 
    b. New landfills. Owners or operators of new facilities shall  be in compliance with the groundwater monitoring requirements specified in this  section before waste can be placed in the landfill except as provided for in  subdivision 1 c of this subsection.
    c. No migration potential exemption. Groundwater monitoring  requirements under this section may be suspended by the director if the owner  or operator can demonstrate that there is no potential for migration of any  Table 3.1 constituents to the uppermost aquifer during the active life and the  postclosure care period of the landfill. This demonstration shall be certified  by a qualified groundwater scientist and shall be based upon: 
    (1) Site-specific field collected measurements including  sampling and analysis of physical, chemical, and biological processes affecting  contaminant fate and transport; and 
    (2) Contaminant fate and transport predictions that maximize  contaminant migration and consider impacts on human health and the environment.  
    2. General requirements. 
    a. Purpose. Owners or operators shall install, operate, and  maintain a groundwater monitoring system that is capable of determining the  landfill's impact on the quality of groundwater in the uppermost aquifer at the  disposal unit boundary during the active life and postclosure care period of  the landfill. 
    b. Program requirements. The groundwater monitoring program  shall meet the requirements of subdivision 3 of this subsection and comply with  all other applicable requirements of this section. 
    c. Director authority. The groundwater monitoring and  reporting requirements set forth here are minimum requirements. The director  may require, by amending modifying the permit as allowed under  9VAC20-81-600 E, any owner or operator to install, operate, and maintain a  groundwater monitoring system and conduct a monitoring program that contains  requirements more stringent than this chapter imposes whenever it is determined  that such requirements are necessary to protect human health and the  environment. 
    3. Groundwater monitoring system. 
    a. System requirements. A groundwater monitoring system shall  be installed consisting of a sufficient number of monitoring wells, at  appropriate locations and depths, capable of yielding sufficient quantities of  groundwater for sampling and analysis purposes from the uppermost aquifer that:  
    (1) Represent the quality of background groundwater that has  not been affected by a release from the landfill; and 
    (2) Represent the quality of groundwater at the disposal unit  boundary. The downgradient monitoring system shall be installed at the disposal  unit boundary in a manner that ensures detection of groundwater contamination  in the uppermost aquifer unless a variance has been granted by the director  under 9VAC20-81-740. 
    (3) When physical obstacles preclude installation of  groundwater monitoring wells at the disposal unit boundary, the downgradient  monitoring wells may be installed at the closest practicable distance  hydraulically downgradient from the boundary in locations that ensure detection  of groundwater contamination in the uppermost aquifer. 
    b. Multiunit systems. The director may approve a groundwater  monitoring system that covers multiple waste disposal units instead of  requiring separate groundwater monitoring systems for each unit when the  landfill has several units, provided the multiunit groundwater monitoring  system meets the requirement of subdivision 3 of this subsection and can be  demonstrated to be equally protective of human health and the environment as  individual monitoring systems. The system for each waste disposal unit would be  based on the following factors: 
    (1) Number, spacing, and orientation of the waste disposal  units; 
    (2) Hydrogeologic setting; 
    (3) Site history; 
    (4) Engineering design of the waste disposal units; and 
    (5) Type of waste accepted at the waste disposal units. 
    c. Well construction. All monitoring wells shall be of a size  adequate for sampling and shall be cased and grouted in a manner that maintains  the integrity of the monitoring well bore hole. This casing shall be screened  or perforated, and packed with gravel or sand where necessary, to enable sample  collection at depths where appropriate aquifer flow zones exist. The annular  space above the sampling depth shall be sealed with a suitable material to  prevent contamination of samples and the groundwater. 
    d. Boring logs. A log shall be made of each newly installed  monitoring well describing the soils or rock encountered, and the hydraulic  conductivity of the geologic units (formations) encountered. A copy of the  final log(s) with appropriate maps, including at a minimum a site plan showing  the location of all monitoring wells, the total depth of monitoring well, the  location of the screened interval, the top and bottom of sand or gravel pack,  and the top and bottom of the seal shall be sent to the department with the  certification required under subdivision 3 g of this subsection. 
    e. Well maintenance. The monitoring wells, piezometers, and  other groundwater measurement, sampling, and analytical devices shall be  operated and maintained in a manner that allows them to perform to design  specifications throughout the duration of the groundwater monitoring program.  Nonfunctioning monitoring wells must be replaced or repaired upon recognition  of damage or nonperformance. Well repair or replacement shall be coordinated  with the department for approval prior to initiating the action. 
    f. Network specifics. The network shall include at least  one upgradient monitoring well and at least three downgradient monitoring  wells. The number, spacing, and depths of monitoring wells included in a  landfill's network shall be determined based on: 
    (1) Site-specific technical information that shall include  thorough characterization by the owner or operator of: 
    (a) The thickness of any unsaturated geologic units or fill  materials that may overlay the uppermost aquifer; 
    (b) The thickness and description of materials comprising the  uppermost aquifer;
    (c) Materials comprising the confining unit defining the lower  boundary of the uppermost aquifer, including, but not limited to, thicknesses,  stratigraphy, lithology, hydraulic conductivities, porosities, and effective  porosities; and
    (d) the calculated groundwater flow rate and direction within  the uppermost aquifer including any seasonal and temporal fluctuations in  groundwater flow. 
    (2) At least one upgradient and at least three downgradient  monitoring wells. 
    (3) A The lateral spacing between downgradient  monitoring wells based on site-specific information supplied under subdivision  3 f (1) of this subsection. 
    g. Monitoring well certification. The groundwater monitoring  well(s) shall, within 30 days of well(s) installation, be certified by a  qualified groundwater scientist noting that all wells have been installed in  accordance with the documentation submitted under subdivision 3 d of this  subsection. Within 14 days of completing this certification, the owner or  operator shall transmit the certification to the department. 
    4. The groundwater sampling and analysis requirements for the  groundwater monitoring system are as follows: 
    a. Quality assurance and control. The groundwater monitoring  program shall include consistent field sampling and laboratory analysis  procedures that are designed to ensure monitoring results that provide an  accurate representation of the groundwater quality at the background and  downgradient wells. At a minimum the program shall include procedures and  techniques for: 
    (1) Sample collection; 
    (2) Sample preservation and shipment; 
    (3) Analytical procedures; 
    (4) Chain of custody control; and 
    (5) Quality assurance and quality control. 
    b. Analytical methods. The groundwater monitoring program  shall include sampling and analytical methods that are appropriate for  groundwater sampling and that accurately measure solid waste constituents in  groundwater samples. Groundwater samples obtained pursuant to 9VAC20-81-250 B  or C shall not be filtered prior to laboratory analysis. The sampling, analysis  and quality control/quality assurance methods set forth in EPA document SW-846,  as amended, shall be used. The department may require re-sampling if it  believes the samples were not properly sampled or analyzed. 
    c. Groundwater rate and flow. Groundwater elevations at each  monitoring well shall be determined immediately prior to purging each time a  sample is obtained. The owner or operator shall determine the rate and  direction of groundwater flow each time groundwater is sampled pursuant to  subsection B or C of this section or 9VAC20-81-260. Groundwater  elevations in wells that monitor the same waste management area disposal  unit or units shall be measured within a period of time short enough to  avoid temporal variations in groundwater flow, which could preclude  accurate determination of groundwater flow rate and direction. 
    d. Background data. The owner or operator shall establish  background groundwater quality in a hydraulically upgradient or background  well, or wells, for each of the monitoring parameters or constituents required  in the particular groundwater monitoring program that applies to the landfill.  Background groundwater quality may be established at wells that are not located  hydraulically upgradient from the landfill if they meet the requirements of  subdivision 4 e of this subsection. 
    e. Alternate well provision. A determination of background  quality may be based on sampling of wells that are not upgradient from the  waste management area disposal unit or units where: 
    (1) Hydrogeologic conditions do not allow the owner or  operator to determine what wells are upgradient; and 
    (2) Sampling at these wells will provide an indication of  background groundwater quality that is as representative or more representative  than that provided by the upgradient wells. 
    f. Sampling and statistics. The number of samples collected to  establish groundwater quality data shall be consistent with the appropriate  statistical procedures determined pursuant to subdivision 4 g of this  subsection. 
    g. Statistical methods. The owner or operator shall specify in  the Groundwater Monitoring Plan the statistical method(s) listed in subsection  D of this section that will be used in evaluating groundwater monitoring data  for each monitoring constituent. The statistical test(s) chosen shall be  applied separately for each groundwater constituent in each well after each  individual sampling event required under subdivision B 2 or 3, C 2 or 3, or as  required under 9VAC20-81-260 E 1.
    h. Evaluation and response. After each sampling event required  under subsection B or C of this section, the owner or operator shall determine  whether or not there is a statistically significant increase over background  values for each groundwater constituent required in the particular groundwater  monitoring program by comparing the groundwater quality of each constituent at  each monitoring well installed pursuant to subdivision 3 a of this subsection  to the background value of that constituent. In determining whether a  statistically significant increase has occurred, the owner or operator shall:
    (1) Ensure the sampling result comparisons are made according  to the statistical procedures and performance standards specified in subsection  D of this section; 
    (2) Ensure that within 30 days of completion of sampling and  laboratory analysis actions, the determination of whether there has been a  statistically significant increase over background at each monitoring well has  been completed; and
    (3) If identified, the statistically significant increase  shall be reported to the department within the notification timeframes  identified in subsection B or C of this section and discussed in the quarterly  or semi-annual report submission described under subdivision E 2 c of this  section. Notifications qualified as being "preliminary,"  "suspect," "unverified," or otherwise not a final  determination of a statistical exceedance will not be accepted. 
    i. Verification sampling. The owner or operator may at any  time within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this section, obtain verification  samples if the initial review of analytical data suggests results that might  not be an accurate reflection of groundwater quality at the disposal unit  boundary. Undertaking verification sampling is a voluntary action on the part  of the owner or operator and shall not alter the timeframes associated with  determining or reporting a statistically significant increase as otherwise  defined under subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    j. Data validation. The owner or operator may at any time  within the 30-day statistically significant increases determination period  defined under subdivision A 4 h (2) of this subsection, undertake third-party  data validation of the analytical data received from the laboratory.  Undertaking such validation efforts is a voluntary action on the part of the  owner or operator and shall not alter the timeframes associated with determining  or reporting a statistically significant increase as otherwise defined under  subdivision A 4 h (2), B 2 or 3, or C 2 or 3 of this section. 
    5. Alternate source demonstration allowance. 
    a. Allowance. As a result of any statistically significant  increase identified while monitoring groundwater under subdivision B 2 or 3, or  C 2 or 3 of this section, or at anytime within the Corrective Action process  under 9VAC20-81-260, the owner or operator has the option of submitting an  Alternate Source Demonstration report, certified by a qualified groundwater  scientist, demonstrating:
    (1) A source other than the landfill caused the statistical  exceedance; 
    (2) The exceedance resulted from error in sampling, analysis,  or evaluation; or
    (3) The exceedance resulted from a natural variation in  groundwater quality. 
    b. Timeframes. A successful demonstration must be made within  90 days of noting a statistically significant increase. The director may  approve a longer timeframe for submittal and approval of the Alternate Source  Demonstration with appropriate justification. 
    c. Evaluation and response. Based on the information submitted  in accordance with subdivision 5 a of this subsection, the director will: 
    (1) In the case of the successful demonstration of an error in  sampling, analysis, or evaluation, allow the owner or operator to continue  monitoring groundwater in accordance with the monitoring program in place at  the time of the statistical exceedance. 
    (2) In the case of a successful demonstration of an alternate  source for the release or natural variability in the aquifer matrix:
    (a) Require changes in the groundwater monitoring system as  needed to accurately reflect the groundwater conditions and allow the owner or  operator to continue monitoring groundwater in accordance with the monitoring  program in place at the time of the statistical exceedance; 
    (b) Require any changes to the monitoring system be completed  prior to the next regularly scheduled groundwater monitoring event or within 90  days (whichever is greater); and
    (c) Require any changes to the monitoring system be approved  via the amendment modification process under 9VAC20-81-600 within  90 days of the approval of the alternate source demonstration. 
    (3) In the case of an unsuccessful Alternate Source Demonstration,  require the owner or operator to initiate the actions that would otherwise be  required as a result of the statistically significant increase noted under  subdivision B 2 or 3, or C 2 or 3 of this section as appropriate. 
    6. Establishment of groundwater protection standards. 
    a. Requirement. Upon recognition of a statistically  significant increase over background and while monitoring in the Assessment or  Phase II monitoring programs defined under subdivision B 3 or C 3 of this  section, the owner or operator shall propose a groundwater protection standard  for all detected Table 3.1 Column B constituents. The proposed standards shall  be submitted to the department by a qualified groundwater scientist and be  accompanied by relevant historical groundwater sampling data to justify the  proposed concentration levels. 
    b. Establishment process. The groundwater protection standards  shall be established in the following manner: 
    (1) For constituents for which a maximum contaminant level  (MCL) has been promulgated under § 1412 of the Safe Drinking Water Act (40 CFR  Part 141), the MCL for that constituent shall be automatically established as  the groundwater protection standard upon submission of the proposed standards. 
    (2) If the owner or operator determines that a site-specific  background concentration is greater than the MCL associated with that  constituent under subdivision 6 b (1) of this subsection, the background value  may be substituted for use as the groundwater protection standard in lieu of  the MCL for that constituent upon receiving written department approval. 
    (3) For constituents for which no MCL has been promulgated,  site-specific background concentration value(s) may be used upon receiving  written department approval. 
    (4) For constituents for which no MCL has been promulgated, a  risk-based alternate concentration levels may be used if approved by the  director as long as: 
    (a) The owner or operator submits a request to the department  asking for approval to use risk-based alternate concentration levels for a  specific list of constituents and identifies that these constituents lack an  MCL. In the request the owner or operator shall specify whether site-specific,  independently calculated, risk-based alternate concentration levels will be  applied, or if the facility will accept the default department-provided limits.  
    (b) Both the The alternate concentration levels  that may be provided as default values by the department and those  independently calculated by the owner or operator are demonstrated to meet the  following criteria or factors before they can be used as groundwater protection  standards: 
    (i) Groundwater quality - The potential for adverse quality  effects considering the physical and chemical characteristics of the waste in  the landfill, its potential for migration in the aquifer; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the proximity and withdrawal rates of groundwater users; the  current and future uses of groundwater in the area; the existing quality of  groundwater, including other sources of contamination and their cumulative  impact on the groundwater quality. 
    (ii) Human exposure - Potential for health risks caused by  exposure to waste constituents released from the landfill using federal  guidelines for assessing the health risks of environmental pollutants;  scientifically valid studies conducted in accordance with the Toxic Substances  Control Act Good Laboratory Practice Standards (40 CFR Part 792); or equivalent  standards. For carcinogens, the alternate concentration levels must be set  based on a lifetime cancer risk level due to continuous lifetime exposure  within the 1x10-4 to 1x10-6 range. For systemic  toxicants, alternate concentration levels must be demonstrated to be levels to  which the human population (including sensitive subgroups) could be exposed to  on a daily basis without the likelihood of appreciable risk of deleterious  effects during a lifetime.
    (iii) Surface water - The potential adverse effect on  hydraulically connected surface water quality based on the volume, physical and  chemical characteristics of the waste in the landfill; the hydrogeological  characteristics of the facility and surrounding land; the rate and direction of  groundwater flow; the patterns of rainfall in the region; the proximity of the  landfill to surface waters; the current and future uses of surface waters in  the area and any water quality standards established for those surface waters;  the existing quality of surface water, including other sources of contamination  and the cumulative impact on surface water quality. 
    (iv) Other adverse effects - Potential damage to wildlife,  crops, vegetation, and physical structures caused by exposure to waste  constituents; the persistence and permanence of the potential adverse effects;  and the potential for health risks caused by human exposure to waste  constituents using factors shown in subdivision b (4) (b) (ii) of this  subsection. 
    (5) In making any determination regarding the use of alternate  concentration levels under this section, the director will:
    (a) Consider any identification of underground sources of  drinking water as identified by EPA under 40 CFR 144.7,
    (b) Consider additional or modified monitoring requirements or  control measures, 
    (c) Include a schedule for the periodic review of the  alternate concentration levels, or
    (d) Approve the alternate concentration levels as proposed or  issue modified alternate concentration levels.
    c. Implementation. Groundwater protection standards shall be  considered established for the facility upon completion of the actions  described under either subdivision A 6 b (1), (2), (3) or if necessary (4) and  shall be placed in the facility Operating Record and shall be used during  subsequent comparisons of groundwater sampling data consistent with the  requirements of subdivision B 3 f or C 3 e of this section. 
    d. MCL and background revisions. After establishment of  groundwater protection standards under subdivision B 6 b, if the standards are  modified as a result of revisions to any MCL or department-approved background,  the facility shall update its listing of groundwater protection standards and  shall place the new list in the Operating Record and shall use the new values  during subsequent comparisons of sampling data consistent with the requirements  of subdivision B 3 f or C 3 e of this section. 
    e. Alternate concentration levels revisions. After  establishment of groundwater protection standards under subdivision B 6 b of  this section, if the department-approved alternate concentration levels change  based on information released by EPA, to the extent practical, the department  will issue revisions to the alternate concentration levels for facility use no  more often than an annual basis. The facility shall use the alternate  concentration levels listing in effect at the time the sampling event takes  place when comparing the results against the groundwater protection standards  under subdivision B 3 f or C 3 e of this section. 
    B. Monitoring for sanitary landfills. 
    1. Applicability. 
    a. Existing facilities. Except for those sanitary landfills  identified in subdivision C 1 of this section, existing sanitary landfill  facilities and closed facilities that have accepted waste on or after October  9, 1993, and in the case of 'small' landfills on or after April 9, 1994, shall  be in compliance with the detection monitoring requirements specified in  subdivision 2 of this subsection unless existing sampling data requires a move  to assessment monitoring described under subdivision 3 of this subsection. 
    b. New facilities. Facilities placed in operation to receive  waste after October 9, 1993, shall be in compliance with the detection  monitoring requirements specified in subdivision 2 of this section before waste  can be placed in the landfill unless existing sampling data requires a move to  assessment monitoring described under subdivision 3 of this subsection. 
    c. Closed facilities. Unless an extension to the deadline  above has been granted by the director, closed facilities that have ceased to  accept any waste on or before October 9, 1993, and in the case of a  "small" landfill, before April 9, 1994, may comply with the  "State Monitoring Program" monitoring requirements specified in  subdivision C 2 or 3 of this section. 
    d. Other facilities. Owners or operators of disposal  facilities not subject to the federal groundwater monitoring requirements  prescribed under 40 CFR Parts 257 and 258 must perform the groundwater  monitoring described in subdivision C 2 or 3 of this section. 
    e. Proximity to wetlands. Owners or operators of sanitary  landfills that accepted waste after June 30, 1999, must:
    (1) Perform quarterly groundwater monitoring unless the  director determines that less frequent monitoring is necessary consistent with  the requirements of the special provisions regarding wetlands in  § 10.1-1408.5 of the Code of Virginia.
    (2) The quarterly monitoring frequency shall remain in effect  until the department is notified waste is no longer being accepted at the  sanitary landfill. 
    (3) This requirement will not limit the authority of the Waste  Management Board or the director to require more frequent groundwater  monitoring if required to protect human health and the environment. 
    (4) For purposes of this subdivision "proximity to  wetlands" shall be defined as landfills that were constructed on a  wetland, have a potential hydrologic connection to such a wetland in the event  of an escape of liquids from the facility, or are within a mile of such a  wetland.
    2. Detection monitoring program.
    a. Sampling requirements. All sanitary landfills shall  implement detection monitoring except as otherwise provided in subdivision 1 of  this subsection. The monitoring frequency for all constituents listed in Table  3.1 Column A shall be as follows: 
    (1) Initial sampling period. 
    (a) For facilities that monitor groundwater on a semi-annual  basis, a minimum of four independent samples from each well (background and  downgradient) shall be collected and analyzed for the Table 3.1 Column A  constituents during the first semi-annual sampling period. A semi-annual period  is defined under 9VAC20-81-10. 
    (b) For facilities that monitor groundwater on a quarterly  basis as a result of subdivision 1 e of this subsection, a minimum of four  samples from each well (background and downgradient) shall be collected and  analyzed for the Table 3.1 Column A constituents. The samples shall be  collected within the first quarterly period, using a schedule that ensures, to  the greatest extent possible, an accurate calculation of background concentrations.  
    (2) Subsequent sampling events. At least one sample from each  well (background and downgradient) shall be collected and analyzed during  subsequent semi-annual or quarterly events during the active life and  postclosure period. Data from subsequent background sampling events may be  added to the previously calculated background data so that the facility  maintains the most accurate representation of background groundwater quality  with which to carry out statistical analysis required under subdivision A 4 h  of this section. 
    (3) Alternate sampling events. The director may specify an  appropriate alternate frequency for repeated sampling and analysis during the  active life (including closure) and the postclosure care period. The alternate  frequency during the active life (including closure) and the postclosure period  shall be no less than annual. The alternate frequency shall be based on  consideration of the following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); and 
    (e) Resource value of the aquifer. 
    b. Evaluation and response. If the owner or operator  determines under subdivision A 4 h of this section, that there is:
    (1) A statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this section,  for one or more of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event, the owner or operator shall: 
    (a) Within 14 days of this finding, notify the department of  this fact, indicating which constituents have shown statistically significant  increases over background levels; and 
    (b) Within 90 days, (i) establish an assessment monitoring  program meeting the requirements of subdivision 3 of this subsection, or (ii)  submit an Alternate Source Demonstration as specified in subdivision A 5 of  this section. If, after 90 days, a successful demonstration has not been made,  the owner or operator shall initiate an assessment monitoring program as  otherwise required in subdivision 3 of this subsection. The 90-day Alternate  Source Demonstration period may be extended by the director for good cause. 
    (2) No statistically significant increase over background as  determined by a method meeting the requirements of subsection D of this  section, for any of the constituents listed in Table 3.1 Column A at any of the  monitoring wells at the disposal unit boundary during any detection monitoring  sampling event; the owner or operator may remain in detection monitoring and  include a discussion of the sampling results and statistical analysis in the  semi-annual or quarterly report required under subdivision E 2 c of this  section. 
    3. Assessment monitoring program. The owner or operator shall  implement the assessment monitoring program whenever a statistically  significant increase over background has been detected during monitoring  conducted under the detection monitoring program.
    a. Sampling requirements. Within 90 days of recognizing a  statistically significant increase over background for one or more of the  constituents listed in Table 3.1 Column A, the owner or operator shall, unless  in receipt of an approval to an Alternate Source Demonstration under  subdivision A 5 of this section or a director-approved extension, conduct the initial  assessment monitoring sampling event for the constituents found in Table 3.1  Column B. A minimum of one sample from each well installed under subdivision A  3 a of this section shall be collected and analyzed during the initial and all  subsequent annual Table 3.1 Column B sampling events.
    b. Director provisions: 
    (1) The owner or operator may request that the director  approve an appropriate subset of monitoring wells that may remain in detection  monitoring defined under subdivision 2 of this subsection, based on the results  of the initial, or subsequent annual Table 3.1 Column B sampling events.  Monitoring wells may be considered for the subset if:
    (a) They show no detections of Table 3.1 Column B constituents  other than those already previously detected in detection monitoring defined  under subdivision 2 of this subsection; and 
    (b) They display no statistically significant increases over  background for any constituents on the Table 3.1 Column A list. If an increase  is subsequently recognized in a well approved for the subset, the well shall no  longer be considered part of the detection monitoring subset. 
    (2) The owner or operator may request the director delete any  of the Table 3.1 Column B monitoring constituents from the assessment  monitoring program if the owner or operator demonstrates that the deleted  constituents are not reasonably expected to be in or derived from the waste. 
    (3) The director may specify an appropriate alternate  frequency for repeated sampling and analysis for the full set of Table 3.1  Column B constituents required by subdivision 3 a of this subsection during the  active life and postclosure care period based on the consideration of the  following factors: 
    (a) Lithology of the aquifer and unsaturated zone; 
    (b) Hydraulic conductivity of the aquifer and unsaturated  zone; 
    (c) Groundwater flow rates; 
    (d) Minimum distance between upgradient edge of the disposal  unit boundary and downgradient monitoring well screen (minimum distance of  travel); 
    (e) Resource value of the aquifer; and 
    (f) Nature (fate and transport) of any constituents detected  in response to subdivision 3 f of this subsection. 
    c. Development of background. After obtaining the results from  the initial or subsequent annual sampling events required in subdivision 3 a of  this subsection, the owner or operator shall: 
    (1) Within 14 days, notify the department identifying the  Table 3.1 Column B constituents that have been detected; 
    (2) Within 90 days, and on at least a semi-annual basis  thereafter, resample all wells installed under subdivision A 3 a of this  section, conduct analyses for all constituents in Table 3.1 Column A as well as  those constituents in Column B that are detected in response to subdivision 3 a  of this subsection and subsequent Table 3.1 Column B sampling events as may be  required of this section, and report this data in the semi-annual or quarterly  report defined under subdivision E 2 c of this section;
    (3) Within 180 days of the initial sampling event, establish  background concentrations for any Table 3.1 Column B constituents detected  pursuant to subdivision B 3 a of this subsection. A minimum of four independent  samples from each well (background and downgradient) shall be collected and  analyzed to establish background for the detected constituents. 
    d. Establishment of groundwater protection standards. Within  30 days of establishing background under subdivision 3 c (3) of this  subsection, submit proposed groundwater protection standards for all  constituents detected under Assessment monitoring. The groundwater protection  standards shall be approved by the director in accordance with the provisions  of subdivision A 6 of this section. 
    e. Groundwater monitoring plan. No later than 60 days after  approval of the groundwater protection standard standards in  accordance with subdivision A 6 of this section, the owner or operator shall  submit an updated Groundwater Monitoring Plan that details the site monitoring  well network and sampling and analysis procedures undertaken during groundwater  monitoring events. The owner or operator shall additionally: 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, request a permit amendment modification  to incorporate the plan and related groundwater monitoring modules into the  landfill's permit in accordance with 9VAC20-81-600. The department may waive  the requirement for a permit amendment modification if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (2) If the 30-day timeframe specified in subdivision 3 e (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    f. Evaluation and response. 
    (1) If the concentrations of all Table 3.1 Column B constituents  are shown to be at or below background values, using the statistical procedures  in subsection D of this section, for two consecutive Table 3.1 Column B  sampling events, the owner or operator shall notify the director of this  finding in the semi-annual or quarterly monitoring report and may return to  detection monitoring defined under subdivision 2 of this subsection. 
    (2) If the concentrations of any Table 3.1 Column B  constituents are found to be above background values, but below the groundwater  protection standards established under subdivision A 6 of this section using  the statistical procedures in subsection D of this section, the owner or  operator shall continue in assessment monitoring in accordance with this  section and present the findings to the department in the semi-annual or  quarterly report. 
    (3) If one or more Table 3.1 Column B constituents are  detected at statistically significant levels above the groundwater protection  standard established under subdivision A 6 of this section using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Within 14 days of this finding, notify the department  identifying the Table 3.1 Column B constituents that have exceeded the  groundwater protection standard. The notification will include a statement that  within 90 days the owner or operator will either: 
    (i) Undertake characterization and assessment actions required  under 9VAC20-81-260 C 1; or 
    (ii) Submit an Alternate Source Demonstration as specified in  subdivision A 5 of this section. If a successful demonstration is made within  90 days, the owner or operator may continue monitoring in accordance with the  assessment monitoring program pursuant to subdivision 3 of this subsection. If  the 90-day period passes without demonstration approval, the owner or operator  shall comply with the actions under 9VAC20-81-260 C within the timeframes  specified unless the director has granted an extension to those timeframes. 
    (b) Describe the results in the semi-annual or quarterly report.  
    C. Monitoring for CDD, industrial, and State Monitoring  Program sanitary landfills. 
    1. Applicability. 
    a. Sanitary landfills. Owners or operators of sanitary  disposal facilities that have ceased to accept solid waste prior to the  federally imposed deadline of October 9, 1993, and or in the case  of a "small landfill" before April 9, 1994, are eligible, with the  director's approval, to conduct the state groundwater monitoring program  described in this section in lieu of the groundwater monitoring program  required under subdivision B 2 or 3 of this section. 
    b. CDD and industrial landfills. Owners or operators of CDD  and industrial landfills not subject to the federal groundwater monitoring  requirements prescribed under 40 CFR Parts 257 and 258 will shall  perform the groundwater monitoring described in this section. 
    c. Other landfills. All other landfills excluding sanitary  landfills, including those that accepted hazardous waste from conditionally  exempt small quantity generators after July 1, 1998, will shall  perform the groundwater monitoring described in this section. 
    2. First determination monitoring program. 
    a. Sampling requirements. A first determination monitoring  program shall consist of a background-establishing period followed by  semi-annual sampling and analysis for the constituents shown in Table 3.1  Column A at all wells installed under subdivision A 3 a of this section. Within  14 days of each event during first determination monitoring, notify the  department identifying the Table 3.1 Column A constituents that have been  detected. 
    b. Development of background. Within 360 days of the initial  first determination sampling event: 
    (1) Establish background concentrations for any constituents  detected pursuant to subdivision 2 a of this subsection. 
    (a) A minimum of four independent samples from each well  (background and downgradient) shall be collected and analyzed to establish  background concentrations for the detected constituents using the procedures in  subsection D of this section. 
    (b) In those cases where new wells are installed downgradient  of waste disposal units that already have received waste, but these wells have  not yet undergone their initial sampling event, collection of four independent  samples for background development will not be required. 
    (2) Within 30 days of completing the background calculations  required under subdivision 2 b (1) (a) of this subsection, submit a first  determination report, signed by a qualified groundwater scientist, to the  department which must include a summary of the background concentration data  developed during the background sampling efforts as well as the statistical  calculations for each constituent detected in the groundwater during the  background sampling events. 
    c. Semi-annual sampling and analysis. Within 90 days of the  last sampling event during the background-establishing period and at least  semi-annually thereafter, sample each monitoring well in the compliance network  for analysis of the constituents in Table 3.1 Column A. 
    d. Evaluation and response. Upon determination of site  background under subdivision 2 b (1) (a) of this subsection, the results of all  subsequent first determination monitoring events shall be assessed as follows: 
    (1) If no Table 3.1 Column A constituents are found to have entered  the groundwater at statistically significant levels over background, the owner  or operator shall:
    (a) Remain in first determination monitoring; and 
    (b) May request the director delete any Table 3.1 Column A  constituents from the semi-annual sampling list if the owner or operator  demonstrates that the proposed deleted constituents are not reasonably expected  to be in or derived from the waste. 
    (2) If the owner or operator recognizes a statistically  significant increase over background for any Table 3.1 Column A constituent,  within 14 days of this finding, the owner or operator shall notify the  department identifying the Table 3.1 Column A constituents that have exceeded  background levels. The notification will include a statement that within 90 days  the owner or operator will shall:
    (a) Initiate a Phase II sampling program; or 
    (b) Submit an Alternate Source Demonstration under subdivision  A 5 of this section. 
    (3) If a successful demonstration is made and approved within  the timeframes established under subdivision A 5 of this section, the owner or  operator may remain in First Determination monitoring. 
    (4) If a successful demonstration is not made and approved  within the timeframes established under subdivision A 5 of this section, the  owner or operator shall initiate Phase II monitoring in accordance with the  timeframes in subdivision C 3 of this section. The director may approve a  longer timeframe with appropriate justification. 
    3. Phase II monitoring. 
    a. Sampling requirements. The owner or operator shall:
    (1) Within 90 days of noting the exceedance over background  determined under subdivision C 2 d of this section, sample the groundwater in  all monitoring wells installed under subdivision A 3 a of this section for all  Table 3.1 Column B constituents; 
    (2) After completing the initial Phase II sampling event,  continue to sample and analyze groundwater on a semi-annual basis within the  Phase II monitoring program; 
    b. Background development. If no additional Table 3.1 Column B  constituents are detected other than those previously detected under Column A,  which already have established their background levels, the owner or operator  shall follow the requirements under subdivision 3 c of this subsection  regarding groundwater protection standard establishment while continuing to  sample for the Table 3.1 Column A list on a semi-annual basis. If one or more  additional Table 3.1 Column B constituents are detected during the initial  Phase II sampling event:
    (1) Within 360 days, establish a background value for each  additional detected Table 3.1 Column B constituent. 
    (2) Submit a Phase II Background report within 30 days of  completing the background calculations including a summary of the background  concentration data for each constituent detected in the groundwater during the  Table 3.1 Column B background sampling events.
    (3) If any detected Table 3.1 Column B constituent is  subsequently not detected for a period of two years, the owner or operator may  petition the director to delete the constituent from the list of detected Table  3.1 Column B constituents that must be sampled semi-annually. 
    c. Establishment of groundwater protection standards. No later  than:
    (1) Thirty days after submitting the Phase II Background  report required under the provisions of subdivision 3 b (2) of this subsection,  or within 30 days of obtaining the results from the initial Table 3.1 Column B  sampling event indicating no further sampling for background determination is  necessary, the owner or operator shall propose a groundwater protection  standard for all detected Table 3.1 constituents. 
    (2) The groundwater protection standard proposed shall be  established in a manner consistent with the provisions in subdivision A 6 of  this section. 
    d. Groundwater monitoring plan. No later than 60 days after  establishment of groundwater protection standards in accordance with  subdivision A 6 of this section, the owner or operator shall submit an updated  Groundwater Monitoring Plan that details the site monitoring well network and  sampling and analysis procedures undertaken during groundwater monitoring  events. The department may waive the requirement for an updated plan if the  Groundwater Monitoring Plan included in the landfill's permit reflects current  site conditions in accordance with the regulations. 
    (1) No later than 30 days after the submission of the  Groundwater Monitoring Plan, the owner or operator shall request a permit amendment  modification to incorporate the updated plan and related groundwater  monitoring modules into the landfill's permit in accordance with 9VAC20-81-600.  
    (2) If the 30-day timeframe specified in subdivision 3 d (1)  of this subsection is exceeded, the director will modify the permit in  accordance with 9VAC20-81-600 E. 
    e. Evaluation and response. After each subsequent Phase II  monitoring event following establishment of groundwater protection standards,  the concentration of Table 3.1 Column B constituents found in the groundwater  at each monitoring well installed pursuant to subdivision A 3 a of this section  will be evaluated against the groundwater protection standards. The evaluation  will be presented to the department in a semi-annual Phase II report. The  evaluation will be as follows: 
    (1) If all Table 3.1 constituents are shown to be at or below  background values, using the statistical procedures in subsection D of this  section, for two consecutive Table 3.1 Column B sampling events, the owner or  operator shall notify the director of this finding in the semi-annual report  and may return to first determination monitoring; 
    (2) If any Table 3.1 Column B constituents are found to be  above background values, but are below the established groundwater protection  standard using the statistical procedures in subsection D of this section, the  owner or operator shall continue semi-annual Phase II monitoring and present  the findings in a semi-annual report; 
    (3) If one or more Table 3.1 Column B constituents are above  the established groundwater protection standard using the statistical  procedures in subsection D of this section, the owner or operator shall:
    (a) Notify the department within 14 days of this finding. The  notification will include a statement that within 90 days the owner or operator  will either: (i) undertake the characterization and assessment actions required  under 9VAC20-81-260 C 1; or (ii) submit an alternate source demonstration as  specified in subdivision A 5 of this section. If a successful demonstration is  made within 90 days, the owner or operator may continue monitoring in  accordance with Phase II monitoring program. If the 90-day period is exceeded,  the owner or operator shall comply with the timeframes of 9VAC20-81-260 C  unless the director has granted an extension to those timeframes; and
    (b) Present the findings in the semi-annual report. 
    D. Statistical methods and constituent lists. 
    1. Acceptable test methods. The following statistical test  methods may be used to evaluate groundwater monitoring data: 
    a. A parametric analysis of variance (ANOVA) followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's mean and the background mean levels  for each constituent. 
    b. An analysis of variance (ANOVA) based on ranks followed by  multiple comparisons procedures to identify statistically significant evidence  of contamination. The method must include estimation and testing of the  contrasts between each compliance well's median and the background median  levels for each constituent. 
    c. A tolerance or prediction interval procedure in which an  interval for each constituent is established from the distribution of the  background data, and the level of each constituent in each compliance well is  compared to the upper tolerance or prediction limit. 
    d. A control chart approach that gives control limits for each  constituent. 
    e. Another statistical test method that meets the performance  standards specified below. Based on the justification submitted to the  department, the director may approve the use of an alternative test. The  justification must demonstrate that the alternative method meets the  performance standards in subdivision 2 of this subsection. 
    2. Performance standards. Any statistical method chosen by the  owner or operator shall comply with the following performance standards, as  appropriate: 
    a. The statistical method used to evaluate groundwater  monitoring data shall be appropriate for the distribution of monitoring  parameters or constituents. If the distribution is shown by the owner or  operator to be inappropriate for a normal theory test, then the data shall be  transformed or a distribution-free theory test shall be used. If the  distributions for the constituents differ, more than one statistical method may  be needed. 
    b. If an individual well comparison procedure is used to  compare an individual compliance well constituent concentration with background  constituent concentrations or a groundwater protection standard, the test shall  be done at a Type I error level no less than 0.01 for each testing period. If a  multiple comparisons procedure is used, the Type I experiment-wise error rate  for each testing period shall be no less than 0.05; however, the Type I error  of no less than 0.01 for individual well comparisons must be maintained. 
    c. If a control chart approach is used to evaluate groundwater  monitoring data, the specific type of control chart and its associated  parameter values shall be protective of human health and the environment. The  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    d. If a tolerance interval or a predictional interval is used  to evaluate groundwater monitoring data, the levels of confidence and, for  tolerance intervals, the percentage of the population that the interval must  contain, shall be protective of human health and the environment. These  parameters shall be determined after considering the number of samples in the  background data base, the data distribution, and the range of the concentration  values for each constituent of concern. 
    e. The statistical method shall account for data below the  limit of detection with one or more statistical procedures that are protective  of human health and the environment. Any estimated quantitation limit (EQL)  that is used in the statistical method shall be the lowest concentration level  that can be reliably achieved within specified limits of precision and accuracy  during routine laboratory operating conditions that are available to the  landfill. 
    f. If necessary, the statistical method shall include  procedures to control or correct for seasonal and spatial variability as well  as temporal correlation in the data.
    E. Recordkeeping and reporting. 
    1. Records pertaining to groundwater monitoring activities on  site shall be retained at a specified location by the owner or operator  throughout the active life and postclosure care period of the landfill, and  shall include at a minimum: 
    a. All historical groundwater surface elevation data obtained  from wells installed pursuant to subdivision A 3 a of this section; 
    b. All historical laboratory analytical results for  groundwater sampling events required under the groundwater monitoring programs  as described in this section; 
    c. All records of well installation, repair, or abandonment  actions; 
    d. All department correspondence to the landfill; and 
    e. All approved variances, well subsets, wetlands, or other  such director/department approvals. 
    2. Reporting requirements. 
    a. Annual report. 
    (1) An Annual Groundwater Monitoring Report shall be submitted  by the owner or operator to the department no later than 120 days from the  completion of sampling and analysis conducted under subdivision A 4 h of this  section for the second semi-annual event or fourth quarterly event during each  calendar year and shall by accompanied by:
    (a) A signature page; and 
    (b) A completed QA/QC DEQ Form ARSC-01.
    (2) The technical content of the annual report shall at a  minimum, contain the following topical content: 
    (a) The landfill's name, type, permit number, current owner or  operator, and location keyed to a USGS topographic map; 
    (b) Summary of the design type (i.e., lined versus unlined),  operational history (i.e., trench fill versus area fill), and size (acres) of  the landfill including key dates such as beginning and termination of waste  disposal actions and dates different groundwater monitoring phases were  entered;
    (c) Description of the surrounding land use noting whether any  adjoining land owners utilize private wells as a potable water source;
    (d) A discussion of the topographic, geologic, and hydrologic  setting of the landfill including a discussion on the nature of the uppermost  aquifer (i.e., confined versus unconfined) and proximity to surface waters;
    (e) A discussion of the monitoring wells network noting any  modifications that were made to the network during the year or any  nonperformance issues and a statement noting that the monitoring well network  meets (or did not meet) the requirements of subdivision A 3 of this section; 
    (f) A listing of the groundwater sampling events undertaken  during the previous calendar year; 
    (g) A historical table listing the detected constituents, and  their concentrations identified in each well during the sampling period; and
    (h) Evaluations of and appropriate responses to the  groundwater elevation data; groundwater flow rate as calculated using the prior  years elevation data; groundwater flow direction (as illustrated on a  potentiometric surface map); and sampling and analytical data obtained during  the past calendar year. 
    b. Semi-annual or quarterly report. 
    (1) After each sampling event has been completed for the 1st  semi-annual or first, second and third quarterly groundwater sampling events, a  semi-annual or quarterly monitoring report shall be submitted under separate  cover by the owner or operator to the department no later than 120 days from  the completion of sampling and analysis conducted under subdivision A 4 h of  this section, unless as allowed under a director-approved extension. The report  shall at a minimum contain the following items: 
    (a) Signature page signed by a professional geologist or  qualified groundwater scientist; 
    (b) Landfill name and permit number;
    (c) Statement noting whether or not all monitoring points  within the permitted network installed to meet the requirements of subdivision  A 3 a of this section were sampled as required under subdivision B 2 or 3 or C  2 or 3 during the event;
    (d) Calculated rate of groundwater flow during the sampling  period as required under subdivision A 4 c of this section;
    (e) The groundwater flow direction as determined during the  sampling period as required under subdivision A 4 c of this section presented  as either plain text or graphically as a potentiometric surface map;
    (f) Statement noting whether or not there were statistically  significant increases over background or groundwater protection standards  during the sampling period, the supporting statistical calculations, and  reference to the date the director was notified of the increase pursuant to  timeframes in subdivision B 2 or 3 or C 2 or 3, if applicable; 
    (g) Copy of the full Laboratory Analytical Report including  dated signature page (laboratory manager or representative) to demonstrate  compliance with the timeframes of subdivision A 4 h of this section. The  department will accept the lab report in CD-ROM format. 
    (2) In order to reduce the reporting burden on the owner or  operator and potential redundancy within the operating record, a discussion of  the second semi-annual or fourth quarterly sampling event results may be  presented in the Annual Report submission.
    c. Other submissions. Statistically significant increase  notifications, well certifications, the first determination report, alternate  source demonstration, nature and extent study, assessment of corrective  measures, presumptive remedy proposal, corrective action plan or monitoring  plan, or other such report or notification types as may be required under  9VAC20-81-250 or 9VAC20-81-260, shall be submitted in a manner which achieves  the timeframe requirements as listed in 9VAC20-81-250 or 9VAC20-81-260. 
         
                 |      TABLE 3.1      GroundWater Solid Waste Constituent Monitoring List       |    
       |      Column A – Common Name1, 2      |          Column B – Common Name1, 2      |          CAS RN3      |    
       |             |          Acenaphthene      |          83-32-9      |    
       |             |          Acenaphthylene      |          208-96-8      |    
       |      Acetone      |          Acetone      |          67-64-1      |    
       |             |          Acetonitrile; Methyl cyanide      |          75-05-8      |    
       |             |          Acetophenone      |          98-86-2      |    
       |             |          2-Acetylaminofluorene; 2-AAF      |          53-96-3      |    
       |             |          Acrolein      |          107-02-8      |    
       |      Acrylonitrile      |          Acrylonitrile      |          107-13-1      |    
       |             |          Aldrin      |          309-00-2      |    
       |             |          Allyl chloride      |          107-05-1      |    
       |             |          4-Aminobiphenyl      |          92-67-1      |    
       |             |          Anthracene      |          120-12-7      |    
       |      Antimony      |          Antimony      |          (Total)      |    
       |      Arsenic      |          Arsenic      |          (Total)      |    
       |      Barium      |          Barium      |          (Total)      |    
       |      Benzene      |          Benzene      |          71-43-2      |    
       |             |          Benzo[a]anthracene; Benzanthracene      |          56-55-3      |    
       |             |          Benzo[b]fluoranthene      |          205-99-2      |    
       |             |          Benzo[k]fluoranthene      |          207-08-9      |    
       |             |          Benzo[ghi]perylene      |          191-24-2      |    
       |             |          Benzo[a]pyrene      |          50-32-8      |    
       |             |          Benzyl alcohol      |          100-51-6      |    
       |      Beryllium      |          Beryllium      |          (Total)      |    
       |             |          alpha-BHC      |          319-84-6      |    
       |             |          beta-BHC      |          319-85-7      |    
       |             |          delta-BHC      |          319-86-8      |    
       |             |          gamma-BHC; Lindane      |          58-89-9      |    
       |             |          Bis(2-chloroethoxy)methane      |          111-91-1      |    
       |             |          Bis(2-chloroethyl) ether; Dichloroethyl ether      |          111-44-4      |    
       |             |          Bis(2-chloro-1-methylethyl) ether; 2, 2'-Dichlorodiisopropyl    ether; DCIP      |          108-60-1, See note 4      |    
       |             |          Bis(2-ethylhexyl)phthalate      |          117-81-7      |    
       |      Bromochloromethane;.Chlorobromomethane      |          Bromochloromethane;.Chlorobromomethane      |          74-97-5      |    
       |      Bromodichloromethane;.Dibromochloromethane      |          Bromodichloromethane;.Dibromochloromethane      |          75-27-4      |    
       |      Bromoform; Tribromomethane      |          Bromoform; Tribromomethane      |          75-25-2      |    
       |             |          4-Bromophenyl phenyl ether      |          101-55-3      |    
       |             |          Butyl benzyl phthalate; Benzyl butyl phthalate      |          85-68-7      |    
       |      Cadmium      |          Cadium Cadmium      |          (Total)      |    
       |      Carbon disulfide      |          Carbon disulfide      |          75-15-0      |    
       |      Carbon tetrachloride      |          Carbon tetrachloride      |          56-23-5      |    
       |             |          Chlordane      |          Note 5      |    
       |             |          p-Chloroaniline      |          106-47-8      |    
       |      Chlorobenzene      |          Chlorobenzene      |          108-90-7      |    
       |             |          Chlorobenzilate      |          510-15-6      |    
       |             |          p-Chloro-m-cresol; 4-Chloro-3-methylphenol      |          59-50-7      |    
       |      Chloroethane; Ethyl chloride      |          Chloroethane; Ethyl chloride      |          75-00-3      |    
       |      Chloroform; Trichloromethane      |          Chloroform; Trichloromethane      |          67-66-3      |    
       |             |          2-Chloronaphthalene      |          91-58-7      |    
       |             |          2-Chlorophenol      |          95-57-8      |    
       |             |          4-Chlorophenyl phenyl ether      |          7005-72-3      |    
       |             |          Chloroprene      |          126-99-8      |    
       |      Chromium      |          Chromium      |          (Total)      |    
       |             |          Chrysene      |          218-01-9      |    
       |      Cobalt      |          Cobalt      |          (Total)      |    
       |      Copper      |          Copper      |          (Total)      |    
       |             |          m-Cresol; 3-methyphenol      |          108-39-4      |    
       |             |          o-Cresol; 2-methyphenol      |          95-48-7      |    
       |             |          p-Cresol; 4-methyphenol      |          106-44-5      |    
       |             |          Cyanide      |          57-12-5      |    
       |             |          2,4-D; 2,4-Dichlorophenoxyacetic acid      |          94-75-7      |    
       |             |          4,4'-DDD      |          72-54-8      |    
       |             |          4,4'-DDE      |          72-55-9      |    
       |             |          4,4'-DDT      |          50-29-3      |    
       |             |          Diallate      |          2303-16-4      |    
       |             |          Dibenz[a,h]anthracene      |          53-70-3      |    
       |             |          Dibenzofuran      |          132-64-9      |    
       |      Dibromochloromethane; Chlorodibromomethane      |          Dibromochloromethane; Chlorodibromomethane      |          124-48-1      |    
       |      1,2-Dibromo-3-chloropropane; DBCP      |          1,2-Dibromo-3-chloropropane; DBCP      |          96-12-8      |    
       |      1,2-Dibrimoethane; Ethylene dibromide; EDB      |          1,2-Dibrimoethane; Ethylene dibromide; EDB      |          106-93-4      |    
       |             |          Di-n-butyl phthalate      |          84-74-2      |    
       |      o-Dichlorobenzene; 1,2-Dichlorobenzene      |          o-Dichlorobenzene; 1,2-Dichlorobenzene      |          95-50-1      |    
       |             |          m-Dichlorobenzene; 1,3-Dichlorobenzene      |          541-73-1      |    
       |      p-Dichlorobenzene; 1,4-Dichlorobenzene      |          p-Dichlorobenzene; 1,4-Dichlorobenzene      |          106-46-7      |    
       |             |          3,3'-Dichlorobenzidine      |          91-94-2      |    
       |      trans-1,4-Dichloro-2-butene      |          trans-1,4-Dichloro-2-butene      |          110-57-6      |    
       |             |          Dichlorodifluoromethane; CFC 12;      |          75-71-8      |    
       |      1.1-Dichloroethane; Ethylidene chloride      |          1,1-Dichloroethane; Ethylidene chloride      |          75-34-3      |    
       |      1,2-Dichloroethane; Ethylene dichloride      |          1,2-Dichloroethane; Ethylene dichloride      |          107-06-2      |    
       |      1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          1,1-Dichloroethylene; 1,1-Dichloroethene; Vinylidene    chloride      |          75-35-4      |    
       |      cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          cis-1,2-Dichloroethylene; cis-1,2-Dichloroethene      |          156-59-2      |    
       |      trans-1,2-Dichloroethylene      |          trans-1,2-Dichloroethylene; trans-1,2-Dichroroethene      |          156-60-5      |    
       |             |          2,4-Dichlorophenol      |          120-83-2      |    
       |             |          2,6-Dichlorophenol      |          87-65-0      |    
       |      1,2-Dichloropropane; Propylene dichloride      |          1,2-Dichloropropane; Propylene dichloride      |          78-87-5      |    
       |             |          1,3-Dichloropropane; Trimethylene dichloride      |          142-28-9      |    
       |             |          2, 2-Dichloropropane; isopropylidene chloride      |          594-20-7      |    
       |             |          1,1-Dichloropropene      |          563-58-6      |    
       |      cis-1,3-Dichloropropene      |          cis-1,3-Dichloropropene      |          10061-01-5      |    
       |      trans-1,3-Dichloropropene      |          trans-1,3-Dichloropropene      |          10061-02-6      |    
       |             |          Dieldrin      |          60-57-1      |    
       |             |          Diethyl phthalate      |          84-66-2      |    
       |             |          O,O-Diethyl O-2-pyrazinyl phosphorothioate; Thionazin      |          297-97-2      |    
       |             |          Dimethoate      |          60-51-5      |    
       |             |          p-(Dimethylamino)azobenzene      |          60-11-7      |    
       |             |          7,12-Dimethylbenz[a]anthracene      |          57-97-6      |    
       |             |          3,3'-Dimethylbenzidine      |          119-93-7      |    
       |             |          2,4-Dimethylphenol; m-Xylenol      |          105-67-9      |    
       |             |          Dimethyl phthalate      |          131-11-3      |    
       |             |          m-Dinitrobenzene      |          99-65-0      |    
       |             |          4,6-Dinitro-o-cresol; 4,6-Dinitro-2-methylphenol      |          534-52-1      |    
       |             |          2,4-Dinitrophenol      |          51-28-5      |    
       |             |          2,4-Dinitrotoluene      |          121-14-2      |    
       |             |          2,6-Dinitrotoluene      |          606-20-2      |    
       |             |          Dinoseb; DNBP; 2-sec-Butyl-4,6-dinitrophenol      |          88-85-7      |    
       |             |          Di-n-octyl phthalate      |          117-84-0      |    
       |             |          Diphenylamine      |          122-39-4      |    
       |             |          Disulfoton      |          298-04-4      |    
       |             |          Endosulfan I      |          959-96-8      |    
       |             |          Endosulfan II      |          33213-65-9      |    
       |             |          Endosulfan sulfate      |          1031-07-8      |    
       |             |          Endrin      |          72-20-8      |    
       |             |          Endrin aldehyde      |          7421-93-4      |    
       |      Ethylbenzene      |          Ethylbenzene      |          100-41-4      |    
       |             |          Ethyl methacrylate      |          97-63-2      |    
       |             |          Ethylmethanesulfonate      |          62-50-0      |    
       |             |          Famphur      |          52-85-7      |    
       |             |          Fluoranthene      |          206-44-0      |    
       |             |          Fluorene      |          86-73-7      |    
       |             |          Heptachlor      |          76-44-8      |    
       |             |          Heptachlor epoxide      |          1024-57-3      |    
       |             |          Hexachlorobenzene      |          118-74-1      |    
       |             |          Hexachlorobutadiene      |          87-68-3      |    
       |             |          Hexachlorocyclopentadiene      |          77-47-4      |    
       |             |          Hexachloroethane      |          67-72-1      |    
       |             |          Hexachloropropene      |          1888-71-7      |    
       |      2-Hexanone; Methyl butyl ketone      |          2-Hexanone; Methyl butyl ketone      |          591-78-6      |    
       |             |          Indeno[1,2,3-cd]pyrene      |          193-39-5      |    
       |             |          Isobutyl alcohol      |          78-83-1      |    
       |             |          Isodrin      |          465-73-6      |    
       |             |          Isophorone      |          78-59-1      |    
       |             |          Isosafrole      |          120-58-1      |    
       |             |          Kepone      |          143-50-0      |    
       |      Lead      |          Lead      |          (Total)      |    
       |             |          Mercury      |          (Total)      |    
       |             |          Methacrylonitrile      |          126-98-7      |    
       |             |          Methapyrilene      |          91-80-5      |    
       |             |          Methoxychlor      |          72-43-5      |    
       |      Methyl bromide; Bromomethane      |          Methyl bromide; Bromomethane      |          74-83-9      |    
       |      Methyl chloride; Chloromethane      |          Methyl chloride; Chloromethane      |          74-87-3      |    
       |             |          3-Methylcholanthrene      |          56-49-5      |    
       |      Methyl ethyl ketone; MEK; 2-Butanone      |          Methyl ethyl ketone; MEK; 2-Butanone      |          78-93-3      |    
       |      Methyl iodide; Iodomethane      |          Methyl iodide; Iodomethane      |          74-88-4      |    
       |             |          Methyl methacrylate      |          80-62-6      |    
       |             |          Methyl methanesulfonate      |          66-27-3      |    
       |             |          2-Methylnaphthalene      |          91-57-6      |    
       |             |          Methyl parathion; Parathion methyl methyl      |          298-00-0      |    
       |      4-Methyl-2-pentanone; Methyl isobutyl ketone      |          4-Methyl-2-pentanone; Methyl isobutyl ketone      |          108-10-1      |    
       |      Methylene bromide; Dibromomethane      |          Methylene bromide; Dibromomethane      |          74-95-3      |    
       |      Methylene chloride; Dichloromethane      |          Methylene chloride; Dichloromethane      |          75-09-2      |    
       |             |          Naphthalene      |          91-20-3      |    
       |             |          1,4-Naphthoquinone      |          130-15-4      |    
       |             |          1- Naphthylamine      |          134-32-7      |    
       |             |          2-Napthylamine      |          91-59-8      |    
       |      Nickel      |          Nickel      |          (Total)      |    
       |             |          o-Nitroaniline; 2-Nitroaniline      |          88-74-4      |    
       |             |          m-Nitroaniline; 3-Nitroaniline      |          99-09-2      |    
       |             |          p-Nitroaniline; 4-Nitroaniline      |          100-01-6      |    
       |             |          Nitrobenzene      |          98-95-3      |    
       |             |          o-Nitrophenol; 2-Nitrophenol      |          88-75-5      |    
       |             |          p-Nitrophenol; 4-Nitrophenol      |          100-02-7      |    
       |             |          N-Nitrosodi-n-butylamine      |          924-16-3      |    
       |             |          N-Nitrosodiethylamine      |          55-18-5      |    
       |             |          N-Nitrosodimethylamine      |          62-75-9      |    
       |             |          N-Nitrosodiphenylamine      |          86-30-6      |    
       |             |          N-Nitrosodipropylamine; N-Nitroso-N-dipropylamine;    Di-n-propylnitrosamine      |          621-64-7      |    
       |             |          N-Nitrosomethylethalamine      |          10595-95-6      |    
       |             |          N-Nitrosopiperidine      |          100-75-4      |    
       |             |          N-Nitrosopyrrolidine      |          930-55-2      |    
       |             |          5-Nitro-o-toluidine      |          99-55-8      |    
       |             |          Parathion      |          56-38-2      |    
       |             |          Pentachlorobenzene      |          608-93-5      |    
       |             |          Pentachloronitrobenzene      |          82-68-8      |    
       |             |          Pentachlorophenol      |          87-86-5      |    
       |             |          Phenacetin      |          62-44-2      |    
       |             |          Phenanthrene      |          85-01-8      |    
       |             |          Phenol      |          108-95-2      |    
       |             |          p-Phenylenediamine      |          106-50-3      |    
       |             |          Phorate      |          298-02-2      |    
       |             |          Polychlorinated biphenyls; PCBS; Aroclors      |          Note 6      |    
       |             |          Pronamide      |          23950-58-5      |    
       |             |          Propionitrile; Ethyl cyanide      |          107-12-0      |    
       |             |          Pyrene      |          129-00-0      |    
       |             |          Safrole      |          94-59-7      |    
       |      Selenium      |          Selenium      |          (Total)      |    
       |      Silver      |          Silver      |          (Total)      |    
       |             |          Silvex; 2,4,5-TP      |          93-72-1      |    
       |      Styrene      |          Styrene      |          100-42-5      |    
       |             |          Sulfide      |          18496-25-8      |    
       |             |          2,4,5-T; 2,4,5-Trichlorophenoxyacetic acid      |          93-76-5      |    
       |             |          1,2,4,5-Tetrachlorobenzene      |          95-94-3      |    
       |      1,1,1,2-Tetrachloroethane      |          1,1,1,2-Tetrachloroethane      |          630-20-6      |    
       |      1,1,2,2-Tetrachloroethane      |          1,1,2,2-Tetrachloroethane      |          79-34-5      |    
       |      Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          Tetrachloroethylene; Tetrachloroethene; Perchloroethylene      |          127-18-4      |    
       |             |          2,3,4,6-Tetrachlorophenol      |          58-90-2      |    
       |      Thallium      |          Thallium      |          (Total)      |    
       |             |          Tin      |          (Total)      |    
       |      Toluene      |          Toluene      |          108-88-3      |    
       |             |          o-Toluidine      |          95-53-4      |    
       |             |          Toxaphene      |          Note 7      |    
       |             |          1,2,4-Trichlorobenzene      |          120-82-1      |    
       |      1,1,1-Trichloroethane; Methychloroform      |          1,1,1-Trichloroethane; Methychloroform      |          71-55-6      |    
       |      1,1,2-Trichloroethane      |          1,1,2-Trichloroethane      |          79-00-5      |    
       |      Trichloroethylene; Trichloroethene ethene      |          Trichloroethylene; Trichloroethene ethane      |          79-01-6      |    
       |      Trichlorofluoromethane; CFC-11      |          Trichlorofluoromethane; CFC-11      |          75-69-4      |    
       |             |          2,4,5-Trichlorophenol      |          95-95-4      |    
       |             |          2,4,6-Trichlorophenol      |          88-06-2      |    
       |      1,2,3-Trichloropropane      |          1,2,3-Trichloropropane      |          96-18-4      |    
       |             |          O,O,O-Triethyl phosphorothioate      |          126-68-1      |    
       |             |          sym-Trinitrobenzene      |          99-35-4      |    
       |      Vanadium      |          Vanadium      |          (Total)      |    
       |      Vinyl acetate      |          Vinyl acetate      |          108-05-4      |    
       |      Vinyl chloride; Chloroethene      |          Vinyl chloride; Chloroethene      |          75-01-4      |    
       |      Xylene(total)      |          Xylene(total)      |          Note 8      |    
       |      Zinc      |          Zinc      |          (Total)      |    
  
    NOTES:
    1Common names are those widely used in government  regulations, scientific publications, and commerce; synonyms exist for many  chemicals.
    2The corresponding Chemical Abstracts Service Index  name as used in the 9th Collective Index, may be found in Appendix II of 40 CFR  258.
    3Chemical Abstracts Service Registry Number. Where  "Total" is entered, all species in the groundwater that contains this  element are included.
    4This substance is often called  Bis(2-chloroisopropyl) ether, the name Chemical Abstracts Service applies to  its noncommercial isomer, Propane, 2.2'-oxybis2-chloro (CAS RN 39638-32-9).
    5Chlordane: This entry includes alpha-chlordane (CAS  RN 5103-71-9), beta-chlordane (CAS RN 5103-74-2), gamma-chlordane (CAS RN  5566-34-7), and constituents of chlordane (CAS RN 57-74-9 and CAS RN  12739-03-6).
    6Polychlorinated biphenyls (CAS RN 1336-36-3); this  category contains congener chemicals, including constituents of Aroclor 1016  (CAS RN 12674-11-2), Aroclor 1221 (CAS RN 11104-28-2), Aroclor 1232 (CAS RN  11141-16-5), Aroclor 1242 (CAS RN 53469-21-9), Aroclor 1248 (CAS RN  12672-29-6), Aroclor 1254 (CAS RN 11097-69-1), and Arclor 1260 (CAS RN  11096-82-5).
    7Toxaphene: This entry includes congener chemicals  contained in technical toxaphene (CAS RN 8001-35-2), i.e., chlorinated  camphene.
    8Xylene (total): This entry includes o-xylene (CAS  RN 96-47-6), m-xylene (CAS RN 108-38-3), p-xylene (CAS RN 106-42-3), and  unspecified xylenes (dimethylbenzenes) (CAS RN 1330-20-7).
         
          9VAC20-81-260. Corrective action program.
    A. Corrective action is required whenever one or more  groundwater protection standard is exceeded at statistically significant  levels. An owner or operator of a landfill may elect to initiate corrective  action at any time; however, prior to such initiation, the appropriate  groundwater protection standards for all Table 3.1 constituents shall be  established consistent with 9VAC20-81-250 A 6. At any time during the  corrective action process, the owner or operator may elect to pursue, or the  director can determine that, interim measures as defined under subsection F of  this section are required in accordance with subdivision E 3 of this section.
    B. The director may require periodic progress reports when a  corrective action program is required but not yet implemented. At any time  during the corrective action process, the owner or operate may elect to pursue,  or the director can determine that, interim measures as defined under  subsection F of this section are required in accordance with subdivision E 3 of  this section. 
    C. Characterization and assessment requirements. 
    1. Upon notifying the department that one or more of the  constituents listed in Table 3.1 Column B has been detected at a statistically  significant level exceeding the groundwater protection standards, the owner or  operator shall, unless department approval of an Alternate Source Demonstration  has been received as noted under 9VAC20-81-250 B 3 f (3) (a) (ii) or  9VAC20-81-250 C 3 c (3) (a) (ii):
    a. Characterization. Within 90 days, install additional  monitoring wells as necessary including the installation of at least one  additional monitoring well at the facility boundary in the direction of  contaminant migration sufficient to define the vertical and horizontal  extent of the release of constituents at statistically significant levels  exceeding the groundwater protection standards including the installation of  at least one additional monitoring well at the facility boundary in the  direction of contaminant migration. 
    b. Notification. Notify all persons who own the land or reside  on the land that directly overlies any part of the release if contaminants have  migrated offsite as indicated by the results of sampling of the  characterization wells installed under subdivision 1 a of this subsection  within 15 days of completion of the characterization sampling and analysis  efforts. 
    c. Assessment. Within 90 days, initiate an assessment of  corrective measures or a proposal for presumptive remedy. 
    d. Financial assurance. Within 120 days, provide additional  financial assurance in the amount of $1 million to the department using the  mechanisms required in 9VAC20-70-140 of the Financial Assurance Requirements  for Solid Waste Disposal, Transfer, and Treatment Facilities. 
    e. Public meeting. Prior to submitting the document required  under subdivision 1 f of this subsection, schedule and hold a public meeting to  discuss the draft results of the corrective measures assessment or the proposal  for presumptive remedy, prior to the final selection of remedy. The meeting  shall be held to the extent practicable in the vicinity of the landfill. The  process to be followed for scheduling and holding the public hearing is  described under subdivision 4 of this subsection. 
    f. Submission requirements. Within 180 days, submit the  completed assessment of corrective measures defined under subdivision 3 of this  subsection, or the proposal for presumptive remedies defined under subdivision  2 of this subsection, including any responses to public comments received. 
    g. Director allowance. The submission timeframe noted in  subdivision 1 f of this subsection may be extended by the director for good cause  upon request of the owner or operator. 
    2. Presumptive remedy  allowance. 
    a. Applicability. To expedite corrective action, in lieu of an  analysis meeting the requirements of subdivision 3 of this subsection, the  owner or operator of any facility monitoring groundwater in accordance with  9VAC20-81-250 C may propose a presumptive remedy for the landfill. 
    b. Options. The presumptive remedy for solid waste landfills  shall be limited to one or more of the following: 
    (1) Containment of the landfill mass, including an impermeable  cap; 
    (2) Control of the landfill leachate; 
    (3) Control of the migration of contaminated groundwater; 
    (4) Collection and treatment of landfill gas; and 
    (5) Reduction of saturation of the landfill mass. 
    Containment may be selected as a sole or partial remedy until  a determination is made under subdivision F 1 of this section that another  remedy shall be employed to meet the requirements of subdivision G 1 of this  section concerning remediation completion. Upon recognition that presumptive  remedies may not be able to achieve the groundwater protection standards, an  assessment of corrective measures shall be initiated within 90 days.
    c. Restrictions. Presumptive remedies are not applicable to:
    (1) Landfills monitoring groundwater under the Federal  Subtitle D equivalent program defined under 9VAC20-81-250 B when the use of the  presumptive remedy will be the sole remedy applied to the groundwater release;  or
    (2) Landfills that may monitor groundwater under 9VAC20-81-250  C but that exhibit contamination beyond facility boundaries unless the proposed  presumptive remedy option under subdivision 2 b of this subsection can be  demonstrated to show it will address the reduction of contamination already  present beyond the facility boundary, and the demonstration is approved by the  department. 
    d. Submission requirements. Owner or operators who wish to  propose use of the presumptive remedy allowance shall submit with the proposal,  signed by a qualified groundwater professional, an: 
    (1) Assessment of risks resulting from the contamination at  the disposal unit boundary and at the facility boundary; 
    (2) Evaluation of the current trends in groundwater quality  data with respect to the established groundwater protection standards; and
    (3) Anticipated schedule for initiating and completing  presumptive remedy-based remedial activities. 
    e. Implementation. Upon conducting a public meeting as  required under subdivision 4 of this subsection, submitting a corrective action  monitoring plan meeting subdivision D 1 of this section, and amending modifying  the landfill permit in accordance with 9VAC20-81-600 F 2, the owner or operator  may proceed with the implementation of the remedy in accordance with  subdivision E 1 of this section. 
    f. Evaluation and response. The owner or operator shall  provide an evaluation of the performance of the implemented presumptive remedy  every three years, unless an alternate schedule is approved by the director, in  a Corrective Action Site Evaluation report containing, at a minimum, the  following information: 
    (a) A description of how the presumptive remedy is performing  with respect to the conditions in subdivision H 1 of this section;
    (b) Current and historical groundwater data and analysis; 
    (c) An evaluation of the changes seen in groundwater  contamination after the implementation of the remedy and a projection of when  the conditions in subdivision H 1 of this section will be achieved; and 
    (d) The progress toward achieving the schedule required in  subdivision C 2 d (3) of this section. 
    3. Assessment of corrective measures. 
    a. Purpose. The assessment shall include an analysis of the  effectiveness of several potential corrective measures in meeting all of the  requirements and objectives of the remedy as described under this subsection,  addressing at least the following: 
    (1) The performance, reliability, implementation ease, and  potential impacts of appropriate potential remedies, including safety impacts,  cross-media impacts, and control of exposure to any residual contamination; 
    (2) The time required to begin and complete the remedy; 
    (3) The costs of remedy implementation; and 
    (4) The institutional requirements such as state or local  permit requirements or other environmental or public health requirements that  may substantially affect implementation of the remedies. 
    b. Requirements. As part of the assessment of corrective  measures submitted to the department for review, the owner or operator must  demonstrate that one or more possible groundwater remedy has been evaluated for  potential application on site. These remedies may include a specific technology  or combination of technologies that achieve or may achieve the standards for  remedies specified in subdivision 3 c (1) of this subsection given appropriate  consideration of the factors specified in subdivision D 1 a of this section. 
    c. Selection of remedy. As part of submission of the  assessment of corrective measures document, the owner or operator shall select  a remedy that, at a minimum, meets the standards listed in subdivision H 1 of  this section. 
    (1) The selected remedies to be included in the corrective  action plan shall: 
    (a) Be protective of human health and the environment; 
    (b) Attain the groundwater protection standard as specified  pursuant to 9VAC20-81-250 A 6; 
    (c) Control the sources of releases so as to reduce or  eliminate, to the maximum extent practicable, further releases of solid waste  constituents into the environment that may pose a threat to human health or the  environment; and 
    (d) Comply with standards for management of wastes. 
    d. Evaluation and response. The department shall review the  assessment of corrective measures to evaluate the proposed remedy and may  require revisions to the assessment. If the assessment is approved without  revision, the department will notify the owner or operator to prepare a written  corrective action plan based on the proposed remedy and such plan will be  submitted within 180 days of the department's notification of approval of the  assessment of corrective measures. 
    4. Public meeting process. As part of the public meeting  process completed prior to the submission of a proposal for presumptive remedy  or assessment of corrective measures: 
    a. Newspaper notice. The owner or operator must publish a  notice once a week for two consecutive weeks in a major local newspaper of  general circulation inviting public comment on the results of the corrective  measures assessment or proposal for presumptive remedy as applicable. The  notice shall include: 
    (1) The name of the landfill, its location, and the date,  time, and place for the public meeting, and the beginning and ending dates for  the 30-day comment period. The public meeting shall be held at a time  convenient to the public. The comment period will begin on the date the owner  or operator publishes the notice in the local newspaper;
    (2) The name, telephone, and address of the owner's or  operator's representative who can be contacted by the interested persons to  answer questions or where comments shall be sent; 
    (3) Location where copies of the documentation to be submitted  to the department in support of the corrective measures assessment or proposal  of presumptive remedy can be viewed and copied prior to the meeting; 
    (4) A statement indicating that the need to perform the  corrective measures assessment or presumptive remedy is a result of a  statistically significant increase in one or more groundwater protection  standards; and 
    (5) A statement that the purpose of the public meeting is to  acquaint the public with the technical aspects of the proposal, describe how  the requirements of these regulations will be met, identify issues of concern,  facilitate communication, and establish a dialogue between the permittee and  persons who may be affected by the landfill.
    b. Document review. The owner or operator shall place a copy  of the report and supporting documentation in a location accessible to the  public during the public comment period in the vicinity of the proposed  landfill. 
    c. Meeting timeframe. The owner or operator shall hold a  public meeting within a timeframe that allows for the submission of a completed  assessment of corrective measures or presumptive remedy within 180 days of  notifying the department of a groundwater protection standard exceedance or as  granted under subdivision 1 g of this subsection. The meeting must be scheduled  and held:
    (1) No earlier than 15 days after the publication of the  notice; and
    (2) No later than seven days before the close of the 30-day  comment period.
    D. Corrective action plan and monitoring plan. 
    1. The owner or operator shall submit to the department a  Corrective Action Plan (CAP) and related Corrective Action Monitoring Plan  (CAMP) consistent with the findings as presented in the assessment of  corrective measures required under subdivision C 3 of this section, or proposal  for presumptive remedy described under subdivision C 2 of this section.
    a. Requirements. In preparing a proposed corrective action  plan, the owner or operator will consider the following evaluation factors: 
    (1) The long-term and short-term effectiveness and  protectiveness of the potential remedies, along with the degree of certainty  that the remedy will prove successful based on consideration of the following: 
    (a) Magnitude of reduction of existing risks; 
    (b) Magnitude of residual risks in terms of likelihood of  further releases due to waste remaining following implementation of a remedy; 
    (c) The type and degree of long-term management required,  including monitoring, operation, and maintenance; 
    (d) Short-term risks that might be posed to the community,  workers, or the environment during implementation of such a remedy, including  potential threats to human health and the environment associated with  excavation, transportation, and redisposal or containment; 
    (e) Time until full protection is achieved; 
    (f) Potential for exposure of humans and environmental  receptors to remaining wastes, considering the potential threat to human health  and the environment associated with excavation, transportation, re-disposal, or  containment; 
    (g) Long-term reliability of the engineering and institutional  controls; and 
    (h) Potential need for replacement of the remedy. 
    (2) The effectiveness of the remedy in controlling the source  to reduce further releases based on consideration of the following factors: 
    (a) The extent to which containment practices will reduce  further releases; 
    (b) The extent to which treatment technologies may be used; 
    (c) Magnitude of reduction of existing risks; and 
    (d) Time until full protection is achieved. 
    (3) The ease or difficulty of implementing a potential remedy  based on consideration of the following types of factors: 
    (a) Degree of difficulty associated with constructing the  technology; 
    (b) Expected operational reliability of the technologies; 
    (c) Need to coordinate with and obtain necessary approvals and  permits from other agencies; 
    (d) Availability of necessary equipment and specialists; and 
    (e) Available capacity and location of needed treatment,  storage, and disposal services. 
    (4) Practicable capability of the owner or operator, including  a consideration of the technical and economic capability. At a minimum the  owner or operator must consider capital costs, operation and maintenance costs,  net present value of capital and operation and maintenance costs, and potential  future remediation costs. 
    (5) Ensure that all solid wastes that are managed while  undergoing corrective action or an interim measure shall be managed in a  manner: 
    (a) That is protective of human health and the environment;  and 
    (b) That complies with all applicable federal and Virginia  requirements. 
    (6) The degree to which community concerns raised as the  result of the public meeting required by subdivision C 4 of this section are  addressed by the potential remedy. 
    b. Implementation and completion timeframes. The owner or  operator shall specify as part of the selected remedy a schedule for initiating  and completing remedial activities. Such a schedule shall require the  initiation of remedial activities within a reasonable period of time taking into  consideration the factors set forth in this section. The owner or operator  shall consider the following factors in determining the schedule of remedial  activities: 
    (1) Extent and nature Nature and extent of  contamination; 
    (2) Practical capabilities of remedial technologies in  achieving compliance with groundwater protection standards established under  9VAC20-81-250 A 6 and other objectives of the remedy; 
    (3) Availability of treatment or disposal capacity for wastes  managed during implementation of the remedy; 
    (4) Desirability of utilizing technologies that are not  currently available, but which may offer significant advantages over already  available technologies in terms of effectiveness, reliability, safety, or  ability to achieve remedial objectives; 
    (5) Potential risks to human health and the environment from  exposure to contamination prior to completion of the remedy; 
    (6) Resource value of the aquifer including: 
    (a) Current and future uses; 
    (b) Proximity and withdrawal rates of users; 
    (c) Groundwater quantity and quality; 
    (d) The potential damage to wildlife, crops, vegetation, and  physical structures caused by exposure to the waste constituents; 
    (e) The hydrological characteristics of the landfill and  surrounding land; 
    (f) Groundwater removal and treatment costs; and 
    (g) The cost and availability of alternate water supplies; 
    (7) Practical capability of the owner or operator; 
    (8) Timeframes for periodic progress reports during design,  construction, operation, and maintenance. Items to consider when preparing the  reports include but are not limited to: 
    (a) Progress of remedy implementation; 
    (b) Results of monitoring and sampling activities; 
    (c) Progress in meeting cleanup standards; 
    (d) Descriptions of remediation activities; 
    (e) Problems encountered during the reporting period and  actions taken to resolve problems; 
    (f) Work for next reporting period;
    (g) Copies of laboratory reports including drilling logs,  QA/QC documentation, and field data; and
    (9) Other relevant factors. 
    c. Corrective action monitoring program. Any groundwater  monitoring program to be employed during the corrective action process: 
    (1) Shall at a minimum, meet the requirements of the  applicable groundwater monitoring program described under 9VAC20-81-250 B 3 or  C 3; 
    (2) Shall determine the horizontal and vertical extent of the  plume of contamination for constituents at statistically significant levels  exceeding background concentrations; 
    (3) Can be used to demonstrate the effectiveness of the  implemented corrective action remedy; and 
    (4) Shall demonstrate compliance with the groundwater  protection standard established under 9VAC20-81-250 A 6. 
    2. The proposed corrective action plan shall be submitted to  the director for approval. Prior to rendering his approval, the director may: 
    a. Request an evaluation of one or more alternative remedies; 
    b Request technical modification of the monitoring program; 
    c. Request a change in the time schedule; or 
    d. Determine that the remediation of the release of Table 3.1  constituents is not necessary if the owner or operator demonstrates to the  satisfaction of the director that: 
    (1) The groundwater is additionally contaminated by substances  that have originated from a source other than the landfill in a demonstration  meeting the requirements of 9VAC20-81-250 A 5 and those substances are present  in concentrations such that cleanup of the release from the landfill would  provide no significant reduction in risk to actual or potential receptors;
    (2) The constituent is present in groundwater that is not  currently or reasonably expected to be a source of drinking water and not  hydraulically connected with waters to which the constituents are migrating or  are likely to migrate in a concentration that would exceed the groundwater  protection standards established;
    (3) Remediation of the release is technically impracticable;  or 
    (4) Remediation results in unacceptable cross-media impacts. 
    3. A determination by the director pursuant to subdivision 2 d  of this subsection shall not affect the authority of the state to require the  owner or operator to undertake source control measures or other measures that  may be necessary to eliminate or minimize further releases to the groundwater,  to prevent exposure to the groundwater, or to remediate the groundwater to  concentrations that are technically practicable and significantly reduce  threats to human health or the environment. 
    4. After an evaluation of the proposed or revised plan, the  director will: 
    a. Approve the proposed corrective action plan as written;
    b. Approve the proposed corrective action plan as modified by  the owner or operator;
    c. Proceed with the permit amendment modification  process in accordance with 9VAC20-81-600 F 2; or 
    d. Disapprove the proposed corrective action plan and undertake  appropriate containment or clean up actions in accordance with § 10.1-1402  (18) of the Virginia Waste Management Act. 
    E. Remedy implementation. Upon completion of the permit amendment  modification action described under subdivision D 4 c of this section,  the owner or operator shall: 
    1. Monitoring program. Implement a corrective action  groundwater monitoring program meeting the requirements of subdivision D 1 c of  this section;
    2. Remedy. Implement the remedy described in the Corrective  Action Plan and the Permit as amended under subdivision D 4 c of this section;  and 
    3. Interim measures. Take any interim measures necessary to  ensure the protection of human health and the environment as described in  subsection F of this section.
    F. Interim measures. 
    1. To the greatest extent practicable, interim measures shall  be consistent with the objectives of and contribute to the performance of any  remedy that may be required pursuant to meeting the groundwater protection  standard. 
    2. Should the director require interim measures pursuant to  this section, the director will notify the owner or operator of the necessary  actions required. Such actions will be implemented as soon as practicable in  accordance with a schedule as specified by the director. 
    3. The following factors shall be considered in determining  whether interim measures are necessary: 
    a. Timeframes. Time required to develop or implement a final  remedy; 
    b. Exposure. Actual or potential exposure of nearby  populations or environmental receptors to hazardous constituents; 
    c. Drinking water. Actual or potential contamination of  drinking water supplies; 
    d. Resource degradation. Further degradation of the  groundwater that may occur if remedial action is not initiated expeditiously; 
    e. Migration potential. Weather conditions that may cause the  constituents to migrate or be released; 
    f. Accident. Risks of fire or explosion, or potential for  exposure to constituents as a result of an accident or failure of a container  or handling system; and 
    g. Other. Situations including the presence of wastes or other  contaminants that may pose threats to human health, sensitive ecosystems, and  the environment. 
    G. Remedy performance. 
    1. The owner or operator shall provide an evaluation of the  performance of the remedy consistent with the timeframes established in the  permit and present the findings in a Corrective Action Site Evaluation report.  The evaluation shall describe the progress toward achieving the groundwater  protection standards since implementation of the remedy. 
    2. An owner or operator or the director may determine, based  on information developed after implementation of the remedy or other  information contained in the evaluation, that compliance with requirements of  subdivision H 1 of this section are not being achieved through the remedy  selected. In such cases, the owner or operator shall implement other methods or  techniques that could practicably achieve compliance with the requirements,  unless the owner or operator makes the determination under subdivision G 3 of  this section. 
    3. If the owner or operator determines that groundwater  protection standards cannot be practically achieved with any currently  available methods, the owner or operator shall, within 90 days of recognizing  that condition: 
    a. Submit a report, certified by a qualified groundwater  scientist, for director approval, that demonstrates that compliance with  groundwater protection standards established under 9VAC20-81-250 A 6 cannot be  practically achieved with any currently available groundwater remedial methods;  
    b. Upon receiving director approval under subdivision 2 a  3 a of this subsection, implement alternate measures to control exposure  of humans or the environment to residual contamination that will remain as a  result of termination of remedial actions, as necessary to protect human health  and the environment;
    c. Implement alternate measures for removal or decontamination  of any remediation-related equipment, units, devices, or structures that are: 
    (1) Technically practicable; and 
    (2) Consistent with the overall objective of the remedy; and
    d. At least 14 days prior to implementing the alternate  measures, Submit submit a request for approval to the director  describing and justifying the alternate measures to be applied. 
    H. Remedy completion.
    1. The groundwater remedy implemented under corrective action  shall be considered complete when: 
    a. The owner or operator complies with the groundwater  protection standards at all points within the plume of contamination that lie  at or beyond the disposal unit boundary by demonstrating that no Table 3.1  Column B constituents have exceeded groundwater protection standards for a  period of three consecutive years using the appropriate statistical procedures  and performance standards as described under 9VAC20-81-250 D; and
    b. All other actions required as part of the remedy have been  satisfied or completed, and the owner or operator obtains the certification  required under subdivision H 2 of this section. 
    2. Upon completion of the remedy, the owner or operator shall  notify the director within 14 days by submitting a certification that the  remedy has been completed in compliance with the requirements of the Corrective  Action Plan and the permit as amended modified under subdivision  D 4 c of this section. 
    3. The certification shall be signed by the owner or operator  and by a qualified groundwater scientist, and shall include all data relevant  to the demonstration of a successful remedy completion. 
    4. If the director, based on the review of information presented  under subdivision H 3 of this section, determines that:
    a. The corrective action remedy has been completed in  accordance with the requirements of the Corrective Action Plan, the permit as  amended, and subdivision H 1 of this section, the director will release the  owner or operator from the requirements for financial assurance for corrective  action under 9VAC20-70; or
    b. The remedy has not yet achieved completion, the owner or  operator shall remain in corrective action and meet the financial assurance requirements  until such time as a successful demonstration and certification can be made. 
    Part IV 
  Other Solid Waste Management Facility Standards: 
  Compost Facilities; Solid Waste Transfer Stations; Centralized Waste Treatment  Facilities; Materials Recovery Facilities; Waste to Energy; Incineration  Facilities; Surface Impoundments and Lagoons; Waste Piles; Remediation Waste  Management Units; Landfill Mining; Miscellaneous Units; and Exempt Management  Facilities
    9VAC20-81-300. General.
    A. Any person who designs, constructs, or operates any solid  waste treatment or storage facility not otherwise exempt under 9VAC20-81-35  D 9VAC20-81-95 shall comply with the requirements of this part. In  addition, this part sets forth conditions that yard waste composting facilities  must meet to maintain their exempt status, where applicable, under 9VAC20-81-95  D 6. Further, all applications pursuant to these standards shall demonstrate  specific means proposed for compliance with requirements set forth in this  part.
    B. All facilities, except exempted facilities, shall be  maintained and operated in accordance with the permit issued or permit-by-rule  status pursuant to this regulation. All facilities shall be maintained and  operated in accordance with the approved design and intended use of the  facility. 
    C. Hazardous wastes shall not be disposed or managed in  facilities subject to this regulation unless specified in the permit or by  specific approval of the executive director. 
    D. Solid waste management facilities regulated under this  part that place solid wastes or residues on site for disposal, or leave such  wastes or residues in place after closure, are subject to the provisions of  Part III (9VAC20-81-100 et seq.) of this chapter, including:
    1. Groundwater monitoring requirements in 9VAC20-81-250;
    2. Closure and postclosure care requirements in 9VAC20-81-160  and 9VAC20-81-170; and
    3. Permitting requirements of Part V (9VAC20-81-400 et seq.)  of this chapter.
    E. All other facilities shall close in accordance with the  closure plan prepared per the requirements described in this part and  9VAC20-81-480, as applicable.
    F. Control program for unauthorized waste. Facilities  managing solid waste per activities exempted under the provisions of  9VAC20-81-95 are not required to implement the control program for unauthorized  waste as provided in this section.
    1. Solid waste treatment or storage facilities regulated under  this part shall implement a control program for unauthorized waste in  accordance with the following provisions. The owner or operator of the facility  shall:
    a. Place a written description of the control program for  unauthorized waste in the facility's operating manual; 
    b. Institute a control program (including measures such as  signs at all maintained access points indicating hours of operation and the  types of solid waste accepted and not accepted, monitoring, alternate  collection programs, passage of local laws, etc.) to assure that only solid  waste authorized by the department to be managed at the solid waste management  facility is being managed there; and
    c. Develop and implement a program to teach the solid waste  management facility's staff to recognize, remove, and report receipt of solid  waste not authorized by the department to be managed at the solid waste  management facilities.
    2. If unauthorized waste is observed in the waste delivered to  the facility prior to unloading, the owner or operator may refuse to accept the  waste. If the unauthorized waste is observed in the waste delivered to the  facility, the owner or operator shall segregate it, notify the generator,  document the incident in the operating record, make necessary arrangements to  have the material managed in accordance with applicable federal and state laws,  and notify the department of the incident to include the means of proper  handling. If the unauthorized waste is accepted, the owner or operator shall  remove it, segregate it, and provide to the department a record identifying  that waste and its final disposition. Any unauthorized waste accepted by the  owner or operator shall be managed in accordance with applicable federal or  state laws and regulations. Unauthorized waste that has been segregated shall  be adequately secured and contained to prevent leakage or contamination to the  environment. The solid waste management facility owner or operator shall have  the unauthorized waste removed or properly managed as soon as practicable, but  not to exceed 90 days after discovery. Removal shall be by a person authorized  to transport such waste to a waste management facility approved to receive it  for treatment, disposal, or transfer.
    3. Owners or operators of waste to energy or incinerator  facilities receiving waste generated outside of Virginia shall also comply with  the increased random inspection provisions in 9VAC20-81-340 E 3.
    G. Solid waste management facilities regulated under this  part that store waste tires shall also adhere to the requirements of  9VAC20-81-640 for the waste tire storage. 
    9VAC20-81-397. Exempt yard waste composting facilities.
    A. Applicability.
    1. The standards in subsection B of this section apply to  persons who compost vegetative waste in a manner described in the conditional  exemption set forth at 9VAC20-81-95 D.
    2. The standards in subsection C of this section apply to  persons who operate small vegetative waste disposal units on their property.
    B. Composting of yard waste. Additional requirements for  managing conditionally exempt yard waste compost facilities, described under  9VAC20-81-95 D 6, are as follows: 
    1. Owners or operators of agricultural operational activities  that accept only yard waste generated offsite are exempt from all other  provisions of this chapter as applied to the composting activities provided  that:
    a. The total time for composting process and storage of  material that is being composted shall not exceed 18 months prior to its field  application or sale as a horticultural or agricultural product;
    b. No waste material other than yard waste is received;
    c. The total amount of yard waste received from offsite never  exceeds 6,000 cubic yards in any consecutive 12-month period;
    d. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;
    e. They pose no nuisance or present or potential threat to  human health or the environment; and
    f. Before receiving any waste, the owner submits a complete  DEQ Form YW-3:
    2. Owners or operators of agricultural operations that accept  only Category I yard waste feedstocks and manures from herbivorous  animals generated offsite are exempt from all other provisions of this chapter  as applied to the composting activities provided that:
    a. The composting area is located not less 300 feet from a  property boundary of a parcel owned or controlled by another person, is located  not less than 1,000 feet from an occupied dwelling not located on the same  property as the composting area, and is not located within an area designated  as a flood plain;
    b. The agricultural operation has at least one acre of ground  suitable to receive yard waste for each 150 cubic yards of finished compost;
    c. The total time for the composting process and storage of  material that is being composted or has been composted shall not exceed 18  months prior to the field application or sale as horticultural or agricultural  product;
    d. The owner or operator of any agricultural operation that  receives in any 12-month period (consecutive) more than 6,000 cubic yards of  waste generated from property not within the control of the owner or the  operator shall submit by April 1 each year to the director an annual report in  accordance with subdivision 4 of this subsection describing the volume and  types of yard waste received for composting by the operation between January 1  and December 31 of the preceding consecutive 12 months and shall certify that  the yard waste composting facility complies with local ordinances; 
    e. No waste material other than yard waste and manures from  herbivorous animals are received;
    f. The quantities of offsite manures from herbivorous animals  brought onsite are limited to achieve a carbon to nitrogen ratio of 25:1 to  40:1. All manures must be incorporated into the compost within 24 hours of  delivery. No offsite manures may be stored onsite; and
    g. Prior to the receipt of solid waste generated offsite, the  owner or operator of the agricultural operation intending to operate under this  exemption shall submit a complete DEQ Form YW-4.
    3. Owners or other persons authorized by the owner of real  property who receive only yard waste generated offsite for the purpose of  producing compost on said property shall be exempt from all requirements of  this chapter as applied to the composting activity provided that: 
    a. Not more than 500 cubic yards of yard waste generated  offsite is received at the owner's said property in any consecutive 12-month  period; 
    b. No compensation will be received, either directly or  indirectly, by the owner or other persons authorized by the owner of said  property from parties providing yard waste generated off said property; 
    c. All applicable standards of local ordinances that govern or  concern yard waste handling, composting, storage, or disposal are satisfied;  and 
    d. They pose no nuisance or present or potential threat to  human health or the environment.
    4. Owners or operators of an agricultural composting operation  in accordance with subdivision 2 of this subsection, who are exempt from the  permitting requirements in accordance with 9VAC20-81-95 D and who may receive  more than 6,000 cubic yards of yard waste generated from property not within  the control of the owner or operator in any 12-month period shall submit an  annual report on DEQ Form YW-2. The report shall describe the volume and  types of yard waste received for composting. Completion and filing of the form  by July 15 April 1 for activities in the preceding 12 months  (January 1 through December 31) constitutes compliance with the requirements.  The annual report shall be submitted on DEQ Form YW-2.
    C. Small disposal units for vegetative wastes from land  clearing. Additional requirements for managing small disposal units for  vegetative waste from land clearing as exempted under 9VAC20-81-95 D 17 are as  follows:
    Owners of real property who operate small waste disposal  units that qualify under all the conditions of this subsection shall be exempt  from other provisions, including permitting, of this chapter as applied to  those units provided:
    1. No person other than the owner of the real property shall  be exempt under this section.
    2. All owners of the real property who hold title to property  at the time the disposal unit is initially opened or during the time the unit  remains open (limited to two calendar years below) shall, in the exercise of  this exemption, accept responsibility for maintaining compliance of the unit  with all requirements of this chapter as set out in this exemption.
    3. The owner agrees that he shall not sell, give, or otherwise  transfer the responsibility for the unit's compliance to any other party  throughout its active life, the postclosure care period, and the corrective  action period, and that he shall remain the principal party responsible for the  compliance of the unit with this chapter. 
    4. Only units that are in compliance with all requirements of  this section shall qualify, and units that are not in compliance with all  requirements of this section shall not qualify or shall cease to qualify. Units  that qualify for this exemption shall comply with the following requirements:
    a. Only vegetative waste or yard waste shall be placed in the  disposal unit; however, grass trimmings or bulk leaves shall not be placed in  the disposal unit.
    b. The waste disposal unit shall not be larger than 0.50 acres  in size.
    c. The waste disposal unit shall not be located within 1,000  feet of any other waste disposal unit of any type, including other disposal  units exempted by this chapter.
    d. The waste disposal unit shall not be located within 150  feet of any existing building or planned building. The waste disposal unit  shall not be located within 50 feet of any existing or planned subdivision lot  that may be used for the erection of a building.
    e. The waste disposal unit shall not be located within 100  feet of a flowing stream; body of water; any well, spring, sinkhole, or  unstable geologic feature. Also, it shall not be located within 200 feet of any  groundwater source of drinking water.
    f. The waste disposal unit shall be constructed to separate  all waste by at least two feet vertically from the seasonal high water table.
    g. The waste disposal unit should not obstruct the scenic view  from any public road and should be graded to present a good appearance.
    h. Mounding of the waste disposal unit shall not reach an  elevation more than 20 feet above the original elevation of the terrain before  the disposal began. The elevation of the original terrain should be based on  the general area and not the bottom of ravines and small depressions in the  disposal area.
    i. The waste received by the waste disposal unit shall be  limited to the following:
    (1) Waste generated onsite;
    (2) Waste generated by clearing the path of a roadway or  appurtenances to the roadway when buried within the right-of-way of the roadway  (waste shall not be buried in the structural roadway prism) or adjacent land  under a permanent easement and the terms of the easement incorporate the  construction of the disposal unit; and
    (3) Waste from property that is owned by the owner of the  disposal unit, within the same construction project, and generated not more  than two miles from the unit.
    j. The waste disposal unit shall be closed two calendar years  from the date it first receives waste. The closure shall include cover with two  feet of compacted soil, grading for good appearance with slopes that prevent  erosion, and seeding or revegetation. During the life of the unit, earthen material  should be applied periodically to prevent excessive subsidence of the waste  disposal unit when closed. Sides of the finished unit shall be sloped to  prevent erosion, and slopes shall not be steeper than one vertical foot to  three horizontal feet.
    k. The location plat and legal description, as set out in  subdivision 4 p of this subsection, of all units that are not located wholly  within the bed or right-of-way of a public road shall be recorded in the deed  book for the property in the court of record prior to the first receipt of  waste. Waste disposal shall not be allowed within the structural roadway prism.
    l. The owner shall maintain continuous control of access to  all disposal units from the time they are opened until they are closed in  accordance with this section. The owner shall prevent fires and provide standby  equipment and supplies sufficient to easily suppress a fire. Brush and small  limbs that might provide tinder for a fire shall be covered at the end of the  work day with one foot of soil.
    m. The owner shall not be exempt from the CDD landfill  groundwater monitoring and corrective action requirements of 9VAC20-81-250 and  9VAC20-81-260, respectively, to include required monitoring during the  postclosure period.
    n. The owner shall not be exempt from the decomposition gas  monitoring and venting requirements of 9VAC20-81-210. The owner of a small  waste disposal unit shall comply in all respects with the decomposition gas  monitoring and venting requirements as established in this chapter.
    o. The owner shall not be exempt from any requirement of the  Financial Assurance Regulations For Solid Waste Disposal Facilities,  (9VAC20-70), and shall comply with all financial assurance requirements.
    p. At least six weeks before beginning construction of a  vegetative waste disposal unit, the owner of the real property shall notify in  writing the director, the governing board of the city, county, or town wherein  the property lies, and all property owners whose parcel will abut the area of  the proposed disposal unit. The notice shall give the names and legal addresses  of the owners, the type of unit to be developed, and the projected date of  initial construction of the unit. The owner shall include a plat and legal  description of the disposal unit's metes and bounds prepared and stamped by a  Virginia licensed land surveyor. The plat and description shall follow all  standard practice such as inclusion of the nearest existing intersection of  state roads and existing fixed survey markers in the vicinity.
    q. Unless otherwise designated, all monitoring and reporting  requirements shall begin at the initiation of the disposal operations and all  reports shall be sent to the department and the chief executive of the local  government. 
    9VAC20-81-470. Part B permit application for solid waste l  disposal facilities.
    Part B permit application requirements for all solid waste  disposal facilities regulated under Part III (9VAC20-81-100 et seq.) are  contained in this section. The Part B applications shall include the following  requirements and documentation: 
    A. Plans submitted as part of the Part B application shall  include the following: 
    1. Design plans. Design plans shall be certified by a  professional engineer and shall consist of, at least, the following: 
    a. A title sheet indicating the project title, who prepared  the plans, the person for whom the plans were prepared, a table of contents,  and a location map showing the location of the site and the area to be served. 
    b. An existing site conditions plans sheet indicating site  conditions prior to development. 
    c. A base grade plan sheet indicating site base grades or the  appearance of the site if it were excavated in its entirety to the base  elevation, before installation of any engineering modifications or the  beginning of any filing. 
    d. An engineering modification plan sheet indicating the  appearance of the site after installation of engineering modifications. More  than one plan sheet may be required for complicated sites. This plan is  required only for those sites with engineering modifications. 
    e. A final site topography plan sheet indicating the  appearance of the site, and final contours of the site at closing including the  details necessary to prepare the site for long-term care. 
    f. A series of phasing plan sheets showing the progression of  site development through time. At a minimum, a separate plan shall be provided  for initial site preparations and for each subsequent major phase or new area  where substantial site preparation must be performed. Each such plan shall  include a list of construction items and quantities necessary to prepare the  phase indicated. 
    g. A site monitoring plan showing the location of all devices  for the monitoring of leachate production, groundwater quality, and gas  production and venting. This plan shall include a table indicating the  parameters to be monitored for the frequency of monitoring before and during  site development. The groundwater monitoring plan shall include information as  applicable under 9VAC20-81-250 or 9VAC20-81-260. 
    h. A series of site cross-sections shall be drawn  perpendicular and parallel to the site base line at a maximum distance of 500  feet between cross-sections and at points of grade break and important  construction features. The location of the cross-sections shall be shown on the  plan sheets and the section labeled using the site grid system. Where  applicable, each cross-section shall show existing, proposed base and final  grades; soil borings and monitoring wells that the section passes through or is  adjacent to; soil types, bedrock and water table; leachate control, collection,  and monitoring systems; limits of filling for each major waste type; drainage  control structures; access roads and ramps on the site parameter perimeter  and within the active fill area; the filling sequence or phases; and other site  features. 
    i. Detailed drawings and typical sections for drainage control  structures, access roads, fencing, leachate and gas control systems, and  monitoring devices, buildings, signs, and other construction details. 
    j. Plan sheets shall include: 
    (1) A survey grid with base lines and bench marks to be used  for field control. 
    (2) Limits of filling for each major waste type or fill area. 
    (3) All drainage patterns and surface water drainage control  structures both within the actual fill area and at the site perimeter. Such  structures may include berms, ditches, sedimentation basins, pumps, sumps,  culverts, pipes, inlets, velocity breaks, sodding, erosion matting, or other  methods of erosion control. 
    (4) Ground surface contours at the time represented by the  drawing. Spot elevations shall be indicated for key features. 
    (5) Areas to be cleared and grubbed and stripped of topsoil. 
    (6) Borrow areas for liner materials, gas venting materials,  berms, roadway construction, daily cover, and final cover. 
    (7) All soil stockpiles including daily and final cover,  topsoil, liner materials, gas venting materials, and other excavation. 
    (8) Access roads and traffic flow patterns to and within the  active fill area. 
    (9) All temporary and permanent fencing. 
    (10) The methods of screening such as berms, vegetation, or  special fencing. 
    (11) Leachate collection, control, storage, and treatment  systems that may include pipes, manholes, trenches, berms, collection sumps,  storage units, pumps, risers, liners, and liner splices. 
    (12) Gas, leachate, and groundwater monitoring devices and  systems. 
    (13) Severe weather solid waste disposal areas. 
    (14) Support buildings, scale, utilities, gates, and signs. 
    (15) Special waste handling areas. 
    (16) Construction notes and references to details. 
    (17) Other site features. 
    2. Closure plan. A detailed closure plan be prepared and  submitted. Such a plan shall be prepared in two parts, one reflecting those  measures to be accomplished at the midpoint of the permit period, and the other  when the useful life of the landfill is reached. The plan shall show how the  facility will be closed to meet the requirements of 9VAC20-81-160 and  9VAC20-81-170. The plan shall include the procedures to be followed in closing  the site, sequence of closure, time schedules, final plans of completion of  closure to include final contours, and long-term care plan sheets showing the  site at the completion of closing and indicating those items anticipated to be  performed during the period of long-term care for the site. The plans shall  include a table listing the items and the anticipated schedule for monitoring  and maintenance. In many instances this information can be presented on the  final site topography sheet. 
    3. Postclosure plan. A postclosure care plan containing  long-term care information including a discussion of the procedures to be  utilized for the inspection and maintenance of: run-off control structures;  settlement; erosion damage; gas and leachate control facilities; monitoring for  gas, leachate, and groundwater; and other long-term care needs. 
    B. A design report shall be submitted, which shall include  supplemental discussions and design calculations, to facilitate department  review and provide supplemental information including the following  information: 
    1. The design report shall identify the project title;  engineering consultants; site owner, permittee and operator; proposed permitted  acreage; hours of operation; wastes to be accepted; site life; design capacity;  and the daily disposal limit. It shall also identify any variances desired by  the applicant.
    2. A discussion of the basis for the design of the major  features of the site, such as traffic routing, base grade and relationships to  subsurface conditions, anticipated waste types and characteristics, phases  development, liner design, leachate management system design, facility  monitoring, and similar design features shall be provided. A list of the  conditions of site development as stated in the department determination of  site feasibility and the measures taken to meet the conditions shall be  included. A discussion of all calculations, such as refuse-cover balance  computations, stockpile sizing estimates, estimate of site life, and run-off  and leachate volume estimates shall be included. The calculations shall be  summarized with the detailed equations presented in an appendix.
    3. Specifications, including detailed instructions to the site  operator for all aspects of site construction.
    a. Initial site preparations including specifications for  clearing and grubbing, topsoil stripping, other excavations, berm construction,  drainage control structures, leachate collection system, access roads and  entrance, screening, fencing, groundwater monitoring, and other special design  features.
    b. A plan for initial site preparation including a discussion  of the field measurements, photographs to be taken, sampling and testing  procedures to be utilized to verify that the in-field conditions encountered  were the same as those defined in the feasibility report, and to document that  the site was constructed according to the engineering plans and specifications  submitted for department approval.
    C. Financial assurance documentation. When required by the  Financial Assurance Regulations of Solid Waste Disposal, Transfer, and  Treatment Facilities (9VAC20-70), the applicant shall provide the completed  documentation to demonstrate compliance with those regulations; proof of  financial responsibility must be for the entity identified in accordance with  9VAC20-81-450 B 10.
    D. DEQ Form SW PTB (Part B Permit Application Form). The  applicant shall submit a completed DEQ Form SW PTB.
    9VAC20-81-485. Operations manual requirements for solid waste  management facilities.
    A. Solid waste disposal facilities. An operations manual  shall be prepared and maintained in the operating record. The operations manual  shall include a certification page signed by a responsible official. This  signature shall certify the manual meets the requirements of this chapter. This  manual shall be reviewed and recertified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements, and shall be made available for review by the department upon  request. The operations manual for disposal facility operation shall contain at  least the following plans: 
    1. An operations plan that at a minimum includes:
    a. Explanation of how the design and construction plans will  be implemented from the initial phase of operation until closure;
    b. Municipalities, industries, and collection and  transportation agencies served; 
    c. Waste types and quantities to be disposed; 
    d. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the operational requirements  of Part III (9VAC20-81-100 et seq.) of this chapter are achieved. References to  specifications on the plan sheet shall be pointed out as well as additional  instructions included, where appropriate. At a minimum, the plan specifications  shall include: 
    (1) Daily operations including a discussion of the timetable  for development, waste types accepted or excluded, inspection of incoming  waste, typical waste handling techniques, hours of operation, traffic routing,  drainage and erosion control, windy, wet and cold weather operations, fire  protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, direction of  filling, salvaging, recordkeeping, parking for visitors and employees,  monitoring, maintenance, closure of filled areas, gas and leachate control  methods, backup equipment with names and telephone numbers where equipment may  be obtained, and other special design features; 
    (2) Development of subsequent phases; and 
    (3) Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan. 
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part III (9VAC20-81-100 et seq.) of this chapter. 
    b. The frequency of inspection based on the rate of potential  equipment deterioration or malfunction and the probability of an adverse  incident occurring if the deterioration or malfunction goes undetected between  inspections. The plan shall establish the minimum frequencies for inspections  required in 9VAC20-81-140. This plan shall identify areas of the facility  subject to spills such as loading and unloading areas and areas in which  significant adverse environmental or health consequences may result if  breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the requirements of  9VAC20-81-140.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses, and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates. 
    6. A landscaping plan that shall:
    a. Delineate existing site vegetation to be retained;
    b. Discuss methods to be employed in order to ensure protection  of vegetation to be retained during the clearing, grading and construction  phases of the project and the supplemental vegetation to be planted; and 
    c. Information relating to vegetation type, location and  purpose, such as for buffer, screening or aesthetics, and schedules for  planting, shall accompany the plan. 
    B. Other solid waste management facilities. An operations  manual shall be prepared and maintained in the operating record. The Operations  Manual shall include a certification page signed by a responsible official.  This signature shall certify the manual meets the requirements of this chapter.  This manual shall be reviewed and re-certified annually (by December 31 of each  calendar year) to ensure consistency with current operations and regulatory  requirements and shall be made available to the department upon request. The  manual for facility operation shall contain at least the following plans:
    1. An operations plan that at a minimum includes:
    a. An explanation of how the design and construction plans  will be implemented from the initial phase of operation until closure.
    b. Detailed instructions to the site operator regarding all  aspects of site operation in order to ensure that the applicable operational  requirements of Part IV (9VAC20-81-300 et seq.) are achieved. Daily operations  including a discussion of the timetable for development, waste types accepted  or excluded, typical waste handling techniques, hours of operation, traffic  routing, drainage and erosion control, windy, wet and cold weather operations,  fire protection equipment, manpower, methods for handling of any unusual waste  types, methods for vector, dust and odor control, daily cleanup, salvaging,  record keeping, parking for visitors and employees, monitoring, backup equipment  with names and telephone numbers where equipment may be obtained, and other  special design features. The daily operations section of the operations manual  may be developed as a removable section to improve accessibility for the site  operator. 
    c. Development of subsequent phases of the facility, if  applicable.
    d. Site closing information consisting of a discussion of  those actions necessary to prepare the site for long-term care and final use in  the implementation of the closure plan.
    2. An inspection plan that at a minimum includes:
    a. A schedule for inspecting all applicable major aspects of  facility operations necessary to ensure compliance with the requirements of  Part IV (9VAC20-81-300 et seq.) of this chapter. 
    b. The frequency of inspection shall be based on the rate of  potential equipment deterioration or malfunction and the probability of an  adverse incident occurring if the deterioration or malfunction goes undetected  between inspections. The plan shall establish the minimum frequencies for  inspections required in 9VAC20-81-140 9VAC20-81-340. This plan  shall identify areas of the facility subject to spills such as loading and  unloading areas and areas in which significant adverse environmental or health  consequences may result if breakdown occurs. 
    c. A schedule for inspecting monitoring, safety, and emergency  equipment; security devices; and process operating and structural equipment. 
    d. The types of potential problems that may be observed during  the inspection and any maintenance activities required as a result of the  inspection. 
    3. A health and safety plan that includes description of  measures to protect the facility and other personnel from injury and is  consistent with the requirements of 29 CFR Part 1910.
    4. An unauthorized waste control plan that includes, at a  minimum, the methods to be used by the operator to prevent unauthorized  disposal of hazardous wastes, bulk liquids, or other wastes not authorized for  management or disposal in the facility in order to meet the applicable  requirements of 9VAC20-81-340.
    5. An emergency contingency plan that includes:
    a. Delineation of procedures for responding to fire,  explosions, or any unplanned sudden or nonsudden releases of harmful  constituents to the air, soil, or surface water;
    b. Description of the actions facility personnel shall take in  the event of various emergency situations; 
    c. Description of arrangements made with the local police and  fire department that allow for immediate entry into the facility by their  authorized representatives should the need arise, such as in the case of  personnel responding to an emergency situation; and
    d. A list of names, addresses and phone numbers (office and  home) of all persons qualified to act as emergency coordinator for the  facility. This list shall be kept up to date. Where more than one person is  listed, one shall be named as primary emergency coordinator and the others  shall be listed in the order in which they will assume responsibility as  alternates.
    9VAC20-81-490. Effect of the permit.
    A. A completed permit for a solid waste management facility  shall be prepared at the conclusion of the procedures outlined in  9VAC20-81-450. The permit shall be prepared in detail to establish the  construction requirements, monitoring requirements, operating limitations or  guides, waste limitations if any, and any other details essential to the  operation and maintenance of the facility and its closure. Before receipt of  waste by the facility, the applicant must: 
    1. Notify the department, in writing, that construction has been  completed; and submit to the department a letter from a professional engineer  certifying that the facilities have been completed in accordance with the  approved plans and specifications and is ready to begin operation. This  certification letter is in addition to the CQA certification required in  9VAC20-81-130 Q 3 and must be provided by a different individual than the CQA  certification. This certification letter is typically provided by the design  engineer. 
    2. Arrange for a department representative to inspect the site  and confirm that the site is ready for operation. 
    B. Certificate-to-Operate (CTO). Following review of a  complete CQA certification and site inspection the department shall issue a CTO  authorizing the facility to begin receiving waste. The facility shall not  receive waste until a CTO has been issued by the department. 
    C. Inspections. Each facility permitted to accept solid waste  requires periodic inspection and review of records and reports. Such  requirements shall be set forth in the final permit issued by the department.  The permit applicant by accepting the permit, agrees to the specified periodic  inspections. 
    D. Compliance with a valid permit during its term constitutes  compliance, for purposes of enforcement, with the Virginia Waste Management  Act. However, a permit may be modified, revoked and reissued, or revoked for  cause as set forth in 9VAC20-81-570 and 9VAC20-81-600. 
    E. The issuance of a permit does not convey any property  rights of any sort, or any exclusive privilege. 
    F. The issuance of a permit does not authorize any injury to  persons or property or invasion of other private rights, or any infringement of  federal, Commonwealth, or local law or regulations. 
    G. A permit may be transferred by the permittee to a new  owner or operator only if the permit has been revoked and reissued, or a minor  modification made to identify the new permittee and incorporate such other  requirements as may be necessary. Upon presentation of the financial assurance  proof required by 9VAC20-70 by the new owner, the department will release the  old owner from his closure and financial responsibilities and acknowledge  existence of the new or modified permit in the name of the new owner. 
    H. This section provides for the approval of permits or  permit modifications that include a time allowance for the permittee to achieve  the new standards contained in the approved permit or permit modification.
    1. The permit may specify a schedule of compliance leading to  compliance with this chapter. 
    a. Any schedules of compliance under this subsection shall  require compliance as soon as possible. 
    b. Except as otherwise provided, if a permit establishes a  schedule of compliance that exceeds one year from the date of permit issuance,  the schedule shall set forth interim requirements and the dates for their  achievement. 
    (1) The time between interim dates shall not exceed one year;  and 
    (2) If the time necessary for completion of any interim  requirement is more than one year and is not readily divisible into stages of  completion, the permit shall specify interim dates for the submission of  reports of progress toward completion of the interim requirements and indicate  a projected completion date. 
    c. The permit shall be written to require that no later than  14 days following each interim date and the final date of compliance, a  permittee shall notify the department, in writing, of his compliance or  noncompliance with the interim or final requirements. 
    2. A permit applicant or permittee may cease conducting  regulated activities (by receiving a terminal volume of solid waste, and, in  case of treatment or storage facilities, closing pursuant to applicable  requirements, or, in case of disposal facilities, closing and conducting  postclosure care pursuant to applicable requirements) rather than continue to  operate and meet permit requirements as follows: 
    a. If the permittee decides to cease conducting regulated  activities at a specified time for a permit that has already been issued: 
    (1) The permit may be modified to contain a new or additional  schedule leading to timely cessation of activities; or 
    (2) The permittee shall cease conducting permitted activities  before noncompliance with any interim or final compliance schedule requirement  already specified in the permit. 
    b. If the decision to cease conducting regulated activities is  made before the issuance of a permit whose terms will include the termination  date, the permit shall contain a schedule leading to termination that will  ensure timely compliance with applicable requirements. 
    c. If the permittee is undecided whether to cease conducting  regulated activities, the director may issue or modify a permit to continue two  schedules as follows: 
    (1) Both schedules shall contain an identical interim deadline  requiring a final decision on whether to cease conducting regulated activities  no later than a date that ensures sufficient time to comply with applicable  requirements in a timely manner if the decision is to continue conducting  regulated activities; 
    (2) One schedule shall lead to timely compliance with  applicable requirements; 
    (3) The second schedule shall lead to cessation of regulated  activities by a date that will ensure timely compliance with applicable  requirements; and
    (4) Each permit containing two schedules shall include a  requirement that, after the permittee has made a final decision, he shall  follow the schedule leading to compliance if the decision is to continue  conducting regulated activities, and follow the schedule leading to termination  if the decision is to cease conducting regulated activities. 
    d. The applicant's decisions to cease conducting regulated  activities shall be evidenced by a firm public commitment satisfactory to the  department, such as a resolution of the board of directors of a corporation.
    9VAC20-81-530. Recording and reporting required of a permitee  permittee.
    A. A permit shall specify: 
    1. Required monitoring, including type, intervals and  frequency, sufficient to yield data that are representative of the monitored  activity; 
    2. Requirements concerning the proper use, maintenance, and  installation of monitoring equipment or methods, including biological  monitoring methods when appropriate; and
    3. Applicable reporting requirements based upon the impact of  the regulated activity and as specified in this chapter. 
    B. A permittee shall be subject to the following whenever  monitoring is required by the permit: 
    1. The permittee shall retain records at the permitted  facility or another location approved by the department. Records shall include  all records required by the facility permit, these regulations, or other  applicable regulations. Records of all required monitoring information,  including all calibration and maintenance records will be maintained for at  least three years from the sample or measurement date. The director may request  that this period be extended. For operating landfills, records of the most  recent gas and groundwater monitoring event will be maintained at the facility.  
    2. Records of monitoring information shall include: 
    a. The date, exact place, and time of sampling or  measurements; 
    b. The individuals who performed the sampling or measurements;  
    c. The dates analyses were performed; 
    d. The individuals who performed the analyses; 
    e. The analytical techniques or methods used; and 
    f. The results of such analyses. 
    3. Required monitoring results shall be maintained on file for  inspection by the department. 
    C. A permittee shall be subject to the following reporting  requirements: 
    1. Written notice of any planned physical alterations to the  permitted facility shall be submitted to the department and approved before  such alterations are to occur, unless such items were included in the plans and  specifications approved by the department.
    2. Reports of compliance or noncompliance with, or any  progress reports on, interim and final requirements contained in any compliance  schedule of the permit, shall be submitted no later than 14 days following each  schedule date. 
    3. The permittee shall report to the department any  noncompliance or unusual condition that may endanger health or environment. Any  information shall be provided orally within 24 hours from the time the  permittee becomes aware of the circumstances. A written submission shall also  be provided within five days of the time the permittee becomes aware of the  circumstances. The written submission shall contain a description of the  circumstances and its cause; the period of occurrence, including exact dates  and times, and, if the circumstance has not been corrected, the anticipated time  it is expected to continue. It shall also contain steps taken or planned to  reduce, eliminate, and prevent reoccurrence of the circumstances resulting in  an unusual condition or noncompliance. 
    D. Copies of all reports required by the permit, and records  of all data used to complete the permit application must be retained by the  permittee for at least three years from the date of the report or application.  The director may request that this period be extended. 
    E. When the permittee becomes aware that he failed to submit  any relevant facts or submitted incorrect information in a permit application  or in any report to the director, he shall promptly submit such omitted facts  or the correct information with an explanation.
    9VAC20-81-600. Modification of permits.
    A. Permits may be modified at the request of any interested  person or upon the director's initiative. However, permits may only be modified  for the reasons specified in subsections E and F of this section. All requests  shall be in writing and shall contain facts or reasons supporting the request.  Any permit modification authorizing expansion of an existing sanitary landfill  shall incorporate the conditions required for a disposal capacity guarantee in  § 10.1-1408.1 P of the Code of Virginia. This provision does not apply to  permit applications from one or more political subdivisions that will only  accept waste from within those political subdivisions' jurisdiction or  municipal solid waste generated within other political subdivisions pursuant to  an interjurisdictional agreement. 
    B. If the director decides the request is not justified, he  shall send the requester a response providing justification for the decision. 
    C. If the director tentatively decides to modify, he shall  prepare a draft permit incorporating the proposed changes. The director may  request additional information and may require the submission of an updated  permit application. In a permit modification under subsection E of this  section, only those conditions to be modified shall be reopened when a new  draft permit is prepared. All other aspects of the existing permit shall remain  in effect. During any modification proceeding the permittee shall comply with  all conditions of the existing permit until the modified permit is issued. 
    D. When the director receives any information, he may  determine whether or not one or more of the causes listed for modification  exist. If cause exists, the director may modify the permit on his own  initiative subject to the limitations of subsection E of this section and may  request an updated application if necessary. If a permit modification satisfies  the criteria in subsection F of this section for minor modifications, the  permit may be modified without a draft permit or public review. Otherwise, a  draft permit shall be prepared and other appropriate procedures followed. 
    E. Causes for modification. The director may modify a permit  upon his own initiative or at the request of a third party: 
    1. When there are material and substantial alterations or  additions to the permitted facility or activity that occurred after permit  issuance that justify the application of permit conditions that are different  or absent in the existing permit; 
    2. When there is found to be a possibility of pollution  causing significant adverse effects on the air, land, surface water, or  groundwater; 
    3. When an investigation has shown the need for additional  equipment, construction, procedures and testing to ensure the protection of the  public health and the environment from adverse effects; 
    4. If the director has received information pertaining to  circumstances or conditions existing at the time the permit was issued that was  not included in the administrative record and would have justified the  application of different permit conditions, the permit may be modified  accordingly if in the judgment of the director such modification is necessary  to prevent significant adverse effects on public health or the environment; 
    5. When the standards or regulations on which the permit was  based have been changed by promulgation of amended standards or regulations or  by judicial decision after the permit was issued; 
    6. When the director determines good cause exists for  modification of a compliance schedule, such as an act of God, strike, flood, or  material shortage or other events over which the permittee has little or no  control and for which there is no reasonably available remedy; 
    7. When a modification of a closure plan is required under  9VAC20-81-160 or 9VAC20-81-360 and the permittee has failed to submit a permit  modification request within the specified period; 
    8. When the corrective action program specified in the permit  under 9VAC20-81-260 has not brought the facility into compliance with the  groundwater protection standard within a reasonable period of time; or 
    9. When cause exists for revocation under 9VAC20-81-570 and  the director determines that a modification is more appropriate. 
    F. Permit modification at the request of the permittee. 
           |      TABLE 5.2     PERMIT MODIFICATIONS      |    
       |      MAJOR      |          1. Implementation of a groundwater corrective action program    as required by 9VAC20-81-260      |    
       |      2. Change in the remedy applied as part of the groundwater    corrective action program      |    
       |      3. Groundwater monitoring plan for an existing facility    where no written plan has previously been provided      |    
       |      4. Changes to the design of final closure cover      |    
       |      5. Landfill mining      |    
       |      6. Reduction in the postclosure care period      |    
       |      7. Changes in postclosure use of the property with    disturbance of cover      |    
       |      8. All new or modifications of a leachate collection tank or    a leachate collection surface impoundment      |    
       |      9. Addition of new landfill units      |    
       |      10. Expansion or increase in capacity      |    
       |      11. Increase in daily disposal limit      |    
       |      12. Addition or modification of a liner, leachate collection    system, leachate detection system      |    
       |      13. Incorporation or modification of a Research,    Development, and Demonstration Plan       |    
       |      MINOR      |          Any change not specified as    major modification (above) or a permittee change (below)      |    
       |      PERMITTEE CHANGE      |          1. Correction of typographical errors      |    
       |      2. Equipment replacement or upgrade with functionally    equivalent components      |    
       |      3. Replacement of an existing leachate tank with a tank that    meets the same design standards and has a capacity within +/-10% of the    replaced tank      |    
       |      4. Replacement with functionally equivalent, upgrade, or    relocation of emergency equipment      |    
       |      5. Changes in name, address, or phone number of contact    personnel      |    
       |      6. Replacement of an existing well that has been damaged or    rendered nonoperable, without change to location, design, or depth of the    well      |    
       |      7. Changes to the expected year of final closure, where    other permit conditions are not changed      |    
       |      8. Changes in postclosure use of the property, without    disturbance of the cover      |    
       |      9. Modification of a leachate tank management practice      |    
  
    1. Permittee change. Items listed under Permittee Change in  Table 5.2 may be implemented without approval of the department. If a permittee  changes such an item, the permittee shall: 
    a. Notify the department of the change at least 14 calendar  days before the change is put into effect, indicating the affected permit  conditions; and
    b. Notify the governing body of the county, city, or town in  which the facility is located, within 90 calendar days after the change is put  into effect.
    2. Minor modifications. 
    a. Minor modifications apply to minor changes that keep the  permit current with routine changes to the facility or its operation. These  changes do not substantially alter the permit conditions or reduce the capacity  of the facility to protect human health or the environment.
    b. Minor modifications may be requested for changes that will  result in a facility being more protective of human health and the environment  or equivalent to the standards contained in this chapter, unless otherwise  noted in Table 5.2. The request for such a minor permit modification will be  accompanied by a description of the desired change and an explanation of the  manner in which the health and environment will be protected in a greater  degree than required by the chapter.
    c. Minor permit modifications may be made only with the prior  written approval of the department. The permittee shall notify the department  that a minor modification is being requested. Notification of the department  shall be provided by certified mail or other means that establish proof of  delivery. This notice shall specify the changes being made to permit conditions  or supporting documents referenced by the permit and shall  include an  explanation of why they are necessary. Along with the notice, the permittee  shall provide the applicable information required by 9VAC20-81-460 and  9VAC20-81-470 or as required by 9VAC20-81-480.
    d. The permittee shall send a notice of the modification to  the governing body of the county, city or town in which the facility is  located. This notification shall be made within 90 days after the department  approves the request. 
    3. Major modifications. 
    a. Major modifications substantially alter the facility or its  operation. Major modifications are listed in Table 5.2. 
    b. The permittee shall submit a modification request to the  department that: 
    (1) Describes the exact change to be made to the permit  conditions and supporting documents referenced by the permit; 
    (2) Identifies that the alteration is a major modification; 
    (3) Contains an explanation of why the modification is needed;  and
    (4) Provides the applicable information required by  9VAC20-81-460 and 9VAC20-81-470 or as required by 9VAC20-81-480. 
    c. No later than 90 days after receipt of the notification  request, the director will determine whether the information submitted under  subdivision  3 b (4) of this subsection is adequate to formulate a  decision. If found to be inadequate, the permittee will be requested to furnish  additional information within 30 days of the request by the director to complete  the modification request record. The 30-day period may be extended at the  request of the applicant. After the completion of the record, the director will  either: 
    (1) Approve the modification request, with or without changes,  and draft a permit modification accordingly;
    (2) Deny the request; or 
    (3) Approve the request, with or without changes, as a  temporary authorization having a term of up to 180 days in accordance with  subdivision 3 of this subsection. 
    d. If the director proposes to approve the permit  modification, he will proceed with the permit issuance in accordance with  9VAC20-81-450 E. 
    e. The director may deny or change the terms of a major permit  modification request under subdivision  F 3 b of this section for the  following reasons: 
    (1) The modification request is incomplete; 
    (2) The requested modification does not comply with the  appropriate requirements of Part III (9VAC20-81-100 et seq.) or Part IV  (9VAC20-81-300 et seq.) of this chapter or other applicable requirements; or 
    (3) The conditions of the modification fail to protect human  health and the environment. 
    4. Temporary authorizations. 
    a. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of subdivision  4 of this subsection.  Temporary authorizations shall have a term of not more than 180 days. 
    b. (1) The permittee may request a temporary authorization for  any major modification that meets the criteria in subdivision 4 c (2) (a) or  (b) of this subsection; or that meets the criteria in subdivision 4 c (2) (c)  and (d) of this subsection and provides improved management or treatment of a  solid waste already listed in the facility permit. 
    (2) The temporary authorization request shall include: 
    (a) A description of the activities to be conducted under the  temporary authorization; 
    (b) An explanation of why the temporary authorization is  necessary; and 
    (c) Sufficient information to ensure compliance with Part III  (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et seq.) standards. 
    (3) The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven days of submission of the authorization  request. 
    c. The director shall approve or deny the temporary  authorization as quickly as practical. To issue a temporary authorization, the  director shall find: 
    (1) The authorized activities are in compliance with the  standards of Part III (9VAC20-81-100 et seq.) or Part IV (9VAC20-81-300 et  seq.) of this chapter. 
    (2) The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an modification  request: 
    (a) To facilitate timely implementation of closure or  corrective action activities; 
    (b) To prevent disruption of ongoing waste management  activities; 
    (c) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (d) To facilitate other changes to protect human health and  the environment. 
    d. A temporary authorization may be reissued for one  additional term of up to 180 days provided that the permittee has requested a  major permit modification for the activity covered in the temporary  authorization, and the director determines that the reissued temporary  authorization involving a major permit modification request is warranted to  allow the authorized activities to continue while the modification procedures  of subdivision 2 3 of this subsection are conducted. 
    5. The director's decision to grant or deny a permit  modification request under subdivision of this subsection may be appealed under  the case decision provisions of the Virginia Administrative Process Act  (§ 2.2-4000 et seq. of the Code of Virginia). 
    6. Newly defined or identified wastes. The permitted facility  is authorized to continue to manage wastes defined or identified as solid waste  under 9VAC20-81-95 if: 
    a. It was in existence as a solid waste management facility  with respect to the newly defined or identified solid waste on the effective  date of the final rule defining or identifying the waste; and 
    b. It is in compliance with the standards of Part III  (9VAC20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, submits a minor modification request  on or before the date on which the waste becomes subject to the new  requirements; or 
    c. It is not in compliance with the standards of Part III  (9VAC 20-81-100 et seq.) or IV (9VAC 20-81-300 et seq.) of this chapter, as  applicable, with respect to the new waste, also submits a complete permit  modification request within 180 days after the effective date of the definition  or identifying the waste. 
    7. Research, development and demonstration plans. Research,  development and demonstration (RDD) plans may be submitted for sanitary  landfills that meet the applicability requirements. These plans shall be  submitted as a major permit modification application for existing sanitary  landfills or as a part of the Part B application for new sanitary landfills.
    a. Applicability.
    (1) RDD shall be restricted to permitted sanitary landfills  designed with a composite liner system, as required by 9VAC20-81-130 J 1. The  effectiveness of the liner system and leachate collection system shall be  demonstrated in the plan and shall be assessed at the end of the testing period  in order to compare the effectiveness of the systems to the start of the RDD  testing period.
    (2) Operating permitted sanitary landfills that have exceeded  groundwater protection standards at statistically significant levels in  accordance with 9VAC20-81-250 B, from any waste unit on site shall have  implemented a remedy in accordance with 9VAC20-81-260 C prior to the RDD plan  submittal. Operating permitted sanitary landfills that have an exceedance in  the concentration of methane gas migrating from the landfill in accordance with  9VAC20-81-200 shall have a gas control system in place per 9VAC20-81-200 B  prior to the RDD plan submittal. 
    (3) An owner or operator of a sanitary landfill that disposes  of 20 tons of municipal solid waste per day or less, based on annual average,  may not apply for a modification to include a RDD plan.
    (4) The sanitary landfill shall have a leachate collection  system designed and constructed to maintain less than a 30 cm depth of leachate  on the liner.
    b. Requirements.
    (1) RDD Plans may be submitted for activities such as:
    (a) The addition of liquids in addition to leachate and gas  condensate from the same landfill for accelerated decomposition of the waste  mass; prior to the RDD Plan submittal.
    (b) Allowing run-on water to flow into the landfill waste  mass; and
    (c) Allowing testing of the construction and infiltration  performance of alternative final cover systems. An RDD plan may be proposed  for; and
    (d) For other measures to be taken to enhance  stabilization of the waste mass.
    (2) No landfill owner or operator may continue to implement an  RDD plan beyond any time limit placed in the initial plan approval or any  renewal without issuance of written prior approval by the department.  Justification for renewals shall be based upon information in annual and final  reports as well as research and findings in technical literature.
    (3) RDD plans may not include changes to the approved design  and construction of subgrade preparation, liner system, leachate collection and  removal systems, final cover system, gas and leachate systems outside the  limits of waste, run-off controls, run-on controls, or environmental monitoring  systems exterior to the waste mass.
    (4) Implementation of an approved RDD plan shall comply with  the specific conditions of the RDD Plan as approved in the permit for the  initial testing period and any renewal.
    (5) Structures and features exterior to the waste mass or  waste final grades shall be removed at the end of the testing period, unless  otherwise approved by the department in writing.
    (6) The RDD plan may propose an alternate final cover  installation schedule.
    c. An RDD plan shall include the following details and  specifications. Processes other than adding liquids to the waste mass and  leachate recirculation may be practiced in conjunction with the RDD plan.
    (1) Initial applications for RDD plans shall be submitted for  review and approval prior to the initiation of the process to be tested. These  plans shall specify the process that will be tested, describe preparation and  operation of the process, describe waste types and characteristics that the  process will affect, describe desired changes and end points that the process  is intended to achieve, define testing methods and observations of the process  or waste mass that are necessary to assess effectiveness of the process, and  include technical literature references and research that support use of the  process. The plans shall specify the time period for which the process will be  tested. The plans shall specify the additional information, operating  experience, data generation, or technical developments that the process to be  tested is expected to generate. 
    (2) The test period for the initial application shall be  limited to a maximum of three years.
    (3) Renewals of testing periods shall be limited to a maximum  of three years each. The maximum number of renewals shall be limited to three.
    (4) Renewals shall require department review and approval of  reports of performance and progress on achievement of goals specified in the  RDD plan.
    (5) RDD Plans for addition of liquids, in addition to leachate  and gas condensate from the same landfill, for accelerated decomposition of the  waste mass and/or for allowing run-on water to flow into the landfill waste  mass shall demonstrate that there is no increased risk to human health and the  environment. The following minimum performance criteria shall be demonstrated.
    (a) Risk of contamination to groundwater or surface water will  not be greater than the risk without an approved RDD plan.
    (b) Stability analysis demonstrating the physical stability of  the landfill.
    (c) Landfill gas collection and control in accordance with  applicable Clean Air Act requirements (i.e., Title V, NSPS or EG rule, etc.).
    (d) For RDD plans that include the addition of offsite  nonhazardous waste liquids to the landfill, the following information shall be  submitted with the RDD plan: 
    (i) Demonstration of adequate facility liquid storage volume  to receive the offsite liquid;
    (ii) A list of proposed characteristics for screening the  accepted liquids is developed; and
    (iii) The quantity and quality of the liquids are compatible  with the RDD plan. 
    If offsite nonhazardous liquids are certified by the offsite  generator as stormwater uncontaminated by solid waste, screening is not  required for this liquid.
    (6) RDD plans for testing of the construction and infiltration  performance of alternative final cover systems shall demonstrate that there is  no increased risk to human health and the environment. The proposed final cover  system shall be as protective as the final cover system required by  9VAC20-81-160 D. The following minimum performance criteria shall be  demonstrated:
    (a) No build up of excess liquid in the waste and on the  landfill liner;
    (b) Stability analysis demonstrating the physical stability of  the landfill; 
    (c) No moisture will escape from the landfill to the surface  water or groundwater; and
    (d) Sufficient reduction in infiltration so that there will be  no leakage of leachate from the landfill.
    (7) RDD plans that evaluate introduction of liquids in  addition to leachate or gas condensate from the same landfill shall propose  measures to be integrated with any approved leachate recirculation plan and  compliance with requirements for leachate recirculation.
    (8) RDD plans shall include a description of warning symptoms  and failure thresholds that will be used to initiate investigation, stand-by,  termination, and changes to the process and any other landfill systems that  might be affected by the process, such as gas extraction and leachate  recirculation. Warning symptoms shall result in a reduction or suspension of liquids  addition, leachate recirculation, investigation, and changes to be implemented  before resuming the process being tested. Failure thresholds shall result in  termination of the process being tested, investigation, and changes that will  be submitted to the department for review and approval in writing prior to  resumption of the process being tested.
    (9) RDD plans shall include an assessment of the manner in  which the process to be tested might alter the impact that the landfill may  have on human health or environmental quality. The assessment shall include  both beneficial and deleterious effects that could result from the process.
    (10) RDD plans shall include a geotechnical stability analysis  of the waste mass and an assessment of the changes that the implementation of  the plan are expected to achieve. The geotechnical stability analysis and  assessment shall be repeated at the end of testing period, with alteration as  needed to include parameters and parameter values derived from field  measurements. The plan shall define relevant parameters and techniques for  field measurement.
    (11) RDD plans shall propose monitoring parameters,  frequencies, test methods, instrumentation, recordkeeping and reporting to the  department for purposes of tracking and verifying goals of the process selected  for testing.
    (12) RDD plans shall propose monitoring techniques and  instrumentation for potential movements of waste mass and settlement of waste  mass, including proposed time intervals and instrumentation, pertinent to the  process selected for testing. 
    (13) RDD plans shall propose construction documentation,  construction quality control and construction quality assurance measures, and  recordkeeping for construction and equipment installation that is part of the  process selected for testing. 
    (14) RDD plans shall propose operating practices and controls,  staffing, monitoring parameters, and equipment needed to support operations of  the process selected for testing. 
    (15) RDD plans that include aeration of the waste mass shall  include a temperature monitoring plan, a fire drill and safety program,  instructions for use of liquids for control of temperature and fires in the  waste mass, and instructions for investigation and repair of damage to the  liner and leachate collection system. 
    (16) RDD plans may include an alternate interim cover system  and final cover installation schedule. The interim cover system shall be  designed to account for weather conditions, slope stability, and leachate and  gas generation. The interim cover shall also control, at a minimum, disease  vectors, fires, odors, blowing litter, and scavenging.
    d. Reporting. An annual report shall be prepared for each year  of the RDD testing period, including any renewal periods, and a final report  shall be prepared for the end of the testing period. These reports shall assess  the attainment of goals proposed for the process selected for testing,  recommend changes, recommend further work, and summarize problems and their  resolution. Reports shall include a summary of all monitoring data, testing  data and observations of process or effects and shall include recommendations  for continuance or termination of the process selected for testing. Annual  reports shall be submitted to the department within three months after the  anniversary date of the approved permit or permit modification. Final reports  shall be submitted at least 90 days prior to the end of the testing period for  evaluation by the department. The department shall review this report within 90  days. If the department's evaluation indicates that the goals of the project  have been met, are reliable and predictable, the department will provide a  minor permit modification to incorporate the continued operation of the project  with the appropriate monitoring.
    e. Termination. The department may require modifications to or  immediate termination of the RDD process being tested if any of the following  conditions occur:
    (1) Significant and persistent odors;
    (2) Significant leachate seeps or surface exposure of  leachate;
    (3) Significant leachate head on the liner;
    (4) Excessively acidic leachate chemistry or gas production  rates or other monitoring data indicate poor waste decomposition conditions;
    (5) Instability in the waste mass; or 
    (6) Other persistent and deleterious effects.
    The RDD program is an optional participation program, by  accepting the modification or new permit, the applicant acknowledges that the  program is optional; and that they are aware the department may provide  suspension or termination of the RDD program for any reasonable cause, without  a public hearing. Notice of suspension or termination will be by letter for a  cause related to a technical problem, nuisance problem, or for protection of  human health or the environment as determined by the department.
    G. Facility siting. The suitability of the facility location  will not be considered at the time of permit modification unless new  information or standards indicate that an endangerment to human health or the  environment exists which was unknown at the time of permit issuance or the  modification is for an expansion or increase in capacity. 
    Part I 
  Definitions 
    9VAC20-85-10. Definitions as established in Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.). 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations 9VAC20-80-10 et seq., 9VAC20-81,  are incorporated by reference. 
    9VAC20-85-40. Applicability. 
    A. This chapter applies to all persons who use, reuse, or  reclaim fossil fuel combustion products by applying them to or placing them on  land in a manner other than addressed in 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations, 9VAC20-80-150 and 9VAC20-80-160. 9VAC20-80-150  9VAC20-81-95 provides for the beneficial use of waste materials such as  fossil fuel combustion products, and 9VAC20-80-160 provides for  conditional exemptions from regulation for fossil fuel combustion products. 
    B. This chapter establishes minimum standards for the owners  or operators of coal mining facilities that accept CCB for mine reclamation or  mine refuse disposal on a mine site permitted by the Virginia Department of  Mines, Minerals and Energy (DMME) unless otherwise exempt under 9VAC20-80-160  B 9VAC20-81-95 D 18 of the Solid Waste Management Regulations. If  the permit issued by the DMME in accordance with the Virginia Surface Mining  Regulations, 4VAC25-130-700.1 et seq., specifies the applicable conditions set  forth in Parts III and IV of this chapter, the permittee is exempt from this  chapter. 
    C. Conditions of applicability are as follows: 
    1. Persons using fossil fuel combustion products other than in  a manner prescribed under this chapter, or managing fossil fuel combustion  products containing any constituent at a level exceeding levels set forth in  Table 1 in Part IV of this chapter, shall manage their waste in accordance with  all applicable provisions of the Virginia Solid Waste Management  Regulations, 9VAC20-80 9VAC20-81; 
    2. Materials which are accumulated speculatively, materials  which are not utilized in a manner described in the operation plan required by  9VAC20-85-90 of this chapter, and off-specification materials which cannot be  utilized or reprocessed to make them usable shall be managed in accordance with  all appropriate provisions of the Virginia Solid Waste Management Regulations,  9VAC20-80 9VAC20-81; and 
    3. Storage, stockpiling, and other processing or handling of  fossil fuel combustion products, which may need to occur prior to their final  placement or use, reuse, or reclamation, shall be in a manner necessary to protect  human health and safety and the environment. For projects permitted by the  DMME, the storage, stockpiling, or handling of CCB shall be managed in  accordance with the Virginia Surface Mining Regulations, 4VAC25-130-700.1 et  seq. 
    9VAC20-85-50. Relationship to other regulations. 
    This chapter does not affect the Virginia Solid Waste  Management Regulations, 9VAC20-80-10 et seq. 9VAC20-81, or other  pertinent regulations of the department or other agencies of the Commonwealth,  except that persons subject to and in compliance with this chapter are exempt  from the Virginia Solid Waste Management Regulations and the Financial  Assurance Regulations for Solid Waste Facilities, 9VAC20-70-10 et seq. 9VAC20-70,  for those activities covered by this chapter. 
    9VAC20-85-60. Enforcement and appeals. 
    A. All administrative enforcement and appeals taken from  actions of the department relative to the provisions of this chapter shall be  governed by the Virginia Administrative Process Act (§ 2.2-4000 et seq. of the  Code of Virginia). 
    B. The owner or operator of the fossil fuel combustion  products site who violates any provision of this chapter will be considered to  be operating an unpermitted facility as provided for in 9VAC20-80-90 9VAC20-81-40  of the Solid Waste Management Regulations and shall be required to either  obtain a permit as required by Part VII V or close under Part V  III of this chapter 9VAC20-81. 
    C. The requirement to obtain a permit or to close the project  shall not preclude additional action for remediation or enforcement, including  (without limitations) the assessment of civil charges or civil penalties, as is  otherwise authorized by law. 
    Article 3 
  Operations 
    9VAC20-85-90. Operations. 
    The owner or operator of a fossil fuel combustion products  site shall prepare an operation plan. At a minimum, the plan shall address the  requirements contained in this section. 
    1. Tracking of mud or fossil fuel combustion products onto  public roads from the site shall be controlled at all times to minimize  nuisances. 
    2. The addition of any solid waste including but not limited  to hazardous, infectious, construction, debris, demolition, industrial,  petroleum-contaminated soil, or municipal solid waste to fossil fuel combustion  products is prohibited. This prohibition does not apply to solid wastes from  the extraction, beneficiation and processing of ores and minerals conditionally  exempted under 9VAC20-80-160 A 2 9VAC20-81-95 E 3 of the Solid  Waste Management Regulations. 
    3. Fugitive dust shall be controlled at the site so it does  not constitute nuisances or hazards. 
    4. After preparing the subbase, fossil fuel combustion  products shall be placed uniformly and compacted to standards, including insitu  density, compaction effort and relative density as specified by a registered  professional engineer based on the intended use of the fossil fuel combustion  products. The placement and compaction of CCB on coal mine sites shall be  subject to the applicable requirements of the Coal Surface Mining Reclamation  Regulations, 4VAC25-130-700.1 et seq. 
    5. A surface run on and runoff control program shall be  implemented to control and reduce the infiltration of surface water through the  fossil fuel combustion products and to control the runoff from the placement  area to other areas and to surface waters. 
    6. Runoff shall not be permitted to drain or discharge into  surface waters except when in accordance with 9VAC25-10-10 et seq., of the  State Water Control Board, or otherwise approved by the department. 
    7. Fossil fuel combustion products site development shall be  in accordance with the Virginia Erosion and Sediment Control Regulations,  4VAC50-30, or the Coal Surface Mining Reclamation Regulations, 4VAC25-130-700.1  et seq., as applicable. 
    Part IV 
  Administrative Requirements 
    9VAC20-85-150. General. 
    A. Notwithstanding any provisions of Part VII V  of the Virginia Solid Waste Management Regulations, 9VAC20-80 9VAC20-81,  the owner or operator of a site which manages only fossil fuel combustion  products allowed under 9VAC20-85-40 shall not be required to have a solid waste  management facility permit, neither must a fossil fuel combustion products  facility operator certified by the Board for Waste Management Facility  Operators directly supervise operations at the site, if the owner or operator at  least 30 days prior to initial placement of fossil fuel combustion products  provides to the appropriate department regional office and verifies receipt of:  
    1. A certification that it has legal control over the fossil  fuel combustion products site for the project life and the closure period. For  the purposes of this section, on a coal mine site permitted by the DMME,  demonstration of legal right to enter and begin surface coal mining and  reclamation operations shall constitute compliance with the provisions of this  section. 
    2. A certification from the governing body of the county,  city, or town in which the fossil fuel combustion products site is to be  located that the location and operation of the fossil fuel combustion products  site are consistent with all applicable ordinances, with the exception of  projects permitted by the DMME. 
    3. A general description of the intended use, reuse, or  reclamation of fossil fuel combustion products. Such description will include: 
    a. A description of the nature, purpose and location of the  fossil fuel combustion products site, including a topographic map showing the  site area and available soils, and geological maps. The description shall  include an explanation of how fossil fuel combustion products will be stored  prior to use, reuse or reclamation, if applicable; 
    b. The estimated beginning and ending dates for the operation;  
    c. An estimate of the volume of the fossil fuel combustion  products to be utilized; and 
    d. A description of the proposed type of fossil fuel combustion  products to be used, reused or reclaimed, including physical and chemical  characteristics of the fossil fuel combustion products. The chemical  description shall contain the results of TCLP analyses for the constituents  shown in Table 1. The description shall also contain a statement that the  project will not manage fossil fuel combustion products that contain any  constituent at a level exceeding those shown in the table. 
           |      TABLE 1.      LIST OF CONSTITUENTS AND MAXIMUM LEVELS.      |    
       |      Constituent      |          Level, mg/lit      |    
       |      Arsenic      |          5.0      |    
       |      Barium      |          100      |    
       |      Cadmium      |          1.0      |    
       |      Chromium      |          5.0      |    
       |      Lead      |          5.0      |    
       |      Mercury      |          0.2      |    
       |      Selenium      |          1.0      |    
       |      Silver      |          5.0      |    
  
    4. A certification by a professional engineer licensed to  practice by the Commonwealth that the project meets the locational restrictions  of 9VAC20-85-70. Such certificate shall contain no qualifications or exemptions  from the requirements. 
    5. A certificate signed by a professional engineer licensed to  practice by the Commonwealth that the project has been designed in accordance  with the standards of 9VAC20-85-80 if applicable. Such certificate shall  contain no qualifications or exceptions from the requirements and plans. 
    6. An operational plan describing how the standards of  9VAC20-85-90 will be met. 
    7. A closure plan describing how the standards of Article 4 of  Part III of this chapter will be met, if applicable. 
    8. A signed statement that the owner or operator shall allow  authorized representatives of the Commonwealth, upon presentation of  appropriate credentials, to have access to areas in which the activities  covered by this chapter will be, are being, or have been conducted to ensure  compliance. 
    B. The materials submitted under the provisions of subsection  A of this section will be evaluated for completeness within 30 days of receipt  by the appropriate department regional office. If the department notifies the  applicant of deficiencies within 30 days, the applicant shall postpone any  construction or activities proposed in the application for the department's  approval until the department's approval has been received. If the applicant  has not received a notice of deficiency within 30 days, the applicant can  proceed. 
    9VAC20-85-180. Administrative procedures. 
    The administrative procedures associated with the submission  of the variance petition, its processing and resolution will be accomplished in  accordance with the requirements of 9VAC20-80-790 Part VII  (9VAC20-81-700 et seq.) of the Solid Waste Management Regulations. 
    Part I 
  Definitions 
    9VAC20-120-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise.  Chapter 14 (§ 10.1-1400 et seq.) of Title 10.1 of the Code of Virginia defines  words and terms that supplement those in this chapter. The Virginia  Solid Waste Management Regulations, 9VAC20-80 9VAC20-81, define  additional words and terms that supplement those in the statutes and this  chapter. When the statutes, as cited, and the solid waste management  regulations, as cited, conflict, the definitions of the statutes are  controlling. 
    "Act" or "regulations" means the federal  or state law or regulation last cited in the context, unless otherwise  indicated. 
    "Alternative treatment method" means a method for  the treatment of regulated medical waste that is not incineration or steam  sterilization (autoclaving). 
    "Approved sanitary sewer system" means a network of  sewers serving a facility that has been approved in writing by the Virginia  Department of Health, including affiliated local health departments. Such sewer  systems may be approved septic tank/drainfield systems and on-site treatment  systems, or they may be a part of a collection system served by an NPDES  permitted treatment works. 
    "Associated" means two or more firms that share  staff members, management, directors, and assets or engage in joint ventures.  Holding companies and part owners are associated parties. 
    "Ash" means the residual waste material produced  from an incineration process or any combustion. 
    "ASTM" means the American Society For Testing and  Materials. 
    "Autoclave tape" means tape that changes color or  becomes striped when subjected to temperatures that will provide sterilization  of materials during treatment in an autoclave or similar device. 
    "Blood" means human blood, human blood components,  and products made from human blood. 
    "Board" means the Virginia Waste Management Board. 
    "Body fluids" means liquid emanating or derived  from humans including blood; cerebrospinal, synovial, pleural, peritoneal and  pericardial fluids; semen and vaginal secretions; amniotic fluid; urine; saliva  in dental procedures; and any other body fluids that are contaminated with  blood, and any other liquids emanating from humans that may be mixed or  combined with body fluids. 
    "Closure" means the act of securing a regulated  medical waste management facility pursuant to the requirements of these  regulations. 
    "Closure plan" means the plan for closure prepared  in accordance with the requirements of this chapter. 
    "Commonwealth" means the Commonwealth of Virginia. 
    "Container" means any portable enclosure in which a  material is stored, transported, treated, or otherwise handled. 
    "Contaminated" means the presence or the reasonably  anticipated presence of blood or other body fluids on an item or surface. 
    "Contingency plan" means a document setting out an  organized, planned and coordinated course of action to be followed in the event  of a fire, explosion, or release of regulated medical waste or regulated  medical waste constituents that could threaten human health or the environment.  
    "CWA" means the Clean Water Act (formerly referred  to as the Federal Water Pollution Control Act), 33 USC § 1251 et seq.; PL  92-500, PL 93-207, PL 93-243, PL 93-592, PL 94-238, PL 94-273, PL 94-558, PL  95-217, PL 95-576, PL 96-148, PL 96-478, PL 96-483, PL 96-510, PL 96-561, PL  97-35, PL 97-117, PL 97-164, PL 97-216, PL 97-272, PL 97-440, PL 98-45, PL  100-4, PL 100-202, PL 100-404, and PL 100-668. 
    "Decontamination" means the use of physical or  chemical means to remove, inactivate, or destroy human pathogens on a surface  or item to the point where they are no longer capable of transmitting disease  and the surface or item is rendered safe for handling, use, or disposal. 
    "Department" means the Virginia Department of  Environmental Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. 
    "Discard" means to throw away or reject. When a  material is soiled, contaminated or no longer usable and it is placed in a  waste receptacle for disposal or treatment prior to disposal, it is considered  discarded. 
    "Discharge" or "waste discharge" means  the accidental or intentional spilling, leaking, pumping, pouring, emitting,  emptying, or dumping of regulated medical waste into or on any land or state  waters. 
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking, or placing of any solid waste into or on any land  or water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters, including  ground waters. 
    "Disposal facility" means a facility or part of a  facility at which solid waste is intentionally placed into or on any land or  water, and at which the solid waste will remain after closure. 
    "Domestic sewage" means untreated sanitary wastes  that pass through a sewer system. 
    "Empty" means wastes have been removed from a  container using the practices commonly employed to remove materials of that  type. 
    "EPA" means the U.S. Environmental Protection  Agency. 
    "Etiologic agents" means the specific organisms  defined to be etiologic agents in 42 CFR 72.3. In general, etiologic agents as  defined in 42 CFR 72.1 means a viable microorganism or its toxin which causes  or may cause human disease. 
    "Federal agency" means any department, agency, or  other instrumentality of the federal government, any independent agency, or  establishment of the federal government including any government corporation  and the Government Printing Office. 
    "Generate" means to cause waste to become subject  to regulation. When regulated medical waste is first discarded, it must be  appropriately packaged in accordance with this regulation. At the point a  regulated medical waste is discarded it has been generated. 
    Note: Timeframes associated with storage and refrigeration  are no longer linked to the "date of generation." 
    "Generator" means any person, by site location,  whose act or process produces regulated medical waste identified or listed in  Part III (9VAC20-120-80 et seq.) of this chapter or whose act first causes a  regulated medical waste to become subject to this chapter. 
    "Hazardous material" means a substance or material  that has been so designated under 49 Parts CFR 171 and 173. 
    "Hazardous waste" means any solid waste defined as  a "hazardous waste" by the Virginia Hazardous Waste Management  Regulations. 
    "Health Care Professional" means a medical doctor  or nurse practicing under a license issued by the Department of Health  Professions. 
    "Highly leak resistant" means that leaks will not  occur in the container even if the container receives severe abuse and stress,  but remains substantially intact. 
    "Highly puncture resistant" means that punctures  will not penetrate the container even if the container receives severe abuse  and stress, but remains substantially intact. 
    "Motor vehicle" means a vehicle, machine, roll off  container, tractor, trailer, or semi-trailer, or any combination of them,  propelled or drawn by mechanical power and used in transportation or designed  for such use. 
    "Nonstationary health care providers" means those  persons who routinely provide health care at locations that change each day or  frequently. This term includes traveling doctors, nurses, midwives, and others  providing care in patients' homes, first aid providers operating from emergency  vehicles, and mobile blood service collection stations. 
    "NPDES" or "National Pollutant Discharge  Elimination System" means the national program for issuing, modifying,  revoking, reissuing, terminating, monitoring, and enforcing permits pursuant to  §§ 307, 402, 318, and 405 of the Clean Water Act. The term includes any state  or interstate program that has been approved by the Administrator of the United  States Environmental Protection Agency. 
    "Off-site" means any site that does not meet the  definition of on-site as defined in this part, including areas of a facility  that are not on geographically contiguous property or outside of the boundary  of the site. 
    "On-site" means the same or geographically  contiguous property, which may be divided by public or private right-of-way,  provided the entrance and exit to the facility are controlled by the owner or  the operator of the facility. Noncontiguous properties owned by the same person  but connected by a right-of-way that he controls and to which the public does  not have access are also considered on-site property. 
    "Owner" means the person or persons who own a  regulated medical waste management facility or part of a regulated medical  waste management facility. 
    "Package" or "outside package" means a  package plus its contents. 
    "Packaging" means the assembly of one or more  containers and any other components necessary to assure compliance with minimum  packaging requirements under VRGTHM or this chapter. 
    "Permit by rule" means provisions of this chapter  stating that a facility or activity is deemed to have a permit if it meets the  requirements of the provision. 
    "Permitted waste management facility" or  "permitted facility" means a regulated medical waste treatment or  storage facility that has received a permit in accordance with the requirements  of the chapter. 
    "Physical construction" means excavation, movement  of earth, erection of forms or structures, the purchase of equipment, or any  other activity involving the actual preparation of the regulated medical waste management  facility. 
    "Processing" means preparation, treatment, or  conversion of regulated medical waste by a series of actions, changes, or  functions that bring about a decided result. 
    "RCRA" means the Solid Waste Disposal Act, as  amended by the Resource Conservation and Recovery Act (42 USC § 6901 et  seq.), the Hazardous and Solid Waste Amendments of 1984, and any other  applicable amendments to these laws. 
    "Regulated medical waste" means solid wastes  defined to be regulated medical wastes in Part III (9VAC20-120-80 et seq.) of  this chapter. 
    "Regulated medical waste management" means the  systematic administration of activities that provide for the collection, source  separation, storage, transportation, transfer, processing, treatment, and  disposal of regulated medical wastes whether or not such facility is associated  with facilities generating such wastes or otherwise. 
    "Regulated medical waste management facility" means  a solid waste management facility that manages regulated medical waste. 
    "Safe sharps program" means a program supported by  a city, county, town or public authority that is intended to enhance the safe  disposal of sharps discarded by private individuals. 
    "Sanitary sewer system" means a system for the  collection and transport of sewage, the construction of which was approved by  the Department of Health or other appropriate authority. 
    "Secondary container" means a storage device into  which a container can be placed for the purpose of containing any leakage from  the original container. 
    "Section" means a subpart of this chapter and when  referred to all portions of that part apply. 
    "Sharps" means needles, scalpels, knives, syringes  with attached needles, pasteur pipettes and similar items having a point or  sharp edge or that are likely to break during transportation and result in a  point or sharp edge. 
    "Shipment" means the movement or quantity conveyed  by a transporter of a regulated medical waste between a generator and a  designated facility or a subsequent transporter. 
    "Site" means the land or water area upon which a  facility or activity is physically located or conducted, including but not  limited to adjacent land used for utility systems such as repair, storage,  shipping, or processing areas, or other areas incident to the controlled facility  or activity. 
    "Solid waste" means any garbage, refuse, sludge and  other discarded material, including solid, liquid, semisolid or contained  gaseous material, resulting from industrial, commercial, mining and agriculture  operations, or community activities, but does not include (i) solid or  dissolved material in domestic sewage, (ii) solid or dissolved material in  irrigation return flows or in industrial discharges which are sources subject  to a permit from the State Water Control Board, or (iii) source, special  nuclear, or by-product material as defined by the Federal Atomic Energy Act of  1954, as amended 42 USC §§ 2011-2284. The definition of solid waste is further  clarified in the Virginia Solid Waste Management Regulations (9VAC20-80-140)  (9VAC20-81-95). 
    "Solid waste management" means the collection,  source separation, storage, transportation, transfer, processing, treatment,  and disposal of solid wastes or resource recovery. 
    "Spill" means any accidental or unpermitted  discharge, leaking, pumping, pouring, emitting, or dumping of wastes or  materials that, when spilled, become wastes. 
    "Start-up" or "cold start-up" means the  beginning of a combustion operation from a condition where the combustor unit  is not operating and less than 140°F in all areas. 
    "Storage" means the holding, including during  transportation, of more than 200 gallons of waste, at the end of which the  regulated medical waste is treated or stored elsewhere. 
    "Training" means formal instruction, supplementing  an employee's existing job knowledge, designed to protect human health and the  environment via attendance and successful completion of a course of instruction  in regulated medical waste management procedures, including contingency plan  implementation, relevant to those operations connected with the employee's  position at the facility. 
    "Transfer facility" means any transportation  related facility including loading docks, parking areas, storage areas, and  other similar areas where shipments of regulated medical waste are held during  the normal course of transportation. 
    "Transportation" or "transport" means the  movement of regulated medical waste by air, rail, highway, or water. 
    "Transport vehicle" means any vehicle used for the  transportation of cargo. 
    "Vector" means a living animal, insect or other  arthropod that may transmits an infectious disease from one organism to  another. 
    "VRGTHM" means Virginia Regulations Governing the  Transportation of Hazardous Materials promulgated by the Virginia Waste  Management Board as authorized by §§ 10.1-1450 through 10.1-1454 of the Code of  Virginia. 
    "Waste management facility" means all contiguous  land and structures, other appurtenances, and improvements on them used for  treating, storing, or disposing of waste. 
    "Waste management unit" means any unit at a  treatment or storage facility that possesses a permit, or that has received  regulated medical waste (as defined in this chapter) at any time, including  units that are not currently active. 
    9VAC20-120-70. Relationship to other bodies of regulation. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  address other requirements for regulated medical waste management. Any  regulated medical waste management facility must also conform to any applicable  sections of the solid waste management regulations issued by the board and any  special solid waste management regulations such as those defining financial  assurance requirements. If there is a conflict between the details of  regulations here and the others, this chapter is controlling. 
    B. Regulated medical waste management facility must also  comply with any applicable sections of the Hazardous Waste Management  Regulations (9VAC20-60) issued by the department. If there is a conflict  between the details of regulations here and the hazardous waste management  regulations, the latter regulations are controlling. 
    C. Intrastate shipment of hazardous materials is subject to  the Regulations Governing the Transportation of Hazardous Materials  (9VAC20-110) of the department. If there is a conflict between the details of  regulations here and the hazardous materials transportation regulations, the  latter are controlling. 
    D. Generators of regulated medical waste and regulated  medical waste management facilities may be subject to the general industry  standard for occupational exposure to bloodborne pathogens in  16VAC25-90-1910.1030 (29 CFR 1910.1030). 
    E. Persons transporting regulated medical waste are subject  to the federal hazardous material transportation requirements in 49 CFR 171  through 178. 
    F. If there is a conflict between the regulations here and  adopted regulations of another agency of the Commonwealth, the provisions of  these regulations are set aside to the extent necessary to allow compliance  with the regulations of the other agency. If neither regulation controls, the  more stringent standard applies. 
    G. Nothing here either precludes or enables a local governing  body to adopt ordinances. Compliance with one body of regulation does not  insure compliance with the other, and, normally, both bodies of regulation must  be complied with fully. 
    9VAC20-120-100. Recycled materials. 
    A. Untreated regulated medical wastes shall not be used,  reused, or reclaimed. 
    B. Wastes that have been treated in accord with these  regulations are no longer regulated medical waste and may be used, reused, or  reclaimed in accordance with the provisions of the Virginia Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81). 
    C. Bed linen, instruments, medical care equipment and other  materials that are routinely reused for their original purpose are not subject  to these regulations until they are discarded and are a solid waste. These  items do not include reusable carts or other devices used in the management of  regulated medical waste (see 9VAC20-120-260). 
    Article 6 
  Treatment and Disposal 
    9VAC20-120-300. Methods of treatment and disposal. 
    A. All regulated medical waste must be incinerated,  sterilized by steam, or treated by a method as described in Part VII  (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.), or IX (9VAC20-120-630  et seq.) of this chapter. 
    B. No regulated medical waste shall be disposed of in a solid  waste landfill or other solid waste management facility. Upon authorized  treatment and management in accord with this chapter, the solid waste or its  ash is not regulated medical waste and may be disposed of at any landfill or  other solid waste management facility permitted to receive municipal solid  waste or garbage, provided the disposal is in accordance with the Solid Waste  Management Regulations, 9VAC20-80 9VAC20-81, and other applicable  regulations and standards. 
    C. Regulated medical waste in closed bags or containers shall  not be compacted or subjected to violent mechanical stress; however, after it  is fully treated and it is no longer regulated medical waste, it may be  compacted in a closed container. Nothing in this section shall prevent the  puncturing of containers or packaging immediately prior to permitted treatment  in which grinding, shredding, or puncturing is integral to the process units;  however, all grinding, shredding and puncturing shall be done with safe and  sanitary methods. Nothing in this section shall prevent the use of devices that  grind, shred or compact to reduce volume at the point of generation. Devices  will be constructed in a manner that prevents employee exposure to the waste,  contains any aerosol or mist that may be caused by the process, and treats or  filters any air evacuated from the chamber during processing. These devices may  be employed at the point of generation and prior to enclosing the regulated  medical waste in plastic bags and other required packaging; however, the waste  remains regulated medical waste. Appropriate means must be employed to  appropriately protect workers and contain the waste when unloading regulated  medical wastes from such a device. 
    9VAC20-120-540. Analysis and management of the ash product;  procedure; results and records; disposition of ash; ash storage. 
    A. Once every eight hours of operation of a continuously fed  incinerator and once every batch or 24 hours of operation of a batch fed  incinerator, a representative sample of 250 milliliters of the bottom ash shall  be collected from the ash discharge or the ash discharge conveyer. Samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous Waste  Management Regulations for determining if a solid waste is a hazardous waste.  Also, the sample shall be tested for total organic carbon content. 
    At incinerators equipped with air pollution control devices  that remove and collect incinerator emissions control ash or dust, this ash  shall be held separately and not mixed with bottom ash. Once every eight hours  of operation of a continuously fed incinerator and once every batch or 24 hours  of operation of a batch fed incinerator, a representative sample of 250  milliliters of the air pollution control ash or dust shall be collected from  the pollution control ash discharge. Air pollution control ash or dust samples  collected during 1,000 hours of operation or quarterly, whichever is more  often, shall be thoroughly mixed and seven random portions of equal volume  shall be composited into one sample for laboratory analysis. This sample shall  be tested in accord with the methods established by the Virginia Hazardous  Waste Management Regulations for determining if a waste is a hazardous waste. 
    B. A log shall document the ash sampling, to include the date  and time of each sample collected; the date, time and identification number of  each composite sample; and the results of the analyses, including laboratory  identification. Results of analyses must be returned from the laboratory and  recorded within four weeks following collection of the composite sample. The  results and records described in this part shall be maintained for a period of  three years, and shall be available for review. 
    C. If a waste ash is found to be hazardous waste (based on a  sample and a confirmation sample) the waste ash shall be disposed of as a  hazardous waste in accord with the Virginia Hazardous Waste Management  Regulations. If ash is found not to be hazardous waste by analysis, it may be  disposed of in a solid waste landfill that is permitted to receive garbage,  municipal solid waste or incinerator ash, provided the disposal is in  accordance with the Solid Waste Management Regulations, 9VAC20-80 9VAC20-81.  If the ash is found to be hazardous waste, the operator shall notify the  Director of the Department of Environmental Quality within 24 hours. No later  than 15 calendar days following, the permittee shall submit a plan for treating  and disposing of the waste on hand at the facility and all unsatisfactorily  treated waste that has left the facility. The permittee may include with the  plan a description of the corrective actions to be taken to prevent further  unsatisfactory performance. No ash subsequently generated from the incinerator  waste stream that was found to be hazardous waste shall be sent to a  nonhazardous solid waste management facility in the Commonwealth without the  express written approval of the director. 
    D. Air pollution control ash and bottom ash shall be held  separately and not mixed; however, once both are determined not to be hazardous  waste, they may be combined and disposed of as other solid waste. Throughout  the storage of the untested material it shall be kept in covered highly leak  resistant containers. It should be held until the generator determines whether  the ash waste is hazardous waste. Areas where untested material containers are  placed must be constructed with a berm to prevent runoff from that area. 
    E. Regulated medical waste treated in compliance with Part  VII (9VAC20-120-520 et seq.), VIII (9VAC20-120-580 et seq.) or IX  (9VAC20-120-630 et seq.) of this chapter shall be deemed to be treated in  accordance with this chapter. Regulated medical waste not treated in accordance  with this chapter shall not be transported, received for transport or disposal,  or disposed of in any solid waste management facility. 
    9VAC20-120-810. Amendment of permits. 
    A. Temporary authorizations. 
    1. Upon request of the permittee, the director may, without  prior public notice and comment, grant the permittee a temporary authorization  in accordance with the requirements of this section. Temporary authorizations  shall have a term of not more than 180 calendar days. 
    2. a. The permittee may request a temporary authorization for:  
    (1) Any substantive amendment meeting the criteria in  subdivision 3 b (1) of this subsection; and 
    (2) Any major amendment that meets the criteria in subdivision  3 b (1) or (2) of this subsection; or that meets the criteria in subdivisions 3  b (3) and (4) of this subsection and provides improved management or treatment  of a regulated medical waste already listed in the facility permit. 
    b. The temporary authorization request shall include: 
    (1) A description of the activities to be conducted under the  temporary authorization; 
    (2) An explanation of why the temporary authorization is  necessary; and 
    (3) Sufficient information to ensure compliance with standards  in Part V (9VAC20-120-330 et seq.) or VI (9VAC20-120-400 et seq.) of this  chapter. 
    c. The permittee shall send a notice about the temporary  authorization request to all persons on the facility mailing list. This  notification shall be made within seven calendar days of submission of the  authorization request. 
    3. The director shall approve or deny the temporary  authorization as quickly as is practical. To issue a temporary authorization,  the director shall find: 
    a. The authorized activities are in compliance with the  standards of Part V (9VAC20-120-330 et seq.), VII (9VAC20-120-520 et seq.),  VIII (9VAC20-120-580 et seq.) or IX (9VAC20-120-630 et seq.) of this chapter. 
    b. The temporary authorization is necessary to achieve one of  the following objectives before action is likely to be taken on an amendment  request: 
    (1) To facilitate timely implementation of closure or  corrective action activities; 
    (2) To prevent disruption of ongoing waste management  activities; 
    (3) To enable the permittee to respond to sudden changes in  the types or quantities of the wastes managed under the facility permit; or 
    (4) To facilitate other changes to protect human health and  the environment. 
    4. A temporary authorization may be reissued for one  additional term of up to 180 calendar days provided that the permittee has  requested a substantive or a major permit amendment for the activity covered in  the temporary authorization, and (i) the reissued temporary authorization  constitutes the director's decision on a substantive permit amendment in  accordance with the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  or (ii) the director determines that the reissued temporary authorization  involving a major permit amendment request is warranted to allow the authorized  activities to continue while the amendment procedures of the Solid Waste  Management Regulations (9VAC20-80) (9VAC20-81) are conducted. 
    B. Newly defined or identified wastes. The permittee is  authorized to continue to manage wastes defined or identified as regulated  medical waste under Part III (9VAC20-120-80 et seq.) of this chapter if he: 
    1. Was in existence as a regulated medical waste management  facility with respect to the newly defined or identified regulated medical  waste on the effective date of the final rule defining or identifying the  waste; and 
    2. (i) Is in compliance with the standards of Part V, VII,  VIII or IX, as applicable, with respect to the new waste, submits a minor  modification request on or before the date on which the waste becomes subject  to the new requirements or (ii) is not in compliance with the standards of Part  V or VI, as applicable, with respect to the new waste, but submits a complete  permit amendment request within 180 calendar days after the effective date of  the definition or identifying the waste. 
    C. The suitability of the facility location will not be  considered at the time of permit amendment unless new information or standards  indicate that an endangerment to human health or the environment exists that  was unknown at the time of permit issuance. 
    9VAC20-130-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Agricultural waste" means all solid waste produced  from farming operations. 
    "Board" means the Virginia Waste Management Board. 
    "Commercial waste" means all solid waste generated  by establishments engaged in business operations other than manufacturing or  construction. This category includes, but is not limited to, solid waste  resulting from the operation of stores, markets, office buildings, restaurants  and shopping centers.
    "Compost" means a stabilized organic product  produced by composting in such a manner that the product can be handled,  stored, and/or applied to the land.
    "Composting" means the manipulation of the natural  process of decomposition of organic materials to increase the rate of  decomposition. 
    "Construction waste" means solid waste that is  produced or generated during construction, remodeling, or repair of pavements,  houses, commercial buildings, and other structures. Construction wastes  include, but are not limited to, lumber, wire, sheetrock, broken brick,  shingles, glass, pipes, concrete, paving materials, and metal and plastics if  the metal or plastics are a part of the materials of construction or empty containers  for such materials. Paints, coatings, solvents, asbestos-containing material,  any liquid, compressed gases, or semi-liquids and garbage are not construction  wastes. 
    "Debris waste" means solid waste resulting from  land clearing operations. Debris wastes include, but are not limited to,  stumps, wood, brush, leaves, soil, and road spoils. 
    "Demolition waste" means solid waste produced by  the destruction of structures and their foundations and includes the same  materials as construction wastes. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or his designee. For purposes of submissions to the  director as specified in the Waste Management Act, submissions may be made to  the department.
    "Disposal" means the discharge, deposit, injection,  dumping, spilling, leaking or placing of any solid waste into or on any land or  water so that such solid waste or any constituent of it may enter the  environment or be emitted into the air or discharged into any waters. 
    "Facility" means solid waste management facility  unless the context clearly indicates otherwise. 
    "Hazardous waste" means a "hazardous  waste" as defined by the Virginia Hazardous Waste Management Regulation,  9VAC20-60. 
    "Incineration" means the controlled combustion of  solid waste for disposal. 
    "Industrial waste" means any solid waste generated  by manufacturing or industrial process that is not a regulated hazardous waste.  Such waste may include, but is not limited to, waste resulting from the  following manufacturing processes: electric power generation;  fertilizer/agricultural chemicals; food and related products/byproducts;  inorganic chemicals; iron and steel manufacturing; leather and leather  products; nonferrous metals manufacturing/foundries; organic chemicals;  plastics and resins manufacturing; pulp and paper industry; rubber and  miscellaneous plastic products; stone, glass, clay, and concrete products;  textile manufacturing; transportation equipment; and water treatment. This term  does not include mining waste or oil and gas waste. 
    "Institutional waste" means all solid waste  emanating from institutions such as, but not limited to, hospitals, nursing  homes, orphanages, and public or private schools. It can include regulated  medical waste from health care facilities and research facilities that must be  managed as a regulated medical waste. 
    "Integrated waste management plan" means a  governmental plan that considers all elements of waste management during  generation, collection, transportation, treatment, storage, disposal, and  litter control and selects the appropriate methods of providing necessary  control and services for effective and efficient management of all wastes. An  "integrated waste management plan" must provide for source reduction,  reuse and recycling within the jurisdiction and the proper funding and  management of waste management programs. 
    "Jurisdiction" means a local governing body; city,  county or town; or any independent entity, such as a federal or state agency,  which join with local governing bodies to develop a waste management plan. 
    "Landfill" means a sanitary landfill, an industrial  waste landfill, or a construction/demolition/debris landfill (as these terms  are defined in the Solid Waste Management Regulations (9VAC20-80) (9VAC20-81).  
    "Litter" means all waste material disposable  packages or containers, but not including the wastes of the primary processes  of mining, logging, farming, or manufacturing.
    "Market" or "markets" means interim or  end destinations for the recyclable materials, including a materials recovery  facility (MRF).
    "Market conditions" means business and system  related issues used to determine if materials can be targeted, collected, and  delivered to an interim or end market in an efficient manner. Issues may  include, but are not limited to: the cost of collection, storage and  preparation or both; the cost of transportation; accessible volumes of  materials targeted for recycling; market value of materials targeted for  collection/recycling; and distance to viable markets.
    "Materials recovery facility (MRF)" means, for the  purpose of this regulation, a facility for the collection, processing and  marketing of recyclable materials including, but not limited to: metal, paper,  plastics, and glass. 
    "Mulch" means woody waste consisting of stumps,  trees, limbs, branches, bark, leaves and other clean wood waste that has  undergone size reduction by grinding, shredding, or chipping, and is  distributed to the general public for landscaping purposes or other  horticultural uses, except composting as defined and regulated under the Solid  Waste Management Regulations (9VAC20-80) or the Vegetative Waste Management  and Yard Waste Composting Regulations (9VAC20-101) (9VAC20-81). 
    "Municipal solid waste" means waste that is  normally composed of residential, commercial, and institutional solid waste and  residues derived from the combustion of these wastes. 
    "Permit" means the written permission of the  director to own, operate or construct a solid waste management facility. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Principal recyclable materials (PRMs)" means  paper, metal, plastic, glass, commingled yard waste, wood, textiles, tires,  used oil, used oil filters, used antifreeze, batteries, electronics, or  material as may be approved by the director. Commingled materials refers to  single stream collections of recyclables where sorting is done at a materials  recovery facility.
    "Recycling" means the process of separating a given  waste material from the waste stream and processing it so that it may be used  again as a raw material for a product, which may or may not be similar to the  original product. For the purpose of this chapter, recycling shall not include  processes that only involve size reduction. 
    "Recycling residue" means the (i) nonmetallic  substances, including but not limited to plastic, rubber, and insulation, which  remain after a shredder has separated for purposes of recycling the ferrous and  nonferrous metal from a motor vehicle, appliance or other discarded metallic  item and (ii) organic waste remaining after removal of metals, glass, plastics  and paper that are to be recycled as part of a resource recovery process for  municipal solid waste resulting in the production of a refuse derived fuel.
    "Regional boundary" means the boundary defining an  area of land that will be a unit for the purpose of developing a waste  management plan, and is established in accordance with 9VAC20-130-180 through  9VAC20-130-220. 
    "Regulated medical waste" means solid wastes so  defined by the Regulated Medical Waste Management Regulations (9VAC20-120) as  promulgated by the Virginia Waste Management Board. 
    "Residential waste" means any waste material,  including garbage, trash and refuse, derived from households. Households  include single and multiple residences, hotels and motels, bunkhouses, ranger  stations, crew quarters, campgrounds, picnic grounds and day-use recreation  areas. Residential wastes do not include sanitary waste in septic tanks  (septage), that is regulated by other state agencies. 
    "Resource recovery system" means a solid waste  management system that provides for collection, separation, recycling and  recovery of energy or solid wastes, including disposal of nonrecoverable waste  residues. 
    "Reuse" means the process of separating a given  solid waste material from the waste stream and using it, without processing or  changing its form, other than size reduction, for the same or another end use. 
    "Sanitary landfill" means an engineered land burial  facility for the disposal of household waste, which is so located, designed,  constructed and operated to contain and isolate the waste so that it does not  pose a substantial present or potential hazard to human health or the  environment. A sanitary landfill also may receive other types of solid wastes,  such as commercial solid waste, nonhazardous sludge, hazardous waste from  conditionally exempt small quantity generators, construction demolition debris,  and nonhazardous industrial solid waste. 
    "Site" means all land and structures, other  appurtenances, and improvements on them used for treating, storing, and  disposing of solid waste. This term includes adjacent land within the facility  boundary used for the utility systems such as repair, storage, shipping or  processing areas, or other areas incident to the management of solid waste.  (Note: This term includes all sites whether they are planned and managed  facilities or open dumps.) 
    "Sludge" means any solid, semisolid or liquid waste  generated from a public, municipal, commercial or industrial  wastewater treatment plant, water supply treatment plant, or air pollution  control facility. 
    "Solid waste" means any of those materials defined  as "solid waste" in the Solid Waste Management Regulations (9VAC20-80)  (9VAC20-81).
    "Solid waste planning unit" means each region or  locality that submits a solid waste management plan. 
    "Solid waste management facility  ("SWMF")" means a site used for planned treating, storing, or  disposing of solid waste. A facility may consist of several treatment, storage,  or disposal units. 
    "Source reduction" means any action that reduces or  eliminates the generation of waste at the source, usually within a process.  Source reduction measures include process modifications, feedstock  substitutions, improvements in feedstock purity, improvements in housekeeping  and management practices, increases in the efficiency of machinery, and  recycling within a process. Source reduction minimizes the material that must  be managed by waste disposal or nondisposal options by creating less waste.  "Source reduction" is also called "waste prevention,"  "waste minimization," or "waste reduction."
    "Source separation" means separation of recyclable  materials by the waste generator of materials that are collected for use,  reuse, reclamation, or recycling. 
    "Tons" means 2,000 pounds.
    "Transfer station" means any solid waste storage or  collection facility at which solid waste is transferred from collection  vehicles to haulage vehicles for transportation to a central solid waste  management facility for disposal, incineration or resource recovery. 
    "Vegetative waste" means decomposable materials  generated by yard and lawn care or land-clearing activities and includes, but  is not limited to, leaves, grass trimmings, and woody wastes such as shrub and  tree prunings, bark, limbs, roots, and stumps. For more detail see Vegetative  Waste Management and Yard Waste Composting Regulations (9VAC20-101) the  Solid Waste Management Regulations (9VAC20-81).
    "Waste exchange" means any system to identify  sources of wastes with potential for use reuse, recycling or reclamation and to  facilitate its acquisition by persons who reuse, recycle or reclaim it, with a  provision for maintaining confidentiality of trade secrets. 
    "White goods" means any stoves, washers, hot water  heaters or other large appliances. For the purposes of this chapter, this  definition also includes, but is not limited to, such Freon-containing appliances  as refrigerators, freezers, air conditioners, and dehumidifiers. 
    "Yard waste" means decomposable waste materials  generated by yard and lawn care and includes leaves, grass trimmings, brush,  wood chips, and shrub and tree trimmings. Yard waste shall not include roots or  stumps that exceed six inches in diameter. 
    9VAC20-130-60. Applicability of regulations. 
    A. This chapter applies to all cities, counties, towns,  designated solid waste planning units (under 9VAC20-130-180) and permitted  solid waste facilities within the solid waste planning unit, including those  facilities covered under permit by rule procedures found in 9VAC20-80 9VAC20-81.  Any city, county, and town may mutually agree to unite for the purpose of solid  waste management planning, and upon joint written notification to the director,  shall be deemed to be a solid waste planning unit for development of a solid  waste management plan. 
    B. Any cities, counties, and towns may be represented by a  planning district, public service authority, or designated region that has been  adopted under 9VAC20-130-90 B. 
    C. The plan may (subject to statutory authority) specify that  all solid waste must be recycled at the rate established by the plan regardless  of the point of origin of the solid waste. Solid wastes from both public and  private sources shall be subject to such requirement. 
    9VAC20-130-120. Planning requirements. 
    A. Basic planning elements:
    1. Objectives for solid waste management within the planning  unit;
    2. A discussion as to how the plan will be implemented and  tracked, consisting of an integrated waste management strategy to support and  promote the hierarchy set forth at 9VAC20-130-30; giving preference to  alternatives in the following order of priority: source reduction, reuse,  recycling, resource recovery, incineration, and landfilling;
    3. Definition of incremental stages of progress toward the  objectives and schedule for their implementation, including, for compliance  with 9VAC20-80-500 9VAC20-81-450, specific solid waste management  facility names, facility capacities, and life based on 20-year need;
    4. Strategy for the provision of necessary funds and  resources;
    5. Descriptions of the funding and resources necessary,  including consideration of fees dedicated to future facility development;
    6. Strategy for public education and information on source  reduction, reuse, and recycling; and
    7. Consideration of public and private sector partnerships and  private sector participation in execution of the plan. Existing private sector  recycling operations should be incorporated in the plan and the expansion of  such operations should be encouraged. 
    B. A minimum recycling rate as specified in § 10.1-1411 of  the Code of Virginia for total municipal solid waste generated annually in each  solid waste planning unit shall be met and maintained. 
    1. The plan shall describe how the minimum recycling rate  shall be met or exceeded. The department may approve the solid waste management  plans of units that do not currently meet the minimum recycling rate only if all  other requirements of these regulations have been met and the solid waste  planning unit demonstrates its commitment to implementing a strong and detailed  action plan for recycling to meet the required rate.
    2. When a solid waste planning unit's annual recycling rate  falls below the minimum rate, it shall constitute evidence of a significant  deviation from the plan. The plan may be subject to revocation by the  department under 9VAC20-130-110 E unless the solid waste planning unit submits  a recycling action plan acceptable to the department per subsection I of this  section.
    C. The solid waste management plan shall include data and  analyses of the following type(s) for each jurisdiction. Each item below shall  be in a separate section and labeled as to content:
    1. Population information and projections for 20 years of  population growth and development patterns;
    2. Urban concentrations, geographic conditions, economic  growth and development, markets for the reuse and recycling of materials,  transportation conditions, and related factors;
    3. Estimates of solid waste generation from residential,  commercial institutional, industrial, construction, demolition, debris and  other types of sources, including the amounts reused, recycled, recovered as a  resource, incinerated and landfilled. Entities engaged in the collection,  processing, and marketing of recyclable materials should provide data for  incorporation into the recycling rate calculation, when requested by the  planning unit.
    4. A listing of existing and planned solid waste collection,  storage, treatment, transportation, disposal and other management facilities,  their projected capacities, expected life and systems for their use;
    5. All milestones in the implementation of the solid waste  management plan over the 20-year projection and the parties responsible for  each milestone;
    6. A description of programs for solid waste reduction, reuse,  recycling, resource recovery, incineration, storage, treatment, disposal and  litter control;
    7. A description of outreach programs for waste exchange,  public education and public participation;
    8. The procedures for and results of evaluating solid waste  collection, including transfer stations; and
    9. The assessment of all current and predicted needs for solid  waste management for a period of 20 years and a description of the action to be  taken to meet those needs.
    D. All known solid waste disposal sites, closed, inactive and  active, within the area of the solid waste management plan shall be documented  and recorded at a centralized archive authorized to receive and record  information and a copy shall be sent to the department. All new sites shall be  recorded at the same central data source.
    E. A methodology shall be utilized to monitor the amount of  solid waste of each type produced within the area of the solid waste management  plan and to record the annual production by solid waste types at a centralized  archive and a copy shall be sent to the department. 
    F. The solid waste management plan shall include, when  developed locally, a copy of the local governing body's resolution adopting the  solid waste management plan.
    G. The solid waste management plan shall include, when  developed regionally, a copy of the resolution approving the plan adopted in  accordance with the Virginia Area Development Act, the Virginia Water and Waste  Authorities Act, the provisions of the Code of Virginia governing joint  exercise of powers by political subdivisions (§ 15.2-1300 of the Code of  Virginia), or other authority as applicable.
    H. The solid waste management plan shall clearly and  explicitly demonstrate the manner in which the goals of the planning  requirements in these regulations shall be accomplished and actions to take if  these requirements are not met.
    I. A planning unit that does not meet the requirements of  these regulations shall submit an action plan, by mail or electronic mail, for  approval by the department. Such action plans shall include:
    1. A description of the deficiency that requires the  development of the action plan.
    2. A time schedule to resolve the deficiency(ies) associated  with the planning unit's failure to meet the requirements of the approved solid  waste management plan.
    3. A reporting requirement to the department, of a minimum of  once every six months, including activities or updates documenting how the  action plan requirements are being met.
    4. Plans and all subsequent reports and submittals shall be  reviewed by the department within 30 days of receipt by the department.
    5. All the department's requests for further information or  response(s) shall be provided within 30 days of receipt at the planning unit.  The department may grant reasonable extensions to these deadlines on a  case-by-case basis. 
    Part I 
  Definitions 
    9VAC20-140-10. Definition incorporated by reference. 
    The definitions set out in Part I of the Virginia  Solid Waste Management Regulations (9VAC20-80-10 et seq.) (9VAC20-81)  are incorporated by reference. 
    9VAC20-150-10. Definitions. 
    A. The definitions set out in Part I of the Virginia  Solid Waste Management Regulations, 9VAC20-80-10 et seq., (9VAC20-81)  are incorporated by reference. 
    B. The following words and terms, when used in this chapter,  shall have the following meanings, unless the context clearly indicates  otherwise: 
    "Applicant" means any person or persons seeking  reimbursement under this chapter. 
    "Asphalt pavement containing recycled rubber" means  any hot mix or spray applied binder in asphalt paving mixture that contains  rubber from waste tire materials which is used for asphalt pavement base,  surface course or interlayer, or other road and highway related uses. 
    "Authorized signature" means the signature of an  individual who has authority to sign on behalf of, and bind, the applicant. 
    "Available funds" means for a given fiscal year, a  maximum of 80% of the previous fiscal year's collection of the waste tire tax  plus 85% of nonobligated carryover funds at the end of the previous fiscal  year. 
    "Burning" means the controlled burning of waste  tire materials for the purpose of energy recovery. 
    "Cost of use" means the equipment, leasehold  improvements, buildings, land, engineering, transportation, operating, taxes,  interest, and depreciation or replacement costs of using waste tire materials  incurred by the end user after deducting any tipping fee received by the end  user. 
    "Daily cover" means using waste tire material as an  alternate cover placed upon exposed solid waste to control disease vectors,  fires, odors, blowing litter and scavenging without presenting a threat to  human health and the environment. 
    "Department" means the Department of Environmental  Quality. 
    "Director" means the Director of the Department of  Environmental Quality or the director's designee. 
    "Embankment" means a raised earthen structure to  carry a roadway. 
    "End user" means: 
    1. For energy recovery: the person who utilizes the heat  content or other forms of energy from the burning or pyrolysis of waste tire  materials; 
    2. For other eligible uses: the last person who uses the  waste tire materials to make a product with economic value. If the waste tire  materials are processed by more than one person in becoming a product, the end  user is the last person to use the tire as waste tire materials. A person who  produces waste tire materials and gives or sells them to another person to use  is not an end user. 
    "Energy recovery" means utilizing the heat content  or other forms of energy from the burning or pyrolysis of waste tire materials.  
    "Fill material for construction" means the material  is used as a base or sub-base under the footprint of a structure, a paved  parking lot, sidewalk, walkway or similar application. 
    "Generator" means any person whose act or process  produces waste tires or whose act first causes a tire to become a solid waste. 
    "Hauler" means a person who picks up or transports  waste tires for the purpose of removal to a permitted storage, processing or  disposal facility. 
    "Partial reimbursement" means reimbursement that  does not exceed the purchase price of waste tire materials or the cost of use  if the waste tire materials were not purchased. 
    "Passenger tire equivalent" means a measure of  passenger, truck tires, and oversize tires where: One passenger car tire equals  20 pounds or 1/100 ton. One truck tire 20-24 inch rim equals 100 pounds or  1/200 ton and a tire with over 24-inch rim equals 200 pounds or greater as  computed by the end user. 
    "Processor" means a person engaged in the  processing of waste tires including, but not limited to, stamping, stripping,  shredding, or crumbing; that operates under a permit issued by the local, state,  or federal government; or is exempt from permit requirements. 
    "Pyrolysis" means thermal treatment of waste tire  materials to separate it into other components with economic value. 
    "Retreading" means processing a waste tire by  attaching a new tread to make a usable tire. 
    "Road bed base" means the foundation of a road  prepared for surfacing. 
    "Tipping fee" means a fee charged to a person for  disposal of a waste tire. 
    "Tire" means a continuous solid or pneumatic rubber  covering encircling the wheel of a vehicle in which a person or property is  transported, or by which they may be drawn on a highway. 
    "Tire pile" means an accumulation of waste tire  materials that violates the Virginia Solid Waste Management Regulations (9VAC20-80-10  et seq.) (9VAC20-81). 
    "Waste tire" means a tire that has been discarded  because it is no longer suitable for its original intended purpose because of  wear, damage or defect. 
    "Waste tire materials" means whole waste tires or  waste tires that have been size reduced by physical or chemical process. This  term includes waste tires or chips or similar materials as specified in §§ 10.1-1422.3  and 10.1-1422.4 of the Code of Virginia. 
    "Waste Tire Trust Fund" means the nonreverting fund  set up by § 10.1-1422.3 of the Code of Virginia in which proceeds from the  waste tire tax are deposited. 
    Part II
  General Information 
    9VAC20-150-20. Purpose. 
    The purpose of this chapter is to define the types of uses  eligible for partial reimbursement, to establish the procedures for application  and processing of reimbursement, and to establish the amount of reimbursement. 
    9VAC20-150-40. End uses of waste tires eligible for  reimbursement. 
    A. The following uses of waste tire materials will be  eligible for the reimbursement if the use complies with applicable local  ordinances and regulations and the Virginia Solid Waste Management  Regulations, 9VAC20-80 (9VAC20-81) or the equivalent regulations  in another state. The eligible uses are: 
    1. Civil engineering applications, which utilize waste tire  materials as a substitute for soil, sand, or aggregate in a construction  project such as land or surface applications, road bed base and embankments;  fill material for construction projects; and daily cover and other  substitutions at a permitted solid waste facility if the facility's permit is  so modified; 
    2. Burning of waste tire materials for energy recovery; 
    3. Pyrolysis; and 
    4. Products made from waste tire materials such as molded  rubber products, rubberized asphalt, soil amendments, playground and horse  arena surfacing materials, mulches, mats, sealers, etc. 
    B. Uses that are not eligible for reimbursement include: 
    1. Reuse as a vehicle tire; 
    2. Retreading; 
    3. Burning without energy recovery; and 
    4. Landfilling, except use as specified in subdivision A 1 of  this section. 
    9VAC20-160-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise. 
    "Authorized agent" means any person who is  authorized in writing to fulfill the requirements of this program. 
    "Carcinogen" means a chemical classification for  the purpose of risk assessment as an agent that is known or suspected to cause  cancer in humans, including but not limited to a known or likely human  carcinogen or a probable or possible human carcinogen under an EPA  weight-of-evidence classification system. 
    "Certificate" means a written certification of  satisfactory completion of remediation issued by the director pursuant to § 10.1-1232  of the Code of Virginia. 
    "Completion" means fulfillment of the commitment  agreed to by the participant as part of this program. 
    "Contaminant" means any man-made or man-induced  alteration of the chemical, physical or biological integrity of soils,  sediments, air and surface water or groundwater including, but not limited to,  such alterations caused by any hazardous substance (as defined in the  Comprehensive Environmental Response, Compensation and Liability Act, 42 USC  § 9601(14)), hazardous waste (as defined in 9VAC20-60), solid waste (as  defined in 9VAC20-80-10) 9VAC20-81), petroleum (as defined in  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.))  of the Virginia State Water Control Law, or natural gas. 
    "Cost of remediation" means all costs incurred by  the participant pursuant to activities necessary for completion of voluntary  remediation at the site, based on an estimate of the net present value (NPV) of  the combined costs of the site investigation, report development, remedial  system installation, operation and maintenance, and all other costs associated  with participating in the program and addressing the contaminants of concern at  the site. 
    "Department" means the Department of Environmental  Quality of the Commonwealth of Virginia or its successor agency. 
    "Director" means the Director of the Department of  Environmental Quality. 
    "Engineering controls" means physical modification  to a site or facility to reduce or eliminate potential for exposure to  contaminants. These include, but are not limited to, stormwater conveyance  systems, pump and treat systems, slurry walls, liner systems, caps, monitoring  systems, and leachate collection systems. 
    "Hazard index (HI)" means the sum of more than one  hazard quotient for multiple contaminants or multiple exposure pathways or  both. The HI is calculated separately for chronic, subchronic, and shorter  duration exposures. 
    "Hazard quotient" means the ratio of a single  contaminant exposure level over a specified time period to a reference dose for  that contaminant derived from a similar period. 
    "Incremental upper-bound lifetime cancer risk  level" means a conservative estimate of the incremental probability of an  individual developing cancer over a lifetime. Upper-bound lifetime cancer risk  level is likely to overestimate "true risk." 
    "Institutional controls" means legal or contractual  restrictions on property use that remain effective after remediation is  completed, and are used to reduce or eliminate the potential for exposure to  contaminants. The term may include, but is not limited to, deed and water use  restrictions. 
    "Land use controls" means legal or physical  restrictions on the use of, or access to, a site to reduce or eliminate  potential for exposure to contaminants, or prevent activities that could  interfere with the effectiveness of remediation. Land use controls include but  are not limited to engineering and institutional controls. 
    "Noncarcinogen" means a chemical classification for  the purposes of risk assessment as an agent for which there is either  inadequate toxicological data or is not likely to be a carcinogen based on an  EPA weight-of-evidence classification system. 
    "Operator" means the person currently responsible  for the overall operations at a site, or any person responsible for operations  at a site at the time of, or following, the release. 
    "Owner" means any person currently owning or  holding legal or equitable title or possessory interest in a property,  including the Commonwealth of Virginia, or a political subdivision thereof,  including title or control of a property conveyed due to bankruptcy,  foreclosure, tax delinquency, abandonment, or similar means. 
    "Participant" means a person who has received  confirmation of eligibility and has remitted payment of the registration fee. 
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation or any  other legal entity. 
    "Program" means the Virginia Voluntary Remediation  Program. 
    "Property" means a parcel of land defined by the  boundaries in the deed. 
    "Reference dose" means an estimate of a daily  exposure level for the human population, including sensitive subpopulations,  that is likely to be without an appreciable risk of deleterious effects during  a lifetime. 
    "Registration fee" means the fee paid to enroll in  the Voluntary Remediation Program, based on 1.0% of the total cost of  remediation at a site, not to exceed the statutory maximum. 
    "Release" means any spilling, leaking, pumping,  pouring, emitting, emptying, discharging, injecting, escaping, leaching,  dumping or disposing of any contaminant into the environment. 
    "Remediation" means actions taken to cleanup,  mitigate, correct, abate, minimize, eliminate, control and contain or prevent a  release of a contaminant into the environment in order to protect human health  and the environment, including actions to investigate, study or assess any  actual or suspected release. Remediation may include, when appropriate and  approved by the department, land use controls. 
    "Remediation level" means the concentration of a  contaminant with applicable land use controls, that is protective of human  health and the environment. 
    "Report" means the Voluntary Remediation Report  required by 9VAC20-160-70. 
    "Restricted use" means any use other than  residential. 
    "Risk" means the probability that a contaminant  will cause an adverse effect in exposed humans or to the environment. 
    "Risk assessment" means the process used to  determine the risk posed by contaminants released into the environment.  Elements include identification of the contaminants present in the  environmental media, assessment of exposure and exposure pathways, assessment  of the toxicity of the contaminants present at the site, characterization of  human health risks, and characterization of the impacts or risks to the  environment. 
    "Site" means any property or portion thereof, as  agreed to and defined by the participant and the department, which contains or  may contain contaminants being addressed under this program. 
    "Termination" means the formal discontinuation of  participation in the Voluntary Remediation Program without obtaining a  certification of satisfactory completion. 
    "Unrestricted use" means the designation of  acceptable future use for a site at which the remediation levels, based on  either background or standard residential exposure factors, have been attained  throughout the site in all media. 
    9VAC20-160-30. Eligibility criteria. 
    A. Candidate sites shall meet eligibility criteria as defined  in this section. 
    B. Any persons who own, operate, have a security interest in  or enter into a contract for the purchase or use of an eligible site who wish  to voluntarily remediate that site may participate in the program. Any person  who is an authorized agent of any of the parties identified in this subsection  may participate in the program. 
    C. Sites are eligible for participation in the program if (i)  remediation has not been clearly mandated by the United States Environmental  Protection Agency, the department or a court pursuant to the Comprehensive  Environmental Response, Compensation and Liability Act (42 USC § 9601 et  seq.), the Resource Conservation and Recovery Act (42 USC § 6901 et seq.),  the Virginia Waste Management Act (§ 10.1-1400 et seq. of the Code of  Virginia), the Virginia State Water Control Law (§ 62.1-44.2 et seq. of the  Code of Virginia), or other applicable statutory or common law; or (ii)  jurisdiction of the statutes listed in clause (i) has been waived. 
    A site on which an eligible party has completed remediation  of a release is potentially eligible for the program if the actions can be  documented in a way which are equivalent to the requirements for prospective  remediation, and provided the site meets applicable remediation levels. 
    Petroleum or oil releases not mandated for remediation under  Articles 9 (§ 62.1-44.34:8 et seq.) and 11 (§ 62.1-44.34:14 et seq.) of  the Virginia State Water Control Law may be eligible for participation in the  program. 
    Where an applicant raises a genuine issue based on documented  evidence as to the applicability of regulatory programs in subsection D of this  section, the site may be eligible for the program. Such evidence may include a  demonstration that: 
    1. It is not clear whether the release involved a waste  material or a virgin material; 
    2. It is not clear that the release occurred after the  relevant regulations became effective; or 
    3. It is not clear that the release occurred at a regulated  unit. 
    D. For the purposes of this chapter, remediation has been  clearly mandated if any of the following conditions exist, unless jurisdiction  for such mandate has been waived: 
    1. Remediation of the release is the subject of a permit  issued by the U.S. Environmental Protection Agency or the department, a pending  or existing closure plan, a pending or existing administrative order, a pending  or existing court order, a pending or existing consent order, or the site is on  the National Priorities List; 
    2. The site at which the release occurred is subject to the  Virginia Hazardous Waste Management Regulations (9VAC20-60) (VHWMR), is a  permitted facility, is applying for or should have applied for a permit, is  under interim status or should have applied for interim status, or was  previously under interim status, and is thereby subject to requirements of the  VHWMR; 
    3. The site at which the release occurred constitutes an open  dump or unpermitted solid waste management facility under Part IV  (9VAC20-80-170 et seq.) 9VAC20-81-45 of the Virginia Solid  Waste Management Regulations; 
    4. The director determines that the release poses an imminent  and substantial threat to human health or the environment; or 
    5. Remediation of the release is otherwise the subject of a  response action required by local, state, or federal law or regulation. 
    E. The director may determine that a site under subdivision D  3 of this section may participate in the program provided that such  participation complies with the substantive requirements of the applicable  regulations. 
    9VAC20-170-30. Applicability. 
    A. This chapter applies to each owner and/or operator of a  vessel transporting solid wastes or regulated medical wastes for the purposes  of commercial carriage as cargo, and each owner or operator of a receiving  facility. This chapter also applies to the receiving facilities and vessels  transporting solid wastes or regulated medical wastes upon the navigable waters  of the Commonwealth to the extent allowable under state law. 
    B. This chapter does not apply to a public vessel as defined  under 9VAC20-170-10, the owner and operator of a public vessel, vessels transporting  solid wastes or regulated medical wastes incidental to their predominant  business or purposes, vessels transporting solid wastes or regulated medical  wastes generated during normal operations of the vessel, solid wastes or  regulated medical wastes generated during the normal operations of the vessel,  and solid wastes excluded pursuant to 9VAC20-80-150 or conditionally  exempted pursuant to 9VAC20-80-160 9VAC20-81-95 of the Virginia  Solid Waste Management Regulations. 
    9VAC20-170-40. Relationship to other regulations. 
    A. The Solid Waste Management Regulations (9VAC20-80) (9VAC20-81)  prescribe requirements for the solid waste management facilities in general.  While a facility utilized to receive solid wastes or regulated medical wastes  transported, loaded, or unloaded upon the navigable waters of the Commonwealth,  to the extent allowable under state law, by a commercial transporter is a solid  waste management facility, this chapter herein prescribes specific  requirements, including siting, design/construction, operation, and permitting,  for this type of facilities. If there is any overlapping requirement between  these two regulations, whichever is more stringent shall apply. 
    B. The Regulated Medical Waste Management Regulations  (9VAC20-120) address special needs for regulated medical waste management. A  facility utilized to receive regulated medical waste transported, loaded, or  unloaded upon the navigable waters of the Commonwealth, to the extent allowable  under state law, by a commercial transporter is a regulated medical waste  facility and it must conform to any applicable sections of the Regulated  Medical Waste Management Regulations adopted by the board. If there is any  overlapping requirement between these two regulations, whichever is more stringent  shall apply. 
    C. This chapter does not exempt any receiving facility from  obtaining a Virginia Water Protection Permit as required by the Virginia Water  Protection Permit Program Regulation (9VAC25-210), whenever it is applicable. 
    VA.R. Doc. No. R11-2731; Filed June 8, 2011, 1:15 p.m. 
TITLE 13. HOUSING
VIRGINIA HOUSING DEVELOPMENT AUTHORITY
Final Regulation
        REGISTRAR'S NOTICE: The  Virginia Housing Development Authority is exempt from the Administrative  Process Act (§ 2.2-4000 et seq. of the Code of Virginia) pursuant to  § 2.2-4002 A 4; however, under the provisions of § 2.2-4031, it is  required to publish all proposed and final regulations.
         Title of Regulation: 13VAC10-10. Rules and  Regulations - General Provisions for Programs of the Virginia Housing  Development Authority (amending 13VAC10-10-80). 
    Statutory Authority: § 36-55.30:3 of the Code of  Virginia.
    Effective Date: July 1, 2011. 
    Agency Contact: J. Judson McKellar, Jr., General  Counsel, Virginia Housing Development Authority, 601 South Belvidere Street,  Richmond, VA 23220, telephone (804) 343-5540, or email  judson.mckellar@vhda.com.
    Summary:
    Because of recent federal regulatory changes, the Virginia  Housing Development Authority (VHDA) is restructuring its single family  mortgage loan program as a mortgage purchase program whereby the loans will be  originated in the name of the mortgage lenders, will be funded at closing by  such lenders, and will be purchased by the authority after closing. The  amendments make the requirements in the current regulations for reinvestment of  loan sales proceeds and for the prudent investment certification inapplicable  in the case of a mortgage loan that, when made, is to be purchased by VHDA. The  amendments conform the current regulations to the amendments to § 36-55.35  of the Code of Virginia enacted in the 2011 Session of the General Assembly.  The amendments also expressly recognize that the authority under the current  regulations to purchase mortgage loans includes the purchase of single family  mortgage loans pursuant to the regulations in 13VAC10-40. 
    13VAC10-10-80. Purchase of mortgage loans. 
    A. The authority may from time to time, pursuant and subject  to its rules and regulations, purchase mortgage loans from mortgage lenders,  including, without limitation, the purchase of single family mortgage loans  pursuant to 13VAC10-40. In furtherance thereof, the executive director may  request mortgage lenders to submit offers to sell mortgage loans to the  authority in such manner, within such time period and subject to such terms and  conditions as he shall specify in such request. The executive director may take  such action as he shall deem necessary or appropriate to solicit offers to sell  mortgage loans, including mailing of the request to mortgage lenders,  advertising in newspapers or other publications and any other methods of public  announcement which he may select as appropriate under the circumstances. The  executive director may also consider and accept offers for sale of individual  mortgage loans submitted from time to time to the authority without any  solicitation therefor by the authority. 
    B. The authority shall require as a condition of the purchase  of any mortgage loans from a mortgage lender pursuant to this section that such  mortgage lender within 180 days from the receipt of proceeds of such purchase  shall enter into written commitments to make, and shall thereafter proceed as  promptly as practical to make and disburse from such proceeds, residential  mortgage loans in the Commonwealth of Virginia having a stated maturity of not  less than 20 years from the date thereof in an aggregate principal amount equal  to the amount of such proceeds. The foregoing requirement in this  subsection B of this section shall not apply to the purchase by the  authority of a mortgage loan that, when made by the mortgage lender, is to  be purchased by the authority or that is held, insured, or assisted  by the federal government or any agency or instrumentality thereof. 
    C. At or before the purchase of any mortgage loan pursuant to  this section, the mortgage lender shall certify to the authority that the  mortgage loan would in all respects be a prudent investment and that the  proceeds of the purchase of the mortgage loan shall be invested as provided in  subsection B of this section or invested in short-term obligations pending such  investment; provided, however, that such certification shall not be required in  the case of the purchase by the authority of a mortgage loan that, when made  by the mortgage lender, is to be purchased by the authority or that is  held, insured, or assisted by the federal government or any agency or  instrumentality thereof. 
    D. The purchase price for any mortgage loan to be purchased  by the authority pursuant to this section shall be established or determined in  accordance with subsection B of § 36-55.35 of the Code of Virginia. 
    VA.R. Doc. No. R11-2757; Filed June 8, 2011, 3:46 p.m. 
TITLE 14. INSURANCE
STATE CORPORATION COMMISSION
Proposed Regulation
    Title of Regulation: 14VAC5-211. Rules Governing  Health Maintenance Organizations (amending 14VAC5-211-10, 14VAC5-211-20,  14VAC5-211-70, 14VAC5-211-90, 14VAC5-211-100, 14VAC5-211-140, 14VAC5-211-150,  14VAC5-211-180, 14VAC5-211-210, 14VAC5-211-220, 14VAC5-211-230). 
    Statutory Authority: §§ 12.1-13 and 38.2-223 of the  Code of Virginia.
    Public Hearing Information: A public hearing will be  scheduled upon request.
    Public Comment Deadline: July 15, 2011.
    Agency Contact: Althelia P. Battle, Deputy Commissioner,  Life and Health, Bureau of Insurance, P.O. Box 1157, Richmond, VA 23218,  telephone (804) 371-9074, FAX (804) 371-9944, or email  al.battle@scc.virginia.gov.
    Summary:
    The proposed amendments are necessary to comply with new  and amended statutes in Chapter 882 of the 2011 Virginia Acts of Assembly.  Specifically, the amendments include: 
    1. Removing dated language in the applicability and scope; 
    2. Adding and amending definitions to conform to the  requirements of Article 6 of Chapter 34 of Title 38.2 of the Code of Virginia;
    3. Creating an exception for the application of copayments  and deductibles to preventive services;
    4. Conforming the complaint and appeals procedures to  recognize new requirements in Chapter 5 of Title 32.1 and Chapter 35.1 of Title  38.2 of the Code of Virginia;
    5. Revising disclosure requirements to comply with new  requirements; and
    6. Adding provisions for rescission of coverage. 
    AT RICHMOND, JUNE 10, 2011
    COMMONWEALTH OF VIRGINIA
    At the relation of the
    STATE CORPORATION COMMISSION
    CASE NO. INS-2011-00119
    Ex Parte: In the matter of Amending Rules
  Governing Health Maintenance Organizations
    ORDER TO TAKE NOTICE
    Section 12.1-13 of the Code of Virginia provides that the  State Corporation Commission ("Commission") shall have the power to  promulgate rules and regulations in the enforcement and administration of all  laws within its jurisdiction, and § 38.2-223 of the Code of Virginia provides  that the Commission may issue any rules and regulations necessary or  appropriate for the administration and enforcement of Title 38.2 of the Code of  Virginia.
    The rules and regulations issued by the Commission pursuant  to § 38.2-223 of the Code of Virginia are set forth in Title 14 of the Virginia  Administrative Code.
    The Bureau of Insurance ("Bureau") has submitted to  the Commission a proposal to amend certain sections in Chapter 211 of Title 14  of the Virginia Administrative Code entitled "Rules Governing Health  Maintenance Organizations," specifically set forth at  14 VAC 5-211-10, 14 VAC 5-211-20, 14 VAC 5-211-70, 14 VAC  5-211-90, 14 VAC 5-211-100, 14 VAC 5-211-140, 14 VAC 5-211-150,  14 VAC 5-211-180, and 14 VAC 5-211-210 through 14 VAC 5-211-230.
    The amendments to these sections of Chapter 211 are necessary  to comply with the provisions of Chapter 882 of the 2011 Virginia Acts of  Assembly, which in part establishes Article 6 of Chapter 34 of Title 38.2 of  the Code of Virginia. These amendments clarify and implement the provisions of  Chapter 882 which becomes effective on July 1, 2011.
    The Commission is of the opinion that sections 10, 20, 70,  90, 100, 140, 150, 180, and 210 through 230 of Chapter 211 of Title 14 of the  Virginia Administrative Code should be amended and considered for adoption.
    Accordingly, IT IS ORDERED THAT:
    (1) The proposal that certain sections in Chapter 211 of  Title 14 of the Virginia Administrative Code be amended at 14 VAC  5-211-10, 14 VAC 5-211-20, 14 VAC 5-211-70, 14 VAC 5-211-90, 14 VAC  5-211-100, 14 VAC 5-211-140, 14 VAC 5-211-150, 14 VAC 5-211-180, and  14 VAC 5-211-210 through 14 VAC 5-211-230, is attached hereto and made a part  hereof.
    (2) All interested persons who desire to comment in  support of or in opposition to, or request a hearing to oppose amending  sections 10, 20, 70, 90, 100, 140, 150, 180, and 210 through 230 of Chapter 211  of Title 14 of the Virginia Administrative Code shall file such comments or  hearing request on or before July 15, 2011, with the Clerk of the Commission,  Document Control Center, P.O. Box 2118, Richmond, Virginia 23218-2118, and  shall refer to Case No. INS-2011-00119. Interested persons desiring to submit comments  electronically may do so by following the instructions at the Commission's  website: http://www.scc.virginia.gov/caseinfo.htm.
    (3) If no written request for a hearing on the proposed  amendments is filed on or before July 15, 2011, the Commission, upon  consideration of any comments submitted in support of or in opposition to the  proposal, may amend sections 10, 20, 70, 90, 100, 140, 150, 180, and 210  through 230 of Chapter 211 of Title 14 of the Virginia Administrative Code as  proposed by the Bureau of Insurance.
    (4) AN ATTESTED COPY hereof, together with a copy of the  proposal to amend rules, shall be sent by the Clerk of the Commission to the  Bureau of Insurance in care of Deputy Commissioner Althelia P. Battle, who  forthwith shall give further notice of the proposal to amend rules by mailing a  copy of this Order, together with the proposal, to all health maintenance  organizations licensed by the Commission to conduct the business of a health  maintenance organization in the Commonwealth of Virginia, as well as all  interested parties.
    (5) The Commission's Division of Information Resources  forthwith shall cause a copy of this Order, together with the proposal to amend  rules, to be forwarded to the Virginia Registrar of Regulations for appropriate  publication in the Virginia Register of Regulations.
    (6) The Commission's Division of Information Resources  shall make available this Order and the attached proposed amendments to the  rules on the Commission's website, http://www.scc.virginia.gov/case.
    (7) The Bureau of Insurance shall file with the Clerk of  the Commission an affidavit of compliance with the notice requirements of  paragraph (4) above.
    Part I 
  Applicability and Definitions 
    14VAC5-211-10. Applicability and scope. 
    A. This chapter sets forth rules to carry out the provisions  of Chapter 43 (§ 38.2-4300 et seq.) of Title 38.2 of the Code of Virginia, and  applies to all health maintenance organizations and to all health maintenance  organization contracts and evidences of coverage delivered or issued for  delivery by a health maintenance organization established or operating in this  Commonwealth on and after January 1, 2006. 
    B. A new contract or evidence of coverage issued or put in  force on or after January 1, 2006, shall comply with this chapter. 
    C. A contract or evidence of coverage reissued, renewed,  or extended in this Commonwealth on or after January 1, 2006, shall comply with  this chapter. A contract or evidence of coverage written before January 1,  2006, shall be deemed to be reissued, renewed, or extended on the date it  allows the health maintenance organization to change its terms or adjust the  premiums charged. 
    D. B. In the event of conflict between the  provisions of this chapter and the provisions of any other rules issued by the  commission, the provisions of this chapter shall be controlling as to health  maintenance organizations. 
    14VAC5-211-20. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Basic health care services" means in-area and  out-of-area emergency services, inpatient hospital and physician care,  outpatient medical services, laboratory and radiologic services, and preventive  health services as further described in 14VAC5-211-160. "Basic health care  services" also means limited treatment of mental illness and substance  abuse in accordance with the minimum standards as may be prescribed by the  commission, which shall not exceed the level of services mandated for insurance  carriers pursuant to Chapter 34 (§ 38.2-3400 et seq.) of Title 38.2 of the Code  of Virginia. In the case of a health maintenance organization that has  contracted with this Commonwealth to furnish basic health care services to  recipients of medical assistance under Title XIX of the Social Security Act (42  USC § 1396 et seq.) pursuant to § 38.2-4320 of the Code of Virginia, the basic  health care services to be provided by the health maintenance organization to  program recipients may differ from the basic health care services required by  this chapter to the extent necessary to meet the benefit standards prescribed  by the state plan for medical assistance services authorized pursuant to § 32.1-325  of the Code of Virginia. 
    "Coinsurance" means a copayment, expressed as a  percentage of the allowable charge for a specific health care service. 
    "Commission" means the State Corporation  Commission. 
    "Conversion contract" means an individual contract  that the health maintenance organization issues after a conversion option has been  exercised. 
    "Copayment" means an amount an enrollee is required  to pay in order to receive a specific health care service. 
    "Deductible" means an amount an enrollee is  required to pay out of pocket before the health care plan begins to pay the  costs associated with health care services. 
    "Emergency services" means those health care  services that are rendered by affiliated or nonaffiliated providers after the  sudden onset of a medical condition that manifests itself by symptoms of  sufficient severity, including severe pain, that the absence of immediate  medical attention could reasonably be expected by a prudent layperson who  possesses an average knowledge of health and medicine to result in (i) serious  jeopardy to the mental or physical health of the individual, (ii) danger of  serious impairment of the individual's bodily functions, (iii) serious  dysfunction of any of the individual's bodily organs, or (iv) in the case of a  pregnant woman, serious jeopardy to the health of the fetus. Emergency services  provided within the plan's service area shall include covered health care  services from nonaffiliated providers only when delay in receiving care from a  provider affiliated with the health maintenance organization could reasonably  be expected to cause the enrollee's condition to worsen if left unattended. 
    "Enrollee" or "member" means an  individual who is enrolled in a health care plan. 
    "Evidence of coverage" means a certificate,  individual or group agreement or contract, or identification card issued in conjunction  with the certificate, agreement or contract, issued to a subscriber setting out  the coverage and other rights to which an enrollee is entitled. 
    "Excess insurance" or "stop loss  insurance" means insurance issued to a health maintenance organization by  an insurer licensed in this Commonwealth, on a form approved by the commission,  or a risk assumption transaction acceptable to the commission, providing  indemnity or reimbursement against the cost of health care services provided by  the health maintenance organization. 
    "Group contract" means a contract for health care  services issued by a health maintenance organization, which by its terms limits  the eligibility of subscribers and enrollees to a specified group. 
    "Health care plan" means an arrangement in which a  person undertakes to provide, arrange for, pay for, or reimburse a part of the  cost of health care services. A significant part of the arrangement shall  consist of arranging for or providing health care services, including emergency  services and services rendered by nonparticipating referral providers, as  distinguished from mere indemnification against the cost of the services, on a  prepaid basis. For purposes of this chapter, a significant part shall mean at  least 90% of total costs of health care services. 
    "Health care professional" means a physician or  other health care practitioner licensed, accredited, or certified to perform  specified health care services consistent with state law.
    "Health care services" means the furnishing of  services to an individual for the purpose of preventing, alleviating, curing,  or healing human illness, injury or physical disability. 
    "Health maintenance organization" means a person  who undertakes to provide or arrange for one or more health care plans. A  health maintenance organization is deemed to be offering one or more managed  care health insurance plans and is subject to Chapter 58 (§ 38.2-5800 et seq.)  of Title 38.2 of the Code of Virginia. 
    "Limited health care services" means dental care  services, vision care services, mental health services, substance abuse  services, pharmaceutical services, and other services as may be determined by  the commission to be limited health care services. Limited health care services  shall not include hospital, medical, surgical or emergency services unless the  services are provided incidental to the limited health care services set forth  in the preceding sentence. 
    "Medical necessity" or "medically  necessary" means appropriate and necessary health care services that are  rendered for a condition which, according to generally accepted principles of  good medical practice, requires the diagnosis or direct care and treatment of  an illness, injury, or pregnancy-related condition, and are not provided only  as a convenience. 
    "NAIC" means the National Association of Insurance  Commissioners. 
    "Net worth" or "capital and surplus"  means the excess of total admitted assets over the total liabilities of the  health maintenance organization, provided that surplus notes shall be reported  and accounted for in accordance with § 38.2-4300 of the Code of Virginia. 
    "Nonparticipating referral provider" means a  provider who is not a participating provider but with whom a health maintenance  organization has arranged, through referral by its participating providers, to  provide health care services to enrollees. Payment or reimbursement by a health  maintenance organization for health care services provided by nonparticipating  referral providers may exceed 5.0% of total costs of health care services, only  to the extent that any excess payment or reimbursement over 5.0% shall be  combined with the costs for services that represent mere indemnification, with  the combined amount subject to the combination of limitations set forth in this  definition and in this section's definition of health care plan. 
    "Out-of-area services" means the health care  services that the health maintenance organization covers when its members are  outside the geographical limits of the health maintenance organization's  service area. 
    "Participating provider" or "affiliated  provider" means a provider who has agreed to provide health care services  to enrollees and to hold those enrollees harmless from payment with an  expectation of receiving payment, other than copayments or deductibles, directly  or indirectly from the health maintenance organization. 
    "Primary care physician health care  professional" means a physician health care professional  who provides initial and primary care to enrollees; who supervises,  coordinates, and maintains continuity of patient care; and who may initiate  referrals for specialist care, if referrals are a requirement of the enrollee's  health care coverage. 
    "Provider" or "health care provider"  means a physician, hospital, or other person that is licensed or otherwise  authorized to furnish health care services. 
    "Rescission" means a cancellation or  discontinuance of coverage under a health care plan that has a retroactive  effect. "Rescission" does not include: (i) a cancellation or  discontinuance of coverage under a health care plan if the cancellation or  discontinuance of coverage has only a prospective effect, or the cancellation  or discontinuance of coverage is effective retroactively to the extent it is  attributable to a failure to timely pay required premiums or contributions  towards the cost of coverage; or (ii) a cancellation or discontinuance of  coverage when the health care plan covers active employees and, if applicable,  dependents and those covered under continuation coverage provisions, if the  employee pays no premiums for coverage after termination of employment and the  cancellation or discontinuance of coverage is effective retroactively back to  the date of termination of employment due to a delay in administrative  recordkeeping.
    "Service area" means a clearly defined geographic  area in which the health maintenance organization has directly or indirectly  arranged for the provision of health care services to be generally available  and readily accessible to enrollees. 
    "Specialist" means a licensed health care provider  to whom an enrollee may be referred by his primary care physician health  care professional and who is certified or eligible for certification by the  appropriate specialty board, where applicable, to provide health care services  in a specialized area of health care. 
    "Subscriber" means a contract holder, an individual  enrollee, or the enrollee in an enrolled family who is responsible for payment  to the health maintenance organization or on whose behalf the payment is made. 
    "Supplemental health care services" means health  care services that may be offered by a health maintenance organization in  addition to the required basic health care services. 
    "Surplus notes" means those instruments that meet  the requirements of 14VAC5-211-40. 
    14VAC5-211-70. Conversion of coverage.
    A. A health care plan shall offer to its group contract  holders, for an enrollee whose eligibility for coverage terminates under the  group contract, the options to convert to an individual policy or continue  coverage as set forth in this section. The group contract holder shall select  one of the following options:
    1. Conversion of coverage within 31 days after issuance of the  written notice required in subsection C of this section, but in no event beyond  the 60-day period following the date of termination of the enrollee's coverage  under the group contract, to an individual contract that provides benefits  which, at a minimum, meet the requirements of basic or limited health care  services as applicable, in accordance with this chapter. Coverage shall not be  refused on the basis that the enrollee no longer resides or is employed in the  health maintenance organization's service area. The conversion contract shall  cover the enrollee covered under the group contract as of the date of termination  of the enrollee's coverage under the group contract. Coverage shall be provided  without additional evidence of insurability, and no preexisting condition  limitations or exclusions may be imposed other than those remaining unexpired  under the contract from which conversion is exercised. A probationary or  waiting period set forth in the conversion contract shall be deemed to commence  on the effective date of coverage under the original contract. 
    2. Continuation of coverage under the existing group contract  for a period of at least 12 months immediately following the date of  termination of the enrollee's eligibility for coverage under the group  contract. Continuation coverage shall not be applicable if the group contract  holder is required by federal law to provide for continuation of coverage under  its group health plan pursuant to the Consolidated Omnibus Budget  Reconciliation Act (COBRA) (P.L. 99-272). Coverage shall be provided without  additional evidence of insurability subject to the following requirements:
    a. The application and payment for the extended coverage is  made to the group contract holder within 31 days after issuance of the written  notice required in subsection C of this section, but in no event beyond the  60-day period following the date of the termination of the person's  eligibility;
    b. Each premium for the extended coverage is timely paid to  the group contract holder on a monthly basis during the 12-month period; and
    c. The premium for continuing the group coverage shall be at  the health care plan's current rate applicable to the group contract plus any  applicable administrative fee not to exceed 2.0% of the current rate.
    B. A conversion contract or continuation of coverage shall  not be required to be made available when: 
    1. The enrollee is covered by or is eligible for benefits  under Title XVIII of the Social Security Act (42 USC § 1395 et seq.) known  as Medicare; 
    2. The enrollee is covered by or is eligible for substantially  the same level of hospital, medical, and surgical benefits under state or  federal law; 
    3. The enrollee is covered by substantially the same level of  benefits under any policy, contract, or plan for individuals in a group; 
    4. The enrollee has not been continuously covered during the  three-month period immediately preceding the enrollee's termination of  coverage; 
    5. The enrollee was terminated by the health care plan for any  of the reasons stated in 14VAC5-211-230 A 1, 2, 3, or 6 5, or  coverage was rescinded; or 
    6. The enrollee was terminated from a plan administered by the  Department of Medical Assistance Services that provided benefits pursuant to  Title XIX or XXI of the Social Security Act (42 USC § 1396 et seq. or  § 1397 aa et seq.). 
    C. The group contract holder shall provide each enrollee or  other person covered under the group contract written notice of the  availability of the option chosen and the procedures and timeframes for  obtaining continuation or conversion of the group contract. The notice shall be  provided within 14 days of the group contract holder's knowledge of the  enrollee's or other covered person's loss of eligibility under the group  contract.
    14VAC5-211-90. Copayments.
    A. A Except for preventive services required by  § 38.2-3442 of the Code of Virginia, a health maintenance organization  may require a copayment of enrollees as a condition for the receipt of a  specific health care service. A copayment shall be shown in the evidence of  coverage as either a specified dollar amount or as coinsurance.
    B. If the health maintenance organization has an established  copayment maximum, it shall keep accurate records of each enrollee's copayment  expenses and notify the enrollee when his copayment maximum is reached. The  notification shall be given no later than 30 days after the health maintenance  organization has processed sufficient claims to determine that the copayment  maximum is reached. The health maintenance organization shall not charge  additional copayments for the remainder of the contract or calendar year, as  appropriate. The health maintenance organization shall also promptly refund to  the enrollee all copayments charged after the copayment maximum is reached. Any  maximum copayment amount shall be shown in the evidence of coverage as a  specified dollar amount, and the evidence of coverage shall clearly state the  health maintenance organization's procedure for meeting the requirements of  this subsection.
    C. The provisions of this subsection shall not apply to any  Family Access to Medical Insurance Security (FAMIS) Plan (i) authorized by the  United States Centers for Medicare and Medicaid Services pursuant to Title XXI  of the Social Security Act (42 USC § 1397aa et seq.) and the state plan  established pursuant to Chapter 13 (§ 32.1-351 et seq.) of Title 32.1 of  the Code of Virginia and (ii) underwritten by a health maintenance  organization.
    14VAC5-211-100. Deductibles.
    A Except for preventive services required by § 38.2-3442 of the Code of Virginia, a health maintenance organization may  require an enrollee to pay an annual deductible in accordance with § 38.2-4303  A 8 of the Code of Virginia.
    14VAC5-211-140. Freedom of choice. 
    A. At the time of enrollment an enrollee shall have the right  to select a primary care physician health care professional from  among the health maintenance organization's affiliated primary care physicians  health care professionals, subject to availability and in accordance  with § 38.2-3443 of the Code of Virginia. 
    B. An enrollee who is dissatisfied with his primary care physician  health care professional shall have the right to select another primary  care physician health care professional from among the health  maintenance organization's affiliated primary care physicians health  care professionals, subject to availability. The health maintenance  organization may impose a reasonable waiting period for this transfer. 
    14VAC5-211-150. Grievance Complaint and appeals  procedure. 
    A. A health maintenance organization shall establish and  maintain a grievance or complaint system to provide reasonable  procedures for the prompt and effective resolution of written complaints in  accordance with Chapter 5 (§ 32.1-137.1 et seq.) of Title 32.1 and Chapters  Chapter 58 (§ 38.2-5800 et seq.) and 59 (§ 38.2-5900 et seq.) of  Title 38.2 of the Code of Virginia. In addition, a health maintenance  organization shall establish and maintain an internal appeals procedure in  accordance with Chapter 5 (§ 32.1-137.1 et seq.) of Title 32.1 and Chapter  35.1 (§ 38.2-3556 et seq.) of Title 38.2 of the Code of Virginia and  applicable regulations. A record of all written complaints shall be  maintained for the period specified in § 38.2-511 of the Code of Virginia. A  record of all requests for internal appeal shall be maintained in accordance  with the provisions of § 32.1-137.16 of the Code of Virginia. 
    B. Pending the resolution of a written complaint filed by a  subscriber or enrollee, coverage may not be terminated for the subscriber or  enrollee for any reason that is the subject of the written complaint, except  where the health maintenance organization has in good faith made an effort  to resolve the complaint and coverage is being terminated or rescinded  in accordance with 14VAC5-211-230. 
    14VAC5-211-180. Out-of-area services. 
    In addition to out-of-area emergency services required to be  provided as basic health care services, a health maintenance organization may  offer to its enrollees indemnity benefits covering out-of-area services. A  description of the procedure for obtaining out-of-area services and  notification requirements before obtaining these services shall be included in  the evidence of coverage as well as a description of restrictions or  limitations on out-of-area services. A Except for out-of-area  emergency services, a health care plan that requires the enrollee to  contact the health maintenance organization before obtaining out-of-area  services shall provide for emergency telephone consultation on a 24-hour  per day, seven-day per week basis. 
    Part V 
  Disclosure and Prohibitions 
    14VAC5-211-210. Disclosure requirements. 
    A. A subscriber shall be entitled to an evidence of coverage  under a health care plan provided by a health maintenance organization  established or operating in this Commonwealth, including any amendments to it.  The evidence of coverage excluding the identification card shall be delivered  or issued for delivery within a reasonable period of time after enrollment, but  not more than 60 days from the later of the effective date of coverage or the  date on which the health maintenance organization is notified of enrollment.  The identification card shall be delivered or issued for delivery within 15  days from the later of the effective date of coverage or the date on which the  health maintenance organization is notified of enrollment. 
    B. An evidence of coverage delivered or issued for delivery  shall contain the following: 
    1. The name, address, and telephone number of the health  maintenance organization; 
    2. The health care services and other benefits to which the  enrollee is entitled under the health care plan; 
    3. Exclusions or limitations on the services, kind of  services, benefits, or kind of benefits to be provided, including any  deductible or copayment features; 
    4. Where and in what manner information is available as to how  services may be obtained; 
    5. The effective date and the term of coverage; 
    6. The total amount of payment for health care services and  any indemnity or service benefits that the enrollee is obligated to pay with  respect to individual contracts, or an indication whether the plan is  contributory or noncontributory for group certificates; 
    7. A description of the health maintenance organization's  method of resolving enrollee complaints, including a description of any  arbitration procedure if complaints and grievances may be resolved  through a specified arbitration agreement; 
    8. A list of providers and a description of the service area  that shall be provided with the evidence of coverage if the information is not  given at the time of enrollment; 
    9. The right of an enrollee to convert to an individual  contract issued by the health maintenance organization or to continue group  coverage, as applicable, including the terms and conditions under which  coverage may be converted or continued; 
    10. The terms and conditions under which coverage may be  terminated or rescinded; 
    11. Coordination of benefits provisions, if applicable; 
    12. Assignment restrictions in the contract; 
    13. The health maintenance organization's procedure for filing  claims, including any requirements for notifying the health maintenance  organization of a claim and requirements for filing proof of loss; 
    14. The health maintenance organization's eligibility  requirements, including the conditions under which dependents may be added and  the limiting age for dependents and subscribers covered under an individual or  group contract; 
    15. An incontestability clause that states that, in the  absence of fraud, all statements made by a subscriber shall be considered  representations and not warranties and that no statement shall be the basis for  voiding terminating coverage or denying a claim after the  contract has been in force for two years from its effective date, unless the statement  was material to the risk and was contained in a written application contract  can be rescinded under § 38.2-3441 of the Code of Virginia; 
    16. A provision that the contract or evidence of coverage and  any amendments to it constitutes the entire contractual agreement between the  parties involved and that no portion of the charter, bylaws, or other document  of the health maintenance organization shall constitute part of the contract  unless it is set forth in full in the contract; and 
    17. Except for an evidence of coverage that does not provide  for the periodic payment of premium or for the payment of any premium, a  provision that the contract holder is entitled to a grace period of not less  than 31 days for the payment of any premium due except the first premium. The  provision shall also state that during the grace period the coverage shall  continue in force unless the contract holder has given the health maintenance  organization written notice of discontinuance in accordance with the terms of  the contract and in advance of the date of discontinuance. The contract may  provide that the contract holder shall be liable to the health maintenance  organization for the payment of a pro rata premium for the time the contract  was in force during the grace period. ; and
    18. Terms and conditions related to the designation of a  primary care health care professional.
    14VAC5-211-220. Exclusions for preexisting conditions. 
    In addition to the limitations on preexisting conditions  exclusions set forth in §§ 38.2-3432.3, 38.2-3444, and 38.2-3514.1 of  the Code of Virginia, a health maintenance organization shall not exclude or  limit health care services for a preexisting condition when the enrollee  transfers coverage from one health care plan to another during open enrollment  or when the enrollee converts coverage under his conversion option, except to  the extent that a preexisting condition limitation or exclusion remains unexpired  under the original contract. Any required probationary or waiting period is  deemed to commence on the effective date for individual coverage, and on the  enrollment date of the contract for group coverage. 
    14VAC5-211-230. Reasons for termination or rescission. 
    A. A health maintenance organization shall not terminate an  enrollee's coverage for services provided under a health maintenance  organization contract except for one or more of the following reasons: 
    1. Failure to pay the amounts due under the contract,  including failure to pay a premium required by the contract as shown in the  contract or evidence of coverage; 
    2. Fraud or material misrepresentation in enrollment or in  the use of services or facilities; 
    3. 2. Material violation of the terms of the  contract; 
    4. 3. Failure to meet the eligibility  requirements under a group contract, provided that a conversion or continuation  option is offered;
    5. 4. Termination of the group contract under  which the enrollee was covered; or 
    6. 5. Other good cause as agreed upon in the  contract between the health care plan and the group or the subscriber. Coverage  shall not be terminated on the basis of the status of the enrollee's health or  because the enrollee has exercised his rights under the plan's grievance  complaint or appeals system by registering a complaint against the  health maintenance organization. Failure of the enrollee and the primary care physician  health care professional to establish a satisfactory relationship shall  not be deemed good cause unless the health maintenance organization has in good  faith made an effort to provide the opportunity for the enrollee to establish a  satisfactory patient-physician relationship, including assigning the enrollee  to other primary care physicians health care professionals from  among the organization's participating providers. 
    B. A health maintenance organization shall not terminate  coverage for services provided under a contract without giving the subscriber  written notice of termination, effective at least 31 days from the date of  mailing or, if not mailed, from the date of delivery, except that: 
    1. For termination due to nonpayment of premium, the grace  period as required in 14VAC5-211-210 B 17 shall apply; 
    2. For termination due to nonpayment of premium by an  employer, the notice provisions required in § 38.2-3542 C of the Code of  Virginia shall apply; 
    3. For termination due to activities that endanger the safety  and welfare of the health maintenance organization or its employees or  providers, immediate notice of termination may be given; or 
    4. For termination due to change of eligibility status,  immediate notice of termination may be given. 
    C. A health maintenance organization shall not rescind  coverage for services provided under a contract unless the enrollee or a person  seeking coverage on behalf of an enrollee performs an act, practice, or  omission that constitutes fraud, or the person makes an intentional  misrepresentation of material fact, as prohibited by the terms of the plan.  Notice of any rescission shall comply with the requirements of § 38.2-3441  of the Code of Virginia.
    VA.R. Doc. No. R11-2845; Filed June 10, 2011, 3:01 p.m. 
TITLE 14. INSURANCE
STATE CORPORATION COMMISSION
Final Regulation
    Titles of Regulations: 14VAC5-215. Rules Governing  Independent External Review of Final Adverse Utilization Review Decisions (amending 14VAC5-215-10).
    14VAC5-216. Rules Governing Internal Appeal and External  Review (adding 14VAC5-216-10, 14VAC5-216-20,  14VAC5-216-30, 14VAC5-216-40, 14VAC5-216-50, 14VAC5-216-60, 14VAC5-216-70,  14VAC5-216-80, 14VAC5-216-90, 14VAC5-216-100, 14VAC5-216-110, 14VAC5-216-120,  14VAC5-216-130). 
    Statutory Authority: §§ 12.1-13 and 38.2-223 of the  Code of Virginia.
    Effective Date: July 1, 2011. 
    Agency Contact: Julie Blauvelt, Senior Insurance Market  Examiner, Bureau of Insurance, State Corporation Commission, P.O. Box 1157,  Richmond, VA 23218, telephone (804) 371-9865, FAX (804) 371-9944, or email  julie.blauvelt@scc.virginia.gov.
    Summary:
    This regulatory action (i) amends 14VAC5-215-10 by limiting  the chapter's application to final adverse decisions made before or on June 30,  2011, and (ii) adds a new chapter, 14VAC5-216, Rules Governing Internal Appeal  and External Review, to conform the state's external review program with the  Uniform Health Carrier External Review Model Act, prepared by the National  Association of Insurance Commissioners, as required by the federal Patient  Protection and Affordable Care Act. The rules clarify and implement the  provisions of Chapter 788 of the 2011 Acts of Assembly which become effective  on July 1, 2011, and conform Virginia's internal appeal and external review  processes to meet the federal requirements. 
    Specifically, the rules (i) contain provisions that apply  the internal appeal and external review requirements to all health carriers,  unless specifically excepted; (ii) set forth guidelines and standards for an  internal appeal process that is in conformity with federal Department of Labor  regulations that provide for a full and fair review of any adverse benefit  determination; and (iii) provide for urgent care appeals, concurrent review  decisions, and notification requirements. Although the external review process  is outlined in Chapter 35.1 (38.2-3556 et seq.) of Title 38.2 of the Code of  Virginia, the proposed rules clarify these provisions and provide forms for  this process. 
    Since publication of the proposed rules, the following  changes were made: 
    1. 14VAC5-216-20: The definitions of "pre-service  claim" and "post-service claim" were amended to reflect more  accurately definitions under federal requirements
    2. 14VAC5-216-100 A: The provision that requires that an  application fee of $500 for an independent review organization was amended to  reflect that an application fee of up to $500 may be required. 
    3. Form 216-E: This form was amended to reflect the change  noted above in 14VAC5-216-100 A. 
    AT RICHMOND, JUNE 10, 2011
    COMMONWEALTH OF VIRGINIA
    At the relation of the
    STATE CORPORATION COMMISSION
    CASE NO. INS-2011-00070
    Ex Parte: In the matter of
  Amending Rules Governing Independent
  External Review of Final Adverse Utilization
  Review Decisions and Adopting New Rules
  Governing Internal Appeal and External Review
    ORDER ADOPTING RULES
    By Order entered herein May 2, 2011, all interested persons  were ordered to take notice that subsequent to June 1, 2011, the State  Corporation Commission ("Commission") would consider the entry of an  order to amend section 10 in Chapter 215 of Title 14 of the Virginia  Administrative Code entitled "Rules Governing Independent External Review  of Final Adverse Utilization Review Decisions" ("Rules") and  adopt a new chapter, Chapter 216 of Title 14 of the Virginia Administrative  Code entitled "Rules Governing Internal Appeal and External Review,"  ("new Rules") set forth at 14 VAC 5-216-10 through 14 VAC 5-216-130  and accompanying forms. These amended Rules and new Rules were proposed by the  Bureau of Insurance ("Bureau"). The Order to Take Notice required  that on or before June 1, 2011, any person objecting to the amended Rules and  adoption of the new Rules shall have filed a request for hearing with the Clerk  of the Commission ("Clerk").
    The Order to Take Notice also required all interested persons  to file their comments in support of or in opposition to amending the Rules and  adoption of the new Rules on or before June 1, 2011.
    No comments were filed with the Clerk of the Commission.  Comments were sent to the Bureau from CareFirst BlueCross BlueShield by letter  dated May 26, 2011, and from AARP by letter dated June 1, 2011. No request for  a hearing was filed with the Clerk.
    The Bureau considered the comments sent by both CareFirst and  the AARP, and responded to these comments in respective letters back to each of  these organizations. No changes to the amended Rules or new Rules were made as  a result of the comments received. However, the Bureau recommends that the proposed  new Rules be amended as follows:
    (1) 14 VAC 5-216-20: The definitions of "pre-service  claim" and "post-service claim" be amended to reflect more  accurately definitions under federal requirements;
    (2) 14 VAC 5-216-100 A: The provision that requires that  an application fee of $500 for an independent review organization be amended to  reflect that an application fee of up to $500 may be required.
    (3) Form 216-E be amended to reflect the change noted  above in 14 VAC 5-216-100 A.  
    The Bureau recommends that the amendment to the Rules and all  other sections of the new Rules remain as proposed.
    The amendment to section 10 in Chapter 215 is necessary to  limit the chapter's application to final adverse decisions made before or on  June 30, 2011.
    The proposed new Rules in Chapter 216 are necessary because  the federal Patient Protection and Affordable Care Act requires that the  state's external review program be in conformity with the Uniform Health  Carrier External Review Model Act prepared by the National Association of  Insurance Commissioners. The 2011 Acts of Assembly Chapter 788 conform  Virginia's internal appeal and external review processes to meet these federal  requirements. These new Rules clarify and implement the provisions contained in  Acts of Assembly Chapter 788, which becomes effective on July 1, 2011.
    NOW THE COMMISSION, having considered the amendment to the  Rules, the proposed new Rules, and the Bureau's recommendation for additional  amendments to the new Rules, is of the opinion that the amendment to the Rules  in Chapter 215 and the new Rules set forth in Chapter 216 of the Virginia  Administrative Code be adopted.
    Accordingly, IT IS ORDERED THAT:
    (1) The amendment to section 10 in Chapter 215 of Title  14 of the Virginia Administrative Code entitled "Rules Governing  Independent External Review of Final Adverse Utilization Review Decisions"  and the new rules in Chapter 216 of Title 14 of the Virginia Administrative  Code entitled "Rules Governing Internal Appeal and External Review,"  set forth at 14 VAC 5-216-10 through 14 VAC 5-216-130 and accompanying forms,  which are attached hereto and made a part hereof, should be, and they are  hereby, ADOPTED effective on July 1, 2011;
    (2) AN ATTESTED COPY hereof, together with a copy of the  adopted amended Rules and new Rules, shall be sent by the Clerk of the  Commission to Althelia Battle, Deputy Commissioner, Bureau of Insurance, State  Corporation Commission, who forthwith shall give further notice of the adopted  amended Rules and new Rules by mailing a copy of this Order, including a clean  copy of the final amended Rules and new Rules, to all companies, HMOs and  health services plans licensed by the Commission to write accident and sickness  insurance in the Commonwealth of Virginia, as well as all interested parties;
    (3) The Commission's Division of Information Resources  shall cause a copy of this Order, together with the adopted amended Rules and  adopted new Rules, to be forwarded to the Virginia Registrar for appropriate  publication in the Virginia Register;
    (4) The Commission's Division of Information Resources  shall make available this Order and the attached adopted amended Rules and new  Rules on the Commission's website: http://www.scc.virginia.gov/case; and
    (5) The Bureau of Insurance shall file with the Clerk of  the Commission an affidavit of compliance with the notice requirements of  paragraph (2) above.
    14VAC5-215-10. Scope and purpose. 
    A. This chapter shall apply to all utilization review  entities as that term is defined in 14VAC5-215-30, the issuer of a covered  person's policy or contract of health benefits, and covered persons. 
    B. This chapter shall not apply to utilization review  performed under contract with the federal government for patients eligible for  health care services under Title XVIII of the Social Security Act (42 USC §  1395 et seq.), utilization review performed under contract with the federal  government for patients eligible for health care services under the TRICARE  program (10 USC § 1071 et seq.), or utilization review performed under contract  with a plan otherwise exempt from the operation of this chapter pursuant to the  Employee Retirement Income Security Act of 1974 (29 USC § 1001 et seq.). 
    This chapter shall not apply to programs administered by the  Department of Medical Assistance Services or under contract with the Department  of Medical Assistance Services. 
    C. The purpose of this chapter is to set forth rules to carry  out the provisions of Chapter 59 (§ 38.2-5900 et seq.) of Title 38.2 of the  Code of Virginia so as to provide (i) a process for appeals to be made to the  Bureau of Insurance to obtain an independent external review of final adverse  decisions made by a utilization review entity; (ii) procedures for expedited  consideration of appeals in cases of emergency health care; and (iii)  standards, credentials, and qualifications for impartial health entities. 
    D. This chapter shall apply to any final adverse decision  made on or before June 30, 2011.
    CHAPTER 216
  RULES GOVERNING INTERNAL APPEAL AND EXTERNAL REVIEW
    Part I
  General
    14VAC5-216-10. Scope and purpose.
    A. This chapter shall apply to all health carriers, except  that the provisions of this chapter shall not apply to a policy or certificate  that provides coverage only for a specified disease, specified accident or  accident-only coverage; credit; disability income; hospital indemnity;  long-term care; dental, vision care, or any other limited supplemental benefit  or to a Medicare supplement policy of insurance; coverage under a plan through  Medicare, Medicaid, or the federal employees health benefits program;  self-insured plans except that a self-insured employee welfare benefit plan may  elect to use the state external review process; any coverage issued under  Chapter 55 of Title 10 of the U.S. Code (TRICARE), and any coverage issued as  supplemental to that coverage; any coverage issued as supplemental to liability  insurance, workers' compensation or similar insurance; and automobile medical  payment insurance or any insurance under which benefits are payable with or  without regard to fault, whether written on a group or individual basis. 
    B. The purpose of this chapter is to set forth rules to  carry out the provisions of Chapter 35.1 (§ 38.2-3556 et seq.) of Title 38.2 of  the Code of Virginia as well as federal law to provide a health carrier with  guidelines to assist with establishing a procedure for an internal appeals  process under which there will be a full and fair review of any adverse benefit  determination. This chapter also sets forth requirements for the external  review process.
    C. This chapter shall apply to any adverse benefit  determination made on or after July 1, 2011, by any health carrier for a  grandfathered or non-grandfathered health benefit plan, as defined by the  PPACA.
    14VAC5-216-20. Definitions.
    The following words and terms when used in this chapter  shall have the following meanings unless the context clearly indicates  otherwise:
    "Adverse benefit determination" in the context  of the internal appeals process means (i) a determination by a health carrier  or its designee utilization review entity that, based on the information  provided, a request for, a benefit under the health carrier's health benefit  plan upon application of any utilization review technique does not meet the  health carrier's requirements for medical necessity, appropriateness, health  care setting, level of care, or effectiveness or is determined to be  experimental or investigational and the requested benefit is therefore denied,  reduced, or terminated or payment is not provided or made, in whole or in part,  for the requested benefit; (ii) the denial, reduction, or termination of, or  failure to provide or make payment in whole or in part for, a benefit based on  a determination by a health carrier or its designee utilization review entity  of a covered person's eligibility to participate in the health carrier's health  benefit plan; (iii) any review determination that denies, reduces, or  terminates or fails to provide or make payment, in whole or in part, for a  benefit; (iv) a rescission of coverage determination as defined in § 38.2-3438  of the Code of Virginia; or (v) any decision to deny individual coverage in an  initial eligibility determination. 
    "Adverse determination" in the context of  external review means a determination by a health carrier or its designee  utilization review entity that an admission, availability of care, continued  stay, or other health care service that is a covered benefit has been reviewed  and, based upon the information provided, does not meet the health carrier's  requirements for medical necessity, appropriateness, health care setting, level  of care, or effectiveness or is determined to be experimental or  investigational and the requested service or payment for the service is  therefore denied, reduced, or terminated.
    "Authorized representative" means (i) a person  to whom a covered person has given express written consent to represent the  covered person; (ii) a person authorized by law to provide substituted consent  for a covered person; (iii) a family member of a covered person or the covered  person's treating health care professional when the covered person is unable to  provide consent; (iv) a health care professional when the covered person's  health benefit plan requires that a request for a benefit under the plan be  initiated by the health care professional; or (v) in the case of an urgent care  internal appeal, a health care professional with knowledge of the covered  person's medical condition.
    "Clinical peer reviewer" means a practicing  health care professional who holds a nonrestricted license in a state,  district, or territory of the United States and in the same or similar  specialty as typically manages the medical condition, procedure, or treatment  under appeal. 
    "Commission" means the State Corporation  Commission.
    "Concurrent review" means utilization review  conducted during a patient's stay or course of treatment in a facility, the  office of a health care professional, or other inpatient or outpatient health  care setting.
    "Covered person" means a policyholder,  subscriber, enrollee, or other individual participating in a health benefit  plan. For purposes of this chapter with respect to the administration of  appeals, references to a covered person include a covered person's authorized  representative, if any. 
    "Emergency services" means those health care  services that are rendered after the sudden onset of a medical condition that  manifests itself by symptoms of sufficient severity, including severe pain,  that the absence of immediate medical attention could reasonably be expected by  a prudent layperson who possesses an average knowledge of health and medicine  to result in (i) serious jeopardy to the mental or physical health of the  individual, (ii) danger of serious impairment of the individual's bodily  functions, (iii) serious dysfunction of any of the individual's bodily organs,  or (iv) in the case of a pregnant woman, serious jeopardy to the health of the  fetus.
    "Final adverse determination" means an adverse  determination involving a covered benefit that has been upheld by a health  carrier, or its designee utilization review entity, at the completion of the  health carrier's internal appeal process. 
    "Group health plan" means an employee welfare  benefit plan (as defined in the Employee Retirement Income Security Act of 1974  (29 USC § 1002(1)), to the extent that the plan provides medical care and  including items and services paid for as medical care to employees or their  dependents (as defined under the terms of the plan) directly or through  insurance, reimbursement, or otherwise. 
    "Health benefit plan" means a policy, contract,  certificate, or agreement offered or issued by a health carrier to provide,  deliver, arrange for, pay for, or reimburse any of the costs of health care  services. "Health benefit plan" does not include accident only,  credit, or disability insurance; coverage of Medicare services or federal  employee health plans pursuant to contracts with the United States government;  Medicare supplement or long-term care insurance; Medicaid coverage; dental only  or vision only insurance; specified disease insurance; hospital indemnity  coverage; limited benefit health coverage; coverage issued as a supplement to  liability insurance; insurance arising out of a workers' compensation or  similar law; automobile medical payment insurance; medical expense and loss of  income benefits; or insurance under which benefits are payable with or without  regard to fault and that is statutorily required to be contained in any  liability insurance policy or equivalent self-insurance. 
    "Health care professional" means a physician or  other health care practitioner licensed, accredited, or certified to perform  specified health care services consistent with the laws of the Commonwealth. 
    "Health carrier" means an entity, subject to the  insurance laws and regulations of the Commonwealth or subject to the  jurisdiction of the commission, that contracts or offers to contract to  provide, deliver, arrange for, pay for, or reimburse any of the costs of health  care services, including an accident and sickness insurance company, a health  maintenance organization, a nonprofit hospital and health service corporation,  or a nonstock corporation offering or administering a health services plan, a  hospital services plan, or a medical or surgical services plan, or any other  entity providing a plan of health insurance, health benefits, or health care  services except as excluded under § 38.2-3557 of the Code of Virginia. 
    "Independent review organization" means an  entity that conducts independent external reviews of adverse determinations and  final adverse determinations.
    "PPACA" means the Patient Protection and  Affordable Care Act (P.L. 111-148), as amended by the Health Care and Education  Reconciliation Act of 2010 (P.L. 111-152).
    "Pre-service claim" means a claim for a benefit  under a health benefit plan that requires [ or allows for ]  approval of the benefit [ in whole or in part, ] in  advance of obtaining the service or treatment.
    "Post-service claim" means a claim for a benefit  under a health benefit plan [ for which that is not a  pre-service claim, or ] the service or treatment has been provided  to the covered person.
    "Self-insured plan" means an "employee  welfare benefit plan" that has the meaning set forth in the Employee  Retirement Income Security Act of 1974, 29 USC § 1002(1).
    "Urgent care appeal" means an appeal for medical  care or treatment with respect to which the application of the time periods for  making non-urgent care determinations (i) could seriously jeopardize the life  or health of the covered person or the ability of the covered person to regain  maximum function; or (ii) in the opinion of the treating health care  professional with knowledge of the covered person's medical condition, would  subject the covered person to severe pain that cannot be adequately managed  without the care or treatment that is the subject of the appeal. An urgent care  appeal shall not be available for any post-service claim or retrospective  adverse benefit determination.
    "Utilization review" means a set of formal  techniques designed to monitor the use of or evaluate the clinical necessity,  appropriateness, efficacy, or efficiency of health care services, procedures or  settings. Techniques may include ambulatory review, prospective review, second  opinion, certification, concurrent review, case management, discharge planning,  or retrospective review. 
    Part II
  Internal Appeal
    14VAC5-216-30. General requirements.
    A. Each health carrier offering a health benefit plan  shall establish and maintain an internal appeals procedure in accordance with  this chapter, 29 USC § 2560.503-1, and 45 CFR 147.136 to provide a full  and fair review of any adverse benefit determination.
    B. As part of each health carrier's health benefit plan  and any adverse benefit determination, each health carrier shall provide notice  of its available internal appeals procedures (including urgent care appeals),  including timeframes for submission of an appeal, the health carrier's review  and response. Such notice shall also include the name, address, and telephone  number of the person or organizational unit designated to coordinate the review  of the appeal for the health carrier, and contact information for the Bureau of  Insurance. If the plan is a managed care health insurance plan (MCHIP), the  mailing address, telephone number, and email address for the Office of the  Managed Care Ombudsman shall also be included.
    C. The internal appeals procedure shall not contain any  provision, or be administered in a way that unduly inhibits or hampers the  initiation or processing of claims for benefits.
    D. The internal appeals procedure shall provide for an  authorized representative of a covered person to act on behalf of the covered  person in pursuing a benefit claim or appeal of an adverse benefit  determination. A health carrier may establish reasonable procedures for  determining whether an individual has been authorized to act on behalf of a  covered person. In the case of an urgent care appeal, a health care  professional shall be permitted to act as the authorized representative of the covered  person, in accordance with this chapter.
    E. The internal appeals procedure shall contain  administrative processes and safeguards designed to ensure and to verify that  benefit determinations are made in accordance with the provisions of the health  benefit plan and, where appropriate, the health benefit plan provisions have  been applied consistently with respect to similarly situated covered persons. 
    14VAC5-216-40. Minimum appeal requirements.
    A. Each covered person shall be entitled to a full and fair  review of an adverse benefit determination. Within 180 days after the date of  receipt of a notice of an adverse benefit determination, a covered person may  file an appeal with the health carrier. A health carrier may designate a  utilization review entity to coordinate the review. For purposes of this  chapter, "health carrier" may also mean its designated utilization  review entity.
    B. The health carrier shall conduct the appeal in a manner  to ensure the independence and impartiality of the individuals involved in  reviewing the appeal. In ensuring the independence and impartiality of such  individuals, the health carrier shall not make decisions regarding hiring,  compensation, termination, promotion, or other similar matters based upon the  likelihood that an individual will support the denial of benefits.
    C. 1. In deciding an appeal of any adverse benefit  determination that is based in whole or in part on a medical judgment,  including determinations with regard to whether a particular treatment, drug,  or other service is experimental, investigational, or not medically necessary  or appropriate, the health carrier shall designate a clinical peer reviewer to  review the appeal. The clinical peer reviewer shall not have been involved in  any previous adverse benefit determination with respect to the claim. 
    2. A reviewer of any other type of adverse benefit  determination shall be an appropriate person designated by the health carrier.  The reviewer of the appeal shall not be the individual who made any previous  adverse benefit determination of the subject appeal nor the subordinate of such  individual and shall not defer to any prior adverse benefit determination.
    D. A full and fair review shall also provide for:
    1. The covered person to have an opportunity to submit written  comments, documents, records, and other information relating to the appeal for  the reviewer or reviewers to consider when reviewing the appeal; 
    2. Upon request to the health carrier, the covered person  to have reasonable access to and free of charge copies of all documents,  records, and other information relevant to the covered person's request for  benefits (note that any request for diagnosis and treatment codes, in itself,  should not be considered to be a request for an internal appeal); 
    3. An appeal process that takes into account all comments,  documents, records, and other information submitted by the covered person  relating to the appeal, without regard to whether such information was  submitted or considered in the initial benefit determination. 
    4. The identification of medical or vocational experts  whose advice was obtained on behalf of the health benefit plan in connection  with a covered person's adverse benefit determination, without regard to  whether the advice was relied upon in making the benefit determination. 
    5. An urgent care appeal process.
    6. Prior to issuing a final adverse benefit determination,  the health carrier to provide free of charge to the covered person any new or  additional evidence relied upon or generated by the health carrier or at the  direction of the health carrier, in connection with the internal appeal  sufficiently in advance of the date the determination is required to be  provided to permit the covered person a reasonable opportunity to respond prior  to that date.
    E. A health carrier shall notify the covered person of the  final benefit determination within a reasonable period of time appropriate to  the medical circumstances, but not later than the timeframes established in  subdivisions 1 and 2 of this subsection.
    1. If an internal appeal involves a pre-service claim  review request, the health carrier shall notify the covered person of its  decision within 30 days after receipt of the appeal. A health carrier may  provide a second level of internal appeal for group health plans only, provided  that a maximum of 15 days is allowed for a benefit determination and  notification from each level of the appeal.
    2. If an internal appeal involves a post-service claim  review request, the health carrier shall notify the covered person of its  decision within 60 days after receipt of the appeal. A health carrier may  provide a second level of internal appeal for group health plans only, provided  that a maximum of 30 days is allowed for a benefit determination and  notification from each level of the appeal.
    14VAC5-216-50. Urgent care appeals.
    A. The health carrier shall notify the covered person of  its initial benefit determination as soon as possible taking into account  medical exigencies, but not later than 72 hours after receipt of the request,  unless the covered person fails to provide sufficient information to determine  whether, or to what extent, benefits are covered or payable under the health  benefit plan. In the case of such failure, the health carrier shall notify the  covered person as soon as possible, but not later than 24 hours after receipt  of the request, of the specific information necessary to complete the claim.  The covered person shall be afforded a reasonable amount of time, taking into  account the circumstances, but not less than 48 hours to provide the specified  information. The health carrier shall notify the covered person of its benefit  determination not later than 48 hours after the earlier of (i) its receipt of  the specified information or (ii) the end of the period afforded to the covered  person to provide the specified additional information.
    B. The notification of an urgent care adverse benefit  determination that is based on a medical necessity, appropriateness, health  care setting, level of care, effectiveness, experimental or investigational  service or treatment, or similar exclusion or limit, shall include a  description of the health carrier's urgent care appeal process including any  time limits applicable to those procedures and the availability of and procedures  for an expedited external review.
    C. Upon receipt of an adverse benefit determination, a  covered person may submit a request for an urgent care appeal either orally or  in writing to the health carrier. 
    D. All necessary information, including the benefit  determination on appeal, shall be transmitted between the health carrier and  the covered person by telephone, facsimile, or the most expeditious method  available.
    E. The health carrier shall notify the covered person and  the treating health care professional of its benefit determination as soon as  possible, taking into account the medical exigencies, but not later than 72  hours after receipt of an urgent care appeal.
    14VAC5-216-60. Concurrent review decisions.
    A. A health carrier shall provide continued coverage  pending the outcome of an internal appeal of a concurrent review decision.
    B. Any reduction or termination by a health carrier of an  approved course of treatment (other than by health benefit plan amendment or  termination) to be provided over a period of time or number of treatments shall  constitute an adverse benefit determination. The health carrier shall notify  the covered person of the adverse benefit determination at a time sufficiently  in advance of the reduction or termination to allow the covered person to file  an internal appeal and obtain a determination before the benefit is reduced or  terminated.
    C. Any request by a covered person to extend the course of  treatment beyond the period of time or number of treatments that is an urgent  care appeal shall be decided as soon as possible, taking into account the  medical exigencies. The covered person and the treating health care  professional shall be notified of the benefit determination within 72 hours  after receipt of the internal appeal.
    14VAC5-216-70. Notification requirements.
    A. A health carrier shall provide a covered person with  written or electronic notification of its benefit determination on appeal. The  notification of an adverse benefit determination shall be written in easily  understandable language and shall set forth the following:
    1. Information sufficient to identify the claim involved  with respect to the appeal, including the date of service, the health care  provider, and the claim amount; 
    2. The specific reason or reasons for the adverse benefit  determination; 
    3. Reference to the specific plan provisions on which the  adverse benefit determination is made; 
    4. A statement that the covered person is entitled to  receive, upon request and free of charge, reasonable access to and copies of  all documents, records, and other information relevant to the covered person's  claim for benefits; 
    5. A statement indicating whether any additional internal  appeals are available or whether the covered person has received a final  adverse determination. If internal appeals are available, contact information  on where to submit the appeal; 
    6. A statement describing the external review procedures  offered by the health carrier and the covered person's right to obtain  information about such procedures and the covered person's right to bring a  civil action under § 502(a) of ERISA (29 USC § 1001 et seq.), if applicable;  and
    7. A statement indicating that the covered person has the  right to request an external review if the covered person has not received a  final benefit determination within the timeframes provided in 14VAC5-216-40 E,  unless the covered person requests or agrees to a delay.
    B. In the case of a group health plan, the required  notification shall also set forth the following:
    1. If an internal rule, guideline, protocol, or other  similar criterion (collectively "rule") was relied upon in making the  adverse benefit determination, either the specific rule or a statement that  such rule was relied upon in making the adverse benefit determination and that  a copy of the rule will be provided free of charge to the covered person upon  request;
    2. If the adverse benefit determination is based on a  medical necessity or experimental treatment or similar exclusion or limit,  either an explanation of the scientific or clinical judgment for the  determination, applying the terms of the plan to the covered person's medical  circumstances, or a statement that such explanation will be provided free of  charge upon request; and
    3. Include a statement indicating that the covered person  may have other voluntary alternative dispute resolution options, such as  mediation. The covered person should be referred to the appropriate federal or  state agency, his plan administrator, or the health carrier, as appropriate. 
    C. Electronic notification shall be in accordance with the  provisions of the Uniform Electronic Transactions Act (§ 59.1-479 et seq.  of the Code of Virginia).
    Part III
  External Review
    14VAC5-216-80. Incomplete or ineligible determinations.
    A. After the covered person has requested an external  review, and if he is notified by the health carrier that the request is  incomplete in accordance with § 38.2-3561 B 4 or 38.2-3563 D 6 of the Code of  Virginia, the covered person shall have five business days from receipt of such  notice to return the requested materials necessary to complete the request to  the health carrier. The health carrier shall then have five business days to  conduct the preliminary review for eligibility. Notification shall be in  accordance with the provisions of § 38.2-3561 C or 38.2-3563 E of the  Code of Virginia. 
    B. If the health carrier determines that a covered  person's request for external review is complete but ineligible, the covered  person may request that the commission review the ineligibility determination.
    1. Within five business days from the date the covered  person receives notification from the health carrier, the covered person may  request in writing that the commission review the ineligibility determination  by the health carrier.
    2. Within one business day after receipt of a notification  from the covered person, the commission shall notify the health carrier of such  request.
    3. Within three business days of receipt of the  commission's notice to the health carrier, the health carrier shall forward all  information and materials used to make the ineligibility determination to the  commission.
    4. Within five business days of receipt of all materials  necessary to make an eligibility determination, the commission shall review the  file and make such decision.
    5. Within one business day of such decision, the commission  shall notify the covered person and the health carrier, and the assigned  independent review organization if eligible.
    C. If the covered person has requested an expedited  external review or an expedited external review of experimental or  investigational treatment, and is notified by the health carrier that the  request for such expedited external review is incomplete, the covered person  shall promptly return the requested materials necessary to complete the request  to the health carrier. The health carrier shall then promptly conduct the  preliminary review for eligibility.
    D. If the health carrier determines that a covered  person's request for expedited external review is complete but ineligible, the  covered person may promptly request, orally or in writing, that the commission  review the ineligibility determination.
    1. Upon receipt of an eligibility request from a covered  person, the commission shall promptly notify the health carrier of such request.
    2. The health carrier shall promptly forward all  information and materials used to make the ineligibility determination to the  commission.
    3. Upon receipt of all information and materials from the  health carrier, the commission shall promptly review the file and make an  eligibility determination.
    4. The commission shall promptly notify the covered person  and the health carrier, and the assigned independent review organization if  eligible.
    E. If the request for a standard external review does not  contain sufficient information to allow the commission to send the request to  the health carrier, the commission shall have one business day from the date  the sufficient information is received to provide notice to the health carrier.
    14VAC5-216-90. Expedited external review.
    A. If a covered person files a request with the commission  for an expedited external review in accordance with § 38.2-3560 C of the Code  of Virginia, the health carrier shall promptly conduct an eligibility  determination in accordance with 14VAC5-216-80 prior to review by an  independent review organization.
    B. When an independent review organization is requested by  the commission in accordance with § 38.2-3562 of the Code of Virginia to  conduct an expedited external review of an adverse determination under § 38.2-3560 C of the Code of Virginia, the independent review organization shall  determine whether the timeframes for sequential completion of the expedited  internal appeal and expedited external review (i) could seriously jeopardize the  life or health of the covered person or the ability of the covered person to  regain maximum function; or (ii) would subject the covered person to severe  pain that cannot be adequately managed without the care or treatment that is  the subject of the appeal, as compared to the timeframes for simultaneous  completion of the expedited appeal and review. The independent review  organization shall promptly make such determination and shall promptly notify  the covered person, the health carrier, and the commission.
    14VAC5-216-100. Qualifications for independent review  organizations.
    A. An independent review organization that desires to  conduct external reviews for the Commonwealth shall submit an application  [ and $500 application fee ] using Form 216-E to the  commission for review and approval. [ An application fee of up to  $500 may be required. ] 
    B. An independent review organization shall meet all the  qualification requirements in § 38.2-3565 of the Code of Virginia. 
    C. An independent review organization that does not  maintain required accreditation status shall provide notice to the commission  within 30 days of any change in such status. 
    14VAC5-216-110. External review reporting requirements.
    In accordance with § 38.2-3568 of the Code of Virginia,  each health carrier and each independent review organization shall file with  the commission a report by April 1 of each calendar year using Form 216-F or  216-G as appropriate.
    14VAC5-216-120. Funding of external review.
    Failure of a health carrier to timely pay any independent  review organization for a completed external review shall be a violation of  this section and shall subject the health carrier to penalties imposed under  Title 38.2 of the Code of Virginia.
    14VAC5-216-130. Self-insured plans.
    A. Any self-insured plan whose plan sponsor's headquarters  is located in Virginia may choose to utilize the external review processes  outlined in Chapter 35.1 (§ 38.2-3556 et seq.) of Title 38.2 of the Code of  Virginia. For purposes of Part III of this chapter, "health carrier"  shall mean a self-insured plan or its third-party administrator if any, that  opts in to the state external review process.
    B. A self-insured plan utilizing such external review  processes shall notify the commission that it will opt-in to the state external  review process by completing Form 216-H. A new form shall be completed for each  plan year.
    C. A self-insured plan that opts in to the state external  review process shall comply with all statutes and regulations pertaining to  such process. Plan materials and appropriate denial notices shall contain  required information regarding the state external review processes.
    D. A self-insured plan that opts into the state external  review process but fails to comply with the requirements outlined in this  chapter and applicable state statutes pertaining to the external review process  may be terminated from use of such process by the commission.
        NOTICE:  The following forms used in administering the regulation were filed by the  agency. The forms are not being published; however, online users of this issue  of the Virginia Register of Regulations may click on the name to access a form.  The forms are also available through the agency contact or at the Office of the  Registrar of Regulations, General Assembly Building, 2nd Floor, Richmond,  Virginia 23219.
         FORMS (14VAC5-216)
    External  Review Request Form, Form 216-A (7/11).
    Appointment  of Authorized Representative, Form 216-B (7/11).
    Physician  Certification Expedited External Review Request, Form 216-C (7/11).
    Physician  Certification Experimental or Investigational Denials, Form 216-D (7/11).
    [ Independent  Review Organization Application for Registration, Form 216-E (7/11)
    Independent  Review Organization Application for Registration, Form 216-E (7/11). ]  
    Health  Carrier External Review Annual Report Form, Form 216-F (7/11).
    Independent  Review Organization External Review Annual Report Form, Form 216-G (7/11).
    Self-Insured  Plan Opt-In to Virginia External Review Process, Form 216-H (7/11).
    VA.R. Doc. No. R11-2809; Filed June 13, 2011, 11:14 a.m. 
TITLE 14. INSURANCE
STATE CORPORATION COMMISSION
Final Regulation
    Titles of Regulations: 14VAC5-215. Rules Governing  Independent External Review of Final Adverse Utilization Review Decisions (amending 14VAC5-215-10).
    14VAC5-216. Rules Governing Internal Appeal and External  Review (adding 14VAC5-216-10, 14VAC5-216-20,  14VAC5-216-30, 14VAC5-216-40, 14VAC5-216-50, 14VAC5-216-60, 14VAC5-216-70,  14VAC5-216-80, 14VAC5-216-90, 14VAC5-216-100, 14VAC5-216-110, 14VAC5-216-120,  14VAC5-216-130). 
    Statutory Authority: §§ 12.1-13 and 38.2-223 of the  Code of Virginia.
    Effective Date: July 1, 2011. 
    Agency Contact: Julie Blauvelt, Senior Insurance Market  Examiner, Bureau of Insurance, State Corporation Commission, P.O. Box 1157,  Richmond, VA 23218, telephone (804) 371-9865, FAX (804) 371-9944, or email  julie.blauvelt@scc.virginia.gov.
    Summary:
    This regulatory action (i) amends 14VAC5-215-10 by limiting  the chapter's application to final adverse decisions made before or on June 30,  2011, and (ii) adds a new chapter, 14VAC5-216, Rules Governing Internal Appeal  and External Review, to conform the state's external review program with the  Uniform Health Carrier External Review Model Act, prepared by the National  Association of Insurance Commissioners, as required by the federal Patient  Protection and Affordable Care Act. The rules clarify and implement the  provisions of Chapter 788 of the 2011 Acts of Assembly which become effective  on July 1, 2011, and conform Virginia's internal appeal and external review  processes to meet the federal requirements. 
    Specifically, the rules (i) contain provisions that apply  the internal appeal and external review requirements to all health carriers,  unless specifically excepted; (ii) set forth guidelines and standards for an  internal appeal process that is in conformity with federal Department of Labor  regulations that provide for a full and fair review of any adverse benefit  determination; and (iii) provide for urgent care appeals, concurrent review  decisions, and notification requirements. Although the external review process  is outlined in Chapter 35.1 (38.2-3556 et seq.) of Title 38.2 of the Code of  Virginia, the proposed rules clarify these provisions and provide forms for  this process. 
    Since publication of the proposed rules, the following  changes were made: 
    1. 14VAC5-216-20: The definitions of "pre-service  claim" and "post-service claim" were amended to reflect more  accurately definitions under federal requirements
    2. 14VAC5-216-100 A: The provision that requires that an  application fee of $500 for an independent review organization was amended to  reflect that an application fee of up to $500 may be required. 
    3. Form 216-E: This form was amended to reflect the change  noted above in 14VAC5-216-100 A. 
    AT RICHMOND, JUNE 10, 2011
    COMMONWEALTH OF VIRGINIA
    At the relation of the
    STATE CORPORATION COMMISSION
    CASE NO. INS-2011-00070
    Ex Parte: In the matter of
  Amending Rules Governing Independent
  External Review of Final Adverse Utilization
  Review Decisions and Adopting New Rules
  Governing Internal Appeal and External Review
    ORDER ADOPTING RULES
    By Order entered herein May 2, 2011, all interested persons  were ordered to take notice that subsequent to June 1, 2011, the State  Corporation Commission ("Commission") would consider the entry of an  order to amend section 10 in Chapter 215 of Title 14 of the Virginia  Administrative Code entitled "Rules Governing Independent External Review  of Final Adverse Utilization Review Decisions" ("Rules") and  adopt a new chapter, Chapter 216 of Title 14 of the Virginia Administrative  Code entitled "Rules Governing Internal Appeal and External Review,"  ("new Rules") set forth at 14 VAC 5-216-10 through 14 VAC 5-216-130  and accompanying forms. These amended Rules and new Rules were proposed by the  Bureau of Insurance ("Bureau"). The Order to Take Notice required  that on or before June 1, 2011, any person objecting to the amended Rules and  adoption of the new Rules shall have filed a request for hearing with the Clerk  of the Commission ("Clerk").
    The Order to Take Notice also required all interested persons  to file their comments in support of or in opposition to amending the Rules and  adoption of the new Rules on or before June 1, 2011.
    No comments were filed with the Clerk of the Commission.  Comments were sent to the Bureau from CareFirst BlueCross BlueShield by letter  dated May 26, 2011, and from AARP by letter dated June 1, 2011. No request for  a hearing was filed with the Clerk.
    The Bureau considered the comments sent by both CareFirst and  the AARP, and responded to these comments in respective letters back to each of  these organizations. No changes to the amended Rules or new Rules were made as  a result of the comments received. However, the Bureau recommends that the proposed  new Rules be amended as follows:
    (1) 14 VAC 5-216-20: The definitions of "pre-service  claim" and "post-service claim" be amended to reflect more  accurately definitions under federal requirements;
    (2) 14 VAC 5-216-100 A: The provision that requires that  an application fee of $500 for an independent review organization be amended to  reflect that an application fee of up to $500 may be required.
    (3) Form 216-E be amended to reflect the change noted  above in 14 VAC 5-216-100 A.  
    The Bureau recommends that the amendment to the Rules and all  other sections of the new Rules remain as proposed.
    The amendment to section 10 in Chapter 215 is necessary to  limit the chapter's application to final adverse decisions made before or on  June 30, 2011.
    The proposed new Rules in Chapter 216 are necessary because  the federal Patient Protection and Affordable Care Act requires that the  state's external review program be in conformity with the Uniform Health  Carrier External Review Model Act prepared by the National Association of  Insurance Commissioners. The 2011 Acts of Assembly Chapter 788 conform  Virginia's internal appeal and external review processes to meet these federal  requirements. These new Rules clarify and implement the provisions contained in  Acts of Assembly Chapter 788, which becomes effective on July 1, 2011.
    NOW THE COMMISSION, having considered the amendment to the  Rules, the proposed new Rules, and the Bureau's recommendation for additional  amendments to the new Rules, is of the opinion that the amendment to the Rules  in Chapter 215 and the new Rules set forth in Chapter 216 of the Virginia  Administrative Code be adopted.
    Accordingly, IT IS ORDERED THAT:
    (1) The amendment to section 10 in Chapter 215 of Title  14 of the Virginia Administrative Code entitled "Rules Governing  Independent External Review of Final Adverse Utilization Review Decisions"  and the new rules in Chapter 216 of Title 14 of the Virginia Administrative  Code entitled "Rules Governing Internal Appeal and External Review,"  set forth at 14 VAC 5-216-10 through 14 VAC 5-216-130 and accompanying forms,  which are attached hereto and made a part hereof, should be, and they are  hereby, ADOPTED effective on July 1, 2011;
    (2) AN ATTESTED COPY hereof, together with a copy of the  adopted amended Rules and new Rules, shall be sent by the Clerk of the  Commission to Althelia Battle, Deputy Commissioner, Bureau of Insurance, State  Corporation Commission, who forthwith shall give further notice of the adopted  amended Rules and new Rules by mailing a copy of this Order, including a clean  copy of the final amended Rules and new Rules, to all companies, HMOs and  health services plans licensed by the Commission to write accident and sickness  insurance in the Commonwealth of Virginia, as well as all interested parties;
    (3) The Commission's Division of Information Resources  shall cause a copy of this Order, together with the adopted amended Rules and  adopted new Rules, to be forwarded to the Virginia Registrar for appropriate  publication in the Virginia Register;
    (4) The Commission's Division of Information Resources  shall make available this Order and the attached adopted amended Rules and new  Rules on the Commission's website: http://www.scc.virginia.gov/case; and
    (5) The Bureau of Insurance shall file with the Clerk of  the Commission an affidavit of compliance with the notice requirements of  paragraph (2) above.
    14VAC5-215-10. Scope and purpose. 
    A. This chapter shall apply to all utilization review  entities as that term is defined in 14VAC5-215-30, the issuer of a covered  person's policy or contract of health benefits, and covered persons. 
    B. This chapter shall not apply to utilization review  performed under contract with the federal government for patients eligible for  health care services under Title XVIII of the Social Security Act (42 USC §  1395 et seq.), utilization review performed under contract with the federal  government for patients eligible for health care services under the TRICARE  program (10 USC § 1071 et seq.), or utilization review performed under contract  with a plan otherwise exempt from the operation of this chapter pursuant to the  Employee Retirement Income Security Act of 1974 (29 USC § 1001 et seq.). 
    This chapter shall not apply to programs administered by the  Department of Medical Assistance Services or under contract with the Department  of Medical Assistance Services. 
    C. The purpose of this chapter is to set forth rules to carry  out the provisions of Chapter 59 (§ 38.2-5900 et seq.) of Title 38.2 of the  Code of Virginia so as to provide (i) a process for appeals to be made to the  Bureau of Insurance to obtain an independent external review of final adverse  decisions made by a utilization review entity; (ii) procedures for expedited  consideration of appeals in cases of emergency health care; and (iii)  standards, credentials, and qualifications for impartial health entities. 
    D. This chapter shall apply to any final adverse decision  made on or before June 30, 2011.
    CHAPTER 216
  RULES GOVERNING INTERNAL APPEAL AND EXTERNAL REVIEW
    Part I
  General
    14VAC5-216-10. Scope and purpose.
    A. This chapter shall apply to all health carriers, except  that the provisions of this chapter shall not apply to a policy or certificate  that provides coverage only for a specified disease, specified accident or  accident-only coverage; credit; disability income; hospital indemnity;  long-term care; dental, vision care, or any other limited supplemental benefit  or to a Medicare supplement policy of insurance; coverage under a plan through  Medicare, Medicaid, or the federal employees health benefits program;  self-insured plans except that a self-insured employee welfare benefit plan may  elect to use the state external review process; any coverage issued under  Chapter 55 of Title 10 of the U.S. Code (TRICARE), and any coverage issued as  supplemental to that coverage; any coverage issued as supplemental to liability  insurance, workers' compensation or similar insurance; and automobile medical  payment insurance or any insurance under which benefits are payable with or  without regard to fault, whether written on a group or individual basis. 
    B. The purpose of this chapter is to set forth rules to  carry out the provisions of Chapter 35.1 (§ 38.2-3556 et seq.) of Title 38.2 of  the Code of Virginia as well as federal law to provide a health carrier with  guidelines to assist with establishing a procedure for an internal appeals  process under which there will be a full and fair review of any adverse benefit  determination. This chapter also sets forth requirements for the external  review process.
    C. This chapter shall apply to any adverse benefit  determination made on or after July 1, 2011, by any health carrier for a  grandfathered or non-grandfathered health benefit plan, as defined by the  PPACA.
    14VAC5-216-20. Definitions.
    The following words and terms when used in this chapter  shall have the following meanings unless the context clearly indicates  otherwise:
    "Adverse benefit determination" in the context  of the internal appeals process means (i) a determination by a health carrier  or its designee utilization review entity that, based on the information  provided, a request for, a benefit under the health carrier's health benefit  plan upon application of any utilization review technique does not meet the  health carrier's requirements for medical necessity, appropriateness, health  care setting, level of care, or effectiveness or is determined to be  experimental or investigational and the requested benefit is therefore denied,  reduced, or terminated or payment is not provided or made, in whole or in part,  for the requested benefit; (ii) the denial, reduction, or termination of, or  failure to provide or make payment in whole or in part for, a benefit based on  a determination by a health carrier or its designee utilization review entity  of a covered person's eligibility to participate in the health carrier's health  benefit plan; (iii) any review determination that denies, reduces, or  terminates or fails to provide or make payment, in whole or in part, for a  benefit; (iv) a rescission of coverage determination as defined in § 38.2-3438  of the Code of Virginia; or (v) any decision to deny individual coverage in an  initial eligibility determination. 
    "Adverse determination" in the context of  external review means a determination by a health carrier or its designee  utilization review entity that an admission, availability of care, continued  stay, or other health care service that is a covered benefit has been reviewed  and, based upon the information provided, does not meet the health carrier's  requirements for medical necessity, appropriateness, health care setting, level  of care, or effectiveness or is determined to be experimental or  investigational and the requested service or payment for the service is  therefore denied, reduced, or terminated.
    "Authorized representative" means (i) a person  to whom a covered person has given express written consent to represent the  covered person; (ii) a person authorized by law to provide substituted consent  for a covered person; (iii) a family member of a covered person or the covered  person's treating health care professional when the covered person is unable to  provide consent; (iv) a health care professional when the covered person's  health benefit plan requires that a request for a benefit under the plan be  initiated by the health care professional; or (v) in the case of an urgent care  internal appeal, a health care professional with knowledge of the covered  person's medical condition.
    "Clinical peer reviewer" means a practicing  health care professional who holds a nonrestricted license in a state,  district, or territory of the United States and in the same or similar  specialty as typically manages the medical condition, procedure, or treatment  under appeal. 
    "Commission" means the State Corporation  Commission.
    "Concurrent review" means utilization review  conducted during a patient's stay or course of treatment in a facility, the  office of a health care professional, or other inpatient or outpatient health  care setting.
    "Covered person" means a policyholder,  subscriber, enrollee, or other individual participating in a health benefit  plan. For purposes of this chapter with respect to the administration of  appeals, references to a covered person include a covered person's authorized  representative, if any. 
    "Emergency services" means those health care  services that are rendered after the sudden onset of a medical condition that  manifests itself by symptoms of sufficient severity, including severe pain,  that the absence of immediate medical attention could reasonably be expected by  a prudent layperson who possesses an average knowledge of health and medicine  to result in (i) serious jeopardy to the mental or physical health of the  individual, (ii) danger of serious impairment of the individual's bodily  functions, (iii) serious dysfunction of any of the individual's bodily organs,  or (iv) in the case of a pregnant woman, serious jeopardy to the health of the  fetus.
    "Final adverse determination" means an adverse  determination involving a covered benefit that has been upheld by a health  carrier, or its designee utilization review entity, at the completion of the  health carrier's internal appeal process. 
    "Group health plan" means an employee welfare  benefit plan (as defined in the Employee Retirement Income Security Act of 1974  (29 USC § 1002(1)), to the extent that the plan provides medical care and  including items and services paid for as medical care to employees or their  dependents (as defined under the terms of the plan) directly or through  insurance, reimbursement, or otherwise. 
    "Health benefit plan" means a policy, contract,  certificate, or agreement offered or issued by a health carrier to provide,  deliver, arrange for, pay for, or reimburse any of the costs of health care  services. "Health benefit plan" does not include accident only,  credit, or disability insurance; coverage of Medicare services or federal  employee health plans pursuant to contracts with the United States government;  Medicare supplement or long-term care insurance; Medicaid coverage; dental only  or vision only insurance; specified disease insurance; hospital indemnity  coverage; limited benefit health coverage; coverage issued as a supplement to  liability insurance; insurance arising out of a workers' compensation or  similar law; automobile medical payment insurance; medical expense and loss of  income benefits; or insurance under which benefits are payable with or without  regard to fault and that is statutorily required to be contained in any  liability insurance policy or equivalent self-insurance. 
    "Health care professional" means a physician or  other health care practitioner licensed, accredited, or certified to perform  specified health care services consistent with the laws of the Commonwealth. 
    "Health carrier" means an entity, subject to the  insurance laws and regulations of the Commonwealth or subject to the  jurisdiction of the commission, that contracts or offers to contract to  provide, deliver, arrange for, pay for, or reimburse any of the costs of health  care services, including an accident and sickness insurance company, a health  maintenance organization, a nonprofit hospital and health service corporation,  or a nonstock corporation offering or administering a health services plan, a  hospital services plan, or a medical or surgical services plan, or any other  entity providing a plan of health insurance, health benefits, or health care  services except as excluded under § 38.2-3557 of the Code of Virginia. 
    "Independent review organization" means an  entity that conducts independent external reviews of adverse determinations and  final adverse determinations.
    "PPACA" means the Patient Protection and  Affordable Care Act (P.L. 111-148), as amended by the Health Care and Education  Reconciliation Act of 2010 (P.L. 111-152).
    "Pre-service claim" means a claim for a benefit  under a health benefit plan that requires [ or allows for ]  approval of the benefit [ in whole or in part, ] in  advance of obtaining the service or treatment.
    "Post-service claim" means a claim for a benefit  under a health benefit plan [ for which that is not a  pre-service claim, or ] the service or treatment has been provided  to the covered person.
    "Self-insured plan" means an "employee  welfare benefit plan" that has the meaning set forth in the Employee  Retirement Income Security Act of 1974, 29 USC § 1002(1).
    "Urgent care appeal" means an appeal for medical  care or treatment with respect to which the application of the time periods for  making non-urgent care determinations (i) could seriously jeopardize the life  or health of the covered person or the ability of the covered person to regain  maximum function; or (ii) in the opinion of the treating health care  professional with knowledge of the covered person's medical condition, would  subject the covered person to severe pain that cannot be adequately managed  without the care or treatment that is the subject of the appeal. An urgent care  appeal shall not be available for any post-service claim or retrospective  adverse benefit determination.
    "Utilization review" means a set of formal  techniques designed to monitor the use of or evaluate the clinical necessity,  appropriateness, efficacy, or efficiency of health care services, procedures or  settings. Techniques may include ambulatory review, prospective review, second  opinion, certification, concurrent review, case management, discharge planning,  or retrospective review. 
    Part II
  Internal Appeal
    14VAC5-216-30. General requirements.
    A. Each health carrier offering a health benefit plan  shall establish and maintain an internal appeals procedure in accordance with  this chapter, 29 USC § 2560.503-1, and 45 CFR 147.136 to provide a full  and fair review of any adverse benefit determination.
    B. As part of each health carrier's health benefit plan  and any adverse benefit determination, each health carrier shall provide notice  of its available internal appeals procedures (including urgent care appeals),  including timeframes for submission of an appeal, the health carrier's review  and response. Such notice shall also include the name, address, and telephone  number of the person or organizational unit designated to coordinate the review  of the appeal for the health carrier, and contact information for the Bureau of  Insurance. If the plan is a managed care health insurance plan (MCHIP), the  mailing address, telephone number, and email address for the Office of the  Managed Care Ombudsman shall also be included.
    C. The internal appeals procedure shall not contain any  provision, or be administered in a way that unduly inhibits or hampers the  initiation or processing of claims for benefits.
    D. The internal appeals procedure shall provide for an  authorized representative of a covered person to act on behalf of the covered  person in pursuing a benefit claim or appeal of an adverse benefit  determination. A health carrier may establish reasonable procedures for  determining whether an individual has been authorized to act on behalf of a  covered person. In the case of an urgent care appeal, a health care  professional shall be permitted to act as the authorized representative of the covered  person, in accordance with this chapter.
    E. The internal appeals procedure shall contain  administrative processes and safeguards designed to ensure and to verify that  benefit determinations are made in accordance with the provisions of the health  benefit plan and, where appropriate, the health benefit plan provisions have  been applied consistently with respect to similarly situated covered persons. 
    14VAC5-216-40. Minimum appeal requirements.
    A. Each covered person shall be entitled to a full and fair  review of an adverse benefit determination. Within 180 days after the date of  receipt of a notice of an adverse benefit determination, a covered person may  file an appeal with the health carrier. A health carrier may designate a  utilization review entity to coordinate the review. For purposes of this  chapter, "health carrier" may also mean its designated utilization  review entity.
    B. The health carrier shall conduct the appeal in a manner  to ensure the independence and impartiality of the individuals involved in  reviewing the appeal. In ensuring the independence and impartiality of such  individuals, the health carrier shall not make decisions regarding hiring,  compensation, termination, promotion, or other similar matters based upon the  likelihood that an individual will support the denial of benefits.
    C. 1. In deciding an appeal of any adverse benefit  determination that is based in whole or in part on a medical judgment,  including determinations with regard to whether a particular treatment, drug,  or other service is experimental, investigational, or not medically necessary  or appropriate, the health carrier shall designate a clinical peer reviewer to  review the appeal. The clinical peer reviewer shall not have been involved in  any previous adverse benefit determination with respect to the claim. 
    2. A reviewer of any other type of adverse benefit  determination shall be an appropriate person designated by the health carrier.  The reviewer of the appeal shall not be the individual who made any previous  adverse benefit determination of the subject appeal nor the subordinate of such  individual and shall not defer to any prior adverse benefit determination.
    D. A full and fair review shall also provide for:
    1. The covered person to have an opportunity to submit written  comments, documents, records, and other information relating to the appeal for  the reviewer or reviewers to consider when reviewing the appeal; 
    2. Upon request to the health carrier, the covered person  to have reasonable access to and free of charge copies of all documents,  records, and other information relevant to the covered person's request for  benefits (note that any request for diagnosis and treatment codes, in itself,  should not be considered to be a request for an internal appeal); 
    3. An appeal process that takes into account all comments,  documents, records, and other information submitted by the covered person  relating to the appeal, without regard to whether such information was  submitted or considered in the initial benefit determination. 
    4. The identification of medical or vocational experts  whose advice was obtained on behalf of the health benefit plan in connection  with a covered person's adverse benefit determination, without regard to  whether the advice was relied upon in making the benefit determination. 
    5. An urgent care appeal process.
    6. Prior to issuing a final adverse benefit determination,  the health carrier to provide free of charge to the covered person any new or  additional evidence relied upon or generated by the health carrier or at the  direction of the health carrier, in connection with the internal appeal  sufficiently in advance of the date the determination is required to be  provided to permit the covered person a reasonable opportunity to respond prior  to that date.
    E. A health carrier shall notify the covered person of the  final benefit determination within a reasonable period of time appropriate to  the medical circumstances, but not later than the timeframes established in  subdivisions 1 and 2 of this subsection.
    1. If an internal appeal involves a pre-service claim  review request, the health carrier shall notify the covered person of its  decision within 30 days after receipt of the appeal. A health carrier may  provide a second level of internal appeal for group health plans only, provided  that a maximum of 15 days is allowed for a benefit determination and  notification from each level of the appeal.
    2. If an internal appeal involves a post-service claim  review request, the health carrier shall notify the covered person of its  decision within 60 days after receipt of the appeal. A health carrier may  provide a second level of internal appeal for group health plans only, provided  that a maximum of 30 days is allowed for a benefit determination and  notification from each level of the appeal.
    14VAC5-216-50. Urgent care appeals.
    A. The health carrier shall notify the covered person of  its initial benefit determination as soon as possible taking into account  medical exigencies, but not later than 72 hours after receipt of the request,  unless the covered person fails to provide sufficient information to determine  whether, or to what extent, benefits are covered or payable under the health  benefit plan. In the case of such failure, the health carrier shall notify the  covered person as soon as possible, but not later than 24 hours after receipt  of the request, of the specific information necessary to complete the claim.  The covered person shall be afforded a reasonable amount of time, taking into  account the circumstances, but not less than 48 hours to provide the specified  information. The health carrier shall notify the covered person of its benefit  determination not later than 48 hours after the earlier of (i) its receipt of  the specified information or (ii) the end of the period afforded to the covered  person to provide the specified additional information.
    B. The notification of an urgent care adverse benefit  determination that is based on a medical necessity, appropriateness, health  care setting, level of care, effectiveness, experimental or investigational  service or treatment, or similar exclusion or limit, shall include a  description of the health carrier's urgent care appeal process including any  time limits applicable to those procedures and the availability of and procedures  for an expedited external review.
    C. Upon receipt of an adverse benefit determination, a  covered person may submit a request for an urgent care appeal either orally or  in writing to the health carrier. 
    D. All necessary information, including the benefit  determination on appeal, shall be transmitted between the health carrier and  the covered person by telephone, facsimile, or the most expeditious method  available.
    E. The health carrier shall notify the covered person and  the treating health care professional of its benefit determination as soon as  possible, taking into account the medical exigencies, but not later than 72  hours after receipt of an urgent care appeal.
    14VAC5-216-60. Concurrent review decisions.
    A. A health carrier shall provide continued coverage  pending the outcome of an internal appeal of a concurrent review decision.
    B. Any reduction or termination by a health carrier of an  approved course of treatment (other than by health benefit plan amendment or  termination) to be provided over a period of time or number of treatments shall  constitute an adverse benefit determination. The health carrier shall notify  the covered person of the adverse benefit determination at a time sufficiently  in advance of the reduction or termination to allow the covered person to file  an internal appeal and obtain a determination before the benefit is reduced or  terminated.
    C. Any request by a covered person to extend the course of  treatment beyond the period of time or number of treatments that is an urgent  care appeal shall be decided as soon as possible, taking into account the  medical exigencies. The covered person and the treating health care  professional shall be notified of the benefit determination within 72 hours  after receipt of the internal appeal.
    14VAC5-216-70. Notification requirements.
    A. A health carrier shall provide a covered person with  written or electronic notification of its benefit determination on appeal. The  notification of an adverse benefit determination shall be written in easily  understandable language and shall set forth the following:
    1. Information sufficient to identify the claim involved  with respect to the appeal, including the date of service, the health care  provider, and the claim amount; 
    2. The specific reason or reasons for the adverse benefit  determination; 
    3. Reference to the specific plan provisions on which the  adverse benefit determination is made; 
    4. A statement that the covered person is entitled to  receive, upon request and free of charge, reasonable access to and copies of  all documents, records, and other information relevant to the covered person's  claim for benefits; 
    5. A statement indicating whether any additional internal  appeals are available or whether the covered person has received a final  adverse determination. If internal appeals are available, contact information  on where to submit the appeal; 
    6. A statement describing the external review procedures  offered by the health carrier and the covered person's right to obtain  information about such procedures and the covered person's right to bring a  civil action under § 502(a) of ERISA (29 USC § 1001 et seq.), if applicable;  and
    7. A statement indicating that the covered person has the  right to request an external review if the covered person has not received a  final benefit determination within the timeframes provided in 14VAC5-216-40 E,  unless the covered person requests or agrees to a delay.
    B. In the case of a group health plan, the required  notification shall also set forth the following:
    1. If an internal rule, guideline, protocol, or other  similar criterion (collectively "rule") was relied upon in making the  adverse benefit determination, either the specific rule or a statement that  such rule was relied upon in making the adverse benefit determination and that  a copy of the rule will be provided free of charge to the covered person upon  request;
    2. If the adverse benefit determination is based on a  medical necessity or experimental treatment or similar exclusion or limit,  either an explanation of the scientific or clinical judgment for the  determination, applying the terms of the plan to the covered person's medical  circumstances, or a statement that such explanation will be provided free of  charge upon request; and
    3. Include a statement indicating that the covered person  may have other voluntary alternative dispute resolution options, such as  mediation. The covered person should be referred to the appropriate federal or  state agency, his plan administrator, or the health carrier, as appropriate. 
    C. Electronic notification shall be in accordance with the  provisions of the Uniform Electronic Transactions Act (§ 59.1-479 et seq.  of the Code of Virginia).
    Part III
  External Review
    14VAC5-216-80. Incomplete or ineligible determinations.
    A. After the covered person has requested an external  review, and if he is notified by the health carrier that the request is  incomplete in accordance with § 38.2-3561 B 4 or 38.2-3563 D 6 of the Code of  Virginia, the covered person shall have five business days from receipt of such  notice to return the requested materials necessary to complete the request to  the health carrier. The health carrier shall then have five business days to  conduct the preliminary review for eligibility. Notification shall be in  accordance with the provisions of § 38.2-3561 C or 38.2-3563 E of the  Code of Virginia. 
    B. If the health carrier determines that a covered  person's request for external review is complete but ineligible, the covered  person may request that the commission review the ineligibility determination.
    1. Within five business days from the date the covered  person receives notification from the health carrier, the covered person may  request in writing that the commission review the ineligibility determination  by the health carrier.
    2. Within one business day after receipt of a notification  from the covered person, the commission shall notify the health carrier of such  request.
    3. Within three business days of receipt of the  commission's notice to the health carrier, the health carrier shall forward all  information and materials used to make the ineligibility determination to the  commission.
    4. Within five business days of receipt of all materials  necessary to make an eligibility determination, the commission shall review the  file and make such decision.
    5. Within one business day of such decision, the commission  shall notify the covered person and the health carrier, and the assigned  independent review organization if eligible.
    C. If the covered person has requested an expedited  external review or an expedited external review of experimental or  investigational treatment, and is notified by the health carrier that the  request for such expedited external review is incomplete, the covered person  shall promptly return the requested materials necessary to complete the request  to the health carrier. The health carrier shall then promptly conduct the  preliminary review for eligibility.
    D. If the health carrier determines that a covered  person's request for expedited external review is complete but ineligible, the  covered person may promptly request, orally or in writing, that the commission  review the ineligibility determination.
    1. Upon receipt of an eligibility request from a covered  person, the commission shall promptly notify the health carrier of such request.
    2. The health carrier shall promptly forward all  information and materials used to make the ineligibility determination to the  commission.
    3. Upon receipt of all information and materials from the  health carrier, the commission shall promptly review the file and make an  eligibility determination.
    4. The commission shall promptly notify the covered person  and the health carrier, and the assigned independent review organization if  eligible.
    E. If the request for a standard external review does not  contain sufficient information to allow the commission to send the request to  the health carrier, the commission shall have one business day from the date  the sufficient information is received to provide notice to the health carrier.
    14VAC5-216-90. Expedited external review.
    A. If a covered person files a request with the commission  for an expedited external review in accordance with § 38.2-3560 C of the Code  of Virginia, the health carrier shall promptly conduct an eligibility  determination in accordance with 14VAC5-216-80 prior to review by an  independent review organization.
    B. When an independent review organization is requested by  the commission in accordance with § 38.2-3562 of the Code of Virginia to  conduct an expedited external review of an adverse determination under § 38.2-3560 C of the Code of Virginia, the independent review organization shall  determine whether the timeframes for sequential completion of the expedited  internal appeal and expedited external review (i) could seriously jeopardize the  life or health of the covered person or the ability of the covered person to  regain maximum function; or (ii) would subject the covered person to severe  pain that cannot be adequately managed without the care or treatment that is  the subject of the appeal, as compared to the timeframes for simultaneous  completion of the expedited appeal and review. The independent review  organization shall promptly make such determination and shall promptly notify  the covered person, the health carrier, and the commission.
    14VAC5-216-100. Qualifications for independent review  organizations.
    A. An independent review organization that desires to  conduct external reviews for the Commonwealth shall submit an application  [ and $500 application fee ] using Form 216-E to the  commission for review and approval. [ An application fee of up to  $500 may be required. ] 
    B. An independent review organization shall meet all the  qualification requirements in § 38.2-3565 of the Code of Virginia. 
    C. An independent review organization that does not  maintain required accreditation status shall provide notice to the commission  within 30 days of any change in such status. 
    14VAC5-216-110. External review reporting requirements.
    In accordance with § 38.2-3568 of the Code of Virginia,  each health carrier and each independent review organization shall file with  the commission a report by April 1 of each calendar year using Form 216-F or  216-G as appropriate.
    14VAC5-216-120. Funding of external review.
    Failure of a health carrier to timely pay any independent  review organization for a completed external review shall be a violation of  this section and shall subject the health carrier to penalties imposed under  Title 38.2 of the Code of Virginia.
    14VAC5-216-130. Self-insured plans.
    A. Any self-insured plan whose plan sponsor's headquarters  is located in Virginia may choose to utilize the external review processes  outlined in Chapter 35.1 (§ 38.2-3556 et seq.) of Title 38.2 of the Code of  Virginia. For purposes of Part III of this chapter, "health carrier"  shall mean a self-insured plan or its third-party administrator if any, that  opts in to the state external review process.
    B. A self-insured plan utilizing such external review  processes shall notify the commission that it will opt-in to the state external  review process by completing Form 216-H. A new form shall be completed for each  plan year.
    C. A self-insured plan that opts in to the state external  review process shall comply with all statutes and regulations pertaining to  such process. Plan materials and appropriate denial notices shall contain  required information regarding the state external review processes.
    D. A self-insured plan that opts into the state external  review process but fails to comply with the requirements outlined in this  chapter and applicable state statutes pertaining to the external review process  may be terminated from use of such process by the commission.
        NOTICE:  The following forms used in administering the regulation were filed by the  agency. The forms are not being published; however, online users of this issue  of the Virginia Register of Regulations may click on the name to access a form.  The forms are also available through the agency contact or at the Office of the  Registrar of Regulations, General Assembly Building, 2nd Floor, Richmond,  Virginia 23219.
         FORMS (14VAC5-216)
    External  Review Request Form, Form 216-A (7/11).
    Appointment  of Authorized Representative, Form 216-B (7/11).
    Physician  Certification Expedited External Review Request, Form 216-C (7/11).
    Physician  Certification Experimental or Investigational Denials, Form 216-D (7/11).
    [ Independent  Review Organization Application for Registration, Form 216-E (7/11)
    Independent  Review Organization Application for Registration, Form 216-E (7/11). ]  
    Health  Carrier External Review Annual Report Form, Form 216-F (7/11).
    Independent  Review Organization External Review Annual Report Form, Form 216-G (7/11).
    Self-Insured  Plan Opt-In to Virginia External Review Process, Form 216-H (7/11).
    VA.R. Doc. No. R11-2809; Filed June 13, 2011, 11:14 a.m. 
 
                                                        Allocation of a Portion of the Commonwealth's Share of the  Calendar Year 2009 and 2010 National Limitation for Qualified School  Construction Bonds Under the American Recovery and Reinvestment Act of 2009
    The American Recovery and Reinvestment Act of 2009 (Pub. L. No.  111-5, 123 Stat. 355 (2009)) was enacted on February 17, 2009  ("ARRA"). ARRA added Section 54F to the Internal Revenue Code of  1986, as amended ("IRC"), to provide for the issuance of qualified  school construction bonds ("QSCBs"). QSCBs are tax credit bonds that  may be issued to finance the construction, rehabilitation, or repair of a  public school facility or for qualifying public school facility land  acquisitions ("Qualified Projects"). QSCBs were originally designed  as taxable bonds providing the QSCB holder with a federal tax credit in lieu of  interest. In the Hiring Incentives to Restore Employment Act (Pub. L. No.  111-147, 124 Stat. 71 (2010)), enacted March 18, 2010, Congress provided a  direct payment subsidy option whereby an issuer of QSCBs could elect to receive  a subsidy payment from the federal government on each interest payment date  intended to be equal to the amount of coupon interest payable on such date.
    One of the conditions for the valid issuance of QSCBs is the  receipt of an allocation of the national limitation under IRC Section 54F(c)  sufficient to cover the maximum face amount of the QSCBs to be issued (a  "Volume Cap Allocation"). IRC Section 54F created a national  limitation of $11 billion for each of calendar years 2009 and 2010, with a  provision allowing carryforwards of any unused limitation amounts to calendar  years after 2010. The U.S. Secretary of the Treasury made allocations of the  calendar year 2009 and 2010 national limitation amounts to the states and  certain "large local education agencies" in accordance the formulae  set forth in IRC Section 54F. Pursuant to Notice 2009-35 of the Internal  Revenue Service (IRB 2009-17, dated April 27, 2009) (the "Notice"),  the share of the calendar year 2009 national limitation allocated to the  Commonwealth of Virginia (the "Commonwealth" or "Virginia")  is $191,077,000 (the "2009 Commonwealth Share") and, pursuant to  Notice 2010-17 (IRB 2010-14, dated March 17, 2010), the share of the calendar  year 2010 national limitation allocated to the Commonwealth is $172,249,000  (the "2010 Commonwealth Share"). The 2010 Commonwealth Share is less  than the 2009 Commonwealth Share primarily because two Virginia localities were  determined to be large local education agencies for calendar year 2010 and  thereby directly received allocations of the national limitation amount that  otherwise would have been added to the 2010 Commonwealth Share. The two  localities and the amounts received are the City of Norfolk, which received  $15,092,000, and the City of Richmond, which received $14,983,000.
    IRC Section 54F(d)(1) also provides that the national  limitation amount allocated to a state for any calendar year shall be allocated  by a "state agency" to qualified issuers within the state. The  General Assembly has provided no specific guidance on how such allocations are  to be made in Virginia. 
    From the $191,077,000 2009 Commonwealth Share, Executive Order  90 (2009) made a Volume Cap Allocation to the Virginia Public School Authority  ("VPSA") in an amount sufficient to cover QSCBs to be issued by VPSA  to finance certain qualifying projects in certain localities that were on the  Literary Fund First Priority Waiting List approved by the Virginia Board of  Education. On November 13, 2009, VPSA issued its School Tax Credit Bonds  (Qualified School Construction Bonds), Series 2009-1 (the "2009 VPSA  QSCBs"), pursuant to such Volume Cap Allocation. The 2009 VPSA QSCBs  consumed $61,120,000 of the 2009 Commonwealth Share. 
    Also from the 2009 Commonwealth Share, Executive Order 12  (2010) made a Volume Cap Allocation to VPSA in an amount sufficient to cover  QSCBs to be issued by VPSA to finance certain qualifying projects in certain  localities that went through a competitive evaluation process to finance energy  efficiency improvements and renovations, as well as renewable energy projects,  for public school buildings. The application process was supervised by the  Virginia Department of Education ("VDOE") and the Virginia Department  of Mines, Minerals and Energy. On July 8, 2011, VPSA issued its School Tax Credit  Bonds (Direct-Pay Qualified School Construction Bonds), Series 2010-1 (the  "2010 VPSA QSCBs"), pursuant to such Volume Cap Allocation. The 2010  VPSA QSCBs consumed an additional $72,655,000 of the 2009 Commonwealth Share. 
    After accounting for the issuance of the 2009 VPSA QSCBs and  the 2010 VPSA QSCBs, there remains unused $57,302,000 of the 2009 Commonwealth  Share. When combined with the completely unused $172,249,000 2010 Commonwealth  Share, Virginia has $229,551,000 remaining in unused limitation amount, all of  which has carried forward into calendar year 2011 (the "Carryforward  Amount").
    On March 2, 2011, VDOE announced the allocation of the entire  Carryforward Amount to fully or partially fund 41 new construction, renovation,  and expansion application-based projects in 33 school divisions. Allocations  were capped at $15.0 million per division. The application process gave  priority to consolidation projects, projects eliminating overcrowding, projects  in economically stressed localities, projects replacing facilities more than 35  years old, projects creating school-wide, high-speed computer networks, and  projects in divisions not receiving prior QSCB allocations. Priority was also  given to projects related to health and safety and projects on the July 2010  first-priority waiting list for Literary Fund loans. It was anticipated that  VPSA would issue the QSCBs supported by such allocation.
    Since spend-down requirements for QSCBs under the IRC are  stringent, and recognizing that some localities needed additional time to  complete planning for their projects, VPSA offered the awarded localities the  option to participate in one of two separate QSCB sales in calendar year 2011  and, if necessary, will schedule one or more additional sales in calendar year  2012.
    VPSA is scheduled to sell the first calendar year 2011 QSCBs  series (the "2011-1 QSCBs") by mid-June 2011, and to close by the end  of June 2011. 
    The allocations to the school divisions and projects announced  by VDOE on March 2, 2011, were deemed to be preliminary until the eligibility  of each project for QSCB financing was determined through detailed project  review. VDOE advised that prior to the sale of the applicable QSCBs, the final  qualifying projects and project issuance amounts would be formally set out in  an Executive Order. VDOE has advised me of the qualifying projects and maximum  face amounts of QSCBs for each such project proposed to be included in the  2011-1 QSCBs. Such projects and the localities in which they are located will  be referred to below respectively as the "2011-1 Awarded Projects"  and the "2011-1 Awarded Localities." An additional Executive Order is  anticipated to be issued prior to each future sale of QSCBs by VPSA. 
    Accordingly, by virtue of the powers invested in me by Article  V of the Constitution of Virginia and Section 2.2-103 of the Code of Virginia  of 1950, as amended, as Governor of the Commonwealth of Virginia, I hereby  provide a Volume Cap Allocation to VPSA pursuant to IRC Section 54F(d)(1) from  the Carryforward Amount in an amount sufficient for VPSA to issue QSCBs for the  benefit of each of the 2011-1 Awarded Localities listed below in an aggregate  face amount up to the respective maximum face amount listed below. Although it  is anticipated that the 2011-1 Awarded Localities will participate in VPSA's  2011-1 QSCBs sale, the portion of the Volume Cap Allocation provided for any  2011-1 Awarded Locality will remain in effect and can be used in any VPSA QSCB  sale until the expiration date described below. The first priority use of the sale  and investment proceeds of such QSCBs (the "Local Available Project  Proceeds") shall be to finance qualifying costs of the respective 2011-1  Awarded Projects, as listed below. 
    In addition, pursuant to the request of the affected  localities, VDOE and VPSA staff, I hereby provide Volume Cap Allocations from  the Carryforward Amount directly to certain localities to finance on a  first-priority basis certain projects in the maximum face amounts set forth in  the chart below.
    The above-listed localities and projects shall be referred to  herein separately as the "Separate Awarded Localities" and  "Separate Awarded Projects" and, collectively with the 2011-1 Awarded  Localities and the 2011-1 Awarded Projects, as the "Awarded Localities"  and "Awarded Projects," respectively. The sale and investment  proceeds of the QSCBs issued by the Separate Awarded Localities shall also be  referred to as "Local Available Project Proceeds." 
    An Awarded Locality must give first priority to the application  of its Local Available Project Proceeds to complete the scope of work described  in the approved project application for its Awarded Project. 
    VDOE is directed to establish a procedure to ensure that the  Local Available Project Proceeds are used to finance public school projects  within an Awarded Locality ("Additional Projects") to the extent such  proceeds are in excess of the amounts needed to complete the scope of work on  the locality's Awarded Project. Such Additional Projects (i) must be projects  that will qualify for QSCB financing under the applicable provisions of federal  and Virginia law, (ii) must be able to utilize the unspent Local Available  Project Proceeds within the three years after the issue date of the respective  QSCBs and (iii) should be evaluated against the following criteria:  consolidation projects, projects eliminating overcrowding, projects replacing  facilities more than 35 years old, and projects creating school-wide,  high-speed computer networks. 
    By June 30, 2012, VPSA and the Separate Awarded Localities  shall provide to the Superintendent of Public Instruction the completed  Internal Revenue Service reporting form or forms (then in effect for the QSCBs)  for those QSCBs issued pursuant to the Volume Cap Allocations made to VPSA and the  Separate Awarded Localities pursuant to this order. Any portion of such Volume  Cap Allocations not used by June 30, 2012 will expire and be deemed waived by  the VPSA and the Separate Awarded Localities, and I will direct VDOE to  establish procedures for reallocating the waived Volume Cap Allocations. 
    I hereby authorize the Superintendent of Public Instruction to  provide certificates of compliance with IRC Section 54F(c) as may be requested  by the VPSA and any of the Separate Awarded Localities.
    This Executive Order shall be effective as of June 10, 2011,  without any further act or filing.
    Given under my hand and under the Seal of the Commonwealth of  Virginia this ____ day of June, 2011.
    /s/ Robert F. McDonnell
  Governor