TITLE 4. CONSERVATION AND NATURAL RESOURCES
BOARD OF WILDLIFE RESOURCES
Final Regulation
REGISTRAR'S NOTICE: The Board of Wildlife Resources is claiming an exemption from Article 2 of 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 or the appropriation act where no agency discretion is involved. The State Board of Social Services will receive, consider, and respond to petitions by any interested person at any time with respect to reconsideration or revision.
Titles of Regulations: 4VAC15-20. Definitions and Miscellaneous: In General (amending 4VAC15-20-10, 4VAC15-20-75).
4VAC15-30. Definitions and Miscellaneous: Importation, Possession, Sale, etc., of Animals (amending 4VAC15-30-40).
4VAC15-40. Game: In General (amending 4VAC15-40-60, 4VAC15-40-281, 4VAC15-40-287).
4VAC15-90. Game: Deer (amending 4VAC15-90-290).
4VAC15-270. Game: Firearms (amending 4VAC15-270-60, 4VAC15-270-95).
4VAC15-275. Game: Hunter Education (amending 4VAC15-275-10, 4VAC15-275-20, 4VAC15-275-80).
4VAC15-290. Game: Permits (amending 4VAC15-290-130).
4VAC15-340. Fish: Seines and Nets (amending 4VAC15-340-80).
4VAC15-410. Watercraft: Boating Safety Education (amending 4VAC15-410-20).
Statutory Authority: §§ 29.1-103, 29.1-501, and 29.1-502 of the Code of Virginia.
Effective Date: January 1, 2021.
Agency Contact: Aaron Proctor, Regulations Coordinator, Department of Wildlife Resources, 7870 Villa Park Drive, Suite 400, Henrico, VA 23228, telephone (804) 367-8341, or email aaron.proctor@dwr.virginia.gov.
Summary:
The amendments align regulations with Chapter 958 of the 2020 Acts of Assembly, which changes the name of the department to Department of Wildlife Resources and of the board to Board of Wildlife Resources.
4VAC15-20-10. Definitions; generally.
Words and phrases used in any regulations made by the board shall have the same meaning, unless the context clearly indicates otherwise, as is given for such words and phrases in the Virginia Game and Inland Fisheries laws contained in Title 29.1 (§ 29.1-100 et seq.) of the Code of Virginia.
4VAC15-20-75. Wildlife Violator Compact.
A. This section is adopted pursuant to authority granted to the Board of Game and Inland Fisheries Wildlife Resources under §§ 29.1-103 and 29.1-530.5 of the Code of Virginia.
B. Definitions used herein in this section, unless the contrary is clearly indicated are those used in § 29.1-530.5 of the Code of Virginia, the Wildlife Violator Compact, herein referred to as the compact (compact).
C. In accordance with Article VII of the compact, the board hereby authorizes the Director of the Department of Game and Inland Fisheries Wildlife Resources to appoint the Commonwealth's representative to the Board of Compact Administrators. Such appointment shall be consistent with and subject to the aforesaid provisions of the compact and such representative shall serve at the pleasure of the director.
D. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the conviction in that state of a resident of the Commonwealth, the department shall enter such conviction in its records and such conviction shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations for purposes of suspension of license privileges.
E. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the failure of a resident of the Commonwealth to comply with the terms of a citation issued by that state, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence of compliance with the terms of such citation.
F. In accordance with Article V of the compact, upon receipt from a participating state of a report of the suspension of license privileges of a resident of the Commonwealth issued by that state that is in accordance with suspension of license pursuant to the Code of Virginia, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence that such suspension has been terminated.
G. Upon receipt of a report pursuant to subsections subsection D, E, or F of this section, the director or his the director's designee shall provide notice thereof to the resident of the Commonwealth who is the subject of such report. Such notice shall advise such person of the contents of the notice and of any action that the department proposes to take in response thereto.
H. The person who is the subject of such notice shall be provided an opportunity to request within 30 days from the date of such notice an opportunity to contest the department's proposed action by requesting an informal fact-finding conference to be conducted by a representative of the department designated by the director. Although such proceedings are exempt from the requirements of the Administrative Process Act (§ 2.2-4000 et seq. of the Code of Virginia) as provided by § 2.2-4002 A 3 thereof of the Code of Virginia, the department shall to the extent practicable afford such persons seeking an informal fact-finding conference the rights provided under § 2.2-4019 of the Code of Virginia. Those include but are not limited to the right to receive reasonable notice as described in subsection G of this section and the right to appear in person or by counsel before the designated representative of the department. However, no discovery shall be conducted and no subpoenas shall be issued as part of any such proceeding.
I. An informal fact-finding proceeding shall be completed within 60 days of receipt by the department of the request described in subsection H of this section. Upon such completion the designated representative of the department shall make a recommended decision to the director or to such person designated by the director to make such decision. The decision maker shall promptly issue a written decision to the person who requested the proceeding. If the affected party is not satisfied by this decision it may be appealed to a three member panel as appointed by the agency director.
J. Any decision upholding the suspension of licensing privileges as a result of the process described in subsections D through I of this section shall be entered by the department on its records and shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations.
K. The director shall establish procedures for reporting to participating states convictions or failures to comply with citations in the Commonwealth by residents of those respective states. Such procedures shall comply with the reporting requirements established by and pursuant to the provisions of the compact.
4VAC15-30-40. Importation requirements, possession, and sale of nonnative (exotic) animals.
A. Permit required. A special permit is required and may be issued by the department, if consistent with the department's fish and wildlife management program, to import, possess, or sell those nonnative (exotic) animals listed below in the following table and in 4VAC15-20-210 that the board finds and declares to be predatory or undesirable within the meaning and intent of § 29.1-542 of the Code of Virginia, in that their introduction into the Commonwealth will be detrimental to the native fish and wildlife resources of Virginia.
AMPHIBIANS |
Order | Family | Genus/Species | Common Name |
Anura | Bufonidae | Rhinella marina | Cane toad* |
Pipidae | Hymenochirus spp. Pseudohymenochiris merlini | African dwarf frog |
Xenopus spp. | Tongueless or African clawed frog |
Caudata | Ambystomatidae | All species | All mole salamanders |
BIRDS |
Order | Family | Genus/Species | Common Name |
Psittaciformes | Psittacidae | Myiopsitta monachus | Monk parakeet* |
Anseriformes | Anatidae | Cygnus olor | Mute swan |
FISH |
Order | Family | Genus/Species | Common Name |
Cypriniformes | Catostomidae | Catostomus microps | Modoc sucker |
Catostomus santaanae | Santa Ana sucker |
Catostomus warnerensis | Warner sucker |
Ictiobus bubalus | Smallmouth* buffalo |
I. cyprinellus | Bigmouth* buffalo |
I. niger | Black buffalo* |
Characidae | Pygopristis spp. Pygocentrus spp. Rooseveltiella spp. Serrasalmo spp. Serrasalmus spp. Taddyella spp. | Piranhas |
Cobitidae | Misgurnus anguillicaudatus | Oriental weatherfish |
Cyprinidae | Aristichyhys nobilis | Bighead carp* |
Chrosomus saylori | Laurel dace |
Ctenopharyngodon idella | Grass carp or white amur |
Cyprinella caerulea | Blue shiner |
Cyprinella formosa | Beautiful shiner |
Cyprinella lutrensis | Red shiner |
Hypophthalmichthys molitrix | Silver carp* |
Mylopharyngodom piceus | Black carp* |
Notropis albizonatus | Palezone shiner |
Notropis cahabae | Cahaba shiner |
Notropis girardi | Arkansas River shiner |
Notropis mekistocholas | Cape Fear shiner |
Notropis simus pecosensis | Pecos bluntnose shiner |
Notropis topeka (= tristis) | Topeka shiner |
Phoxinus cumberlandensis | Blackside dace |
Rhinichthys osculus lethoporus | Independence Valley speckled dace |
Rhinichthys osculus nevadensis | Ash Meadows speckled dace |
Rhinichthys osculus oligoporus | Clover Valley speckled dace |
Rhinichthys osculus ssp. | Foskett speckled dace |
Rhinichthys osculus thermalis | Kendall Warm Springs dace |
Scardinius erythrophthalmus | Rudd |
Tinca tinca | Tench* |
Cyprinodontiformes | Poeciliidae | Gambusia gaigei | Big Bend gambusia |
Gambusia georgei | San Marcos gambusia |
Gambusia heterochir | Clear Creek gambusia |
Gambusia nobilis | Pecos gambusia |
Peociliopsis occidentalis | Gila topminnow |
Gasterosteiformes | Gasterosteidae | Gasterosteus aculeatus williamsoni | Unarmored threespine stickleback |
Gobiesociformes | Gobiidae | Proterorhinus marmoratus | Tubenose goby |
Neogobius melanostomus | Round goby |
Perciformes | Channidae | Channa spp. Parachanna spp. | Snakeheads |
Cichlidae | Tilapia spp. | Tilapia |
Gymnocephalus cernuum | Ruffe* |
Elassomatidae | Elassoma alabamae | Spring pygmy sunfish |
Percidae | Crystallaria cincotta | Diamond darter |
Etheostoma chermocki | Vermilion darter |
Etheostoma boschungi | Slackwater darter |
Etheostoma chienense | Relict darter |
Etheostoma etowahae | Etowah darter |
Etheostoma fonticola | Fountain darter |
Etheostoma moorei | Yellowcheek darter |
Etheostoma nianguae | Niangua darter |
Etheostoma nuchale | Watercress darter |
Etheostoma okaloosae | Okaloosa darter |
Etheostoma phytophilum | Rush darter |
Etheostoma rubrum | Bayou darter |
Etheostoma scotti | Cherokee darter |
Etheostoma sp. | Bluemask (= jewel) darter |
Etheostoma susanae | Cumberland darter |
Etheostoma wapiti | Boulder darter |
Percina antesella | Amber darter |
Percina aurolineata | Goldline darter |
Percina jenkinsi | Conasauga logperch |
Percina pantherina | Leopard darter |
Percina tanasi | Snail darter |
Scorpaeniformes | Cottidae | Cottus sp. | Grotto sculpin |
Cottus paulus (= pygmaeus) | Pygmy sculpin |
Siluriformes | Clariidae | All species | Air-breathing catfish |
Ictaluridae | Noturus baileyi | Smoky madtom |
Noturus crypticus | Chucky madtom |
Noturus placidus | Neosho madtom |
Noturus stanauli | Pygmy madtom |
Noturus trautmani | Scioto madtom |
Synbranchiformes | Synbranchidae | Monopterus albus | Swamp eel |
MAMMALS |
Order | Family | Genus/Species | Common Name |
Artiodactyla | Suidae | All Species | Pigs or Hogs* |
Cervidae | All Species | Deer* |
Carnivora | Canidae | All Species | Wild Dogs,* Wolves, Coyotes or Coyote hybrids, Jackals and Foxes |
Ursidae | All Species | Bears* |
Procyonidae | All Species | Raccoons and* Relatives |
Mustelidae | All Species | Weasels, Badgers,* Skunks and Otters |
(except Mustela putorius furo) | Ferret |
Viverridae | All Species | Civets, Genets,* Lingsangs, Mongooses, and Fossas |
Herpestidae | All Species | Mongooses* |
Hyaenidae | All Species | Hyenas and Aardwolves* |
Felidae | All Species | Cats* |
Chiroptera | | All Species | Bats* |
Lagomorpha | Lepridae | Brachylagus idahoensis | Pygmy rabbit |
Lepus europeaeous | European hare |
Oryctolagus cuniculus | European rabbit |
Sylvilagus bachmani riparius | Riparian brush rabbit |
Sylvilagus palustris hefneri | Lower Keys marsh rabbit |
Rodentia | | All species native to Africa | All species native to Africa |
Dipodidae | Zapus hudsonius preblei | Preble's meadow jumping mouse |
Muridae | Microtus californicus scirpensis | Amargosa vole |
Microtus mexicanus hualpaiensis | Hualapai Mexican vole |
Microtus pennsylvanicus dukecampbelli | Florida salt marsh vole |
Neotoma floridana smalli | Key Largo woodrat |
Neotoma fuscipes riparia | Riparian (= San Joaquin Valley) woodrat |
Oryzomys palustris natator | Rice rat |
Peromyscus gossypinus allapaticola | Key Largo cotton mouse |
Peromyscus polionotus allophrys | Choctawhatchee beach mouse |
Peromyscus polionotus ammobates | Alabama beach mouse |
Peromyscus polionotus niveiventris | Southeastern beach mouse |
Peromyscus polionotus peninsularis | St. Andrew beach mouse |
Peromyscus polionotus phasma | Anastasia Island beach mouse |
Peromyscus polionotus trissyllepsis | Perdido Key beach mouse |
Reithrodontomys raviventris | Salt marsh harvest mouse |
Heteromyidae | Dipodomys heermanni morroensis | Morro Bay kangaroo rat |
Dipodomys ingens | Giant kangaroo rat |
Dipodomys merriami parvus | San Bernadino Merriam's kangaroo rat |
Dipodomys nitratoides exilis | Fresno kangaroo rat |
Dipodomys nitratoides nitratoides | Tipton kangaroo rat |
Dipodomys stephensi (including D. cascus) | Stephens' kangaroo rat |
Perognathus longimembris pacificus | Pacific pocket mouse |
Sciuridae | Cynomys spp. | Prairie dogs |
Spermophilus brunneus brunneus | Northern Idaho ground squirrel |
Tamiasciurus hudsonicus grahamensis | Mount Graham red squirrel |
Soricomorpha | Soricidae | Sorex ornatus relictus | Buena Vista Lake ornate shrew |
MOLLUSKS |
Order | Family | Genus/Species | Common Name |
Neotaenioglossa | Hydrobiidae | Potamopyrgus antipodarum | New Zealand mudsnail |
Veneroida | Dreissenidae | Dreissena bugensis | Quagga mussel |
Dreissena polymorpha | Zebra mussel |
REPTILES |
Order | Family | Genus/Species | Common Name |
Crocodilia | Alligatoridae | All species | Alligators, caimans* |
Crocodylidae | All species | Crocodiles* |
Gavialidae | All species | Gavials* |
Squamata | Colubridae | Boiga irregularis | Brown tree snake* |
CRUSTACEANS |
Order | Family | Genus/Species | Common Name |
Decapoda | Cambaridae | Cambarus aculabrum | Cave crayfish |
Cambarus zophonastes | Cave crayfish |
Orconectes rusticus | Rusty crayfish |
Orconectes shoupi | Nashville crayfish |
Pacifastacus fortis | Shasta crayfish |
Procambarus sp. | Marbled crayfish |
Parastacidae | Cherax spp. | Australian crayfish |
Varunidea | Eriocheir sinensis | Chinese mitten crab |
B. Temporary possession permit for certain animals. Notwithstanding the permitting requirements of subsection A of this section, a person, company, or corporation possessing any nonnative (exotic) animal, designated with an asterisk (*) in subsection A of this section, prior to July 1, 1992, must declare such possession in writing to the department by January 1, 1993. This written declaration shall serve as a permit for possession only, is not transferable, and must be renewed every five years. This written declaration must include species name, common name, number of individuals, date or dates acquired, sex (if possible), estimated age, height or length, and other characteristics such as bands and band numbers, tattoos, registration numbers, coloration, and specific markings. Possession transfer will require a new permit according to the requirements of this subsection.
C. Exception for certain monk parakeets. A permit is not required for monk parakeets (quakers) that have been captive bred and are closed-banded with a seamless band.
D. Exception for parts or products. A permit is not required for parts or products of those nonnative (exotic) animals listed in subsection A of this section that may be used for personal use, in the manufacture of products, or used in scientific research, provided that such parts or products be packaged outside the Commonwealth by any person, company, or corporation duly licensed by the state in which the parts originate. Such packages may be transported into the Commonwealth, consistent with other state laws and regulations, so long as the original package remains unbroken, unopened and intact until its point of destination is reached. Documentation concerning the type and cost of the animal parts ordered, the purpose and date of the order, point and date of shipping, and date of receiving shall be kept by the person, business, or institution ordering such nonnative (exotic) animal parts. Such documentation shall be open to inspection by a representative of the Department of Game and Inland Fisheries Wildlife Resources.
E. Exception for prairie dogs. The effective date of listing of prairie dogs under subsection A of this section shall be January 1, 1998. Prairie dogs possessed in captivity in Virginia on December 31, 1997, may be maintained in captivity until the animals' deaths, but they may not be sold on or after January 1, 1998, without a permit.
F. Exception for snakehead fish. Anglers may legally harvest snakehead fish of the family Channidae, provided that they immediately kill such fish and that they notify the department, as soon as practicable, of such actions.
G. Exception for feral hogs. Anyone may legally trap feral hogs with written permission of the landowner, provided that any trapped hogs are not removed from the trap site alive and are killed immediately.
H. Exception for grass carp. Anglers may legally harvest grass carp of the family Cyprinidae from public waters of the Commonwealth, except from department-owned or department-controlled lakes, provided that anglers ensure that harvested grass carp are dead.
I. All other nonnative (exotic) animals. All other nonnative (exotic) animals not listed in subsection A of this section may be possessed, purchased, and sold; provided, that such animals shall be subject to all applicable local, state, and federal laws and regulations, including those that apply to threatened/endangered species, and further provided, that such animals shall not be liberated within the Commonwealth.
4VAC15-40-60. Hunting with dogs or possession of weapons in certain locations during closed season.
A. Department-owned and national forest lands statewide. It shall be unlawful to have in possession a firearm or any hunting weapon that is not unloaded and cased or dismantled on all national forest lands statewide and on department-owned lands and on other lands managed by the department under cooperative agreement except during the period when it is lawful to take bear, deer, grouse, pheasant, quail, rabbit, raccoon, squirrel, turkey, waterfowl, or migratory gamebirds on these lands.
B. Certain counties. Except as otherwise provided in 4VAC15-40-70, it shall be unlawful to have either a shotgun or a rifle in one's possession when accompanied by a dog in the daytime in the fields, forests or waters of the Counties of Augusta, Clarke, Frederick, Page, Shenandoah, and Warren, and in the counties east of the Blue Ridge Mountains, except Patrick, at any time except the periods prescribed by law to hunt game birds and animals.
C. Shooting ranges and authorized activities. The provisions of this section shall not prohibit the conduct of any activities authorized by the board or the establishment and operation of archery and shooting ranges on the lands described in subsections A and B of this section. The use of firearms or any hunting weapon in such ranges during the closed season period will be restricted to the area within the established range boundaries. Such weapons shall be required to be unloaded and cased or dismantled in all areas other than the range boundaries. The use of firearms or any hunting weapon during the closed hunting period in such ranges shall be restricted to target shooting only, and no birds or animals shall be molested.
D. It shall be unlawful to chase with a dog or train dogs on national forest lands or department-owned lands except during authorized hunting, chase, or training seasons that specifically permit these activities on these lands or during raccoon hound field trials on these lands between September 1 and March 31, both dates inclusive, that are sanctioned by bona fide national kennel clubs and authorized by permits issued by the department or the U.S. Forest Service.
E. It shall be unlawful to possess or transport any loaded firearm or loaded hunting weapon in or on any vehicle at any time on national forest lands or department-owned lands.
F. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their authorized and official duties, nor shall it prohibit possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
G. Meaning of "possession" of any hunting weapon and definition of "loaded crossbow," "loaded arrowgun," "loaded muzzleloader," and "loaded firearm." For the purpose of this section, the word "possession" shall include having any firearm or weapon used for hunting in or on one's person, vehicle, or conveyance. For the purpose of this section, a "loaded firearm" means a firearm in which ammunition is chambered or loaded in the magazine or clip when such magazine or clip is engaged or partially engaged in a firearm. The definition of a "loaded muzzleloader" will include a muzzleloading rifle, pistol, or shotgun that is capped, has a charged pan, or has a primer or battery installed in the muzzleloader. A "loaded crossbow" means a crossbow that is cocked and has either a bolt or arrow engaged or partially engaged on the shooting rail or track of the crossbow, or with a "trackless crossbow" when the crossbow is cocked and a bolt or arrow is nocked. "Loaded arrowgun" means an arrowgun that has an arrow or bolt inserted on the arrow rest or in the barrel. "Hunting weapon" means any weapon allowable for hunting as defined in § 29.1-519 of the Code of Virginia.
4VAC15-40-281. Unauthorized feeding of bear, deer, or turkey on national forest lands and department-owned lands.
It shall be unlawful to place or direct the placement of, deposit, distribute, or scatter food or salt capable of attracting or being eaten by bear, deer, or turkey on national forest lands or on department-owned lands without the written authorization of the Director of the Department of Game and Inland Fisheries Wildlife Resources or his the director's designee. The provisions of this section shall not prohibit the disposal of food in trash receptacles provided by the U.S. Forest Service on national forest lands or by the department on department-owned lands.
4VAC15-40-287. Model ordinances related to feeding of deer in cities and towns.
Per the provisions of § 29.1-527.2 of the Code of Virginia, the following model ordinance related to the feeding of deer may be adopted by a city or town. Any city or town must notify the director of the Department of Game and Inland Fisheries Wildlife Resources of the adoption of such an ordinance by registered mail.
Model ordinance:
A. Pursuant to § 29.1-527.2 of the Code of Virginia, it shall be unlawful for any person to place, distribute, or allow the placement of food, salt, minerals, or similar substances to feed or attract deer at any time.
B. No person shall continue to place, distribute, or allow the placement of food, salt, minerals, or similar substances for any purpose if the placement of these materials results in the presence of deer.
C. No part of this ordinance shall be construed to restrict agricultural, commercial, noncommercial, or residential plantings (including wildlife food plots); bona fide distribution of food to livestock; or wildlife management activities conducted or authorized by the Department of Game and Inland Fisheries Wildlife Resources.
4VAC15-90-290. Special quality deer management areas.
A. The board hereby designates the following areas posted by the Department of Game and Inland Fisheries Wildlife Resources as special quality deer management areas with special antlered buck harvest.
B. Special Fairystone quality deer management area. It shall be unlawful to kill an antlered deer on the special Fairystone quality deer management area unless the deer has at least four antler points, each greater than one inch in length, on either the right or left antler.
4VAC15-270-60. Use of firearms loaded with slugs and discharge of firearms near boardwalk or nature trail on Ragged Island Wildlife Management Area.
A. It shall be unlawful to possess outside of a vehicle, or shoot or hunt with a rifle, muzzleloader, pistol, or shotgun loaded with slugs, or to possess shotgun slugs, on Ragged Island Wildlife Management Area in Isle of Wight County. In addition, it shall be unlawful to discharge any firearm within 100 yards of the boardwalk or nature trail on Ragged Island Wildlife Management Area.
B. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their duties, nor shall it prohibit the possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
4VAC15-270-95. Model ordinances related to archery deer hunting.
Pursuant to § 29.1-528.1 A of the Code of Virginia, the following model ordinances related to hunting deer with bow and arrow (including crossbows) may be adopted by those counties and cities where there is an overabundance of the deer population, which is creating conflicts between humans and deer, including safety hazards to motorists. In accordance with § 29.1-528.1 B of the Code of Virginia, no such ordinance shall be enforceable unless the governing body of the locality notifies the director by registered mail prior to May 1 of the year in which the ordinance is to take effect.
Model Ordinance 1:
The times at which hunting shall commence and end each day shall be in accordance with the provisions of § 29.1-520 of the Code of Virginia.
Model Ordinance 2:
The number of deer that can be taken shall be in accordance with bag limits established by the Board of Game and Inland Fisheries Wildlife Resources pursuant to §§ 29.1-501 and 29.1-502 of the Code of Virginia.
Model Ordinance 3:
No person shall discharge a bow and arrow from, over, or across any street, sidewalk, alley, roadway, or toward any building or dwelling in such a manner that an arrow may strike it. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
Model Ordinance 4:
It shall be unlawful to discharge a bow and arrow in a manner that can be reasonably expected to result in the impact of the arrow upon the property of another without permission from the owner or tenant of such property. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
4VAC15-275-10. Application.
This chapter applies to any person who has never obtained a license to hunt in any state or country or any person who is under the age of younger than 16 years of age, unless such a person presents to the Department of Game and Inland Fisheries Wildlife Resources or one of its authorized license vendors a certificate of completion in hunter education issued or authorized by the director or his the director's representative under the hunter education program or proof that he holds the equivalent certificate obtained from an authorized agency or association of another state or country.
4VAC15-275-20. Definitions.
The following words and terms when used in this chapter shall have the following meanings unless the context clearly requires a different meaning:
"Accompanied and directly supervised" means, in the case of an apprentice hunter, that a licensed person over older than 18 years of age maintains a close visual and verbal contact with, provides adequate direction to, and can immediately assume control of the firearm from the apprentice hunter. In the case of a hunter age 12 years of age or under younger, the term means that the licensed adult is within sight of the person under the age of younger than 12 years of age.
"Adult" means the parent or legal guardian of the person under age younger than 12 years of age, or such person over the age of older than 18 years of age designated by the parent or legal guardian.
"Approved course provider" is any individual, business, or organization that makes available to the hunting public a hunter education course that is approved by the International Hunter Education Association – United States (IHEA-USA) and is accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Hunter education course" means a course offered in the classroom, through the Internet, or through an electronic format that provides course content and test questions that at a minimum meet the International Hunter Education Association-USA Education Standards, May 2, 2014, set forth by the International Hunter Education Association-USA (IHEA-USA) and are accepted by the department. A hunter education course shall include no less than 50 test questions, which shall include at least eight test questions specific to Virginia hunting laws.
"IHEA-USA" means the International Hunter Education Association-USA.
"Virginia Hunter Education Card" means a card authorized for issuance by the department to a person who has met the minimum standard of hunter education course competency. This card may be issued as an original or a replacement hunter education course card.
4VAC15-275-80. Instructor certification.
A. The department may designate as a hunter instructor any person found by it to be competent to give instruction in the courses required.
B. Volunteer instructors are designated to work on a voluntary basis and at the pleasure of the Department of Game and Inland Fisheries Wildlife Resources.
C. To be certified as a hunter education course instructor for the department's hunter education program, a person shall (i) have successfully completed a hunter education course and (ii) be certified as an instructor by the department or by a certification program accepted by the department.
D. Applicants for certified instructor shall submit an application to the department on a form and in a manner determined by the hunter education program manager. At a minimum, the application shall include:
1. The applicant's name;
2. The applicant's street address;
3. The applicant's telephone number;
4. The applicant's email address, if any;
5. Information describing the applicant's experience and training in hunter and hunting and proof of completion of a hunter education course that is accepted by the department; and
6. Any other information deemed necessary after review of the initial application.
E. Applicants may be required to submit written consent for a criminal history background check in a manner determined by the department or an interview in a manner determined by the department and in accordance with state policy.
4VAC15-290-130. Duty to comply with permit conditions.
A permit holder shall comply with all terms and conditions of any permit issued by the Department of Game and Inland Fisheries Wildlife Resources pursuant to Title 29.1 of the Code of Virginia and the regulations of the board pertaining to hunting, fishing, trapping, taking, attempting to take, possession, sale, offering for sale, transporting or causing to be transported, importing or exporting, propagating, exhibiting, and rehabilitating of any wild bird, wild animal, or fish. The penalty for violation of this section is prescribed by § 29.1-505 of the Code of Virginia.
4VAC15-340-80. Eel pots for taking American eels for sale.
A. The director may issue, deny, modify, suspend, or revoke annual eel pot permits designated for the sale of American eels. Such permits shall authorize the taking of American eels for sale, as specified, with eel pots from waters designated in this section. Such permits shall be valid so long as the harvest of American eels in the Commonwealth is not prohibited by other state or federal law or regulation. To be eligible, applicants must document harvest of at least one pound of American eels from Back Bay or North Landing River or their tributaries via reports submitted through the Virginia Marine Resources Commission Mandatory Harvest Reporting Program during the period January 1, 2007, to December 31, 2012, both dates inclusive. Applicants must document the reported harvest occurred while the applicant held a valid commercial fish pot or eel pot license issued by the Virginia Marine Resources Commission.
B. It shall be unlawful for permit holders to possess any American eel less than nine inches in total length.
C. It shall be unlawful for permit holders fishing eel pots to take any species other than American eels.
D. It shall be unlawful to place, set, or fish any eel pot that has a mesh less than 1/2-inch by 1/2-inch and does not contain at least one unrestricted 4-inch by 4-inch escape panel consisting of 1/2-inch by 1-inch mesh.
E. The permit holder's last name and Virginia Department of Game and Inland Fisheries Wildlife Resources American eel pot number must be permanently attached to buoys of all eel pots set. The maximum number of pots authorized per permit holder under this permit shall be 300.
F. American eels may be taken with eel pots in Back Bay and its natural tributaries (not including Lake Tecumseh and Red Wing Lake) and in North Landing River and its natural tributaries from the North Carolina line to the Great Bridge locks.
G. It shall be unlawful for any person to ship or otherwise transport any package, box, or other receptacle containing fish taken under an eel pot permit unless the same bears the permit holder's name and address.
H. Failure to comply with the daily harvest and sales reporting requirements as detailed in conditions of the permit shall be unlawful and may result in immediate permit revocation. It shall be the permit holder's responsibility to report "No Activity" when no activity occurs during a monthly reporting period.
4VAC15-410-20. Definitions.
As used in this chapter, unless the context clearly requires a different meaning, the following words and terms shall have the following meanings:
"Approved course provider" is any individual, business, or organization that makes available to the boating public a boating safety education course approved by the National Association of State Boating Law Administrators and accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. Persons who simply provide classroom instruction for an approved course provider shall not be considered an approved course provider. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Boating safety education course" means a course offered in the classroom, through the Internet, or through an electronic format such as CD-ROM that provides a course content and test questions that have been reviewed and approved by the National Association of State Boating Law Administrators in accordance with the National Boating Education Standards, updated January 1, 2008, and accepted by the department. A boating safety education course shall include no less than 50 test questions, which shall include at least 10 test questions specific about Virginia boating laws.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Dockside safety checklist" means a document provided by the department that consists of selected facts about Virginia boating laws and safe boat operation that a rental or livery agent or motorboat leasing business is required to present to those who rent or lease a motorboat or personal watercraft. The dockside safety checklist must be reviewed and initialed by the person operating the motorboat before the boat can be rented/leased rented or leased and operated.
"Equivalency exam" means a written examination that is developed by the department to test the knowledge of information included in the curriculum of a boating safety education course (may also be referred to as a challenge exam). The equivalency exam is intended to provide experienced and knowledgeable boaters with the opportunity to meet the boating safety education compliance requirement set forth in § 29.1-735.2 of the Code of Virginia without having to take and successfully complete a boating safety education course. The equivalency exam shall be comprised of no less than 75 or more than 100 test questions, shall include no less than 25 questions specific about Virginia boating laws, shall be proctored by an individual(s) individual specifically designated by the department, and shall be completed without the use of any reference material. A minimum score of at least 80% shall be considered passing.
"Motorboat" means any vessel propelled by machinery whether or not the machinery is the principal source of propulsion and for this chapter shall mean with a motor of 10 horsepower or greater.
"NASBLA" means the National Association of State Boating Law Administrators.
"NASBLA-approved course" means a boating safety education course that has been reviewed and approved by NASBLA.
"Onboard direct supervision" as referenced in § 29.1-735.2 B 6 and B 9 of the Code of Virginia occurs when a person maintains close visual and verbal contact with, provides adequate direction to, and can immediately assume control of a motorboat from the operator of a motorboat. A person who is water skiing, or is in the cabin of a motorboat and not at the helm/wheel is not considered to be in a position capable of providing direct supervision.
"Operate" means to navigate or otherwise control the movement of a motorboat or vessel.
"Optional Virginia Boater Education Card" means a card authorized for issuance by the department to persons who (i) can show they have met the minimum standard of boating safety education course competency, (ii) possess a valid license to operate a vessel issued to maritime personnel by the United States Coast Guard or a marine certificate issued by the Canadian government, (iii) possess a Canadian Pleasure Craft Operator's Card, or (iv) possess a valid commercial fisherman registration pursuant to § 28.2-241 of the Code of Virginia. For the purpose of this subsection a license is considered valid regardless of whether the license is current. This card may be issued as a replacement boating safety course card.
"Personal watercraft" means a motorboat less than 16 feet in length that uses an inboard motor powering a jet pump as its primary motive power and that is designed to be operated by a person sitting, standing, or kneeling on, rather than in the conventional manner of sitting or standing inside the vessel.
"Proctored" means that the written equivalency exam has been administered under the direct supervision of (i) a designated member of the United States Coast Guard Auxiliary or the United States Power Squadrons®, (ii) a designated department employee or a department volunteer boating safety instructor, or (iii) an individual who has been approved for such purpose by the department.
"Temporary operator's certificate" means a nonrenewable document issued with the certificate of number for the motorboat or personal watercraft, if the boat is new or was sold with a transfer of ownership. A temporary operator's certificate shall be issued only by the department, by any person authorized by the director to act as an agent to issue a certificate of number pursuant to § 29.1-706 of the Code of Virginia, or by a license agent of the department authorized to issue a temporary registration certificate for a motorboat or personal watercraft. A temporary operator's certificate shall allow the owner(s) owner to operate a motorboat with a motor of 10 horsepower or greater or personal watercraft in Virginia for 90 days.
"Vessel" means every description of watercraft, other than a seaplane on the water, used or capable of being used as a means of transportation on water.
"Waters of the Commonwealth" means any public waters within the territorial limits of the Commonwealth.
VA.R. Doc. No. R21-5904; Filed September 29, 2020, 11:23 a.m.
TITLE 4. CONSERVATION AND NATURAL RESOURCES
BOARD OF WILDLIFE RESOURCES
Final Regulation
REGISTRAR'S NOTICE: The Board of Wildlife Resources is claiming an exemption from Article 2 of 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 or the appropriation act where no agency discretion is involved. The State Board of Social Services will receive, consider, and respond to petitions by any interested person at any time with respect to reconsideration or revision.
Titles of Regulations: 4VAC15-20. Definitions and Miscellaneous: In General (amending 4VAC15-20-10, 4VAC15-20-75).
4VAC15-30. Definitions and Miscellaneous: Importation, Possession, Sale, etc., of Animals (amending 4VAC15-30-40).
4VAC15-40. Game: In General (amending 4VAC15-40-60, 4VAC15-40-281, 4VAC15-40-287).
4VAC15-90. Game: Deer (amending 4VAC15-90-290).
4VAC15-270. Game: Firearms (amending 4VAC15-270-60, 4VAC15-270-95).
4VAC15-275. Game: Hunter Education (amending 4VAC15-275-10, 4VAC15-275-20, 4VAC15-275-80).
4VAC15-290. Game: Permits (amending 4VAC15-290-130).
4VAC15-340. Fish: Seines and Nets (amending 4VAC15-340-80).
4VAC15-410. Watercraft: Boating Safety Education (amending 4VAC15-410-20).
Statutory Authority: §§ 29.1-103, 29.1-501, and 29.1-502 of the Code of Virginia.
Effective Date: January 1, 2021.
Agency Contact: Aaron Proctor, Regulations Coordinator, Department of Wildlife Resources, 7870 Villa Park Drive, Suite 400, Henrico, VA 23228, telephone (804) 367-8341, or email aaron.proctor@dwr.virginia.gov.
Summary:
The amendments align regulations with Chapter 958 of the 2020 Acts of Assembly, which changes the name of the department to Department of Wildlife Resources and of the board to Board of Wildlife Resources.
4VAC15-20-10. Definitions; generally.
Words and phrases used in any regulations made by the board shall have the same meaning, unless the context clearly indicates otherwise, as is given for such words and phrases in the Virginia Game and Inland Fisheries laws contained in Title 29.1 (§ 29.1-100 et seq.) of the Code of Virginia.
4VAC15-20-75. Wildlife Violator Compact.
A. This section is adopted pursuant to authority granted to the Board of Game and Inland Fisheries Wildlife Resources under §§ 29.1-103 and 29.1-530.5 of the Code of Virginia.
B. Definitions used herein in this section, unless the contrary is clearly indicated are those used in § 29.1-530.5 of the Code of Virginia, the Wildlife Violator Compact, herein referred to as the compact (compact).
C. In accordance with Article VII of the compact, the board hereby authorizes the Director of the Department of Game and Inland Fisheries Wildlife Resources to appoint the Commonwealth's representative to the Board of Compact Administrators. Such appointment shall be consistent with and subject to the aforesaid provisions of the compact and such representative shall serve at the pleasure of the director.
D. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the conviction in that state of a resident of the Commonwealth, the department shall enter such conviction in its records and such conviction shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations for purposes of suspension of license privileges.
E. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the failure of a resident of the Commonwealth to comply with the terms of a citation issued by that state, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence of compliance with the terms of such citation.
F. In accordance with Article V of the compact, upon receipt from a participating state of a report of the suspension of license privileges of a resident of the Commonwealth issued by that state that is in accordance with suspension of license pursuant to the Code of Virginia, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence that such suspension has been terminated.
G. Upon receipt of a report pursuant to subsections subsection D, E, or F of this section, the director or his the director's designee shall provide notice thereof to the resident of the Commonwealth who is the subject of such report. Such notice shall advise such person of the contents of the notice and of any action that the department proposes to take in response thereto.
H. The person who is the subject of such notice shall be provided an opportunity to request within 30 days from the date of such notice an opportunity to contest the department's proposed action by requesting an informal fact-finding conference to be conducted by a representative of the department designated by the director. Although such proceedings are exempt from the requirements of the Administrative Process Act (§ 2.2-4000 et seq. of the Code of Virginia) as provided by § 2.2-4002 A 3 thereof of the Code of Virginia, the department shall to the extent practicable afford such persons seeking an informal fact-finding conference the rights provided under § 2.2-4019 of the Code of Virginia. Those include but are not limited to the right to receive reasonable notice as described in subsection G of this section and the right to appear in person or by counsel before the designated representative of the department. However, no discovery shall be conducted and no subpoenas shall be issued as part of any such proceeding.
I. An informal fact-finding proceeding shall be completed within 60 days of receipt by the department of the request described in subsection H of this section. Upon such completion the designated representative of the department shall make a recommended decision to the director or to such person designated by the director to make such decision. The decision maker shall promptly issue a written decision to the person who requested the proceeding. If the affected party is not satisfied by this decision it may be appealed to a three member panel as appointed by the agency director.
J. Any decision upholding the suspension of licensing privileges as a result of the process described in subsections D through I of this section shall be entered by the department on its records and shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations.
K. The director shall establish procedures for reporting to participating states convictions or failures to comply with citations in the Commonwealth by residents of those respective states. Such procedures shall comply with the reporting requirements established by and pursuant to the provisions of the compact.
4VAC15-30-40. Importation requirements, possession, and sale of nonnative (exotic) animals.
A. Permit required. A special permit is required and may be issued by the department, if consistent with the department's fish and wildlife management program, to import, possess, or sell those nonnative (exotic) animals listed below in the following table and in 4VAC15-20-210 that the board finds and declares to be predatory or undesirable within the meaning and intent of § 29.1-542 of the Code of Virginia, in that their introduction into the Commonwealth will be detrimental to the native fish and wildlife resources of Virginia.
AMPHIBIANS |
Order | Family | Genus/Species | Common Name |
Anura | Bufonidae | Rhinella marina | Cane toad* |
Pipidae | Hymenochirus spp. Pseudohymenochiris merlini | African dwarf frog |
Xenopus spp. | Tongueless or African clawed frog |
Caudata | Ambystomatidae | All species | All mole salamanders |
BIRDS |
Order | Family | Genus/Species | Common Name |
Psittaciformes | Psittacidae | Myiopsitta monachus | Monk parakeet* |
Anseriformes | Anatidae | Cygnus olor | Mute swan |
FISH |
Order | Family | Genus/Species | Common Name |
Cypriniformes | Catostomidae | Catostomus microps | Modoc sucker |
Catostomus santaanae | Santa Ana sucker |
Catostomus warnerensis | Warner sucker |
Ictiobus bubalus | Smallmouth* buffalo |
I. cyprinellus | Bigmouth* buffalo |
I. niger | Black buffalo* |
Characidae | Pygopristis spp. Pygocentrus spp. Rooseveltiella spp. Serrasalmo spp. Serrasalmus spp. Taddyella spp. | Piranhas |
Cobitidae | Misgurnus anguillicaudatus | Oriental weatherfish |
Cyprinidae | Aristichyhys nobilis | Bighead carp* |
Chrosomus saylori | Laurel dace |
Ctenopharyngodon idella | Grass carp or white amur |
Cyprinella caerulea | Blue shiner |
Cyprinella formosa | Beautiful shiner |
Cyprinella lutrensis | Red shiner |
Hypophthalmichthys molitrix | Silver carp* |
Mylopharyngodom piceus | Black carp* |
Notropis albizonatus | Palezone shiner |
Notropis cahabae | Cahaba shiner |
Notropis girardi | Arkansas River shiner |
Notropis mekistocholas | Cape Fear shiner |
Notropis simus pecosensis | Pecos bluntnose shiner |
Notropis topeka (= tristis) | Topeka shiner |
Phoxinus cumberlandensis | Blackside dace |
Rhinichthys osculus lethoporus | Independence Valley speckled dace |
Rhinichthys osculus nevadensis | Ash Meadows speckled dace |
Rhinichthys osculus oligoporus | Clover Valley speckled dace |
Rhinichthys osculus ssp. | Foskett speckled dace |
Rhinichthys osculus thermalis | Kendall Warm Springs dace |
Scardinius erythrophthalmus | Rudd |
Tinca tinca | Tench* |
Cyprinodontiformes | Poeciliidae | Gambusia gaigei | Big Bend gambusia |
Gambusia georgei | San Marcos gambusia |
Gambusia heterochir | Clear Creek gambusia |
Gambusia nobilis | Pecos gambusia |
Peociliopsis occidentalis | Gila topminnow |
Gasterosteiformes | Gasterosteidae | Gasterosteus aculeatus williamsoni | Unarmored threespine stickleback |
Gobiesociformes | Gobiidae | Proterorhinus marmoratus | Tubenose goby |
Neogobius melanostomus | Round goby |
Perciformes | Channidae | Channa spp. Parachanna spp. | Snakeheads |
Cichlidae | Tilapia spp. | Tilapia |
Gymnocephalus cernuum | Ruffe* |
Elassomatidae | Elassoma alabamae | Spring pygmy sunfish |
Percidae | Crystallaria cincotta | Diamond darter |
Etheostoma chermocki | Vermilion darter |
Etheostoma boschungi | Slackwater darter |
Etheostoma chienense | Relict darter |
Etheostoma etowahae | Etowah darter |
Etheostoma fonticola | Fountain darter |
Etheostoma moorei | Yellowcheek darter |
Etheostoma nianguae | Niangua darter |
Etheostoma nuchale | Watercress darter |
Etheostoma okaloosae | Okaloosa darter |
Etheostoma phytophilum | Rush darter |
Etheostoma rubrum | Bayou darter |
Etheostoma scotti | Cherokee darter |
Etheostoma sp. | Bluemask (= jewel) darter |
Etheostoma susanae | Cumberland darter |
Etheostoma wapiti | Boulder darter |
Percina antesella | Amber darter |
Percina aurolineata | Goldline darter |
Percina jenkinsi | Conasauga logperch |
Percina pantherina | Leopard darter |
Percina tanasi | Snail darter |
Scorpaeniformes | Cottidae | Cottus sp. | Grotto sculpin |
Cottus paulus (= pygmaeus) | Pygmy sculpin |
Siluriformes | Clariidae | All species | Air-breathing catfish |
Ictaluridae | Noturus baileyi | Smoky madtom |
Noturus crypticus | Chucky madtom |
Noturus placidus | Neosho madtom |
Noturus stanauli | Pygmy madtom |
Noturus trautmani | Scioto madtom |
Synbranchiformes | Synbranchidae | Monopterus albus | Swamp eel |
MAMMALS |
Order | Family | Genus/Species | Common Name |
Artiodactyla | Suidae | All Species | Pigs or Hogs* |
Cervidae | All Species | Deer* |
Carnivora | Canidae | All Species | Wild Dogs,* Wolves, Coyotes or Coyote hybrids, Jackals and Foxes |
Ursidae | All Species | Bears* |
Procyonidae | All Species | Raccoons and* Relatives |
Mustelidae | All Species | Weasels, Badgers,* Skunks and Otters |
(except Mustela putorius furo) | Ferret |
Viverridae | All Species | Civets, Genets,* Lingsangs, Mongooses, and Fossas |
Herpestidae | All Species | Mongooses* |
Hyaenidae | All Species | Hyenas and Aardwolves* |
Felidae | All Species | Cats* |
Chiroptera | | All Species | Bats* |
Lagomorpha | Lepridae | Brachylagus idahoensis | Pygmy rabbit |
Lepus europeaeous | European hare |
Oryctolagus cuniculus | European rabbit |
Sylvilagus bachmani riparius | Riparian brush rabbit |
Sylvilagus palustris hefneri | Lower Keys marsh rabbit |
Rodentia | | All species native to Africa | All species native to Africa |
Dipodidae | Zapus hudsonius preblei | Preble's meadow jumping mouse |
Muridae | Microtus californicus scirpensis | Amargosa vole |
Microtus mexicanus hualpaiensis | Hualapai Mexican vole |
Microtus pennsylvanicus dukecampbelli | Florida salt marsh vole |
Neotoma floridana smalli | Key Largo woodrat |
Neotoma fuscipes riparia | Riparian (= San Joaquin Valley) woodrat |
Oryzomys palustris natator | Rice rat |
Peromyscus gossypinus allapaticola | Key Largo cotton mouse |
Peromyscus polionotus allophrys | Choctawhatchee beach mouse |
Peromyscus polionotus ammobates | Alabama beach mouse |
Peromyscus polionotus niveiventris | Southeastern beach mouse |
Peromyscus polionotus peninsularis | St. Andrew beach mouse |
Peromyscus polionotus phasma | Anastasia Island beach mouse |
Peromyscus polionotus trissyllepsis | Perdido Key beach mouse |
Reithrodontomys raviventris | Salt marsh harvest mouse |
Heteromyidae | Dipodomys heermanni morroensis | Morro Bay kangaroo rat |
Dipodomys ingens | Giant kangaroo rat |
Dipodomys merriami parvus | San Bernadino Merriam's kangaroo rat |
Dipodomys nitratoides exilis | Fresno kangaroo rat |
Dipodomys nitratoides nitratoides | Tipton kangaroo rat |
Dipodomys stephensi (including D. cascus) | Stephens' kangaroo rat |
Perognathus longimembris pacificus | Pacific pocket mouse |
Sciuridae | Cynomys spp. | Prairie dogs |
Spermophilus brunneus brunneus | Northern Idaho ground squirrel |
Tamiasciurus hudsonicus grahamensis | Mount Graham red squirrel |
Soricomorpha | Soricidae | Sorex ornatus relictus | Buena Vista Lake ornate shrew |
MOLLUSKS |
Order | Family | Genus/Species | Common Name |
Neotaenioglossa | Hydrobiidae | Potamopyrgus antipodarum | New Zealand mudsnail |
Veneroida | Dreissenidae | Dreissena bugensis | Quagga mussel |
Dreissena polymorpha | Zebra mussel |
REPTILES |
Order | Family | Genus/Species | Common Name |
Crocodilia | Alligatoridae | All species | Alligators, caimans* |
Crocodylidae | All species | Crocodiles* |
Gavialidae | All species | Gavials* |
Squamata | Colubridae | Boiga irregularis | Brown tree snake* |
CRUSTACEANS |
Order | Family | Genus/Species | Common Name |
Decapoda | Cambaridae | Cambarus aculabrum | Cave crayfish |
Cambarus zophonastes | Cave crayfish |
Orconectes rusticus | Rusty crayfish |
Orconectes shoupi | Nashville crayfish |
Pacifastacus fortis | Shasta crayfish |
Procambarus sp. | Marbled crayfish |
Parastacidae | Cherax spp. | Australian crayfish |
Varunidea | Eriocheir sinensis | Chinese mitten crab |
B. Temporary possession permit for certain animals. Notwithstanding the permitting requirements of subsection A of this section, a person, company, or corporation possessing any nonnative (exotic) animal, designated with an asterisk (*) in subsection A of this section, prior to July 1, 1992, must declare such possession in writing to the department by January 1, 1993. This written declaration shall serve as a permit for possession only, is not transferable, and must be renewed every five years. This written declaration must include species name, common name, number of individuals, date or dates acquired, sex (if possible), estimated age, height or length, and other characteristics such as bands and band numbers, tattoos, registration numbers, coloration, and specific markings. Possession transfer will require a new permit according to the requirements of this subsection.
C. Exception for certain monk parakeets. A permit is not required for monk parakeets (quakers) that have been captive bred and are closed-banded with a seamless band.
D. Exception for parts or products. A permit is not required for parts or products of those nonnative (exotic) animals listed in subsection A of this section that may be used for personal use, in the manufacture of products, or used in scientific research, provided that such parts or products be packaged outside the Commonwealth by any person, company, or corporation duly licensed by the state in which the parts originate. Such packages may be transported into the Commonwealth, consistent with other state laws and regulations, so long as the original package remains unbroken, unopened and intact until its point of destination is reached. Documentation concerning the type and cost of the animal parts ordered, the purpose and date of the order, point and date of shipping, and date of receiving shall be kept by the person, business, or institution ordering such nonnative (exotic) animal parts. Such documentation shall be open to inspection by a representative of the Department of Game and Inland Fisheries Wildlife Resources.
E. Exception for prairie dogs. The effective date of listing of prairie dogs under subsection A of this section shall be January 1, 1998. Prairie dogs possessed in captivity in Virginia on December 31, 1997, may be maintained in captivity until the animals' deaths, but they may not be sold on or after January 1, 1998, without a permit.
F. Exception for snakehead fish. Anglers may legally harvest snakehead fish of the family Channidae, provided that they immediately kill such fish and that they notify the department, as soon as practicable, of such actions.
G. Exception for feral hogs. Anyone may legally trap feral hogs with written permission of the landowner, provided that any trapped hogs are not removed from the trap site alive and are killed immediately.
H. Exception for grass carp. Anglers may legally harvest grass carp of the family Cyprinidae from public waters of the Commonwealth, except from department-owned or department-controlled lakes, provided that anglers ensure that harvested grass carp are dead.
I. All other nonnative (exotic) animals. All other nonnative (exotic) animals not listed in subsection A of this section may be possessed, purchased, and sold; provided, that such animals shall be subject to all applicable local, state, and federal laws and regulations, including those that apply to threatened/endangered species, and further provided, that such animals shall not be liberated within the Commonwealth.
4VAC15-40-60. Hunting with dogs or possession of weapons in certain locations during closed season.
A. Department-owned and national forest lands statewide. It shall be unlawful to have in possession a firearm or any hunting weapon that is not unloaded and cased or dismantled on all national forest lands statewide and on department-owned lands and on other lands managed by the department under cooperative agreement except during the period when it is lawful to take bear, deer, grouse, pheasant, quail, rabbit, raccoon, squirrel, turkey, waterfowl, or migratory gamebirds on these lands.
B. Certain counties. Except as otherwise provided in 4VAC15-40-70, it shall be unlawful to have either a shotgun or a rifle in one's possession when accompanied by a dog in the daytime in the fields, forests or waters of the Counties of Augusta, Clarke, Frederick, Page, Shenandoah, and Warren, and in the counties east of the Blue Ridge Mountains, except Patrick, at any time except the periods prescribed by law to hunt game birds and animals.
C. Shooting ranges and authorized activities. The provisions of this section shall not prohibit the conduct of any activities authorized by the board or the establishment and operation of archery and shooting ranges on the lands described in subsections A and B of this section. The use of firearms or any hunting weapon in such ranges during the closed season period will be restricted to the area within the established range boundaries. Such weapons shall be required to be unloaded and cased or dismantled in all areas other than the range boundaries. The use of firearms or any hunting weapon during the closed hunting period in such ranges shall be restricted to target shooting only, and no birds or animals shall be molested.
D. It shall be unlawful to chase with a dog or train dogs on national forest lands or department-owned lands except during authorized hunting, chase, or training seasons that specifically permit these activities on these lands or during raccoon hound field trials on these lands between September 1 and March 31, both dates inclusive, that are sanctioned by bona fide national kennel clubs and authorized by permits issued by the department or the U.S. Forest Service.
E. It shall be unlawful to possess or transport any loaded firearm or loaded hunting weapon in or on any vehicle at any time on national forest lands or department-owned lands.
F. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their authorized and official duties, nor shall it prohibit possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
G. Meaning of "possession" of any hunting weapon and definition of "loaded crossbow," "loaded arrowgun," "loaded muzzleloader," and "loaded firearm." For the purpose of this section, the word "possession" shall include having any firearm or weapon used for hunting in or on one's person, vehicle, or conveyance. For the purpose of this section, a "loaded firearm" means a firearm in which ammunition is chambered or loaded in the magazine or clip when such magazine or clip is engaged or partially engaged in a firearm. The definition of a "loaded muzzleloader" will include a muzzleloading rifle, pistol, or shotgun that is capped, has a charged pan, or has a primer or battery installed in the muzzleloader. A "loaded crossbow" means a crossbow that is cocked and has either a bolt or arrow engaged or partially engaged on the shooting rail or track of the crossbow, or with a "trackless crossbow" when the crossbow is cocked and a bolt or arrow is nocked. "Loaded arrowgun" means an arrowgun that has an arrow or bolt inserted on the arrow rest or in the barrel. "Hunting weapon" means any weapon allowable for hunting as defined in § 29.1-519 of the Code of Virginia.
4VAC15-40-281. Unauthorized feeding of bear, deer, or turkey on national forest lands and department-owned lands.
It shall be unlawful to place or direct the placement of, deposit, distribute, or scatter food or salt capable of attracting or being eaten by bear, deer, or turkey on national forest lands or on department-owned lands without the written authorization of the Director of the Department of Game and Inland Fisheries Wildlife Resources or his the director's designee. The provisions of this section shall not prohibit the disposal of food in trash receptacles provided by the U.S. Forest Service on national forest lands or by the department on department-owned lands.
4VAC15-40-287. Model ordinances related to feeding of deer in cities and towns.
Per the provisions of § 29.1-527.2 of the Code of Virginia, the following model ordinance related to the feeding of deer may be adopted by a city or town. Any city or town must notify the director of the Department of Game and Inland Fisheries Wildlife Resources of the adoption of such an ordinance by registered mail.
Model ordinance:
A. Pursuant to § 29.1-527.2 of the Code of Virginia, it shall be unlawful for any person to place, distribute, or allow the placement of food, salt, minerals, or similar substances to feed or attract deer at any time.
B. No person shall continue to place, distribute, or allow the placement of food, salt, minerals, or similar substances for any purpose if the placement of these materials results in the presence of deer.
C. No part of this ordinance shall be construed to restrict agricultural, commercial, noncommercial, or residential plantings (including wildlife food plots); bona fide distribution of food to livestock; or wildlife management activities conducted or authorized by the Department of Game and Inland Fisheries Wildlife Resources.
4VAC15-90-290. Special quality deer management areas.
A. The board hereby designates the following areas posted by the Department of Game and Inland Fisheries Wildlife Resources as special quality deer management areas with special antlered buck harvest.
B. Special Fairystone quality deer management area. It shall be unlawful to kill an antlered deer on the special Fairystone quality deer management area unless the deer has at least four antler points, each greater than one inch in length, on either the right or left antler.
4VAC15-270-60. Use of firearms loaded with slugs and discharge of firearms near boardwalk or nature trail on Ragged Island Wildlife Management Area.
A. It shall be unlawful to possess outside of a vehicle, or shoot or hunt with a rifle, muzzleloader, pistol, or shotgun loaded with slugs, or to possess shotgun slugs, on Ragged Island Wildlife Management Area in Isle of Wight County. In addition, it shall be unlawful to discharge any firearm within 100 yards of the boardwalk or nature trail on Ragged Island Wildlife Management Area.
B. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their duties, nor shall it prohibit the possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
4VAC15-270-95. Model ordinances related to archery deer hunting.
Pursuant to § 29.1-528.1 A of the Code of Virginia, the following model ordinances related to hunting deer with bow and arrow (including crossbows) may be adopted by those counties and cities where there is an overabundance of the deer population, which is creating conflicts between humans and deer, including safety hazards to motorists. In accordance with § 29.1-528.1 B of the Code of Virginia, no such ordinance shall be enforceable unless the governing body of the locality notifies the director by registered mail prior to May 1 of the year in which the ordinance is to take effect.
Model Ordinance 1:
The times at which hunting shall commence and end each day shall be in accordance with the provisions of § 29.1-520 of the Code of Virginia.
Model Ordinance 2:
The number of deer that can be taken shall be in accordance with bag limits established by the Board of Game and Inland Fisheries Wildlife Resources pursuant to §§ 29.1-501 and 29.1-502 of the Code of Virginia.
Model Ordinance 3:
No person shall discharge a bow and arrow from, over, or across any street, sidewalk, alley, roadway, or toward any building or dwelling in such a manner that an arrow may strike it. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
Model Ordinance 4:
It shall be unlawful to discharge a bow and arrow in a manner that can be reasonably expected to result in the impact of the arrow upon the property of another without permission from the owner or tenant of such property. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
4VAC15-275-10. Application.
This chapter applies to any person who has never obtained a license to hunt in any state or country or any person who is under the age of younger than 16 years of age, unless such a person presents to the Department of Game and Inland Fisheries Wildlife Resources or one of its authorized license vendors a certificate of completion in hunter education issued or authorized by the director or his the director's representative under the hunter education program or proof that he holds the equivalent certificate obtained from an authorized agency or association of another state or country.
4VAC15-275-20. Definitions.
The following words and terms when used in this chapter shall have the following meanings unless the context clearly requires a different meaning:
"Accompanied and directly supervised" means, in the case of an apprentice hunter, that a licensed person over older than 18 years of age maintains a close visual and verbal contact with, provides adequate direction to, and can immediately assume control of the firearm from the apprentice hunter. In the case of a hunter age 12 years of age or under younger, the term means that the licensed adult is within sight of the person under the age of younger than 12 years of age.
"Adult" means the parent or legal guardian of the person under age younger than 12 years of age, or such person over the age of older than 18 years of age designated by the parent or legal guardian.
"Approved course provider" is any individual, business, or organization that makes available to the hunting public a hunter education course that is approved by the International Hunter Education Association – United States (IHEA-USA) and is accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Hunter education course" means a course offered in the classroom, through the Internet, or through an electronic format that provides course content and test questions that at a minimum meet the International Hunter Education Association-USA Education Standards, May 2, 2014, set forth by the International Hunter Education Association-USA (IHEA-USA) and are accepted by the department. A hunter education course shall include no less than 50 test questions, which shall include at least eight test questions specific to Virginia hunting laws.
"IHEA-USA" means the International Hunter Education Association-USA.
"Virginia Hunter Education Card" means a card authorized for issuance by the department to a person who has met the minimum standard of hunter education course competency. This card may be issued as an original or a replacement hunter education course card.
4VAC15-275-80. Instructor certification.
A. The department may designate as a hunter instructor any person found by it to be competent to give instruction in the courses required.
B. Volunteer instructors are designated to work on a voluntary basis and at the pleasure of the Department of Game and Inland Fisheries Wildlife Resources.
C. To be certified as a hunter education course instructor for the department's hunter education program, a person shall (i) have successfully completed a hunter education course and (ii) be certified as an instructor by the department or by a certification program accepted by the department.
D. Applicants for certified instructor shall submit an application to the department on a form and in a manner determined by the hunter education program manager. At a minimum, the application shall include:
1. The applicant's name;
2. The applicant's street address;
3. The applicant's telephone number;
4. The applicant's email address, if any;
5. Information describing the applicant's experience and training in hunter and hunting and proof of completion of a hunter education course that is accepted by the department; and
6. Any other information deemed necessary after review of the initial application.
E. Applicants may be required to submit written consent for a criminal history background check in a manner determined by the department or an interview in a manner determined by the department and in accordance with state policy.
4VAC15-290-130. Duty to comply with permit conditions.
A permit holder shall comply with all terms and conditions of any permit issued by the Department of Game and Inland Fisheries Wildlife Resources pursuant to Title 29.1 of the Code of Virginia and the regulations of the board pertaining to hunting, fishing, trapping, taking, attempting to take, possession, sale, offering for sale, transporting or causing to be transported, importing or exporting, propagating, exhibiting, and rehabilitating of any wild bird, wild animal, or fish. The penalty for violation of this section is prescribed by § 29.1-505 of the Code of Virginia.
4VAC15-340-80. Eel pots for taking American eels for sale.
A. The director may issue, deny, modify, suspend, or revoke annual eel pot permits designated for the sale of American eels. Such permits shall authorize the taking of American eels for sale, as specified, with eel pots from waters designated in this section. Such permits shall be valid so long as the harvest of American eels in the Commonwealth is not prohibited by other state or federal law or regulation. To be eligible, applicants must document harvest of at least one pound of American eels from Back Bay or North Landing River or their tributaries via reports submitted through the Virginia Marine Resources Commission Mandatory Harvest Reporting Program during the period January 1, 2007, to December 31, 2012, both dates inclusive. Applicants must document the reported harvest occurred while the applicant held a valid commercial fish pot or eel pot license issued by the Virginia Marine Resources Commission.
B. It shall be unlawful for permit holders to possess any American eel less than nine inches in total length.
C. It shall be unlawful for permit holders fishing eel pots to take any species other than American eels.
D. It shall be unlawful to place, set, or fish any eel pot that has a mesh less than 1/2-inch by 1/2-inch and does not contain at least one unrestricted 4-inch by 4-inch escape panel consisting of 1/2-inch by 1-inch mesh.
E. The permit holder's last name and Virginia Department of Game and Inland Fisheries Wildlife Resources American eel pot number must be permanently attached to buoys of all eel pots set. The maximum number of pots authorized per permit holder under this permit shall be 300.
F. American eels may be taken with eel pots in Back Bay and its natural tributaries (not including Lake Tecumseh and Red Wing Lake) and in North Landing River and its natural tributaries from the North Carolina line to the Great Bridge locks.
G. It shall be unlawful for any person to ship or otherwise transport any package, box, or other receptacle containing fish taken under an eel pot permit unless the same bears the permit holder's name and address.
H. Failure to comply with the daily harvest and sales reporting requirements as detailed in conditions of the permit shall be unlawful and may result in immediate permit revocation. It shall be the permit holder's responsibility to report "No Activity" when no activity occurs during a monthly reporting period.
4VAC15-410-20. Definitions.
As used in this chapter, unless the context clearly requires a different meaning, the following words and terms shall have the following meanings:
"Approved course provider" is any individual, business, or organization that makes available to the boating public a boating safety education course approved by the National Association of State Boating Law Administrators and accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. Persons who simply provide classroom instruction for an approved course provider shall not be considered an approved course provider. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Boating safety education course" means a course offered in the classroom, through the Internet, or through an electronic format such as CD-ROM that provides a course content and test questions that have been reviewed and approved by the National Association of State Boating Law Administrators in accordance with the National Boating Education Standards, updated January 1, 2008, and accepted by the department. A boating safety education course shall include no less than 50 test questions, which shall include at least 10 test questions specific about Virginia boating laws.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Dockside safety checklist" means a document provided by the department that consists of selected facts about Virginia boating laws and safe boat operation that a rental or livery agent or motorboat leasing business is required to present to those who rent or lease a motorboat or personal watercraft. The dockside safety checklist must be reviewed and initialed by the person operating the motorboat before the boat can be rented/leased rented or leased and operated.
"Equivalency exam" means a written examination that is developed by the department to test the knowledge of information included in the curriculum of a boating safety education course (may also be referred to as a challenge exam). The equivalency exam is intended to provide experienced and knowledgeable boaters with the opportunity to meet the boating safety education compliance requirement set forth in § 29.1-735.2 of the Code of Virginia without having to take and successfully complete a boating safety education course. The equivalency exam shall be comprised of no less than 75 or more than 100 test questions, shall include no less than 25 questions specific about Virginia boating laws, shall be proctored by an individual(s) individual specifically designated by the department, and shall be completed without the use of any reference material. A minimum score of at least 80% shall be considered passing.
"Motorboat" means any vessel propelled by machinery whether or not the machinery is the principal source of propulsion and for this chapter shall mean with a motor of 10 horsepower or greater.
"NASBLA" means the National Association of State Boating Law Administrators.
"NASBLA-approved course" means a boating safety education course that has been reviewed and approved by NASBLA.
"Onboard direct supervision" as referenced in § 29.1-735.2 B 6 and B 9 of the Code of Virginia occurs when a person maintains close visual and verbal contact with, provides adequate direction to, and can immediately assume control of a motorboat from the operator of a motorboat. A person who is water skiing, or is in the cabin of a motorboat and not at the helm/wheel is not considered to be in a position capable of providing direct supervision.
"Operate" means to navigate or otherwise control the movement of a motorboat or vessel.
"Optional Virginia Boater Education Card" means a card authorized for issuance by the department to persons who (i) can show they have met the minimum standard of boating safety education course competency, (ii) possess a valid license to operate a vessel issued to maritime personnel by the United States Coast Guard or a marine certificate issued by the Canadian government, (iii) possess a Canadian Pleasure Craft Operator's Card, or (iv) possess a valid commercial fisherman registration pursuant to § 28.2-241 of the Code of Virginia. For the purpose of this subsection a license is considered valid regardless of whether the license is current. This card may be issued as a replacement boating safety course card.
"Personal watercraft" means a motorboat less than 16 feet in length that uses an inboard motor powering a jet pump as its primary motive power and that is designed to be operated by a person sitting, standing, or kneeling on, rather than in the conventional manner of sitting or standing inside the vessel.
"Proctored" means that the written equivalency exam has been administered under the direct supervision of (i) a designated member of the United States Coast Guard Auxiliary or the United States Power Squadrons®, (ii) a designated department employee or a department volunteer boating safety instructor, or (iii) an individual who has been approved for such purpose by the department.
"Temporary operator's certificate" means a nonrenewable document issued with the certificate of number for the motorboat or personal watercraft, if the boat is new or was sold with a transfer of ownership. A temporary operator's certificate shall be issued only by the department, by any person authorized by the director to act as an agent to issue a certificate of number pursuant to § 29.1-706 of the Code of Virginia, or by a license agent of the department authorized to issue a temporary registration certificate for a motorboat or personal watercraft. A temporary operator's certificate shall allow the owner(s) owner to operate a motorboat with a motor of 10 horsepower or greater or personal watercraft in Virginia for 90 days.
"Vessel" means every description of watercraft, other than a seaplane on the water, used or capable of being used as a means of transportation on water.
"Waters of the Commonwealth" means any public waters within the territorial limits of the Commonwealth.
VA.R. Doc. No. R21-5904; Filed September 29, 2020, 11:23 a.m.
TITLE 4. CONSERVATION AND NATURAL RESOURCES
BOARD OF WILDLIFE RESOURCES
Final Regulation
REGISTRAR'S NOTICE: The Board of Wildlife Resources is claiming an exemption from Article 2 of 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 or the appropriation act where no agency discretion is involved. The State Board of Social Services will receive, consider, and respond to petitions by any interested person at any time with respect to reconsideration or revision.
Titles of Regulations: 4VAC15-20. Definitions and Miscellaneous: In General (amending 4VAC15-20-10, 4VAC15-20-75).
4VAC15-30. Definitions and Miscellaneous: Importation, Possession, Sale, etc., of Animals (amending 4VAC15-30-40).
4VAC15-40. Game: In General (amending 4VAC15-40-60, 4VAC15-40-281, 4VAC15-40-287).
4VAC15-90. Game: Deer (amending 4VAC15-90-290).
4VAC15-270. Game: Firearms (amending 4VAC15-270-60, 4VAC15-270-95).
4VAC15-275. Game: Hunter Education (amending 4VAC15-275-10, 4VAC15-275-20, 4VAC15-275-80).
4VAC15-290. Game: Permits (amending 4VAC15-290-130).
4VAC15-340. Fish: Seines and Nets (amending 4VAC15-340-80).
4VAC15-410. Watercraft: Boating Safety Education (amending 4VAC15-410-20).
Statutory Authority: §§ 29.1-103, 29.1-501, and 29.1-502 of the Code of Virginia.
Effective Date: January 1, 2021.
Agency Contact: Aaron Proctor, Regulations Coordinator, Department of Wildlife Resources, 7870 Villa Park Drive, Suite 400, Henrico, VA 23228, telephone (804) 367-8341, or email aaron.proctor@dwr.virginia.gov.
Summary:
The amendments align regulations with Chapter 958 of the 2020 Acts of Assembly, which changes the name of the department to Department of Wildlife Resources and of the board to Board of Wildlife Resources.
4VAC15-20-10. Definitions; generally.
Words and phrases used in any regulations made by the board shall have the same meaning, unless the context clearly indicates otherwise, as is given for such words and phrases in the Virginia Game and Inland Fisheries laws contained in Title 29.1 (§ 29.1-100 et seq.) of the Code of Virginia.
4VAC15-20-75. Wildlife Violator Compact.
A. This section is adopted pursuant to authority granted to the Board of Game and Inland Fisheries Wildlife Resources under §§ 29.1-103 and 29.1-530.5 of the Code of Virginia.
B. Definitions used herein in this section, unless the contrary is clearly indicated are those used in § 29.1-530.5 of the Code of Virginia, the Wildlife Violator Compact, herein referred to as the compact (compact).
C. In accordance with Article VII of the compact, the board hereby authorizes the Director of the Department of Game and Inland Fisheries Wildlife Resources to appoint the Commonwealth's representative to the Board of Compact Administrators. Such appointment shall be consistent with and subject to the aforesaid provisions of the compact and such representative shall serve at the pleasure of the director.
D. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the conviction in that state of a resident of the Commonwealth, the department shall enter such conviction in its records and such conviction shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations for purposes of suspension of license privileges.
E. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the failure of a resident of the Commonwealth to comply with the terms of a citation issued by that state, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence of compliance with the terms of such citation.
F. In accordance with Article V of the compact, upon receipt from a participating state of a report of the suspension of license privileges of a resident of the Commonwealth issued by that state that is in accordance with suspension of license pursuant to the Code of Virginia, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence that such suspension has been terminated.
G. Upon receipt of a report pursuant to subsections subsection D, E, or F of this section, the director or his the director's designee shall provide notice thereof to the resident of the Commonwealth who is the subject of such report. Such notice shall advise such person of the contents of the notice and of any action that the department proposes to take in response thereto.
H. The person who is the subject of such notice shall be provided an opportunity to request within 30 days from the date of such notice an opportunity to contest the department's proposed action by requesting an informal fact-finding conference to be conducted by a representative of the department designated by the director. Although such proceedings are exempt from the requirements of the Administrative Process Act (§ 2.2-4000 et seq. of the Code of Virginia) as provided by § 2.2-4002 A 3 thereof of the Code of Virginia, the department shall to the extent practicable afford such persons seeking an informal fact-finding conference the rights provided under § 2.2-4019 of the Code of Virginia. Those include but are not limited to the right to receive reasonable notice as described in subsection G of this section and the right to appear in person or by counsel before the designated representative of the department. However, no discovery shall be conducted and no subpoenas shall be issued as part of any such proceeding.
I. An informal fact-finding proceeding shall be completed within 60 days of receipt by the department of the request described in subsection H of this section. Upon such completion the designated representative of the department shall make a recommended decision to the director or to such person designated by the director to make such decision. The decision maker shall promptly issue a written decision to the person who requested the proceeding. If the affected party is not satisfied by this decision it may be appealed to a three member panel as appointed by the agency director.
J. Any decision upholding the suspension of licensing privileges as a result of the process described in subsections D through I of this section shall be entered by the department on its records and shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations.
K. The director shall establish procedures for reporting to participating states convictions or failures to comply with citations in the Commonwealth by residents of those respective states. Such procedures shall comply with the reporting requirements established by and pursuant to the provisions of the compact.
4VAC15-30-40. Importation requirements, possession, and sale of nonnative (exotic) animals.
A. Permit required. A special permit is required and may be issued by the department, if consistent with the department's fish and wildlife management program, to import, possess, or sell those nonnative (exotic) animals listed below in the following table and in 4VAC15-20-210 that the board finds and declares to be predatory or undesirable within the meaning and intent of § 29.1-542 of the Code of Virginia, in that their introduction into the Commonwealth will be detrimental to the native fish and wildlife resources of Virginia.
AMPHIBIANS |
Order | Family | Genus/Species | Common Name |
Anura | Bufonidae | Rhinella marina | Cane toad* |
Pipidae | Hymenochirus spp. Pseudohymenochiris merlini | African dwarf frog |
Xenopus spp. | Tongueless or African clawed frog |
Caudata | Ambystomatidae | All species | All mole salamanders |
BIRDS |
Order | Family | Genus/Species | Common Name |
Psittaciformes | Psittacidae | Myiopsitta monachus | Monk parakeet* |
Anseriformes | Anatidae | Cygnus olor | Mute swan |
FISH |
Order | Family | Genus/Species | Common Name |
Cypriniformes | Catostomidae | Catostomus microps | Modoc sucker |
Catostomus santaanae | Santa Ana sucker |
Catostomus warnerensis | Warner sucker |
Ictiobus bubalus | Smallmouth* buffalo |
I. cyprinellus | Bigmouth* buffalo |
I. niger | Black buffalo* |
Characidae | Pygopristis spp. Pygocentrus spp. Rooseveltiella spp. Serrasalmo spp. Serrasalmus spp. Taddyella spp. | Piranhas |
Cobitidae | Misgurnus anguillicaudatus | Oriental weatherfish |
Cyprinidae | Aristichyhys nobilis | Bighead carp* |
Chrosomus saylori | Laurel dace |
Ctenopharyngodon idella | Grass carp or white amur |
Cyprinella caerulea | Blue shiner |
Cyprinella formosa | Beautiful shiner |
Cyprinella lutrensis | Red shiner |
Hypophthalmichthys molitrix | Silver carp* |
Mylopharyngodom piceus | Black carp* |
Notropis albizonatus | Palezone shiner |
Notropis cahabae | Cahaba shiner |
Notropis girardi | Arkansas River shiner |
Notropis mekistocholas | Cape Fear shiner |
Notropis simus pecosensis | Pecos bluntnose shiner |
Notropis topeka (= tristis) | Topeka shiner |
Phoxinus cumberlandensis | Blackside dace |
Rhinichthys osculus lethoporus | Independence Valley speckled dace |
Rhinichthys osculus nevadensis | Ash Meadows speckled dace |
Rhinichthys osculus oligoporus | Clover Valley speckled dace |
Rhinichthys osculus ssp. | Foskett speckled dace |
Rhinichthys osculus thermalis | Kendall Warm Springs dace |
Scardinius erythrophthalmus | Rudd |
Tinca tinca | Tench* |
Cyprinodontiformes | Poeciliidae | Gambusia gaigei | Big Bend gambusia |
Gambusia georgei | San Marcos gambusia |
Gambusia heterochir | Clear Creek gambusia |
Gambusia nobilis | Pecos gambusia |
Peociliopsis occidentalis | Gila topminnow |
Gasterosteiformes | Gasterosteidae | Gasterosteus aculeatus williamsoni | Unarmored threespine stickleback |
Gobiesociformes | Gobiidae | Proterorhinus marmoratus | Tubenose goby |
Neogobius melanostomus | Round goby |
Perciformes | Channidae | Channa spp. Parachanna spp. | Snakeheads |
Cichlidae | Tilapia spp. | Tilapia |
Gymnocephalus cernuum | Ruffe* |
Elassomatidae | Elassoma alabamae | Spring pygmy sunfish |
Percidae | Crystallaria cincotta | Diamond darter |
Etheostoma chermocki | Vermilion darter |
Etheostoma boschungi | Slackwater darter |
Etheostoma chienense | Relict darter |
Etheostoma etowahae | Etowah darter |
Etheostoma fonticola | Fountain darter |
Etheostoma moorei | Yellowcheek darter |
Etheostoma nianguae | Niangua darter |
Etheostoma nuchale | Watercress darter |
Etheostoma okaloosae | Okaloosa darter |
Etheostoma phytophilum | Rush darter |
Etheostoma rubrum | Bayou darter |
Etheostoma scotti | Cherokee darter |
Etheostoma sp. | Bluemask (= jewel) darter |
Etheostoma susanae | Cumberland darter |
Etheostoma wapiti | Boulder darter |
Percina antesella | Amber darter |
Percina aurolineata | Goldline darter |
Percina jenkinsi | Conasauga logperch |
Percina pantherina | Leopard darter |
Percina tanasi | Snail darter |
Scorpaeniformes | Cottidae | Cottus sp. | Grotto sculpin |
Cottus paulus (= pygmaeus) | Pygmy sculpin |
Siluriformes | Clariidae | All species | Air-breathing catfish |
Ictaluridae | Noturus baileyi | Smoky madtom |
Noturus crypticus | Chucky madtom |
Noturus placidus | Neosho madtom |
Noturus stanauli | Pygmy madtom |
Noturus trautmani | Scioto madtom |
Synbranchiformes | Synbranchidae | Monopterus albus | Swamp eel |
MAMMALS |
Order | Family | Genus/Species | Common Name |
Artiodactyla | Suidae | All Species | Pigs or Hogs* |
Cervidae | All Species | Deer* |
Carnivora | Canidae | All Species | Wild Dogs,* Wolves, Coyotes or Coyote hybrids, Jackals and Foxes |
Ursidae | All Species | Bears* |
Procyonidae | All Species | Raccoons and* Relatives |
Mustelidae | All Species | Weasels, Badgers,* Skunks and Otters |
(except Mustela putorius furo) | Ferret |
Viverridae | All Species | Civets, Genets,* Lingsangs, Mongooses, and Fossas |
Herpestidae | All Species | Mongooses* |
Hyaenidae | All Species | Hyenas and Aardwolves* |
Felidae | All Species | Cats* |
Chiroptera | | All Species | Bats* |
Lagomorpha | Lepridae | Brachylagus idahoensis | Pygmy rabbit |
Lepus europeaeous | European hare |
Oryctolagus cuniculus | European rabbit |
Sylvilagus bachmani riparius | Riparian brush rabbit |
Sylvilagus palustris hefneri | Lower Keys marsh rabbit |
Rodentia | | All species native to Africa | All species native to Africa |
Dipodidae | Zapus hudsonius preblei | Preble's meadow jumping mouse |
Muridae | Microtus californicus scirpensis | Amargosa vole |
Microtus mexicanus hualpaiensis | Hualapai Mexican vole |
Microtus pennsylvanicus dukecampbelli | Florida salt marsh vole |
Neotoma floridana smalli | Key Largo woodrat |
Neotoma fuscipes riparia | Riparian (= San Joaquin Valley) woodrat |
Oryzomys palustris natator | Rice rat |
Peromyscus gossypinus allapaticola | Key Largo cotton mouse |
Peromyscus polionotus allophrys | Choctawhatchee beach mouse |
Peromyscus polionotus ammobates | Alabama beach mouse |
Peromyscus polionotus niveiventris | Southeastern beach mouse |
Peromyscus polionotus peninsularis | St. Andrew beach mouse |
Peromyscus polionotus phasma | Anastasia Island beach mouse |
Peromyscus polionotus trissyllepsis | Perdido Key beach mouse |
Reithrodontomys raviventris | Salt marsh harvest mouse |
Heteromyidae | Dipodomys heermanni morroensis | Morro Bay kangaroo rat |
Dipodomys ingens | Giant kangaroo rat |
Dipodomys merriami parvus | San Bernadino Merriam's kangaroo rat |
Dipodomys nitratoides exilis | Fresno kangaroo rat |
Dipodomys nitratoides nitratoides | Tipton kangaroo rat |
Dipodomys stephensi (including D. cascus) | Stephens' kangaroo rat |
Perognathus longimembris pacificus | Pacific pocket mouse |
Sciuridae | Cynomys spp. | Prairie dogs |
Spermophilus brunneus brunneus | Northern Idaho ground squirrel |
Tamiasciurus hudsonicus grahamensis | Mount Graham red squirrel |
Soricomorpha | Soricidae | Sorex ornatus relictus | Buena Vista Lake ornate shrew |
MOLLUSKS |
Order | Family | Genus/Species | Common Name |
Neotaenioglossa | Hydrobiidae | Potamopyrgus antipodarum | New Zealand mudsnail |
Veneroida | Dreissenidae | Dreissena bugensis | Quagga mussel |
Dreissena polymorpha | Zebra mussel |
REPTILES |
Order | Family | Genus/Species | Common Name |
Crocodilia | Alligatoridae | All species | Alligators, caimans* |
Crocodylidae | All species | Crocodiles* |
Gavialidae | All species | Gavials* |
Squamata | Colubridae | Boiga irregularis | Brown tree snake* |
CRUSTACEANS |
Order | Family | Genus/Species | Common Name |
Decapoda | Cambaridae | Cambarus aculabrum | Cave crayfish |
Cambarus zophonastes | Cave crayfish |
Orconectes rusticus | Rusty crayfish |
Orconectes shoupi | Nashville crayfish |
Pacifastacus fortis | Shasta crayfish |
Procambarus sp. | Marbled crayfish |
Parastacidae | Cherax spp. | Australian crayfish |
Varunidea | Eriocheir sinensis | Chinese mitten crab |
B. Temporary possession permit for certain animals. Notwithstanding the permitting requirements of subsection A of this section, a person, company, or corporation possessing any nonnative (exotic) animal, designated with an asterisk (*) in subsection A of this section, prior to July 1, 1992, must declare such possession in writing to the department by January 1, 1993. This written declaration shall serve as a permit for possession only, is not transferable, and must be renewed every five years. This written declaration must include species name, common name, number of individuals, date or dates acquired, sex (if possible), estimated age, height or length, and other characteristics such as bands and band numbers, tattoos, registration numbers, coloration, and specific markings. Possession transfer will require a new permit according to the requirements of this subsection.
C. Exception for certain monk parakeets. A permit is not required for monk parakeets (quakers) that have been captive bred and are closed-banded with a seamless band.
D. Exception for parts or products. A permit is not required for parts or products of those nonnative (exotic) animals listed in subsection A of this section that may be used for personal use, in the manufacture of products, or used in scientific research, provided that such parts or products be packaged outside the Commonwealth by any person, company, or corporation duly licensed by the state in which the parts originate. Such packages may be transported into the Commonwealth, consistent with other state laws and regulations, so long as the original package remains unbroken, unopened and intact until its point of destination is reached. Documentation concerning the type and cost of the animal parts ordered, the purpose and date of the order, point and date of shipping, and date of receiving shall be kept by the person, business, or institution ordering such nonnative (exotic) animal parts. Such documentation shall be open to inspection by a representative of the Department of Game and Inland Fisheries Wildlife Resources.
E. Exception for prairie dogs. The effective date of listing of prairie dogs under subsection A of this section shall be January 1, 1998. Prairie dogs possessed in captivity in Virginia on December 31, 1997, may be maintained in captivity until the animals' deaths, but they may not be sold on or after January 1, 1998, without a permit.
F. Exception for snakehead fish. Anglers may legally harvest snakehead fish of the family Channidae, provided that they immediately kill such fish and that they notify the department, as soon as practicable, of such actions.
G. Exception for feral hogs. Anyone may legally trap feral hogs with written permission of the landowner, provided that any trapped hogs are not removed from the trap site alive and are killed immediately.
H. Exception for grass carp. Anglers may legally harvest grass carp of the family Cyprinidae from public waters of the Commonwealth, except from department-owned or department-controlled lakes, provided that anglers ensure that harvested grass carp are dead.
I. All other nonnative (exotic) animals. All other nonnative (exotic) animals not listed in subsection A of this section may be possessed, purchased, and sold; provided, that such animals shall be subject to all applicable local, state, and federal laws and regulations, including those that apply to threatened/endangered species, and further provided, that such animals shall not be liberated within the Commonwealth.
4VAC15-40-60. Hunting with dogs or possession of weapons in certain locations during closed season.
A. Department-owned and national forest lands statewide. It shall be unlawful to have in possession a firearm or any hunting weapon that is not unloaded and cased or dismantled on all national forest lands statewide and on department-owned lands and on other lands managed by the department under cooperative agreement except during the period when it is lawful to take bear, deer, grouse, pheasant, quail, rabbit, raccoon, squirrel, turkey, waterfowl, or migratory gamebirds on these lands.
B. Certain counties. Except as otherwise provided in 4VAC15-40-70, it shall be unlawful to have either a shotgun or a rifle in one's possession when accompanied by a dog in the daytime in the fields, forests or waters of the Counties of Augusta, Clarke, Frederick, Page, Shenandoah, and Warren, and in the counties east of the Blue Ridge Mountains, except Patrick, at any time except the periods prescribed by law to hunt game birds and animals.
C. Shooting ranges and authorized activities. The provisions of this section shall not prohibit the conduct of any activities authorized by the board or the establishment and operation of archery and shooting ranges on the lands described in subsections A and B of this section. The use of firearms or any hunting weapon in such ranges during the closed season period will be restricted to the area within the established range boundaries. Such weapons shall be required to be unloaded and cased or dismantled in all areas other than the range boundaries. The use of firearms or any hunting weapon during the closed hunting period in such ranges shall be restricted to target shooting only, and no birds or animals shall be molested.
D. It shall be unlawful to chase with a dog or train dogs on national forest lands or department-owned lands except during authorized hunting, chase, or training seasons that specifically permit these activities on these lands or during raccoon hound field trials on these lands between September 1 and March 31, both dates inclusive, that are sanctioned by bona fide national kennel clubs and authorized by permits issued by the department or the U.S. Forest Service.
E. It shall be unlawful to possess or transport any loaded firearm or loaded hunting weapon in or on any vehicle at any time on national forest lands or department-owned lands.
F. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their authorized and official duties, nor shall it prohibit possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
G. Meaning of "possession" of any hunting weapon and definition of "loaded crossbow," "loaded arrowgun," "loaded muzzleloader," and "loaded firearm." For the purpose of this section, the word "possession" shall include having any firearm or weapon used for hunting in or on one's person, vehicle, or conveyance. For the purpose of this section, a "loaded firearm" means a firearm in which ammunition is chambered or loaded in the magazine or clip when such magazine or clip is engaged or partially engaged in a firearm. The definition of a "loaded muzzleloader" will include a muzzleloading rifle, pistol, or shotgun that is capped, has a charged pan, or has a primer or battery installed in the muzzleloader. A "loaded crossbow" means a crossbow that is cocked and has either a bolt or arrow engaged or partially engaged on the shooting rail or track of the crossbow, or with a "trackless crossbow" when the crossbow is cocked and a bolt or arrow is nocked. "Loaded arrowgun" means an arrowgun that has an arrow or bolt inserted on the arrow rest or in the barrel. "Hunting weapon" means any weapon allowable for hunting as defined in § 29.1-519 of the Code of Virginia.
4VAC15-40-281. Unauthorized feeding of bear, deer, or turkey on national forest lands and department-owned lands.
It shall be unlawful to place or direct the placement of, deposit, distribute, or scatter food or salt capable of attracting or being eaten by bear, deer, or turkey on national forest lands or on department-owned lands without the written authorization of the Director of the Department of Game and Inland Fisheries Wildlife Resources or his the director's designee. The provisions of this section shall not prohibit the disposal of food in trash receptacles provided by the U.S. Forest Service on national forest lands or by the department on department-owned lands.
4VAC15-40-287. Model ordinances related to feeding of deer in cities and towns.
Per the provisions of § 29.1-527.2 of the Code of Virginia, the following model ordinance related to the feeding of deer may be adopted by a city or town. Any city or town must notify the director of the Department of Game and Inland Fisheries Wildlife Resources of the adoption of such an ordinance by registered mail.
Model ordinance:
A. Pursuant to § 29.1-527.2 of the Code of Virginia, it shall be unlawful for any person to place, distribute, or allow the placement of food, salt, minerals, or similar substances to feed or attract deer at any time.
B. No person shall continue to place, distribute, or allow the placement of food, salt, minerals, or similar substances for any purpose if the placement of these materials results in the presence of deer.
C. No part of this ordinance shall be construed to restrict agricultural, commercial, noncommercial, or residential plantings (including wildlife food plots); bona fide distribution of food to livestock; or wildlife management activities conducted or authorized by the Department of Game and Inland Fisheries Wildlife Resources.
4VAC15-90-290. Special quality deer management areas.
A. The board hereby designates the following areas posted by the Department of Game and Inland Fisheries Wildlife Resources as special quality deer management areas with special antlered buck harvest.
B. Special Fairystone quality deer management area. It shall be unlawful to kill an antlered deer on the special Fairystone quality deer management area unless the deer has at least four antler points, each greater than one inch in length, on either the right or left antler.
4VAC15-270-60. Use of firearms loaded with slugs and discharge of firearms near boardwalk or nature trail on Ragged Island Wildlife Management Area.
A. It shall be unlawful to possess outside of a vehicle, or shoot or hunt with a rifle, muzzleloader, pistol, or shotgun loaded with slugs, or to possess shotgun slugs, on Ragged Island Wildlife Management Area in Isle of Wight County. In addition, it shall be unlawful to discharge any firearm within 100 yards of the boardwalk or nature trail on Ragged Island Wildlife Management Area.
B. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their duties, nor shall it prohibit the possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
4VAC15-270-95. Model ordinances related to archery deer hunting.
Pursuant to § 29.1-528.1 A of the Code of Virginia, the following model ordinances related to hunting deer with bow and arrow (including crossbows) may be adopted by those counties and cities where there is an overabundance of the deer population, which is creating conflicts between humans and deer, including safety hazards to motorists. In accordance with § 29.1-528.1 B of the Code of Virginia, no such ordinance shall be enforceable unless the governing body of the locality notifies the director by registered mail prior to May 1 of the year in which the ordinance is to take effect.
Model Ordinance 1:
The times at which hunting shall commence and end each day shall be in accordance with the provisions of § 29.1-520 of the Code of Virginia.
Model Ordinance 2:
The number of deer that can be taken shall be in accordance with bag limits established by the Board of Game and Inland Fisheries Wildlife Resources pursuant to §§ 29.1-501 and 29.1-502 of the Code of Virginia.
Model Ordinance 3:
No person shall discharge a bow and arrow from, over, or across any street, sidewalk, alley, roadway, or toward any building or dwelling in such a manner that an arrow may strike it. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
Model Ordinance 4:
It shall be unlawful to discharge a bow and arrow in a manner that can be reasonably expected to result in the impact of the arrow upon the property of another without permission from the owner or tenant of such property. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
4VAC15-275-10. Application.
This chapter applies to any person who has never obtained a license to hunt in any state or country or any person who is under the age of younger than 16 years of age, unless such a person presents to the Department of Game and Inland Fisheries Wildlife Resources or one of its authorized license vendors a certificate of completion in hunter education issued or authorized by the director or his the director's representative under the hunter education program or proof that he holds the equivalent certificate obtained from an authorized agency or association of another state or country.
4VAC15-275-20. Definitions.
The following words and terms when used in this chapter shall have the following meanings unless the context clearly requires a different meaning:
"Accompanied and directly supervised" means, in the case of an apprentice hunter, that a licensed person over older than 18 years of age maintains a close visual and verbal contact with, provides adequate direction to, and can immediately assume control of the firearm from the apprentice hunter. In the case of a hunter age 12 years of age or under younger, the term means that the licensed adult is within sight of the person under the age of younger than 12 years of age.
"Adult" means the parent or legal guardian of the person under age younger than 12 years of age, or such person over the age of older than 18 years of age designated by the parent or legal guardian.
"Approved course provider" is any individual, business, or organization that makes available to the hunting public a hunter education course that is approved by the International Hunter Education Association – United States (IHEA-USA) and is accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Hunter education course" means a course offered in the classroom, through the Internet, or through an electronic format that provides course content and test questions that at a minimum meet the International Hunter Education Association-USA Education Standards, May 2, 2014, set forth by the International Hunter Education Association-USA (IHEA-USA) and are accepted by the department. A hunter education course shall include no less than 50 test questions, which shall include at least eight test questions specific to Virginia hunting laws.
"IHEA-USA" means the International Hunter Education Association-USA.
"Virginia Hunter Education Card" means a card authorized for issuance by the department to a person who has met the minimum standard of hunter education course competency. This card may be issued as an original or a replacement hunter education course card.
4VAC15-275-80. Instructor certification.
A. The department may designate as a hunter instructor any person found by it to be competent to give instruction in the courses required.
B. Volunteer instructors are designated to work on a voluntary basis and at the pleasure of the Department of Game and Inland Fisheries Wildlife Resources.
C. To be certified as a hunter education course instructor for the department's hunter education program, a person shall (i) have successfully completed a hunter education course and (ii) be certified as an instructor by the department or by a certification program accepted by the department.
D. Applicants for certified instructor shall submit an application to the department on a form and in a manner determined by the hunter education program manager. At a minimum, the application shall include:
1. The applicant's name;
2. The applicant's street address;
3. The applicant's telephone number;
4. The applicant's email address, if any;
5. Information describing the applicant's experience and training in hunter and hunting and proof of completion of a hunter education course that is accepted by the department; and
6. Any other information deemed necessary after review of the initial application.
E. Applicants may be required to submit written consent for a criminal history background check in a manner determined by the department or an interview in a manner determined by the department and in accordance with state policy.
4VAC15-290-130. Duty to comply with permit conditions.
A permit holder shall comply with all terms and conditions of any permit issued by the Department of Game and Inland Fisheries Wildlife Resources pursuant to Title 29.1 of the Code of Virginia and the regulations of the board pertaining to hunting, fishing, trapping, taking, attempting to take, possession, sale, offering for sale, transporting or causing to be transported, importing or exporting, propagating, exhibiting, and rehabilitating of any wild bird, wild animal, or fish. The penalty for violation of this section is prescribed by § 29.1-505 of the Code of Virginia.
4VAC15-340-80. Eel pots for taking American eels for sale.
A. The director may issue, deny, modify, suspend, or revoke annual eel pot permits designated for the sale of American eels. Such permits shall authorize the taking of American eels for sale, as specified, with eel pots from waters designated in this section. Such permits shall be valid so long as the harvest of American eels in the Commonwealth is not prohibited by other state or federal law or regulation. To be eligible, applicants must document harvest of at least one pound of American eels from Back Bay or North Landing River or their tributaries via reports submitted through the Virginia Marine Resources Commission Mandatory Harvest Reporting Program during the period January 1, 2007, to December 31, 2012, both dates inclusive. Applicants must document the reported harvest occurred while the applicant held a valid commercial fish pot or eel pot license issued by the Virginia Marine Resources Commission.
B. It shall be unlawful for permit holders to possess any American eel less than nine inches in total length.
C. It shall be unlawful for permit holders fishing eel pots to take any species other than American eels.
D. It shall be unlawful to place, set, or fish any eel pot that has a mesh less than 1/2-inch by 1/2-inch and does not contain at least one unrestricted 4-inch by 4-inch escape panel consisting of 1/2-inch by 1-inch mesh.
E. The permit holder's last name and Virginia Department of Game and Inland Fisheries Wildlife Resources American eel pot number must be permanently attached to buoys of all eel pots set. The maximum number of pots authorized per permit holder under this permit shall be 300.
F. American eels may be taken with eel pots in Back Bay and its natural tributaries (not including Lake Tecumseh and Red Wing Lake) and in North Landing River and its natural tributaries from the North Carolina line to the Great Bridge locks.
G. It shall be unlawful for any person to ship or otherwise transport any package, box, or other receptacle containing fish taken under an eel pot permit unless the same bears the permit holder's name and address.
H. Failure to comply with the daily harvest and sales reporting requirements as detailed in conditions of the permit shall be unlawful and may result in immediate permit revocation. It shall be the permit holder's responsibility to report "No Activity" when no activity occurs during a monthly reporting period.
4VAC15-410-20. Definitions.
As used in this chapter, unless the context clearly requires a different meaning, the following words and terms shall have the following meanings:
"Approved course provider" is any individual, business, or organization that makes available to the boating public a boating safety education course approved by the National Association of State Boating Law Administrators and accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. Persons who simply provide classroom instruction for an approved course provider shall not be considered an approved course provider. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Boating safety education course" means a course offered in the classroom, through the Internet, or through an electronic format such as CD-ROM that provides a course content and test questions that have been reviewed and approved by the National Association of State Boating Law Administrators in accordance with the National Boating Education Standards, updated January 1, 2008, and accepted by the department. A boating safety education course shall include no less than 50 test questions, which shall include at least 10 test questions specific about Virginia boating laws.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Dockside safety checklist" means a document provided by the department that consists of selected facts about Virginia boating laws and safe boat operation that a rental or livery agent or motorboat leasing business is required to present to those who rent or lease a motorboat or personal watercraft. The dockside safety checklist must be reviewed and initialed by the person operating the motorboat before the boat can be rented/leased rented or leased and operated.
"Equivalency exam" means a written examination that is developed by the department to test the knowledge of information included in the curriculum of a boating safety education course (may also be referred to as a challenge exam). The equivalency exam is intended to provide experienced and knowledgeable boaters with the opportunity to meet the boating safety education compliance requirement set forth in § 29.1-735.2 of the Code of Virginia without having to take and successfully complete a boating safety education course. The equivalency exam shall be comprised of no less than 75 or more than 100 test questions, shall include no less than 25 questions specific about Virginia boating laws, shall be proctored by an individual(s) individual specifically designated by the department, and shall be completed without the use of any reference material. A minimum score of at least 80% shall be considered passing.
"Motorboat" means any vessel propelled by machinery whether or not the machinery is the principal source of propulsion and for this chapter shall mean with a motor of 10 horsepower or greater.
"NASBLA" means the National Association of State Boating Law Administrators.
"NASBLA-approved course" means a boating safety education course that has been reviewed and approved by NASBLA.
"Onboard direct supervision" as referenced in § 29.1-735.2 B 6 and B 9 of the Code of Virginia occurs when a person maintains close visual and verbal contact with, provides adequate direction to, and can immediately assume control of a motorboat from the operator of a motorboat. A person who is water skiing, or is in the cabin of a motorboat and not at the helm/wheel is not considered to be in a position capable of providing direct supervision.
"Operate" means to navigate or otherwise control the movement of a motorboat or vessel.
"Optional Virginia Boater Education Card" means a card authorized for issuance by the department to persons who (i) can show they have met the minimum standard of boating safety education course competency, (ii) possess a valid license to operate a vessel issued to maritime personnel by the United States Coast Guard or a marine certificate issued by the Canadian government, (iii) possess a Canadian Pleasure Craft Operator's Card, or (iv) possess a valid commercial fisherman registration pursuant to § 28.2-241 of the Code of Virginia. For the purpose of this subsection a license is considered valid regardless of whether the license is current. This card may be issued as a replacement boating safety course card.
"Personal watercraft" means a motorboat less than 16 feet in length that uses an inboard motor powering a jet pump as its primary motive power and that is designed to be operated by a person sitting, standing, or kneeling on, rather than in the conventional manner of sitting or standing inside the vessel.
"Proctored" means that the written equivalency exam has been administered under the direct supervision of (i) a designated member of the United States Coast Guard Auxiliary or the United States Power Squadrons®, (ii) a designated department employee or a department volunteer boating safety instructor, or (iii) an individual who has been approved for such purpose by the department.
"Temporary operator's certificate" means a nonrenewable document issued with the certificate of number for the motorboat or personal watercraft, if the boat is new or was sold with a transfer of ownership. A temporary operator's certificate shall be issued only by the department, by any person authorized by the director to act as an agent to issue a certificate of number pursuant to § 29.1-706 of the Code of Virginia, or by a license agent of the department authorized to issue a temporary registration certificate for a motorboat or personal watercraft. A temporary operator's certificate shall allow the owner(s) owner to operate a motorboat with a motor of 10 horsepower or greater or personal watercraft in Virginia for 90 days.
"Vessel" means every description of watercraft, other than a seaplane on the water, used or capable of being used as a means of transportation on water.
"Waters of the Commonwealth" means any public waters within the territorial limits of the Commonwealth.
VA.R. Doc. No. R21-5904; Filed September 29, 2020, 11:23 a.m.
TITLE 4. CONSERVATION AND NATURAL RESOURCES
BOARD OF WILDLIFE RESOURCES
Final Regulation
REGISTRAR'S NOTICE: The Board of Wildlife Resources is claiming an exemption from Article 2 of 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 or the appropriation act where no agency discretion is involved. The State Board of Social Services will receive, consider, and respond to petitions by any interested person at any time with respect to reconsideration or revision.
Titles of Regulations: 4VAC15-20. Definitions and Miscellaneous: In General (amending 4VAC15-20-10, 4VAC15-20-75).
4VAC15-30. Definitions and Miscellaneous: Importation, Possession, Sale, etc., of Animals (amending 4VAC15-30-40).
4VAC15-40. Game: In General (amending 4VAC15-40-60, 4VAC15-40-281, 4VAC15-40-287).
4VAC15-90. Game: Deer (amending 4VAC15-90-290).
4VAC15-270. Game: Firearms (amending 4VAC15-270-60, 4VAC15-270-95).
4VAC15-275. Game: Hunter Education (amending 4VAC15-275-10, 4VAC15-275-20, 4VAC15-275-80).
4VAC15-290. Game: Permits (amending 4VAC15-290-130).
4VAC15-340. Fish: Seines and Nets (amending 4VAC15-340-80).
4VAC15-410. Watercraft: Boating Safety Education (amending 4VAC15-410-20).
Statutory Authority: §§ 29.1-103, 29.1-501, and 29.1-502 of the Code of Virginia.
Effective Date: January 1, 2021.
Agency Contact: Aaron Proctor, Regulations Coordinator, Department of Wildlife Resources, 7870 Villa Park Drive, Suite 400, Henrico, VA 23228, telephone (804) 367-8341, or email aaron.proctor@dwr.virginia.gov.
Summary:
The amendments align regulations with Chapter 958 of the 2020 Acts of Assembly, which changes the name of the department to Department of Wildlife Resources and of the board to Board of Wildlife Resources.
4VAC15-20-10. Definitions; generally.
Words and phrases used in any regulations made by the board shall have the same meaning, unless the context clearly indicates otherwise, as is given for such words and phrases in the Virginia Game and Inland Fisheries laws contained in Title 29.1 (§ 29.1-100 et seq.) of the Code of Virginia.
4VAC15-20-75. Wildlife Violator Compact.
A. This section is adopted pursuant to authority granted to the Board of Game and Inland Fisheries Wildlife Resources under §§ 29.1-103 and 29.1-530.5 of the Code of Virginia.
B. Definitions used herein in this section, unless the contrary is clearly indicated are those used in § 29.1-530.5 of the Code of Virginia, the Wildlife Violator Compact, herein referred to as the compact (compact).
C. In accordance with Article VII of the compact, the board hereby authorizes the Director of the Department of Game and Inland Fisheries Wildlife Resources to appoint the Commonwealth's representative to the Board of Compact Administrators. Such appointment shall be consistent with and subject to the aforesaid provisions of the compact and such representative shall serve at the pleasure of the director.
D. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the conviction in that state of a resident of the Commonwealth, the department shall enter such conviction in its records and such conviction shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations for purposes of suspension of license privileges.
E. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the failure of a resident of the Commonwealth to comply with the terms of a citation issued by that state, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence of compliance with the terms of such citation.
F. In accordance with Article V of the compact, upon receipt from a participating state of a report of the suspension of license privileges of a resident of the Commonwealth issued by that state that is in accordance with suspension of license pursuant to the Code of Virginia, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence that such suspension has been terminated.
G. Upon receipt of a report pursuant to subsections subsection D, E, or F of this section, the director or his the director's designee shall provide notice thereof to the resident of the Commonwealth who is the subject of such report. Such notice shall advise such person of the contents of the notice and of any action that the department proposes to take in response thereto.
H. The person who is the subject of such notice shall be provided an opportunity to request within 30 days from the date of such notice an opportunity to contest the department's proposed action by requesting an informal fact-finding conference to be conducted by a representative of the department designated by the director. Although such proceedings are exempt from the requirements of the Administrative Process Act (§ 2.2-4000 et seq. of the Code of Virginia) as provided by § 2.2-4002 A 3 thereof of the Code of Virginia, the department shall to the extent practicable afford such persons seeking an informal fact-finding conference the rights provided under § 2.2-4019 of the Code of Virginia. Those include but are not limited to the right to receive reasonable notice as described in subsection G of this section and the right to appear in person or by counsel before the designated representative of the department. However, no discovery shall be conducted and no subpoenas shall be issued as part of any such proceeding.
I. An informal fact-finding proceeding shall be completed within 60 days of receipt by the department of the request described in subsection H of this section. Upon such completion the designated representative of the department shall make a recommended decision to the director or to such person designated by the director to make such decision. The decision maker shall promptly issue a written decision to the person who requested the proceeding. If the affected party is not satisfied by this decision it may be appealed to a three member panel as appointed by the agency director.
J. Any decision upholding the suspension of licensing privileges as a result of the process described in subsections D through I of this section shall be entered by the department on its records and shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations.
K. The director shall establish procedures for reporting to participating states convictions or failures to comply with citations in the Commonwealth by residents of those respective states. Such procedures shall comply with the reporting requirements established by and pursuant to the provisions of the compact.
4VAC15-30-40. Importation requirements, possession, and sale of nonnative (exotic) animals.
A. Permit required. A special permit is required and may be issued by the department, if consistent with the department's fish and wildlife management program, to import, possess, or sell those nonnative (exotic) animals listed below in the following table and in 4VAC15-20-210 that the board finds and declares to be predatory or undesirable within the meaning and intent of § 29.1-542 of the Code of Virginia, in that their introduction into the Commonwealth will be detrimental to the native fish and wildlife resources of Virginia.
AMPHIBIANS |
Order | Family | Genus/Species | Common Name |
Anura | Bufonidae | Rhinella marina | Cane toad* |
Pipidae | Hymenochirus spp. Pseudohymenochiris merlini | African dwarf frog |
Xenopus spp. | Tongueless or African clawed frog |
Caudata | Ambystomatidae | All species | All mole salamanders |
BIRDS |
Order | Family | Genus/Species | Common Name |
Psittaciformes | Psittacidae | Myiopsitta monachus | Monk parakeet* |
Anseriformes | Anatidae | Cygnus olor | Mute swan |
FISH |
Order | Family | Genus/Species | Common Name |
Cypriniformes | Catostomidae | Catostomus microps | Modoc sucker |
Catostomus santaanae | Santa Ana sucker |
Catostomus warnerensis | Warner sucker |
Ictiobus bubalus | Smallmouth* buffalo |
I. cyprinellus | Bigmouth* buffalo |
I. niger | Black buffalo* |
Characidae | Pygopristis spp. Pygocentrus spp. Rooseveltiella spp. Serrasalmo spp. Serrasalmus spp. Taddyella spp. | Piranhas |
Cobitidae | Misgurnus anguillicaudatus | Oriental weatherfish |
Cyprinidae | Aristichyhys nobilis | Bighead carp* |
Chrosomus saylori | Laurel dace |
Ctenopharyngodon idella | Grass carp or white amur |
Cyprinella caerulea | Blue shiner |
Cyprinella formosa | Beautiful shiner |
Cyprinella lutrensis | Red shiner |
Hypophthalmichthys molitrix | Silver carp* |
Mylopharyngodom piceus | Black carp* |
Notropis albizonatus | Palezone shiner |
Notropis cahabae | Cahaba shiner |
Notropis girardi | Arkansas River shiner |
Notropis mekistocholas | Cape Fear shiner |
Notropis simus pecosensis | Pecos bluntnose shiner |
Notropis topeka (= tristis) | Topeka shiner |
Phoxinus cumberlandensis | Blackside dace |
Rhinichthys osculus lethoporus | Independence Valley speckled dace |
Rhinichthys osculus nevadensis | Ash Meadows speckled dace |
Rhinichthys osculus oligoporus | Clover Valley speckled dace |
Rhinichthys osculus ssp. | Foskett speckled dace |
Rhinichthys osculus thermalis | Kendall Warm Springs dace |
Scardinius erythrophthalmus | Rudd |
Tinca tinca | Tench* |
Cyprinodontiformes | Poeciliidae | Gambusia gaigei | Big Bend gambusia |
Gambusia georgei | San Marcos gambusia |
Gambusia heterochir | Clear Creek gambusia |
Gambusia nobilis | Pecos gambusia |
Peociliopsis occidentalis | Gila topminnow |
Gasterosteiformes | Gasterosteidae | Gasterosteus aculeatus williamsoni | Unarmored threespine stickleback |
Gobiesociformes | Gobiidae | Proterorhinus marmoratus | Tubenose goby |
Neogobius melanostomus | Round goby |
Perciformes | Channidae | Channa spp. Parachanna spp. | Snakeheads |
Cichlidae | Tilapia spp. | Tilapia |
Gymnocephalus cernuum | Ruffe* |
Elassomatidae | Elassoma alabamae | Spring pygmy sunfish |
Percidae | Crystallaria cincotta | Diamond darter |
Etheostoma chermocki | Vermilion darter |
Etheostoma boschungi | Slackwater darter |
Etheostoma chienense | Relict darter |
Etheostoma etowahae | Etowah darter |
Etheostoma fonticola | Fountain darter |
Etheostoma moorei | Yellowcheek darter |
Etheostoma nianguae | Niangua darter |
Etheostoma nuchale | Watercress darter |
Etheostoma okaloosae | Okaloosa darter |
Etheostoma phytophilum | Rush darter |
Etheostoma rubrum | Bayou darter |
Etheostoma scotti | Cherokee darter |
Etheostoma sp. | Bluemask (= jewel) darter |
Etheostoma susanae | Cumberland darter |
Etheostoma wapiti | Boulder darter |
Percina antesella | Amber darter |
Percina aurolineata | Goldline darter |
Percina jenkinsi | Conasauga logperch |
Percina pantherina | Leopard darter |
Percina tanasi | Snail darter |
Scorpaeniformes | Cottidae | Cottus sp. | Grotto sculpin |
Cottus paulus (= pygmaeus) | Pygmy sculpin |
Siluriformes | Clariidae | All species | Air-breathing catfish |
Ictaluridae | Noturus baileyi | Smoky madtom |
Noturus crypticus | Chucky madtom |
Noturus placidus | Neosho madtom |
Noturus stanauli | Pygmy madtom |
Noturus trautmani | Scioto madtom |
Synbranchiformes | Synbranchidae | Monopterus albus | Swamp eel |
MAMMALS |
Order | Family | Genus/Species | Common Name |
Artiodactyla | Suidae | All Species | Pigs or Hogs* |
Cervidae | All Species | Deer* |
Carnivora | Canidae | All Species | Wild Dogs,* Wolves, Coyotes or Coyote hybrids, Jackals and Foxes |
Ursidae | All Species | Bears* |
Procyonidae | All Species | Raccoons and* Relatives |
Mustelidae | All Species | Weasels, Badgers,* Skunks and Otters |
(except Mustela putorius furo) | Ferret |
Viverridae | All Species | Civets, Genets,* Lingsangs, Mongooses, and Fossas |
Herpestidae | All Species | Mongooses* |
Hyaenidae | All Species | Hyenas and Aardwolves* |
Felidae | All Species | Cats* |
Chiroptera | | All Species | Bats* |
Lagomorpha | Lepridae | Brachylagus idahoensis | Pygmy rabbit |
Lepus europeaeous | European hare |
Oryctolagus cuniculus | European rabbit |
Sylvilagus bachmani riparius | Riparian brush rabbit |
Sylvilagus palustris hefneri | Lower Keys marsh rabbit |
Rodentia | | All species native to Africa | All species native to Africa |
Dipodidae | Zapus hudsonius preblei | Preble's meadow jumping mouse |
Muridae | Microtus californicus scirpensis | Amargosa vole |
Microtus mexicanus hualpaiensis | Hualapai Mexican vole |
Microtus pennsylvanicus dukecampbelli | Florida salt marsh vole |
Neotoma floridana smalli | Key Largo woodrat |
Neotoma fuscipes riparia | Riparian (= San Joaquin Valley) woodrat |
Oryzomys palustris natator | Rice rat |
Peromyscus gossypinus allapaticola | Key Largo cotton mouse |
Peromyscus polionotus allophrys | Choctawhatchee beach mouse |
Peromyscus polionotus ammobates | Alabama beach mouse |
Peromyscus polionotus niveiventris | Southeastern beach mouse |
Peromyscus polionotus peninsularis | St. Andrew beach mouse |
Peromyscus polionotus phasma | Anastasia Island beach mouse |
Peromyscus polionotus trissyllepsis | Perdido Key beach mouse |
Reithrodontomys raviventris | Salt marsh harvest mouse |
Heteromyidae | Dipodomys heermanni morroensis | Morro Bay kangaroo rat |
Dipodomys ingens | Giant kangaroo rat |
Dipodomys merriami parvus | San Bernadino Merriam's kangaroo rat |
Dipodomys nitratoides exilis | Fresno kangaroo rat |
Dipodomys nitratoides nitratoides | Tipton kangaroo rat |
Dipodomys stephensi (including D. cascus) | Stephens' kangaroo rat |
Perognathus longimembris pacificus | Pacific pocket mouse |
Sciuridae | Cynomys spp. | Prairie dogs |
Spermophilus brunneus brunneus | Northern Idaho ground squirrel |
Tamiasciurus hudsonicus grahamensis | Mount Graham red squirrel |
Soricomorpha | Soricidae | Sorex ornatus relictus | Buena Vista Lake ornate shrew |
MOLLUSKS |
Order | Family | Genus/Species | Common Name |
Neotaenioglossa | Hydrobiidae | Potamopyrgus antipodarum | New Zealand mudsnail |
Veneroida | Dreissenidae | Dreissena bugensis | Quagga mussel |
Dreissena polymorpha | Zebra mussel |
REPTILES |
Order | Family | Genus/Species | Common Name |
Crocodilia | Alligatoridae | All species | Alligators, caimans* |
Crocodylidae | All species | Crocodiles* |
Gavialidae | All species | Gavials* |
Squamata | Colubridae | Boiga irregularis | Brown tree snake* |
CRUSTACEANS |
Order | Family | Genus/Species | Common Name |
Decapoda | Cambaridae | Cambarus aculabrum | Cave crayfish |
Cambarus zophonastes | Cave crayfish |
Orconectes rusticus | Rusty crayfish |
Orconectes shoupi | Nashville crayfish |
Pacifastacus fortis | Shasta crayfish |
Procambarus sp. | Marbled crayfish |
Parastacidae | Cherax spp. | Australian crayfish |
Varunidea | Eriocheir sinensis | Chinese mitten crab |
B. Temporary possession permit for certain animals. Notwithstanding the permitting requirements of subsection A of this section, a person, company, or corporation possessing any nonnative (exotic) animal, designated with an asterisk (*) in subsection A of this section, prior to July 1, 1992, must declare such possession in writing to the department by January 1, 1993. This written declaration shall serve as a permit for possession only, is not transferable, and must be renewed every five years. This written declaration must include species name, common name, number of individuals, date or dates acquired, sex (if possible), estimated age, height or length, and other characteristics such as bands and band numbers, tattoos, registration numbers, coloration, and specific markings. Possession transfer will require a new permit according to the requirements of this subsection.
C. Exception for certain monk parakeets. A permit is not required for monk parakeets (quakers) that have been captive bred and are closed-banded with a seamless band.
D. Exception for parts or products. A permit is not required for parts or products of those nonnative (exotic) animals listed in subsection A of this section that may be used for personal use, in the manufacture of products, or used in scientific research, provided that such parts or products be packaged outside the Commonwealth by any person, company, or corporation duly licensed by the state in which the parts originate. Such packages may be transported into the Commonwealth, consistent with other state laws and regulations, so long as the original package remains unbroken, unopened and intact until its point of destination is reached. Documentation concerning the type and cost of the animal parts ordered, the purpose and date of the order, point and date of shipping, and date of receiving shall be kept by the person, business, or institution ordering such nonnative (exotic) animal parts. Such documentation shall be open to inspection by a representative of the Department of Game and Inland Fisheries Wildlife Resources.
E. Exception for prairie dogs. The effective date of listing of prairie dogs under subsection A of this section shall be January 1, 1998. Prairie dogs possessed in captivity in Virginia on December 31, 1997, may be maintained in captivity until the animals' deaths, but they may not be sold on or after January 1, 1998, without a permit.
F. Exception for snakehead fish. Anglers may legally harvest snakehead fish of the family Channidae, provided that they immediately kill such fish and that they notify the department, as soon as practicable, of such actions.
G. Exception for feral hogs. Anyone may legally trap feral hogs with written permission of the landowner, provided that any trapped hogs are not removed from the trap site alive and are killed immediately.
H. Exception for grass carp. Anglers may legally harvest grass carp of the family Cyprinidae from public waters of the Commonwealth, except from department-owned or department-controlled lakes, provided that anglers ensure that harvested grass carp are dead.
I. All other nonnative (exotic) animals. All other nonnative (exotic) animals not listed in subsection A of this section may be possessed, purchased, and sold; provided, that such animals shall be subject to all applicable local, state, and federal laws and regulations, including those that apply to threatened/endangered species, and further provided, that such animals shall not be liberated within the Commonwealth.
4VAC15-40-60. Hunting with dogs or possession of weapons in certain locations during closed season.
A. Department-owned and national forest lands statewide. It shall be unlawful to have in possession a firearm or any hunting weapon that is not unloaded and cased or dismantled on all national forest lands statewide and on department-owned lands and on other lands managed by the department under cooperative agreement except during the period when it is lawful to take bear, deer, grouse, pheasant, quail, rabbit, raccoon, squirrel, turkey, waterfowl, or migratory gamebirds on these lands.
B. Certain counties. Except as otherwise provided in 4VAC15-40-70, it shall be unlawful to have either a shotgun or a rifle in one's possession when accompanied by a dog in the daytime in the fields, forests or waters of the Counties of Augusta, Clarke, Frederick, Page, Shenandoah, and Warren, and in the counties east of the Blue Ridge Mountains, except Patrick, at any time except the periods prescribed by law to hunt game birds and animals.
C. Shooting ranges and authorized activities. The provisions of this section shall not prohibit the conduct of any activities authorized by the board or the establishment and operation of archery and shooting ranges on the lands described in subsections A and B of this section. The use of firearms or any hunting weapon in such ranges during the closed season period will be restricted to the area within the established range boundaries. Such weapons shall be required to be unloaded and cased or dismantled in all areas other than the range boundaries. The use of firearms or any hunting weapon during the closed hunting period in such ranges shall be restricted to target shooting only, and no birds or animals shall be molested.
D. It shall be unlawful to chase with a dog or train dogs on national forest lands or department-owned lands except during authorized hunting, chase, or training seasons that specifically permit these activities on these lands or during raccoon hound field trials on these lands between September 1 and March 31, both dates inclusive, that are sanctioned by bona fide national kennel clubs and authorized by permits issued by the department or the U.S. Forest Service.
E. It shall be unlawful to possess or transport any loaded firearm or loaded hunting weapon in or on any vehicle at any time on national forest lands or department-owned lands.
F. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their authorized and official duties, nor shall it prohibit possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
G. Meaning of "possession" of any hunting weapon and definition of "loaded crossbow," "loaded arrowgun," "loaded muzzleloader," and "loaded firearm." For the purpose of this section, the word "possession" shall include having any firearm or weapon used for hunting in or on one's person, vehicle, or conveyance. For the purpose of this section, a "loaded firearm" means a firearm in which ammunition is chambered or loaded in the magazine or clip when such magazine or clip is engaged or partially engaged in a firearm. The definition of a "loaded muzzleloader" will include a muzzleloading rifle, pistol, or shotgun that is capped, has a charged pan, or has a primer or battery installed in the muzzleloader. A "loaded crossbow" means a crossbow that is cocked and has either a bolt or arrow engaged or partially engaged on the shooting rail or track of the crossbow, or with a "trackless crossbow" when the crossbow is cocked and a bolt or arrow is nocked. "Loaded arrowgun" means an arrowgun that has an arrow or bolt inserted on the arrow rest or in the barrel. "Hunting weapon" means any weapon allowable for hunting as defined in § 29.1-519 of the Code of Virginia.
4VAC15-40-281. Unauthorized feeding of bear, deer, or turkey on national forest lands and department-owned lands.
It shall be unlawful to place or direct the placement of, deposit, distribute, or scatter food or salt capable of attracting or being eaten by bear, deer, or turkey on national forest lands or on department-owned lands without the written authorization of the Director of the Department of Game and Inland Fisheries Wildlife Resources or his the director's designee. The provisions of this section shall not prohibit the disposal of food in trash receptacles provided by the U.S. Forest Service on national forest lands or by the department on department-owned lands.
4VAC15-40-287. Model ordinances related to feeding of deer in cities and towns.
Per the provisions of § 29.1-527.2 of the Code of Virginia, the following model ordinance related to the feeding of deer may be adopted by a city or town. Any city or town must notify the director of the Department of Game and Inland Fisheries Wildlife Resources of the adoption of such an ordinance by registered mail.
Model ordinance:
A. Pursuant to § 29.1-527.2 of the Code of Virginia, it shall be unlawful for any person to place, distribute, or allow the placement of food, salt, minerals, or similar substances to feed or attract deer at any time.
B. No person shall continue to place, distribute, or allow the placement of food, salt, minerals, or similar substances for any purpose if the placement of these materials results in the presence of deer.
C. No part of this ordinance shall be construed to restrict agricultural, commercial, noncommercial, or residential plantings (including wildlife food plots); bona fide distribution of food to livestock; or wildlife management activities conducted or authorized by the Department of Game and Inland Fisheries Wildlife Resources.
4VAC15-90-290. Special quality deer management areas.
A. The board hereby designates the following areas posted by the Department of Game and Inland Fisheries Wildlife Resources as special quality deer management areas with special antlered buck harvest.
B. Special Fairystone quality deer management area. It shall be unlawful to kill an antlered deer on the special Fairystone quality deer management area unless the deer has at least four antler points, each greater than one inch in length, on either the right or left antler.
4VAC15-270-60. Use of firearms loaded with slugs and discharge of firearms near boardwalk or nature trail on Ragged Island Wildlife Management Area.
A. It shall be unlawful to possess outside of a vehicle, or shoot or hunt with a rifle, muzzleloader, pistol, or shotgun loaded with slugs, or to possess shotgun slugs, on Ragged Island Wildlife Management Area in Isle of Wight County. In addition, it shall be unlawful to discharge any firearm within 100 yards of the boardwalk or nature trail on Ragged Island Wildlife Management Area.
B. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their duties, nor shall it prohibit the possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
4VAC15-270-95. Model ordinances related to archery deer hunting.
Pursuant to § 29.1-528.1 A of the Code of Virginia, the following model ordinances related to hunting deer with bow and arrow (including crossbows) may be adopted by those counties and cities where there is an overabundance of the deer population, which is creating conflicts between humans and deer, including safety hazards to motorists. In accordance with § 29.1-528.1 B of the Code of Virginia, no such ordinance shall be enforceable unless the governing body of the locality notifies the director by registered mail prior to May 1 of the year in which the ordinance is to take effect.
Model Ordinance 1:
The times at which hunting shall commence and end each day shall be in accordance with the provisions of § 29.1-520 of the Code of Virginia.
Model Ordinance 2:
The number of deer that can be taken shall be in accordance with bag limits established by the Board of Game and Inland Fisheries Wildlife Resources pursuant to §§ 29.1-501 and 29.1-502 of the Code of Virginia.
Model Ordinance 3:
No person shall discharge a bow and arrow from, over, or across any street, sidewalk, alley, roadway, or toward any building or dwelling in such a manner that an arrow may strike it. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
Model Ordinance 4:
It shall be unlawful to discharge a bow and arrow in a manner that can be reasonably expected to result in the impact of the arrow upon the property of another without permission from the owner or tenant of such property. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
4VAC15-275-10. Application.
This chapter applies to any person who has never obtained a license to hunt in any state or country or any person who is under the age of younger than 16 years of age, unless such a person presents to the Department of Game and Inland Fisheries Wildlife Resources or one of its authorized license vendors a certificate of completion in hunter education issued or authorized by the director or his the director's representative under the hunter education program or proof that he holds the equivalent certificate obtained from an authorized agency or association of another state or country.
4VAC15-275-20. Definitions.
The following words and terms when used in this chapter shall have the following meanings unless the context clearly requires a different meaning:
"Accompanied and directly supervised" means, in the case of an apprentice hunter, that a licensed person over older than 18 years of age maintains a close visual and verbal contact with, provides adequate direction to, and can immediately assume control of the firearm from the apprentice hunter. In the case of a hunter age 12 years of age or under younger, the term means that the licensed adult is within sight of the person under the age of younger than 12 years of age.
"Adult" means the parent or legal guardian of the person under age younger than 12 years of age, or such person over the age of older than 18 years of age designated by the parent or legal guardian.
"Approved course provider" is any individual, business, or organization that makes available to the hunting public a hunter education course that is approved by the International Hunter Education Association – United States (IHEA-USA) and is accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Hunter education course" means a course offered in the classroom, through the Internet, or through an electronic format that provides course content and test questions that at a minimum meet the International Hunter Education Association-USA Education Standards, May 2, 2014, set forth by the International Hunter Education Association-USA (IHEA-USA) and are accepted by the department. A hunter education course shall include no less than 50 test questions, which shall include at least eight test questions specific to Virginia hunting laws.
"IHEA-USA" means the International Hunter Education Association-USA.
"Virginia Hunter Education Card" means a card authorized for issuance by the department to a person who has met the minimum standard of hunter education course competency. This card may be issued as an original or a replacement hunter education course card.
4VAC15-275-80. Instructor certification.
A. The department may designate as a hunter instructor any person found by it to be competent to give instruction in the courses required.
B. Volunteer instructors are designated to work on a voluntary basis and at the pleasure of the Department of Game and Inland Fisheries Wildlife Resources.
C. To be certified as a hunter education course instructor for the department's hunter education program, a person shall (i) have successfully completed a hunter education course and (ii) be certified as an instructor by the department or by a certification program accepted by the department.
D. Applicants for certified instructor shall submit an application to the department on a form and in a manner determined by the hunter education program manager. At a minimum, the application shall include:
1. The applicant's name;
2. The applicant's street address;
3. The applicant's telephone number;
4. The applicant's email address, if any;
5. Information describing the applicant's experience and training in hunter and hunting and proof of completion of a hunter education course that is accepted by the department; and
6. Any other information deemed necessary after review of the initial application.
E. Applicants may be required to submit written consent for a criminal history background check in a manner determined by the department or an interview in a manner determined by the department and in accordance with state policy.
4VAC15-290-130. Duty to comply with permit conditions.
A permit holder shall comply with all terms and conditions of any permit issued by the Department of Game and Inland Fisheries Wildlife Resources pursuant to Title 29.1 of the Code of Virginia and the regulations of the board pertaining to hunting, fishing, trapping, taking, attempting to take, possession, sale, offering for sale, transporting or causing to be transported, importing or exporting, propagating, exhibiting, and rehabilitating of any wild bird, wild animal, or fish. The penalty for violation of this section is prescribed by § 29.1-505 of the Code of Virginia.
4VAC15-340-80. Eel pots for taking American eels for sale.
A. The director may issue, deny, modify, suspend, or revoke annual eel pot permits designated for the sale of American eels. Such permits shall authorize the taking of American eels for sale, as specified, with eel pots from waters designated in this section. Such permits shall be valid so long as the harvest of American eels in the Commonwealth is not prohibited by other state or federal law or regulation. To be eligible, applicants must document harvest of at least one pound of American eels from Back Bay or North Landing River or their tributaries via reports submitted through the Virginia Marine Resources Commission Mandatory Harvest Reporting Program during the period January 1, 2007, to December 31, 2012, both dates inclusive. Applicants must document the reported harvest occurred while the applicant held a valid commercial fish pot or eel pot license issued by the Virginia Marine Resources Commission.
B. It shall be unlawful for permit holders to possess any American eel less than nine inches in total length.
C. It shall be unlawful for permit holders fishing eel pots to take any species other than American eels.
D. It shall be unlawful to place, set, or fish any eel pot that has a mesh less than 1/2-inch by 1/2-inch and does not contain at least one unrestricted 4-inch by 4-inch escape panel consisting of 1/2-inch by 1-inch mesh.
E. The permit holder's last name and Virginia Department of Game and Inland Fisheries Wildlife Resources American eel pot number must be permanently attached to buoys of all eel pots set. The maximum number of pots authorized per permit holder under this permit shall be 300.
F. American eels may be taken with eel pots in Back Bay and its natural tributaries (not including Lake Tecumseh and Red Wing Lake) and in North Landing River and its natural tributaries from the North Carolina line to the Great Bridge locks.
G. It shall be unlawful for any person to ship or otherwise transport any package, box, or other receptacle containing fish taken under an eel pot permit unless the same bears the permit holder's name and address.
H. Failure to comply with the daily harvest and sales reporting requirements as detailed in conditions of the permit shall be unlawful and may result in immediate permit revocation. It shall be the permit holder's responsibility to report "No Activity" when no activity occurs during a monthly reporting period.
4VAC15-410-20. Definitions.
As used in this chapter, unless the context clearly requires a different meaning, the following words and terms shall have the following meanings:
"Approved course provider" is any individual, business, or organization that makes available to the boating public a boating safety education course approved by the National Association of State Boating Law Administrators and accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. Persons who simply provide classroom instruction for an approved course provider shall not be considered an approved course provider. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Boating safety education course" means a course offered in the classroom, through the Internet, or through an electronic format such as CD-ROM that provides a course content and test questions that have been reviewed and approved by the National Association of State Boating Law Administrators in accordance with the National Boating Education Standards, updated January 1, 2008, and accepted by the department. A boating safety education course shall include no less than 50 test questions, which shall include at least 10 test questions specific about Virginia boating laws.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Dockside safety checklist" means a document provided by the department that consists of selected facts about Virginia boating laws and safe boat operation that a rental or livery agent or motorboat leasing business is required to present to those who rent or lease a motorboat or personal watercraft. The dockside safety checklist must be reviewed and initialed by the person operating the motorboat before the boat can be rented/leased rented or leased and operated.
"Equivalency exam" means a written examination that is developed by the department to test the knowledge of information included in the curriculum of a boating safety education course (may also be referred to as a challenge exam). The equivalency exam is intended to provide experienced and knowledgeable boaters with the opportunity to meet the boating safety education compliance requirement set forth in § 29.1-735.2 of the Code of Virginia without having to take and successfully complete a boating safety education course. The equivalency exam shall be comprised of no less than 75 or more than 100 test questions, shall include no less than 25 questions specific about Virginia boating laws, shall be proctored by an individual(s) individual specifically designated by the department, and shall be completed without the use of any reference material. A minimum score of at least 80% shall be considered passing.
"Motorboat" means any vessel propelled by machinery whether or not the machinery is the principal source of propulsion and for this chapter shall mean with a motor of 10 horsepower or greater.
"NASBLA" means the National Association of State Boating Law Administrators.
"NASBLA-approved course" means a boating safety education course that has been reviewed and approved by NASBLA.
"Onboard direct supervision" as referenced in § 29.1-735.2 B 6 and B 9 of the Code of Virginia occurs when a person maintains close visual and verbal contact with, provides adequate direction to, and can immediately assume control of a motorboat from the operator of a motorboat. A person who is water skiing, or is in the cabin of a motorboat and not at the helm/wheel is not considered to be in a position capable of providing direct supervision.
"Operate" means to navigate or otherwise control the movement of a motorboat or vessel.
"Optional Virginia Boater Education Card" means a card authorized for issuance by the department to persons who (i) can show they have met the minimum standard of boating safety education course competency, (ii) possess a valid license to operate a vessel issued to maritime personnel by the United States Coast Guard or a marine certificate issued by the Canadian government, (iii) possess a Canadian Pleasure Craft Operator's Card, or (iv) possess a valid commercial fisherman registration pursuant to § 28.2-241 of the Code of Virginia. For the purpose of this subsection a license is considered valid regardless of whether the license is current. This card may be issued as a replacement boating safety course card.
"Personal watercraft" means a motorboat less than 16 feet in length that uses an inboard motor powering a jet pump as its primary motive power and that is designed to be operated by a person sitting, standing, or kneeling on, rather than in the conventional manner of sitting or standing inside the vessel.
"Proctored" means that the written equivalency exam has been administered under the direct supervision of (i) a designated member of the United States Coast Guard Auxiliary or the United States Power Squadrons®, (ii) a designated department employee or a department volunteer boating safety instructor, or (iii) an individual who has been approved for such purpose by the department.
"Temporary operator's certificate" means a nonrenewable document issued with the certificate of number for the motorboat or personal watercraft, if the boat is new or was sold with a transfer of ownership. A temporary operator's certificate shall be issued only by the department, by any person authorized by the director to act as an agent to issue a certificate of number pursuant to § 29.1-706 of the Code of Virginia, or by a license agent of the department authorized to issue a temporary registration certificate for a motorboat or personal watercraft. A temporary operator's certificate shall allow the owner(s) owner to operate a motorboat with a motor of 10 horsepower or greater or personal watercraft in Virginia for 90 days.
"Vessel" means every description of watercraft, other than a seaplane on the water, used or capable of being used as a means of transportation on water.
"Waters of the Commonwealth" means any public waters within the territorial limits of the Commonwealth.
VA.R. Doc. No. R21-5904; Filed September 29, 2020, 11:23 a.m.
TITLE 4. CONSERVATION AND NATURAL RESOURCES
BOARD OF WILDLIFE RESOURCES
Final Regulation
REGISTRAR'S NOTICE: The Board of Wildlife Resources is claiming an exemption from Article 2 of 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 or the appropriation act where no agency discretion is involved. The State Board of Social Services will receive, consider, and respond to petitions by any interested person at any time with respect to reconsideration or revision.
Titles of Regulations: 4VAC15-20. Definitions and Miscellaneous: In General (amending 4VAC15-20-10, 4VAC15-20-75).
4VAC15-30. Definitions and Miscellaneous: Importation, Possession, Sale, etc., of Animals (amending 4VAC15-30-40).
4VAC15-40. Game: In General (amending 4VAC15-40-60, 4VAC15-40-281, 4VAC15-40-287).
4VAC15-90. Game: Deer (amending 4VAC15-90-290).
4VAC15-270. Game: Firearms (amending 4VAC15-270-60, 4VAC15-270-95).
4VAC15-275. Game: Hunter Education (amending 4VAC15-275-10, 4VAC15-275-20, 4VAC15-275-80).
4VAC15-290. Game: Permits (amending 4VAC15-290-130).
4VAC15-340. Fish: Seines and Nets (amending 4VAC15-340-80).
4VAC15-410. Watercraft: Boating Safety Education (amending 4VAC15-410-20).
Statutory Authority: §§ 29.1-103, 29.1-501, and 29.1-502 of the Code of Virginia.
Effective Date: January 1, 2021.
Agency Contact: Aaron Proctor, Regulations Coordinator, Department of Wildlife Resources, 7870 Villa Park Drive, Suite 400, Henrico, VA 23228, telephone (804) 367-8341, or email aaron.proctor@dwr.virginia.gov.
Summary:
The amendments align regulations with Chapter 958 of the 2020 Acts of Assembly, which changes the name of the department to Department of Wildlife Resources and of the board to Board of Wildlife Resources.
4VAC15-20-10. Definitions; generally.
Words and phrases used in any regulations made by the board shall have the same meaning, unless the context clearly indicates otherwise, as is given for such words and phrases in the Virginia Game and Inland Fisheries laws contained in Title 29.1 (§ 29.1-100 et seq.) of the Code of Virginia.
4VAC15-20-75. Wildlife Violator Compact.
A. This section is adopted pursuant to authority granted to the Board of Game and Inland Fisheries Wildlife Resources under §§ 29.1-103 and 29.1-530.5 of the Code of Virginia.
B. Definitions used herein in this section, unless the contrary is clearly indicated are those used in § 29.1-530.5 of the Code of Virginia, the Wildlife Violator Compact, herein referred to as the compact (compact).
C. In accordance with Article VII of the compact, the board hereby authorizes the Director of the Department of Game and Inland Fisheries Wildlife Resources to appoint the Commonwealth's representative to the Board of Compact Administrators. Such appointment shall be consistent with and subject to the aforesaid provisions of the compact and such representative shall serve at the pleasure of the director.
D. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the conviction in that state of a resident of the Commonwealth, the department shall enter such conviction in its records and such conviction shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations for purposes of suspension of license privileges.
E. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the failure of a resident of the Commonwealth to comply with the terms of a citation issued by that state, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence of compliance with the terms of such citation.
F. In accordance with Article V of the compact, upon receipt from a participating state of a report of the suspension of license privileges of a resident of the Commonwealth issued by that state that is in accordance with suspension of license pursuant to the Code of Virginia, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence that such suspension has been terminated.
G. Upon receipt of a report pursuant to subsections subsection D, E, or F of this section, the director or his the director's designee shall provide notice thereof to the resident of the Commonwealth who is the subject of such report. Such notice shall advise such person of the contents of the notice and of any action that the department proposes to take in response thereto.
H. The person who is the subject of such notice shall be provided an opportunity to request within 30 days from the date of such notice an opportunity to contest the department's proposed action by requesting an informal fact-finding conference to be conducted by a representative of the department designated by the director. Although such proceedings are exempt from the requirements of the Administrative Process Act (§ 2.2-4000 et seq. of the Code of Virginia) as provided by § 2.2-4002 A 3 thereof of the Code of Virginia, the department shall to the extent practicable afford such persons seeking an informal fact-finding conference the rights provided under § 2.2-4019 of the Code of Virginia. Those include but are not limited to the right to receive reasonable notice as described in subsection G of this section and the right to appear in person or by counsel before the designated representative of the department. However, no discovery shall be conducted and no subpoenas shall be issued as part of any such proceeding.
I. An informal fact-finding proceeding shall be completed within 60 days of receipt by the department of the request described in subsection H of this section. Upon such completion the designated representative of the department shall make a recommended decision to the director or to such person designated by the director to make such decision. The decision maker shall promptly issue a written decision to the person who requested the proceeding. If the affected party is not satisfied by this decision it may be appealed to a three member panel as appointed by the agency director.
J. Any decision upholding the suspension of licensing privileges as a result of the process described in subsections D through I of this section shall be entered by the department on its records and shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations.
K. The director shall establish procedures for reporting to participating states convictions or failures to comply with citations in the Commonwealth by residents of those respective states. Such procedures shall comply with the reporting requirements established by and pursuant to the provisions of the compact.
4VAC15-30-40. Importation requirements, possession, and sale of nonnative (exotic) animals.
A. Permit required. A special permit is required and may be issued by the department, if consistent with the department's fish and wildlife management program, to import, possess, or sell those nonnative (exotic) animals listed below in the following table and in 4VAC15-20-210 that the board finds and declares to be predatory or undesirable within the meaning and intent of § 29.1-542 of the Code of Virginia, in that their introduction into the Commonwealth will be detrimental to the native fish and wildlife resources of Virginia.
AMPHIBIANS |
Order | Family | Genus/Species | Common Name |
Anura | Bufonidae | Rhinella marina | Cane toad* |
Pipidae | Hymenochirus spp. Pseudohymenochiris merlini | African dwarf frog |
Xenopus spp. | Tongueless or African clawed frog |
Caudata | Ambystomatidae | All species | All mole salamanders |
BIRDS |
Order | Family | Genus/Species | Common Name |
Psittaciformes | Psittacidae | Myiopsitta monachus | Monk parakeet* |
Anseriformes | Anatidae | Cygnus olor | Mute swan |
FISH |
Order | Family | Genus/Species | Common Name |
Cypriniformes | Catostomidae | Catostomus microps | Modoc sucker |
Catostomus santaanae | Santa Ana sucker |
Catostomus warnerensis | Warner sucker |
Ictiobus bubalus | Smallmouth* buffalo |
I. cyprinellus | Bigmouth* buffalo |
I. niger | Black buffalo* |
Characidae | Pygopristis spp. Pygocentrus spp. Rooseveltiella spp. Serrasalmo spp. Serrasalmus spp. Taddyella spp. | Piranhas |
Cobitidae | Misgurnus anguillicaudatus | Oriental weatherfish |
Cyprinidae | Aristichyhys nobilis | Bighead carp* |
Chrosomus saylori | Laurel dace |
Ctenopharyngodon idella | Grass carp or white amur |
Cyprinella caerulea | Blue shiner |
Cyprinella formosa | Beautiful shiner |
Cyprinella lutrensis | Red shiner |
Hypophthalmichthys molitrix | Silver carp* |
Mylopharyngodom piceus | Black carp* |
Notropis albizonatus | Palezone shiner |
Notropis cahabae | Cahaba shiner |
Notropis girardi | Arkansas River shiner |
Notropis mekistocholas | Cape Fear shiner |
Notropis simus pecosensis | Pecos bluntnose shiner |
Notropis topeka (= tristis) | Topeka shiner |
Phoxinus cumberlandensis | Blackside dace |
Rhinichthys osculus lethoporus | Independence Valley speckled dace |
Rhinichthys osculus nevadensis | Ash Meadows speckled dace |
Rhinichthys osculus oligoporus | Clover Valley speckled dace |
Rhinichthys osculus ssp. | Foskett speckled dace |
Rhinichthys osculus thermalis | Kendall Warm Springs dace |
Scardinius erythrophthalmus | Rudd |
Tinca tinca | Tench* |
Cyprinodontiformes | Poeciliidae | Gambusia gaigei | Big Bend gambusia |
Gambusia georgei | San Marcos gambusia |
Gambusia heterochir | Clear Creek gambusia |
Gambusia nobilis | Pecos gambusia |
Peociliopsis occidentalis | Gila topminnow |
Gasterosteiformes | Gasterosteidae | Gasterosteus aculeatus williamsoni | Unarmored threespine stickleback |
Gobiesociformes | Gobiidae | Proterorhinus marmoratus | Tubenose goby |
Neogobius melanostomus | Round goby |
Perciformes | Channidae | Channa spp. Parachanna spp. | Snakeheads |
Cichlidae | Tilapia spp. | Tilapia |
Gymnocephalus cernuum | Ruffe* |
Elassomatidae | Elassoma alabamae | Spring pygmy sunfish |
Percidae | Crystallaria cincotta | Diamond darter |
Etheostoma chermocki | Vermilion darter |
Etheostoma boschungi | Slackwater darter |
Etheostoma chienense | Relict darter |
Etheostoma etowahae | Etowah darter |
Etheostoma fonticola | Fountain darter |
Etheostoma moorei | Yellowcheek darter |
Etheostoma nianguae | Niangua darter |
Etheostoma nuchale | Watercress darter |
Etheostoma okaloosae | Okaloosa darter |
Etheostoma phytophilum | Rush darter |
Etheostoma rubrum | Bayou darter |
Etheostoma scotti | Cherokee darter |
Etheostoma sp. | Bluemask (= jewel) darter |
Etheostoma susanae | Cumberland darter |
Etheostoma wapiti | Boulder darter |
Percina antesella | Amber darter |
Percina aurolineata | Goldline darter |
Percina jenkinsi | Conasauga logperch |
Percina pantherina | Leopard darter |
Percina tanasi | Snail darter |
Scorpaeniformes | Cottidae | Cottus sp. | Grotto sculpin |
Cottus paulus (= pygmaeus) | Pygmy sculpin |
Siluriformes | Clariidae | All species | Air-breathing catfish |
Ictaluridae | Noturus baileyi | Smoky madtom |
Noturus crypticus | Chucky madtom |
Noturus placidus | Neosho madtom |
Noturus stanauli | Pygmy madtom |
Noturus trautmani | Scioto madtom |
Synbranchiformes | Synbranchidae | Monopterus albus | Swamp eel |
MAMMALS |
Order | Family | Genus/Species | Common Name |
Artiodactyla | Suidae | All Species | Pigs or Hogs* |
Cervidae | All Species | Deer* |
Carnivora | Canidae | All Species | Wild Dogs,* Wolves, Coyotes or Coyote hybrids, Jackals and Foxes |
Ursidae | All Species | Bears* |
Procyonidae | All Species | Raccoons and* Relatives |
Mustelidae | All Species | Weasels, Badgers,* Skunks and Otters |
(except Mustela putorius furo) | Ferret |
Viverridae | All Species | Civets, Genets,* Lingsangs, Mongooses, and Fossas |
Herpestidae | All Species | Mongooses* |
Hyaenidae | All Species | Hyenas and Aardwolves* |
Felidae | All Species | Cats* |
Chiroptera | | All Species | Bats* |
Lagomorpha | Lepridae | Brachylagus idahoensis | Pygmy rabbit |
Lepus europeaeous | European hare |
Oryctolagus cuniculus | European rabbit |
Sylvilagus bachmani riparius | Riparian brush rabbit |
Sylvilagus palustris hefneri | Lower Keys marsh rabbit |
Rodentia | | All species native to Africa | All species native to Africa |
Dipodidae | Zapus hudsonius preblei | Preble's meadow jumping mouse |
Muridae | Microtus californicus scirpensis | Amargosa vole |
Microtus mexicanus hualpaiensis | Hualapai Mexican vole |
Microtus pennsylvanicus dukecampbelli | Florida salt marsh vole |
Neotoma floridana smalli | Key Largo woodrat |
Neotoma fuscipes riparia | Riparian (= San Joaquin Valley) woodrat |
Oryzomys palustris natator | Rice rat |
Peromyscus gossypinus allapaticola | Key Largo cotton mouse |
Peromyscus polionotus allophrys | Choctawhatchee beach mouse |
Peromyscus polionotus ammobates | Alabama beach mouse |
Peromyscus polionotus niveiventris | Southeastern beach mouse |
Peromyscus polionotus peninsularis | St. Andrew beach mouse |
Peromyscus polionotus phasma | Anastasia Island beach mouse |
Peromyscus polionotus trissyllepsis | Perdido Key beach mouse |
Reithrodontomys raviventris | Salt marsh harvest mouse |
Heteromyidae | Dipodomys heermanni morroensis | Morro Bay kangaroo rat |
Dipodomys ingens | Giant kangaroo rat |
Dipodomys merriami parvus | San Bernadino Merriam's kangaroo rat |
Dipodomys nitratoides exilis | Fresno kangaroo rat |
Dipodomys nitratoides nitratoides | Tipton kangaroo rat |
Dipodomys stephensi (including D. cascus) | Stephens' kangaroo rat |
Perognathus longimembris pacificus | Pacific pocket mouse |
Sciuridae | Cynomys spp. | Prairie dogs |
Spermophilus brunneus brunneus | Northern Idaho ground squirrel |
Tamiasciurus hudsonicus grahamensis | Mount Graham red squirrel |
Soricomorpha | Soricidae | Sorex ornatus relictus | Buena Vista Lake ornate shrew |
MOLLUSKS |
Order | Family | Genus/Species | Common Name |
Neotaenioglossa | Hydrobiidae | Potamopyrgus antipodarum | New Zealand mudsnail |
Veneroida | Dreissenidae | Dreissena bugensis | Quagga mussel |
Dreissena polymorpha | Zebra mussel |
REPTILES |
Order | Family | Genus/Species | Common Name |
Crocodilia | Alligatoridae | All species | Alligators, caimans* |
Crocodylidae | All species | Crocodiles* |
Gavialidae | All species | Gavials* |
Squamata | Colubridae | Boiga irregularis | Brown tree snake* |
CRUSTACEANS |
Order | Family | Genus/Species | Common Name |
Decapoda | Cambaridae | Cambarus aculabrum | Cave crayfish |
Cambarus zophonastes | Cave crayfish |
Orconectes rusticus | Rusty crayfish |
Orconectes shoupi | Nashville crayfish |
Pacifastacus fortis | Shasta crayfish |
Procambarus sp. | Marbled crayfish |
Parastacidae | Cherax spp. | Australian crayfish |
Varunidea | Eriocheir sinensis | Chinese mitten crab |
B. Temporary possession permit for certain animals. Notwithstanding the permitting requirements of subsection A of this section, a person, company, or corporation possessing any nonnative (exotic) animal, designated with an asterisk (*) in subsection A of this section, prior to July 1, 1992, must declare such possession in writing to the department by January 1, 1993. This written declaration shall serve as a permit for possession only, is not transferable, and must be renewed every five years. This written declaration must include species name, common name, number of individuals, date or dates acquired, sex (if possible), estimated age, height or length, and other characteristics such as bands and band numbers, tattoos, registration numbers, coloration, and specific markings. Possession transfer will require a new permit according to the requirements of this subsection.
C. Exception for certain monk parakeets. A permit is not required for monk parakeets (quakers) that have been captive bred and are closed-banded with a seamless band.
D. Exception for parts or products. A permit is not required for parts or products of those nonnative (exotic) animals listed in subsection A of this section that may be used for personal use, in the manufacture of products, or used in scientific research, provided that such parts or products be packaged outside the Commonwealth by any person, company, or corporation duly licensed by the state in which the parts originate. Such packages may be transported into the Commonwealth, consistent with other state laws and regulations, so long as the original package remains unbroken, unopened and intact until its point of destination is reached. Documentation concerning the type and cost of the animal parts ordered, the purpose and date of the order, point and date of shipping, and date of receiving shall be kept by the person, business, or institution ordering such nonnative (exotic) animal parts. Such documentation shall be open to inspection by a representative of the Department of Game and Inland Fisheries Wildlife Resources.
E. Exception for prairie dogs. The effective date of listing of prairie dogs under subsection A of this section shall be January 1, 1998. Prairie dogs possessed in captivity in Virginia on December 31, 1997, may be maintained in captivity until the animals' deaths, but they may not be sold on or after January 1, 1998, without a permit.
F. Exception for snakehead fish. Anglers may legally harvest snakehead fish of the family Channidae, provided that they immediately kill such fish and that they notify the department, as soon as practicable, of such actions.
G. Exception for feral hogs. Anyone may legally trap feral hogs with written permission of the landowner, provided that any trapped hogs are not removed from the trap site alive and are killed immediately.
H. Exception for grass carp. Anglers may legally harvest grass carp of the family Cyprinidae from public waters of the Commonwealth, except from department-owned or department-controlled lakes, provided that anglers ensure that harvested grass carp are dead.
I. All other nonnative (exotic) animals. All other nonnative (exotic) animals not listed in subsection A of this section may be possessed, purchased, and sold; provided, that such animals shall be subject to all applicable local, state, and federal laws and regulations, including those that apply to threatened/endangered species, and further provided, that such animals shall not be liberated within the Commonwealth.
4VAC15-40-60. Hunting with dogs or possession of weapons in certain locations during closed season.
A. Department-owned and national forest lands statewide. It shall be unlawful to have in possession a firearm or any hunting weapon that is not unloaded and cased or dismantled on all national forest lands statewide and on department-owned lands and on other lands managed by the department under cooperative agreement except during the period when it is lawful to take bear, deer, grouse, pheasant, quail, rabbit, raccoon, squirrel, turkey, waterfowl, or migratory gamebirds on these lands.
B. Certain counties. Except as otherwise provided in 4VAC15-40-70, it shall be unlawful to have either a shotgun or a rifle in one's possession when accompanied by a dog in the daytime in the fields, forests or waters of the Counties of Augusta, Clarke, Frederick, Page, Shenandoah, and Warren, and in the counties east of the Blue Ridge Mountains, except Patrick, at any time except the periods prescribed by law to hunt game birds and animals.
C. Shooting ranges and authorized activities. The provisions of this section shall not prohibit the conduct of any activities authorized by the board or the establishment and operation of archery and shooting ranges on the lands described in subsections A and B of this section. The use of firearms or any hunting weapon in such ranges during the closed season period will be restricted to the area within the established range boundaries. Such weapons shall be required to be unloaded and cased or dismantled in all areas other than the range boundaries. The use of firearms or any hunting weapon during the closed hunting period in such ranges shall be restricted to target shooting only, and no birds or animals shall be molested.
D. It shall be unlawful to chase with a dog or train dogs on national forest lands or department-owned lands except during authorized hunting, chase, or training seasons that specifically permit these activities on these lands or during raccoon hound field trials on these lands between September 1 and March 31, both dates inclusive, that are sanctioned by bona fide national kennel clubs and authorized by permits issued by the department or the U.S. Forest Service.
E. It shall be unlawful to possess or transport any loaded firearm or loaded hunting weapon in or on any vehicle at any time on national forest lands or department-owned lands.
F. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their authorized and official duties, nor shall it prohibit possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
G. Meaning of "possession" of any hunting weapon and definition of "loaded crossbow," "loaded arrowgun," "loaded muzzleloader," and "loaded firearm." For the purpose of this section, the word "possession" shall include having any firearm or weapon used for hunting in or on one's person, vehicle, or conveyance. For the purpose of this section, a "loaded firearm" means a firearm in which ammunition is chambered or loaded in the magazine or clip when such magazine or clip is engaged or partially engaged in a firearm. The definition of a "loaded muzzleloader" will include a muzzleloading rifle, pistol, or shotgun that is capped, has a charged pan, or has a primer or battery installed in the muzzleloader. A "loaded crossbow" means a crossbow that is cocked and has either a bolt or arrow engaged or partially engaged on the shooting rail or track of the crossbow, or with a "trackless crossbow" when the crossbow is cocked and a bolt or arrow is nocked. "Loaded arrowgun" means an arrowgun that has an arrow or bolt inserted on the arrow rest or in the barrel. "Hunting weapon" means any weapon allowable for hunting as defined in § 29.1-519 of the Code of Virginia.
4VAC15-40-281. Unauthorized feeding of bear, deer, or turkey on national forest lands and department-owned lands.
It shall be unlawful to place or direct the placement of, deposit, distribute, or scatter food or salt capable of attracting or being eaten by bear, deer, or turkey on national forest lands or on department-owned lands without the written authorization of the Director of the Department of Game and Inland Fisheries Wildlife Resources or his the director's designee. The provisions of this section shall not prohibit the disposal of food in trash receptacles provided by the U.S. Forest Service on national forest lands or by the department on department-owned lands.
4VAC15-40-287. Model ordinances related to feeding of deer in cities and towns.
Per the provisions of § 29.1-527.2 of the Code of Virginia, the following model ordinance related to the feeding of deer may be adopted by a city or town. Any city or town must notify the director of the Department of Game and Inland Fisheries Wildlife Resources of the adoption of such an ordinance by registered mail.
Model ordinance:
A. Pursuant to § 29.1-527.2 of the Code of Virginia, it shall be unlawful for any person to place, distribute, or allow the placement of food, salt, minerals, or similar substances to feed or attract deer at any time.
B. No person shall continue to place, distribute, or allow the placement of food, salt, minerals, or similar substances for any purpose if the placement of these materials results in the presence of deer.
C. No part of this ordinance shall be construed to restrict agricultural, commercial, noncommercial, or residential plantings (including wildlife food plots); bona fide distribution of food to livestock; or wildlife management activities conducted or authorized by the Department of Game and Inland Fisheries Wildlife Resources.
4VAC15-90-290. Special quality deer management areas.
A. The board hereby designates the following areas posted by the Department of Game and Inland Fisheries Wildlife Resources as special quality deer management areas with special antlered buck harvest.
B. Special Fairystone quality deer management area. It shall be unlawful to kill an antlered deer on the special Fairystone quality deer management area unless the deer has at least four antler points, each greater than one inch in length, on either the right or left antler.
4VAC15-270-60. Use of firearms loaded with slugs and discharge of firearms near boardwalk or nature trail on Ragged Island Wildlife Management Area.
A. It shall be unlawful to possess outside of a vehicle, or shoot or hunt with a rifle, muzzleloader, pistol, or shotgun loaded with slugs, or to possess shotgun slugs, on Ragged Island Wildlife Management Area in Isle of Wight County. In addition, it shall be unlawful to discharge any firearm within 100 yards of the boardwalk or nature trail on Ragged Island Wildlife Management Area.
B. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their duties, nor shall it prohibit the possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
4VAC15-270-95. Model ordinances related to archery deer hunting.
Pursuant to § 29.1-528.1 A of the Code of Virginia, the following model ordinances related to hunting deer with bow and arrow (including crossbows) may be adopted by those counties and cities where there is an overabundance of the deer population, which is creating conflicts between humans and deer, including safety hazards to motorists. In accordance with § 29.1-528.1 B of the Code of Virginia, no such ordinance shall be enforceable unless the governing body of the locality notifies the director by registered mail prior to May 1 of the year in which the ordinance is to take effect.
Model Ordinance 1:
The times at which hunting shall commence and end each day shall be in accordance with the provisions of § 29.1-520 of the Code of Virginia.
Model Ordinance 2:
The number of deer that can be taken shall be in accordance with bag limits established by the Board of Game and Inland Fisheries Wildlife Resources pursuant to §§ 29.1-501 and 29.1-502 of the Code of Virginia.
Model Ordinance 3:
No person shall discharge a bow and arrow from, over, or across any street, sidewalk, alley, roadway, or toward any building or dwelling in such a manner that an arrow may strike it. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
Model Ordinance 4:
It shall be unlawful to discharge a bow and arrow in a manner that can be reasonably expected to result in the impact of the arrow upon the property of another without permission from the owner or tenant of such property. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
4VAC15-275-10. Application.
This chapter applies to any person who has never obtained a license to hunt in any state or country or any person who is under the age of younger than 16 years of age, unless such a person presents to the Department of Game and Inland Fisheries Wildlife Resources or one of its authorized license vendors a certificate of completion in hunter education issued or authorized by the director or his the director's representative under the hunter education program or proof that he holds the equivalent certificate obtained from an authorized agency or association of another state or country.
4VAC15-275-20. Definitions.
The following words and terms when used in this chapter shall have the following meanings unless the context clearly requires a different meaning:
"Accompanied and directly supervised" means, in the case of an apprentice hunter, that a licensed person over older than 18 years of age maintains a close visual and verbal contact with, provides adequate direction to, and can immediately assume control of the firearm from the apprentice hunter. In the case of a hunter age 12 years of age or under younger, the term means that the licensed adult is within sight of the person under the age of younger than 12 years of age.
"Adult" means the parent or legal guardian of the person under age younger than 12 years of age, or such person over the age of older than 18 years of age designated by the parent or legal guardian.
"Approved course provider" is any individual, business, or organization that makes available to the hunting public a hunter education course that is approved by the International Hunter Education Association – United States (IHEA-USA) and is accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Hunter education course" means a course offered in the classroom, through the Internet, or through an electronic format that provides course content and test questions that at a minimum meet the International Hunter Education Association-USA Education Standards, May 2, 2014, set forth by the International Hunter Education Association-USA (IHEA-USA) and are accepted by the department. A hunter education course shall include no less than 50 test questions, which shall include at least eight test questions specific to Virginia hunting laws.
"IHEA-USA" means the International Hunter Education Association-USA.
"Virginia Hunter Education Card" means a card authorized for issuance by the department to a person who has met the minimum standard of hunter education course competency. This card may be issued as an original or a replacement hunter education course card.
4VAC15-275-80. Instructor certification.
A. The department may designate as a hunter instructor any person found by it to be competent to give instruction in the courses required.
B. Volunteer instructors are designated to work on a voluntary basis and at the pleasure of the Department of Game and Inland Fisheries Wildlife Resources.
C. To be certified as a hunter education course instructor for the department's hunter education program, a person shall (i) have successfully completed a hunter education course and (ii) be certified as an instructor by the department or by a certification program accepted by the department.
D. Applicants for certified instructor shall submit an application to the department on a form and in a manner determined by the hunter education program manager. At a minimum, the application shall include:
1. The applicant's name;
2. The applicant's street address;
3. The applicant's telephone number;
4. The applicant's email address, if any;
5. Information describing the applicant's experience and training in hunter and hunting and proof of completion of a hunter education course that is accepted by the department; and
6. Any other information deemed necessary after review of the initial application.
E. Applicants may be required to submit written consent for a criminal history background check in a manner determined by the department or an interview in a manner determined by the department and in accordance with state policy.
4VAC15-290-130. Duty to comply with permit conditions.
A permit holder shall comply with all terms and conditions of any permit issued by the Department of Game and Inland Fisheries Wildlife Resources pursuant to Title 29.1 of the Code of Virginia and the regulations of the board pertaining to hunting, fishing, trapping, taking, attempting to take, possession, sale, offering for sale, transporting or causing to be transported, importing or exporting, propagating, exhibiting, and rehabilitating of any wild bird, wild animal, or fish. The penalty for violation of this section is prescribed by § 29.1-505 of the Code of Virginia.
4VAC15-340-80. Eel pots for taking American eels for sale.
A. The director may issue, deny, modify, suspend, or revoke annual eel pot permits designated for the sale of American eels. Such permits shall authorize the taking of American eels for sale, as specified, with eel pots from waters designated in this section. Such permits shall be valid so long as the harvest of American eels in the Commonwealth is not prohibited by other state or federal law or regulation. To be eligible, applicants must document harvest of at least one pound of American eels from Back Bay or North Landing River or their tributaries via reports submitted through the Virginia Marine Resources Commission Mandatory Harvest Reporting Program during the period January 1, 2007, to December 31, 2012, both dates inclusive. Applicants must document the reported harvest occurred while the applicant held a valid commercial fish pot or eel pot license issued by the Virginia Marine Resources Commission.
B. It shall be unlawful for permit holders to possess any American eel less than nine inches in total length.
C. It shall be unlawful for permit holders fishing eel pots to take any species other than American eels.
D. It shall be unlawful to place, set, or fish any eel pot that has a mesh less than 1/2-inch by 1/2-inch and does not contain at least one unrestricted 4-inch by 4-inch escape panel consisting of 1/2-inch by 1-inch mesh.
E. The permit holder's last name and Virginia Department of Game and Inland Fisheries Wildlife Resources American eel pot number must be permanently attached to buoys of all eel pots set. The maximum number of pots authorized per permit holder under this permit shall be 300.
F. American eels may be taken with eel pots in Back Bay and its natural tributaries (not including Lake Tecumseh and Red Wing Lake) and in North Landing River and its natural tributaries from the North Carolina line to the Great Bridge locks.
G. It shall be unlawful for any person to ship or otherwise transport any package, box, or other receptacle containing fish taken under an eel pot permit unless the same bears the permit holder's name and address.
H. Failure to comply with the daily harvest and sales reporting requirements as detailed in conditions of the permit shall be unlawful and may result in immediate permit revocation. It shall be the permit holder's responsibility to report "No Activity" when no activity occurs during a monthly reporting period.
4VAC15-410-20. Definitions.
As used in this chapter, unless the context clearly requires a different meaning, the following words and terms shall have the following meanings:
"Approved course provider" is any individual, business, or organization that makes available to the boating public a boating safety education course approved by the National Association of State Boating Law Administrators and accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. Persons who simply provide classroom instruction for an approved course provider shall not be considered an approved course provider. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Boating safety education course" means a course offered in the classroom, through the Internet, or through an electronic format such as CD-ROM that provides a course content and test questions that have been reviewed and approved by the National Association of State Boating Law Administrators in accordance with the National Boating Education Standards, updated January 1, 2008, and accepted by the department. A boating safety education course shall include no less than 50 test questions, which shall include at least 10 test questions specific about Virginia boating laws.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Dockside safety checklist" means a document provided by the department that consists of selected facts about Virginia boating laws and safe boat operation that a rental or livery agent or motorboat leasing business is required to present to those who rent or lease a motorboat or personal watercraft. The dockside safety checklist must be reviewed and initialed by the person operating the motorboat before the boat can be rented/leased rented or leased and operated.
"Equivalency exam" means a written examination that is developed by the department to test the knowledge of information included in the curriculum of a boating safety education course (may also be referred to as a challenge exam). The equivalency exam is intended to provide experienced and knowledgeable boaters with the opportunity to meet the boating safety education compliance requirement set forth in § 29.1-735.2 of the Code of Virginia without having to take and successfully complete a boating safety education course. The equivalency exam shall be comprised of no less than 75 or more than 100 test questions, shall include no less than 25 questions specific about Virginia boating laws, shall be proctored by an individual(s) individual specifically designated by the department, and shall be completed without the use of any reference material. A minimum score of at least 80% shall be considered passing.
"Motorboat" means any vessel propelled by machinery whether or not the machinery is the principal source of propulsion and for this chapter shall mean with a motor of 10 horsepower or greater.
"NASBLA" means the National Association of State Boating Law Administrators.
"NASBLA-approved course" means a boating safety education course that has been reviewed and approved by NASBLA.
"Onboard direct supervision" as referenced in § 29.1-735.2 B 6 and B 9 of the Code of Virginia occurs when a person maintains close visual and verbal contact with, provides adequate direction to, and can immediately assume control of a motorboat from the operator of a motorboat. A person who is water skiing, or is in the cabin of a motorboat and not at the helm/wheel is not considered to be in a position capable of providing direct supervision.
"Operate" means to navigate or otherwise control the movement of a motorboat or vessel.
"Optional Virginia Boater Education Card" means a card authorized for issuance by the department to persons who (i) can show they have met the minimum standard of boating safety education course competency, (ii) possess a valid license to operate a vessel issued to maritime personnel by the United States Coast Guard or a marine certificate issued by the Canadian government, (iii) possess a Canadian Pleasure Craft Operator's Card, or (iv) possess a valid commercial fisherman registration pursuant to § 28.2-241 of the Code of Virginia. For the purpose of this subsection a license is considered valid regardless of whether the license is current. This card may be issued as a replacement boating safety course card.
"Personal watercraft" means a motorboat less than 16 feet in length that uses an inboard motor powering a jet pump as its primary motive power and that is designed to be operated by a person sitting, standing, or kneeling on, rather than in the conventional manner of sitting or standing inside the vessel.
"Proctored" means that the written equivalency exam has been administered under the direct supervision of (i) a designated member of the United States Coast Guard Auxiliary or the United States Power Squadrons®, (ii) a designated department employee or a department volunteer boating safety instructor, or (iii) an individual who has been approved for such purpose by the department.
"Temporary operator's certificate" means a nonrenewable document issued with the certificate of number for the motorboat or personal watercraft, if the boat is new or was sold with a transfer of ownership. A temporary operator's certificate shall be issued only by the department, by any person authorized by the director to act as an agent to issue a certificate of number pursuant to § 29.1-706 of the Code of Virginia, or by a license agent of the department authorized to issue a temporary registration certificate for a motorboat or personal watercraft. A temporary operator's certificate shall allow the owner(s) owner to operate a motorboat with a motor of 10 horsepower or greater or personal watercraft in Virginia for 90 days.
"Vessel" means every description of watercraft, other than a seaplane on the water, used or capable of being used as a means of transportation on water.
"Waters of the Commonwealth" means any public waters within the territorial limits of the Commonwealth.
VA.R. Doc. No. R21-5904; Filed September 29, 2020, 11:23 a.m.
TITLE 4. CONSERVATION AND NATURAL RESOURCES
BOARD OF WILDLIFE RESOURCES
Final Regulation
REGISTRAR'S NOTICE: The Board of Wildlife Resources is claiming an exemption from Article 2 of 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 or the appropriation act where no agency discretion is involved. The State Board of Social Services will receive, consider, and respond to petitions by any interested person at any time with respect to reconsideration or revision.
Titles of Regulations: 4VAC15-20. Definitions and Miscellaneous: In General (amending 4VAC15-20-10, 4VAC15-20-75).
4VAC15-30. Definitions and Miscellaneous: Importation, Possession, Sale, etc., of Animals (amending 4VAC15-30-40).
4VAC15-40. Game: In General (amending 4VAC15-40-60, 4VAC15-40-281, 4VAC15-40-287).
4VAC15-90. Game: Deer (amending 4VAC15-90-290).
4VAC15-270. Game: Firearms (amending 4VAC15-270-60, 4VAC15-270-95).
4VAC15-275. Game: Hunter Education (amending 4VAC15-275-10, 4VAC15-275-20, 4VAC15-275-80).
4VAC15-290. Game: Permits (amending 4VAC15-290-130).
4VAC15-340. Fish: Seines and Nets (amending 4VAC15-340-80).
4VAC15-410. Watercraft: Boating Safety Education (amending 4VAC15-410-20).
Statutory Authority: §§ 29.1-103, 29.1-501, and 29.1-502 of the Code of Virginia.
Effective Date: January 1, 2021.
Agency Contact: Aaron Proctor, Regulations Coordinator, Department of Wildlife Resources, 7870 Villa Park Drive, Suite 400, Henrico, VA 23228, telephone (804) 367-8341, or email aaron.proctor@dwr.virginia.gov.
Summary:
The amendments align regulations with Chapter 958 of the 2020 Acts of Assembly, which changes the name of the department to Department of Wildlife Resources and of the board to Board of Wildlife Resources.
4VAC15-20-10. Definitions; generally.
Words and phrases used in any regulations made by the board shall have the same meaning, unless the context clearly indicates otherwise, as is given for such words and phrases in the Virginia Game and Inland Fisheries laws contained in Title 29.1 (§ 29.1-100 et seq.) of the Code of Virginia.
4VAC15-20-75. Wildlife Violator Compact.
A. This section is adopted pursuant to authority granted to the Board of Game and Inland Fisheries Wildlife Resources under §§ 29.1-103 and 29.1-530.5 of the Code of Virginia.
B. Definitions used herein in this section, unless the contrary is clearly indicated are those used in § 29.1-530.5 of the Code of Virginia, the Wildlife Violator Compact, herein referred to as the compact (compact).
C. In accordance with Article VII of the compact, the board hereby authorizes the Director of the Department of Game and Inland Fisheries Wildlife Resources to appoint the Commonwealth's representative to the Board of Compact Administrators. Such appointment shall be consistent with and subject to the aforesaid provisions of the compact and such representative shall serve at the pleasure of the director.
D. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the conviction in that state of a resident of the Commonwealth, the department shall enter such conviction in its records and such conviction shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations for purposes of suspension of license privileges.
E. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the failure of a resident of the Commonwealth to comply with the terms of a citation issued by that state, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence of compliance with the terms of such citation.
F. In accordance with Article V of the compact, upon receipt from a participating state of a report of the suspension of license privileges of a resident of the Commonwealth issued by that state that is in accordance with suspension of license pursuant to the Code of Virginia, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence that such suspension has been terminated.
G. Upon receipt of a report pursuant to subsections subsection D, E, or F of this section, the director or his the director's designee shall provide notice thereof to the resident of the Commonwealth who is the subject of such report. Such notice shall advise such person of the contents of the notice and of any action that the department proposes to take in response thereto.
H. The person who is the subject of such notice shall be provided an opportunity to request within 30 days from the date of such notice an opportunity to contest the department's proposed action by requesting an informal fact-finding conference to be conducted by a representative of the department designated by the director. Although such proceedings are exempt from the requirements of the Administrative Process Act (§ 2.2-4000 et seq. of the Code of Virginia) as provided by § 2.2-4002 A 3 thereof of the Code of Virginia, the department shall to the extent practicable afford such persons seeking an informal fact-finding conference the rights provided under § 2.2-4019 of the Code of Virginia. Those include but are not limited to the right to receive reasonable notice as described in subsection G of this section and the right to appear in person or by counsel before the designated representative of the department. However, no discovery shall be conducted and no subpoenas shall be issued as part of any such proceeding.
I. An informal fact-finding proceeding shall be completed within 60 days of receipt by the department of the request described in subsection H of this section. Upon such completion the designated representative of the department shall make a recommended decision to the director or to such person designated by the director to make such decision. The decision maker shall promptly issue a written decision to the person who requested the proceeding. If the affected party is not satisfied by this decision it may be appealed to a three member panel as appointed by the agency director.
J. Any decision upholding the suspension of licensing privileges as a result of the process described in subsections D through I of this section shall be entered by the department on its records and shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations.
K. The director shall establish procedures for reporting to participating states convictions or failures to comply with citations in the Commonwealth by residents of those respective states. Such procedures shall comply with the reporting requirements established by and pursuant to the provisions of the compact.
4VAC15-30-40. Importation requirements, possession, and sale of nonnative (exotic) animals.
A. Permit required. A special permit is required and may be issued by the department, if consistent with the department's fish and wildlife management program, to import, possess, or sell those nonnative (exotic) animals listed below in the following table and in 4VAC15-20-210 that the board finds and declares to be predatory or undesirable within the meaning and intent of § 29.1-542 of the Code of Virginia, in that their introduction into the Commonwealth will be detrimental to the native fish and wildlife resources of Virginia.
AMPHIBIANS |
Order | Family | Genus/Species | Common Name |
Anura | Bufonidae | Rhinella marina | Cane toad* |
Pipidae | Hymenochirus spp. Pseudohymenochiris merlini | African dwarf frog |
Xenopus spp. | Tongueless or African clawed frog |
Caudata | Ambystomatidae | All species | All mole salamanders |
BIRDS |
Order | Family | Genus/Species | Common Name |
Psittaciformes | Psittacidae | Myiopsitta monachus | Monk parakeet* |
Anseriformes | Anatidae | Cygnus olor | Mute swan |
FISH |
Order | Family | Genus/Species | Common Name |
Cypriniformes | Catostomidae | Catostomus microps | Modoc sucker |
Catostomus santaanae | Santa Ana sucker |
Catostomus warnerensis | Warner sucker |
Ictiobus bubalus | Smallmouth* buffalo |
I. cyprinellus | Bigmouth* buffalo |
I. niger | Black buffalo* |
Characidae | Pygopristis spp. Pygocentrus spp. Rooseveltiella spp. Serrasalmo spp. Serrasalmus spp. Taddyella spp. | Piranhas |
Cobitidae | Misgurnus anguillicaudatus | Oriental weatherfish |
Cyprinidae | Aristichyhys nobilis | Bighead carp* |
Chrosomus saylori | Laurel dace |
Ctenopharyngodon idella | Grass carp or white amur |
Cyprinella caerulea | Blue shiner |
Cyprinella formosa | Beautiful shiner |
Cyprinella lutrensis | Red shiner |
Hypophthalmichthys molitrix | Silver carp* |
Mylopharyngodom piceus | Black carp* |
Notropis albizonatus | Palezone shiner |
Notropis cahabae | Cahaba shiner |
Notropis girardi | Arkansas River shiner |
Notropis mekistocholas | Cape Fear shiner |
Notropis simus pecosensis | Pecos bluntnose shiner |
Notropis topeka (= tristis) | Topeka shiner |
Phoxinus cumberlandensis | Blackside dace |
Rhinichthys osculus lethoporus | Independence Valley speckled dace |
Rhinichthys osculus nevadensis | Ash Meadows speckled dace |
Rhinichthys osculus oligoporus | Clover Valley speckled dace |
Rhinichthys osculus ssp. | Foskett speckled dace |
Rhinichthys osculus thermalis | Kendall Warm Springs dace |
Scardinius erythrophthalmus | Rudd |
Tinca tinca | Tench* |
Cyprinodontiformes | Poeciliidae | Gambusia gaigei | Big Bend gambusia |
Gambusia georgei | San Marcos gambusia |
Gambusia heterochir | Clear Creek gambusia |
Gambusia nobilis | Pecos gambusia |
Peociliopsis occidentalis | Gila topminnow |
Gasterosteiformes | Gasterosteidae | Gasterosteus aculeatus williamsoni | Unarmored threespine stickleback |
Gobiesociformes | Gobiidae | Proterorhinus marmoratus | Tubenose goby |
Neogobius melanostomus | Round goby |
Perciformes | Channidae | Channa spp. Parachanna spp. | Snakeheads |
Cichlidae | Tilapia spp. | Tilapia |
Gymnocephalus cernuum | Ruffe* |
Elassomatidae | Elassoma alabamae | Spring pygmy sunfish |
Percidae | Crystallaria cincotta | Diamond darter |
Etheostoma chermocki | Vermilion darter |
Etheostoma boschungi | Slackwater darter |
Etheostoma chienense | Relict darter |
Etheostoma etowahae | Etowah darter |
Etheostoma fonticola | Fountain darter |
Etheostoma moorei | Yellowcheek darter |
Etheostoma nianguae | Niangua darter |
Etheostoma nuchale | Watercress darter |
Etheostoma okaloosae | Okaloosa darter |
Etheostoma phytophilum | Rush darter |
Etheostoma rubrum | Bayou darter |
Etheostoma scotti | Cherokee darter |
Etheostoma sp. | Bluemask (= jewel) darter |
Etheostoma susanae | Cumberland darter |
Etheostoma wapiti | Boulder darter |
Percina antesella | Amber darter |
Percina aurolineata | Goldline darter |
Percina jenkinsi | Conasauga logperch |
Percina pantherina | Leopard darter |
Percina tanasi | Snail darter |
Scorpaeniformes | Cottidae | Cottus sp. | Grotto sculpin |
Cottus paulus (= pygmaeus) | Pygmy sculpin |
Siluriformes | Clariidae | All species | Air-breathing catfish |
Ictaluridae | Noturus baileyi | Smoky madtom |
Noturus crypticus | Chucky madtom |
Noturus placidus | Neosho madtom |
Noturus stanauli | Pygmy madtom |
Noturus trautmani | Scioto madtom |
Synbranchiformes | Synbranchidae | Monopterus albus | Swamp eel |
MAMMALS |
Order | Family | Genus/Species | Common Name |
Artiodactyla | Suidae | All Species | Pigs or Hogs* |
Cervidae | All Species | Deer* |
Carnivora | Canidae | All Species | Wild Dogs,* Wolves, Coyotes or Coyote hybrids, Jackals and Foxes |
Ursidae | All Species | Bears* |
Procyonidae | All Species | Raccoons and* Relatives |
Mustelidae | All Species | Weasels, Badgers,* Skunks and Otters |
(except Mustela putorius furo) | Ferret |
Viverridae | All Species | Civets, Genets,* Lingsangs, Mongooses, and Fossas |
Herpestidae | All Species | Mongooses* |
Hyaenidae | All Species | Hyenas and Aardwolves* |
Felidae | All Species | Cats* |
Chiroptera | | All Species | Bats* |
Lagomorpha | Lepridae | Brachylagus idahoensis | Pygmy rabbit |
Lepus europeaeous | European hare |
Oryctolagus cuniculus | European rabbit |
Sylvilagus bachmani riparius | Riparian brush rabbit |
Sylvilagus palustris hefneri | Lower Keys marsh rabbit |
Rodentia | | All species native to Africa | All species native to Africa |
Dipodidae | Zapus hudsonius preblei | Preble's meadow jumping mouse |
Muridae | Microtus californicus scirpensis | Amargosa vole |
Microtus mexicanus hualpaiensis | Hualapai Mexican vole |
Microtus pennsylvanicus dukecampbelli | Florida salt marsh vole |
Neotoma floridana smalli | Key Largo woodrat |
Neotoma fuscipes riparia | Riparian (= San Joaquin Valley) woodrat |
Oryzomys palustris natator | Rice rat |
Peromyscus gossypinus allapaticola | Key Largo cotton mouse |
Peromyscus polionotus allophrys | Choctawhatchee beach mouse |
Peromyscus polionotus ammobates | Alabama beach mouse |
Peromyscus polionotus niveiventris | Southeastern beach mouse |
Peromyscus polionotus peninsularis | St. Andrew beach mouse |
Peromyscus polionotus phasma | Anastasia Island beach mouse |
Peromyscus polionotus trissyllepsis | Perdido Key beach mouse |
Reithrodontomys raviventris | Salt marsh harvest mouse |
Heteromyidae | Dipodomys heermanni morroensis | Morro Bay kangaroo rat |
Dipodomys ingens | Giant kangaroo rat |
Dipodomys merriami parvus | San Bernadino Merriam's kangaroo rat |
Dipodomys nitratoides exilis | Fresno kangaroo rat |
Dipodomys nitratoides nitratoides | Tipton kangaroo rat |
Dipodomys stephensi (including D. cascus) | Stephens' kangaroo rat |
Perognathus longimembris pacificus | Pacific pocket mouse |
Sciuridae | Cynomys spp. | Prairie dogs |
Spermophilus brunneus brunneus | Northern Idaho ground squirrel |
Tamiasciurus hudsonicus grahamensis | Mount Graham red squirrel |
Soricomorpha | Soricidae | Sorex ornatus relictus | Buena Vista Lake ornate shrew |
MOLLUSKS |
Order | Family | Genus/Species | Common Name |
Neotaenioglossa | Hydrobiidae | Potamopyrgus antipodarum | New Zealand mudsnail |
Veneroida | Dreissenidae | Dreissena bugensis | Quagga mussel |
Dreissena polymorpha | Zebra mussel |
REPTILES |
Order | Family | Genus/Species | Common Name |
Crocodilia | Alligatoridae | All species | Alligators, caimans* |
Crocodylidae | All species | Crocodiles* |
Gavialidae | All species | Gavials* |
Squamata | Colubridae | Boiga irregularis | Brown tree snake* |
CRUSTACEANS |
Order | Family | Genus/Species | Common Name |
Decapoda | Cambaridae | Cambarus aculabrum | Cave crayfish |
Cambarus zophonastes | Cave crayfish |
Orconectes rusticus | Rusty crayfish |
Orconectes shoupi | Nashville crayfish |
Pacifastacus fortis | Shasta crayfish |
Procambarus sp. | Marbled crayfish |
Parastacidae | Cherax spp. | Australian crayfish |
Varunidea | Eriocheir sinensis | Chinese mitten crab |
B. Temporary possession permit for certain animals. Notwithstanding the permitting requirements of subsection A of this section, a person, company, or corporation possessing any nonnative (exotic) animal, designated with an asterisk (*) in subsection A of this section, prior to July 1, 1992, must declare such possession in writing to the department by January 1, 1993. This written declaration shall serve as a permit for possession only, is not transferable, and must be renewed every five years. This written declaration must include species name, common name, number of individuals, date or dates acquired, sex (if possible), estimated age, height or length, and other characteristics such as bands and band numbers, tattoos, registration numbers, coloration, and specific markings. Possession transfer will require a new permit according to the requirements of this subsection.
C. Exception for certain monk parakeets. A permit is not required for monk parakeets (quakers) that have been captive bred and are closed-banded with a seamless band.
D. Exception for parts or products. A permit is not required for parts or products of those nonnative (exotic) animals listed in subsection A of this section that may be used for personal use, in the manufacture of products, or used in scientific research, provided that such parts or products be packaged outside the Commonwealth by any person, company, or corporation duly licensed by the state in which the parts originate. Such packages may be transported into the Commonwealth, consistent with other state laws and regulations, so long as the original package remains unbroken, unopened and intact until its point of destination is reached. Documentation concerning the type and cost of the animal parts ordered, the purpose and date of the order, point and date of shipping, and date of receiving shall be kept by the person, business, or institution ordering such nonnative (exotic) animal parts. Such documentation shall be open to inspection by a representative of the Department of Game and Inland Fisheries Wildlife Resources.
E. Exception for prairie dogs. The effective date of listing of prairie dogs under subsection A of this section shall be January 1, 1998. Prairie dogs possessed in captivity in Virginia on December 31, 1997, may be maintained in captivity until the animals' deaths, but they may not be sold on or after January 1, 1998, without a permit.
F. Exception for snakehead fish. Anglers may legally harvest snakehead fish of the family Channidae, provided that they immediately kill such fish and that they notify the department, as soon as practicable, of such actions.
G. Exception for feral hogs. Anyone may legally trap feral hogs with written permission of the landowner, provided that any trapped hogs are not removed from the trap site alive and are killed immediately.
H. Exception for grass carp. Anglers may legally harvest grass carp of the family Cyprinidae from public waters of the Commonwealth, except from department-owned or department-controlled lakes, provided that anglers ensure that harvested grass carp are dead.
I. All other nonnative (exotic) animals. All other nonnative (exotic) animals not listed in subsection A of this section may be possessed, purchased, and sold; provided, that such animals shall be subject to all applicable local, state, and federal laws and regulations, including those that apply to threatened/endangered species, and further provided, that such animals shall not be liberated within the Commonwealth.
4VAC15-40-60. Hunting with dogs or possession of weapons in certain locations during closed season.
A. Department-owned and national forest lands statewide. It shall be unlawful to have in possession a firearm or any hunting weapon that is not unloaded and cased or dismantled on all national forest lands statewide and on department-owned lands and on other lands managed by the department under cooperative agreement except during the period when it is lawful to take bear, deer, grouse, pheasant, quail, rabbit, raccoon, squirrel, turkey, waterfowl, or migratory gamebirds on these lands.
B. Certain counties. Except as otherwise provided in 4VAC15-40-70, it shall be unlawful to have either a shotgun or a rifle in one's possession when accompanied by a dog in the daytime in the fields, forests or waters of the Counties of Augusta, Clarke, Frederick, Page, Shenandoah, and Warren, and in the counties east of the Blue Ridge Mountains, except Patrick, at any time except the periods prescribed by law to hunt game birds and animals.
C. Shooting ranges and authorized activities. The provisions of this section shall not prohibit the conduct of any activities authorized by the board or the establishment and operation of archery and shooting ranges on the lands described in subsections A and B of this section. The use of firearms or any hunting weapon in such ranges during the closed season period will be restricted to the area within the established range boundaries. Such weapons shall be required to be unloaded and cased or dismantled in all areas other than the range boundaries. The use of firearms or any hunting weapon during the closed hunting period in such ranges shall be restricted to target shooting only, and no birds or animals shall be molested.
D. It shall be unlawful to chase with a dog or train dogs on national forest lands or department-owned lands except during authorized hunting, chase, or training seasons that specifically permit these activities on these lands or during raccoon hound field trials on these lands between September 1 and March 31, both dates inclusive, that are sanctioned by bona fide national kennel clubs and authorized by permits issued by the department or the U.S. Forest Service.
E. It shall be unlawful to possess or transport any loaded firearm or loaded hunting weapon in or on any vehicle at any time on national forest lands or department-owned lands.
F. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their authorized and official duties, nor shall it prohibit possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
G. Meaning of "possession" of any hunting weapon and definition of "loaded crossbow," "loaded arrowgun," "loaded muzzleloader," and "loaded firearm." For the purpose of this section, the word "possession" shall include having any firearm or weapon used for hunting in or on one's person, vehicle, or conveyance. For the purpose of this section, a "loaded firearm" means a firearm in which ammunition is chambered or loaded in the magazine or clip when such magazine or clip is engaged or partially engaged in a firearm. The definition of a "loaded muzzleloader" will include a muzzleloading rifle, pistol, or shotgun that is capped, has a charged pan, or has a primer or battery installed in the muzzleloader. A "loaded crossbow" means a crossbow that is cocked and has either a bolt or arrow engaged or partially engaged on the shooting rail or track of the crossbow, or with a "trackless crossbow" when the crossbow is cocked and a bolt or arrow is nocked. "Loaded arrowgun" means an arrowgun that has an arrow or bolt inserted on the arrow rest or in the barrel. "Hunting weapon" means any weapon allowable for hunting as defined in § 29.1-519 of the Code of Virginia.
4VAC15-40-281. Unauthorized feeding of bear, deer, or turkey on national forest lands and department-owned lands.
It shall be unlawful to place or direct the placement of, deposit, distribute, or scatter food or salt capable of attracting or being eaten by bear, deer, or turkey on national forest lands or on department-owned lands without the written authorization of the Director of the Department of Game and Inland Fisheries Wildlife Resources or his the director's designee. The provisions of this section shall not prohibit the disposal of food in trash receptacles provided by the U.S. Forest Service on national forest lands or by the department on department-owned lands.
4VAC15-40-287. Model ordinances related to feeding of deer in cities and towns.
Per the provisions of § 29.1-527.2 of the Code of Virginia, the following model ordinance related to the feeding of deer may be adopted by a city or town. Any city or town must notify the director of the Department of Game and Inland Fisheries Wildlife Resources of the adoption of such an ordinance by registered mail.
Model ordinance:
A. Pursuant to § 29.1-527.2 of the Code of Virginia, it shall be unlawful for any person to place, distribute, or allow the placement of food, salt, minerals, or similar substances to feed or attract deer at any time.
B. No person shall continue to place, distribute, or allow the placement of food, salt, minerals, or similar substances for any purpose if the placement of these materials results in the presence of deer.
C. No part of this ordinance shall be construed to restrict agricultural, commercial, noncommercial, or residential plantings (including wildlife food plots); bona fide distribution of food to livestock; or wildlife management activities conducted or authorized by the Department of Game and Inland Fisheries Wildlife Resources.
4VAC15-90-290. Special quality deer management areas.
A. The board hereby designates the following areas posted by the Department of Game and Inland Fisheries Wildlife Resources as special quality deer management areas with special antlered buck harvest.
B. Special Fairystone quality deer management area. It shall be unlawful to kill an antlered deer on the special Fairystone quality deer management area unless the deer has at least four antler points, each greater than one inch in length, on either the right or left antler.
4VAC15-270-60. Use of firearms loaded with slugs and discharge of firearms near boardwalk or nature trail on Ragged Island Wildlife Management Area.
A. It shall be unlawful to possess outside of a vehicle, or shoot or hunt with a rifle, muzzleloader, pistol, or shotgun loaded with slugs, or to possess shotgun slugs, on Ragged Island Wildlife Management Area in Isle of Wight County. In addition, it shall be unlawful to discharge any firearm within 100 yards of the boardwalk or nature trail on Ragged Island Wildlife Management Area.
B. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their duties, nor shall it prohibit the possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
4VAC15-270-95. Model ordinances related to archery deer hunting.
Pursuant to § 29.1-528.1 A of the Code of Virginia, the following model ordinances related to hunting deer with bow and arrow (including crossbows) may be adopted by those counties and cities where there is an overabundance of the deer population, which is creating conflicts between humans and deer, including safety hazards to motorists. In accordance with § 29.1-528.1 B of the Code of Virginia, no such ordinance shall be enforceable unless the governing body of the locality notifies the director by registered mail prior to May 1 of the year in which the ordinance is to take effect.
Model Ordinance 1:
The times at which hunting shall commence and end each day shall be in accordance with the provisions of § 29.1-520 of the Code of Virginia.
Model Ordinance 2:
The number of deer that can be taken shall be in accordance with bag limits established by the Board of Game and Inland Fisheries Wildlife Resources pursuant to §§ 29.1-501 and 29.1-502 of the Code of Virginia.
Model Ordinance 3:
No person shall discharge a bow and arrow from, over, or across any street, sidewalk, alley, roadway, or toward any building or dwelling in such a manner that an arrow may strike it. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
Model Ordinance 4:
It shall be unlawful to discharge a bow and arrow in a manner that can be reasonably expected to result in the impact of the arrow upon the property of another without permission from the owner or tenant of such property. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
4VAC15-275-10. Application.
This chapter applies to any person who has never obtained a license to hunt in any state or country or any person who is under the age of younger than 16 years of age, unless such a person presents to the Department of Game and Inland Fisheries Wildlife Resources or one of its authorized license vendors a certificate of completion in hunter education issued or authorized by the director or his the director's representative under the hunter education program or proof that he holds the equivalent certificate obtained from an authorized agency or association of another state or country.
4VAC15-275-20. Definitions.
The following words and terms when used in this chapter shall have the following meanings unless the context clearly requires a different meaning:
"Accompanied and directly supervised" means, in the case of an apprentice hunter, that a licensed person over older than 18 years of age maintains a close visual and verbal contact with, provides adequate direction to, and can immediately assume control of the firearm from the apprentice hunter. In the case of a hunter age 12 years of age or under younger, the term means that the licensed adult is within sight of the person under the age of younger than 12 years of age.
"Adult" means the parent or legal guardian of the person under age younger than 12 years of age, or such person over the age of older than 18 years of age designated by the parent or legal guardian.
"Approved course provider" is any individual, business, or organization that makes available to the hunting public a hunter education course that is approved by the International Hunter Education Association – United States (IHEA-USA) and is accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Hunter education course" means a course offered in the classroom, through the Internet, or through an electronic format that provides course content and test questions that at a minimum meet the International Hunter Education Association-USA Education Standards, May 2, 2014, set forth by the International Hunter Education Association-USA (IHEA-USA) and are accepted by the department. A hunter education course shall include no less than 50 test questions, which shall include at least eight test questions specific to Virginia hunting laws.
"IHEA-USA" means the International Hunter Education Association-USA.
"Virginia Hunter Education Card" means a card authorized for issuance by the department to a person who has met the minimum standard of hunter education course competency. This card may be issued as an original or a replacement hunter education course card.
4VAC15-275-80. Instructor certification.
A. The department may designate as a hunter instructor any person found by it to be competent to give instruction in the courses required.
B. Volunteer instructors are designated to work on a voluntary basis and at the pleasure of the Department of Game and Inland Fisheries Wildlife Resources.
C. To be certified as a hunter education course instructor for the department's hunter education program, a person shall (i) have successfully completed a hunter education course and (ii) be certified as an instructor by the department or by a certification program accepted by the department.
D. Applicants for certified instructor shall submit an application to the department on a form and in a manner determined by the hunter education program manager. At a minimum, the application shall include:
1. The applicant's name;
2. The applicant's street address;
3. The applicant's telephone number;
4. The applicant's email address, if any;
5. Information describing the applicant's experience and training in hunter and hunting and proof of completion of a hunter education course that is accepted by the department; and
6. Any other information deemed necessary after review of the initial application.
E. Applicants may be required to submit written consent for a criminal history background check in a manner determined by the department or an interview in a manner determined by the department and in accordance with state policy.
4VAC15-290-130. Duty to comply with permit conditions.
A permit holder shall comply with all terms and conditions of any permit issued by the Department of Game and Inland Fisheries Wildlife Resources pursuant to Title 29.1 of the Code of Virginia and the regulations of the board pertaining to hunting, fishing, trapping, taking, attempting to take, possession, sale, offering for sale, transporting or causing to be transported, importing or exporting, propagating, exhibiting, and rehabilitating of any wild bird, wild animal, or fish. The penalty for violation of this section is prescribed by § 29.1-505 of the Code of Virginia.
4VAC15-340-80. Eel pots for taking American eels for sale.
A. The director may issue, deny, modify, suspend, or revoke annual eel pot permits designated for the sale of American eels. Such permits shall authorize the taking of American eels for sale, as specified, with eel pots from waters designated in this section. Such permits shall be valid so long as the harvest of American eels in the Commonwealth is not prohibited by other state or federal law or regulation. To be eligible, applicants must document harvest of at least one pound of American eels from Back Bay or North Landing River or their tributaries via reports submitted through the Virginia Marine Resources Commission Mandatory Harvest Reporting Program during the period January 1, 2007, to December 31, 2012, both dates inclusive. Applicants must document the reported harvest occurred while the applicant held a valid commercial fish pot or eel pot license issued by the Virginia Marine Resources Commission.
B. It shall be unlawful for permit holders to possess any American eel less than nine inches in total length.
C. It shall be unlawful for permit holders fishing eel pots to take any species other than American eels.
D. It shall be unlawful to place, set, or fish any eel pot that has a mesh less than 1/2-inch by 1/2-inch and does not contain at least one unrestricted 4-inch by 4-inch escape panel consisting of 1/2-inch by 1-inch mesh.
E. The permit holder's last name and Virginia Department of Game and Inland Fisheries Wildlife Resources American eel pot number must be permanently attached to buoys of all eel pots set. The maximum number of pots authorized per permit holder under this permit shall be 300.
F. American eels may be taken with eel pots in Back Bay and its natural tributaries (not including Lake Tecumseh and Red Wing Lake) and in North Landing River and its natural tributaries from the North Carolina line to the Great Bridge locks.
G. It shall be unlawful for any person to ship or otherwise transport any package, box, or other receptacle containing fish taken under an eel pot permit unless the same bears the permit holder's name and address.
H. Failure to comply with the daily harvest and sales reporting requirements as detailed in conditions of the permit shall be unlawful and may result in immediate permit revocation. It shall be the permit holder's responsibility to report "No Activity" when no activity occurs during a monthly reporting period.
4VAC15-410-20. Definitions.
As used in this chapter, unless the context clearly requires a different meaning, the following words and terms shall have the following meanings:
"Approved course provider" is any individual, business, or organization that makes available to the boating public a boating safety education course approved by the National Association of State Boating Law Administrators and accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. Persons who simply provide classroom instruction for an approved course provider shall not be considered an approved course provider. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Boating safety education course" means a course offered in the classroom, through the Internet, or through an electronic format such as CD-ROM that provides a course content and test questions that have been reviewed and approved by the National Association of State Boating Law Administrators in accordance with the National Boating Education Standards, updated January 1, 2008, and accepted by the department. A boating safety education course shall include no less than 50 test questions, which shall include at least 10 test questions specific about Virginia boating laws.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Dockside safety checklist" means a document provided by the department that consists of selected facts about Virginia boating laws and safe boat operation that a rental or livery agent or motorboat leasing business is required to present to those who rent or lease a motorboat or personal watercraft. The dockside safety checklist must be reviewed and initialed by the person operating the motorboat before the boat can be rented/leased rented or leased and operated.
"Equivalency exam" means a written examination that is developed by the department to test the knowledge of information included in the curriculum of a boating safety education course (may also be referred to as a challenge exam). The equivalency exam is intended to provide experienced and knowledgeable boaters with the opportunity to meet the boating safety education compliance requirement set forth in § 29.1-735.2 of the Code of Virginia without having to take and successfully complete a boating safety education course. The equivalency exam shall be comprised of no less than 75 or more than 100 test questions, shall include no less than 25 questions specific about Virginia boating laws, shall be proctored by an individual(s) individual specifically designated by the department, and shall be completed without the use of any reference material. A minimum score of at least 80% shall be considered passing.
"Motorboat" means any vessel propelled by machinery whether or not the machinery is the principal source of propulsion and for this chapter shall mean with a motor of 10 horsepower or greater.
"NASBLA" means the National Association of State Boating Law Administrators.
"NASBLA-approved course" means a boating safety education course that has been reviewed and approved by NASBLA.
"Onboard direct supervision" as referenced in § 29.1-735.2 B 6 and B 9 of the Code of Virginia occurs when a person maintains close visual and verbal contact with, provides adequate direction to, and can immediately assume control of a motorboat from the operator of a motorboat. A person who is water skiing, or is in the cabin of a motorboat and not at the helm/wheel is not considered to be in a position capable of providing direct supervision.
"Operate" means to navigate or otherwise control the movement of a motorboat or vessel.
"Optional Virginia Boater Education Card" means a card authorized for issuance by the department to persons who (i) can show they have met the minimum standard of boating safety education course competency, (ii) possess a valid license to operate a vessel issued to maritime personnel by the United States Coast Guard or a marine certificate issued by the Canadian government, (iii) possess a Canadian Pleasure Craft Operator's Card, or (iv) possess a valid commercial fisherman registration pursuant to § 28.2-241 of the Code of Virginia. For the purpose of this subsection a license is considered valid regardless of whether the license is current. This card may be issued as a replacement boating safety course card.
"Personal watercraft" means a motorboat less than 16 feet in length that uses an inboard motor powering a jet pump as its primary motive power and that is designed to be operated by a person sitting, standing, or kneeling on, rather than in the conventional manner of sitting or standing inside the vessel.
"Proctored" means that the written equivalency exam has been administered under the direct supervision of (i) a designated member of the United States Coast Guard Auxiliary or the United States Power Squadrons®, (ii) a designated department employee or a department volunteer boating safety instructor, or (iii) an individual who has been approved for such purpose by the department.
"Temporary operator's certificate" means a nonrenewable document issued with the certificate of number for the motorboat or personal watercraft, if the boat is new or was sold with a transfer of ownership. A temporary operator's certificate shall be issued only by the department, by any person authorized by the director to act as an agent to issue a certificate of number pursuant to § 29.1-706 of the Code of Virginia, or by a license agent of the department authorized to issue a temporary registration certificate for a motorboat or personal watercraft. A temporary operator's certificate shall allow the owner(s) owner to operate a motorboat with a motor of 10 horsepower or greater or personal watercraft in Virginia for 90 days.
"Vessel" means every description of watercraft, other than a seaplane on the water, used or capable of being used as a means of transportation on water.
"Waters of the Commonwealth" means any public waters within the territorial limits of the Commonwealth.
VA.R. Doc. No. R21-5904; Filed September 29, 2020, 11:23 a.m.
TITLE 4. CONSERVATION AND NATURAL RESOURCES
BOARD OF WILDLIFE RESOURCES
Final Regulation
REGISTRAR'S NOTICE: The Board of Wildlife Resources is claiming an exemption from Article 2 of 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 or the appropriation act where no agency discretion is involved. The State Board of Social Services will receive, consider, and respond to petitions by any interested person at any time with respect to reconsideration or revision.
Titles of Regulations: 4VAC15-20. Definitions and Miscellaneous: In General (amending 4VAC15-20-10, 4VAC15-20-75).
4VAC15-30. Definitions and Miscellaneous: Importation, Possession, Sale, etc., of Animals (amending 4VAC15-30-40).
4VAC15-40. Game: In General (amending 4VAC15-40-60, 4VAC15-40-281, 4VAC15-40-287).
4VAC15-90. Game: Deer (amending 4VAC15-90-290).
4VAC15-270. Game: Firearms (amending 4VAC15-270-60, 4VAC15-270-95).
4VAC15-275. Game: Hunter Education (amending 4VAC15-275-10, 4VAC15-275-20, 4VAC15-275-80).
4VAC15-290. Game: Permits (amending 4VAC15-290-130).
4VAC15-340. Fish: Seines and Nets (amending 4VAC15-340-80).
4VAC15-410. Watercraft: Boating Safety Education (amending 4VAC15-410-20).
Statutory Authority: §§ 29.1-103, 29.1-501, and 29.1-502 of the Code of Virginia.
Effective Date: January 1, 2021.
Agency Contact: Aaron Proctor, Regulations Coordinator, Department of Wildlife Resources, 7870 Villa Park Drive, Suite 400, Henrico, VA 23228, telephone (804) 367-8341, or email aaron.proctor@dwr.virginia.gov.
Summary:
The amendments align regulations with Chapter 958 of the 2020 Acts of Assembly, which changes the name of the department to Department of Wildlife Resources and of the board to Board of Wildlife Resources.
4VAC15-20-10. Definitions; generally.
Words and phrases used in any regulations made by the board shall have the same meaning, unless the context clearly indicates otherwise, as is given for such words and phrases in the Virginia Game and Inland Fisheries laws contained in Title 29.1 (§ 29.1-100 et seq.) of the Code of Virginia.
4VAC15-20-75. Wildlife Violator Compact.
A. This section is adopted pursuant to authority granted to the Board of Game and Inland Fisheries Wildlife Resources under §§ 29.1-103 and 29.1-530.5 of the Code of Virginia.
B. Definitions used herein in this section, unless the contrary is clearly indicated are those used in § 29.1-530.5 of the Code of Virginia, the Wildlife Violator Compact, herein referred to as the compact (compact).
C. In accordance with Article VII of the compact, the board hereby authorizes the Director of the Department of Game and Inland Fisheries Wildlife Resources to appoint the Commonwealth's representative to the Board of Compact Administrators. Such appointment shall be consistent with and subject to the aforesaid provisions of the compact and such representative shall serve at the pleasure of the director.
D. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the conviction in that state of a resident of the Commonwealth, the department shall enter such conviction in its records and such conviction shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations for purposes of suspension of license privileges.
E. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the failure of a resident of the Commonwealth to comply with the terms of a citation issued by that state, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence of compliance with the terms of such citation.
F. In accordance with Article V of the compact, upon receipt from a participating state of a report of the suspension of license privileges of a resident of the Commonwealth issued by that state that is in accordance with suspension of license pursuant to the Code of Virginia, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence that such suspension has been terminated.
G. Upon receipt of a report pursuant to subsections subsection D, E, or F of this section, the director or his the director's designee shall provide notice thereof to the resident of the Commonwealth who is the subject of such report. Such notice shall advise such person of the contents of the notice and of any action that the department proposes to take in response thereto.
H. The person who is the subject of such notice shall be provided an opportunity to request within 30 days from the date of such notice an opportunity to contest the department's proposed action by requesting an informal fact-finding conference to be conducted by a representative of the department designated by the director. Although such proceedings are exempt from the requirements of the Administrative Process Act (§ 2.2-4000 et seq. of the Code of Virginia) as provided by § 2.2-4002 A 3 thereof of the Code of Virginia, the department shall to the extent practicable afford such persons seeking an informal fact-finding conference the rights provided under § 2.2-4019 of the Code of Virginia. Those include but are not limited to the right to receive reasonable notice as described in subsection G of this section and the right to appear in person or by counsel before the designated representative of the department. However, no discovery shall be conducted and no subpoenas shall be issued as part of any such proceeding.
I. An informal fact-finding proceeding shall be completed within 60 days of receipt by the department of the request described in subsection H of this section. Upon such completion the designated representative of the department shall make a recommended decision to the director or to such person designated by the director to make such decision. The decision maker shall promptly issue a written decision to the person who requested the proceeding. If the affected party is not satisfied by this decision it may be appealed to a three member panel as appointed by the agency director.
J. Any decision upholding the suspension of licensing privileges as a result of the process described in subsections D through I of this section shall be entered by the department on its records and shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations.
K. The director shall establish procedures for reporting to participating states convictions or failures to comply with citations in the Commonwealth by residents of those respective states. Such procedures shall comply with the reporting requirements established by and pursuant to the provisions of the compact.
4VAC15-30-40. Importation requirements, possession, and sale of nonnative (exotic) animals.
A. Permit required. A special permit is required and may be issued by the department, if consistent with the department's fish and wildlife management program, to import, possess, or sell those nonnative (exotic) animals listed below in the following table and in 4VAC15-20-210 that the board finds and declares to be predatory or undesirable within the meaning and intent of § 29.1-542 of the Code of Virginia, in that their introduction into the Commonwealth will be detrimental to the native fish and wildlife resources of Virginia.
AMPHIBIANS |
Order | Family | Genus/Species | Common Name |
Anura | Bufonidae | Rhinella marina | Cane toad* |
Pipidae | Hymenochirus spp. Pseudohymenochiris merlini | African dwarf frog |
Xenopus spp. | Tongueless or African clawed frog |
Caudata | Ambystomatidae | All species | All mole salamanders |
BIRDS |
Order | Family | Genus/Species | Common Name |
Psittaciformes | Psittacidae | Myiopsitta monachus | Monk parakeet* |
Anseriformes | Anatidae | Cygnus olor | Mute swan |
FISH |
Order | Family | Genus/Species | Common Name |
Cypriniformes | Catostomidae | Catostomus microps | Modoc sucker |
Catostomus santaanae | Santa Ana sucker |
Catostomus warnerensis | Warner sucker |
Ictiobus bubalus | Smallmouth* buffalo |
I. cyprinellus | Bigmouth* buffalo |
I. niger | Black buffalo* |
Characidae | Pygopristis spp. Pygocentrus spp. Rooseveltiella spp. Serrasalmo spp. Serrasalmus spp. Taddyella spp. | Piranhas |
Cobitidae | Misgurnus anguillicaudatus | Oriental weatherfish |
Cyprinidae | Aristichyhys nobilis | Bighead carp* |
Chrosomus saylori | Laurel dace |
Ctenopharyngodon idella | Grass carp or white amur |
Cyprinella caerulea | Blue shiner |
Cyprinella formosa | Beautiful shiner |
Cyprinella lutrensis | Red shiner |
Hypophthalmichthys molitrix | Silver carp* |
Mylopharyngodom piceus | Black carp* |
Notropis albizonatus | Palezone shiner |
Notropis cahabae | Cahaba shiner |
Notropis girardi | Arkansas River shiner |
Notropis mekistocholas | Cape Fear shiner |
Notropis simus pecosensis | Pecos bluntnose shiner |
Notropis topeka (= tristis) | Topeka shiner |
Phoxinus cumberlandensis | Blackside dace |
Rhinichthys osculus lethoporus | Independence Valley speckled dace |
Rhinichthys osculus nevadensis | Ash Meadows speckled dace |
Rhinichthys osculus oligoporus | Clover Valley speckled dace |
Rhinichthys osculus ssp. | Foskett speckled dace |
Rhinichthys osculus thermalis | Kendall Warm Springs dace |
Scardinius erythrophthalmus | Rudd |
Tinca tinca | Tench* |
Cyprinodontiformes | Poeciliidae | Gambusia gaigei | Big Bend gambusia |
Gambusia georgei | San Marcos gambusia |
Gambusia heterochir | Clear Creek gambusia |
Gambusia nobilis | Pecos gambusia |
Peociliopsis occidentalis | Gila topminnow |
Gasterosteiformes | Gasterosteidae | Gasterosteus aculeatus williamsoni | Unarmored threespine stickleback |
Gobiesociformes | Gobiidae | Proterorhinus marmoratus | Tubenose goby |
Neogobius melanostomus | Round goby |
Perciformes | Channidae | Channa spp. Parachanna spp. | Snakeheads |
Cichlidae | Tilapia spp. | Tilapia |
Gymnocephalus cernuum | Ruffe* |
Elassomatidae | Elassoma alabamae | Spring pygmy sunfish |
Percidae | Crystallaria cincotta | Diamond darter |
Etheostoma chermocki | Vermilion darter |
Etheostoma boschungi | Slackwater darter |
Etheostoma chienense | Relict darter |
Etheostoma etowahae | Etowah darter |
Etheostoma fonticola | Fountain darter |
Etheostoma moorei | Yellowcheek darter |
Etheostoma nianguae | Niangua darter |
Etheostoma nuchale | Watercress darter |
Etheostoma okaloosae | Okaloosa darter |
Etheostoma phytophilum | Rush darter |
Etheostoma rubrum | Bayou darter |
Etheostoma scotti | Cherokee darter |
Etheostoma sp. | Bluemask (= jewel) darter |
Etheostoma susanae | Cumberland darter |
Etheostoma wapiti | Boulder darter |
Percina antesella | Amber darter |
Percina aurolineata | Goldline darter |
Percina jenkinsi | Conasauga logperch |
Percina pantherina | Leopard darter |
Percina tanasi | Snail darter |
Scorpaeniformes | Cottidae | Cottus sp. | Grotto sculpin |
Cottus paulus (= pygmaeus) | Pygmy sculpin |
Siluriformes | Clariidae | All species | Air-breathing catfish |
Ictaluridae | Noturus baileyi | Smoky madtom |
Noturus crypticus | Chucky madtom |
Noturus placidus | Neosho madtom |
Noturus stanauli | Pygmy madtom |
Noturus trautmani | Scioto madtom |
Synbranchiformes | Synbranchidae | Monopterus albus | Swamp eel |
MAMMALS |
Order | Family | Genus/Species | Common Name |
Artiodactyla | Suidae | All Species | Pigs or Hogs* |
Cervidae | All Species | Deer* |
Carnivora | Canidae | All Species | Wild Dogs,* Wolves, Coyotes or Coyote hybrids, Jackals and Foxes |
Ursidae | All Species | Bears* |
Procyonidae | All Species | Raccoons and* Relatives |
Mustelidae | All Species | Weasels, Badgers,* Skunks and Otters |
(except Mustela putorius furo) | Ferret |
Viverridae | All Species | Civets, Genets,* Lingsangs, Mongooses, and Fossas |
Herpestidae | All Species | Mongooses* |
Hyaenidae | All Species | Hyenas and Aardwolves* |
Felidae | All Species | Cats* |
Chiroptera | | All Species | Bats* |
Lagomorpha | Lepridae | Brachylagus idahoensis | Pygmy rabbit |
Lepus europeaeous | European hare |
Oryctolagus cuniculus | European rabbit |
Sylvilagus bachmani riparius | Riparian brush rabbit |
Sylvilagus palustris hefneri | Lower Keys marsh rabbit |
Rodentia | | All species native to Africa | All species native to Africa |
Dipodidae | Zapus hudsonius preblei | Preble's meadow jumping mouse |
Muridae | Microtus californicus scirpensis | Amargosa vole |
Microtus mexicanus hualpaiensis | Hualapai Mexican vole |
Microtus pennsylvanicus dukecampbelli | Florida salt marsh vole |
Neotoma floridana smalli | Key Largo woodrat |
Neotoma fuscipes riparia | Riparian (= San Joaquin Valley) woodrat |
Oryzomys palustris natator | Rice rat |
Peromyscus gossypinus allapaticola | Key Largo cotton mouse |
Peromyscus polionotus allophrys | Choctawhatchee beach mouse |
Peromyscus polionotus ammobates | Alabama beach mouse |
Peromyscus polionotus niveiventris | Southeastern beach mouse |
Peromyscus polionotus peninsularis | St. Andrew beach mouse |
Peromyscus polionotus phasma | Anastasia Island beach mouse |
Peromyscus polionotus trissyllepsis | Perdido Key beach mouse |
Reithrodontomys raviventris | Salt marsh harvest mouse |
Heteromyidae | Dipodomys heermanni morroensis | Morro Bay kangaroo rat |
Dipodomys ingens | Giant kangaroo rat |
Dipodomys merriami parvus | San Bernadino Merriam's kangaroo rat |
Dipodomys nitratoides exilis | Fresno kangaroo rat |
Dipodomys nitratoides nitratoides | Tipton kangaroo rat |
Dipodomys stephensi (including D. cascus) | Stephens' kangaroo rat |
Perognathus longimembris pacificus | Pacific pocket mouse |
Sciuridae | Cynomys spp. | Prairie dogs |
Spermophilus brunneus brunneus | Northern Idaho ground squirrel |
Tamiasciurus hudsonicus grahamensis | Mount Graham red squirrel |
Soricomorpha | Soricidae | Sorex ornatus relictus | Buena Vista Lake ornate shrew |
MOLLUSKS |
Order | Family | Genus/Species | Common Name |
Neotaenioglossa | Hydrobiidae | Potamopyrgus antipodarum | New Zealand mudsnail |
Veneroida | Dreissenidae | Dreissena bugensis | Quagga mussel |
Dreissena polymorpha | Zebra mussel |
REPTILES |
Order | Family | Genus/Species | Common Name |
Crocodilia | Alligatoridae | All species | Alligators, caimans* |
Crocodylidae | All species | Crocodiles* |
Gavialidae | All species | Gavials* |
Squamata | Colubridae | Boiga irregularis | Brown tree snake* |
CRUSTACEANS |
Order | Family | Genus/Species | Common Name |
Decapoda | Cambaridae | Cambarus aculabrum | Cave crayfish |
Cambarus zophonastes | Cave crayfish |
Orconectes rusticus | Rusty crayfish |
Orconectes shoupi | Nashville crayfish |
Pacifastacus fortis | Shasta crayfish |
Procambarus sp. | Marbled crayfish |
Parastacidae | Cherax spp. | Australian crayfish |
Varunidea | Eriocheir sinensis | Chinese mitten crab |
B. Temporary possession permit for certain animals. Notwithstanding the permitting requirements of subsection A of this section, a person, company, or corporation possessing any nonnative (exotic) animal, designated with an asterisk (*) in subsection A of this section, prior to July 1, 1992, must declare such possession in writing to the department by January 1, 1993. This written declaration shall serve as a permit for possession only, is not transferable, and must be renewed every five years. This written declaration must include species name, common name, number of individuals, date or dates acquired, sex (if possible), estimated age, height or length, and other characteristics such as bands and band numbers, tattoos, registration numbers, coloration, and specific markings. Possession transfer will require a new permit according to the requirements of this subsection.
C. Exception for certain monk parakeets. A permit is not required for monk parakeets (quakers) that have been captive bred and are closed-banded with a seamless band.
D. Exception for parts or products. A permit is not required for parts or products of those nonnative (exotic) animals listed in subsection A of this section that may be used for personal use, in the manufacture of products, or used in scientific research, provided that such parts or products be packaged outside the Commonwealth by any person, company, or corporation duly licensed by the state in which the parts originate. Such packages may be transported into the Commonwealth, consistent with other state laws and regulations, so long as the original package remains unbroken, unopened and intact until its point of destination is reached. Documentation concerning the type and cost of the animal parts ordered, the purpose and date of the order, point and date of shipping, and date of receiving shall be kept by the person, business, or institution ordering such nonnative (exotic) animal parts. Such documentation shall be open to inspection by a representative of the Department of Game and Inland Fisheries Wildlife Resources.
E. Exception for prairie dogs. The effective date of listing of prairie dogs under subsection A of this section shall be January 1, 1998. Prairie dogs possessed in captivity in Virginia on December 31, 1997, may be maintained in captivity until the animals' deaths, but they may not be sold on or after January 1, 1998, without a permit.
F. Exception for snakehead fish. Anglers may legally harvest snakehead fish of the family Channidae, provided that they immediately kill such fish and that they notify the department, as soon as practicable, of such actions.
G. Exception for feral hogs. Anyone may legally trap feral hogs with written permission of the landowner, provided that any trapped hogs are not removed from the trap site alive and are killed immediately.
H. Exception for grass carp. Anglers may legally harvest grass carp of the family Cyprinidae from public waters of the Commonwealth, except from department-owned or department-controlled lakes, provided that anglers ensure that harvested grass carp are dead.
I. All other nonnative (exotic) animals. All other nonnative (exotic) animals not listed in subsection A of this section may be possessed, purchased, and sold; provided, that such animals shall be subject to all applicable local, state, and federal laws and regulations, including those that apply to threatened/endangered species, and further provided, that such animals shall not be liberated within the Commonwealth.
4VAC15-40-60. Hunting with dogs or possession of weapons in certain locations during closed season.
A. Department-owned and national forest lands statewide. It shall be unlawful to have in possession a firearm or any hunting weapon that is not unloaded and cased or dismantled on all national forest lands statewide and on department-owned lands and on other lands managed by the department under cooperative agreement except during the period when it is lawful to take bear, deer, grouse, pheasant, quail, rabbit, raccoon, squirrel, turkey, waterfowl, or migratory gamebirds on these lands.
B. Certain counties. Except as otherwise provided in 4VAC15-40-70, it shall be unlawful to have either a shotgun or a rifle in one's possession when accompanied by a dog in the daytime in the fields, forests or waters of the Counties of Augusta, Clarke, Frederick, Page, Shenandoah, and Warren, and in the counties east of the Blue Ridge Mountains, except Patrick, at any time except the periods prescribed by law to hunt game birds and animals.
C. Shooting ranges and authorized activities. The provisions of this section shall not prohibit the conduct of any activities authorized by the board or the establishment and operation of archery and shooting ranges on the lands described in subsections A and B of this section. The use of firearms or any hunting weapon in such ranges during the closed season period will be restricted to the area within the established range boundaries. Such weapons shall be required to be unloaded and cased or dismantled in all areas other than the range boundaries. The use of firearms or any hunting weapon during the closed hunting period in such ranges shall be restricted to target shooting only, and no birds or animals shall be molested.
D. It shall be unlawful to chase with a dog or train dogs on national forest lands or department-owned lands except during authorized hunting, chase, or training seasons that specifically permit these activities on these lands or during raccoon hound field trials on these lands between September 1 and March 31, both dates inclusive, that are sanctioned by bona fide national kennel clubs and authorized by permits issued by the department or the U.S. Forest Service.
E. It shall be unlawful to possess or transport any loaded firearm or loaded hunting weapon in or on any vehicle at any time on national forest lands or department-owned lands.
F. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their authorized and official duties, nor shall it prohibit possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
G. Meaning of "possession" of any hunting weapon and definition of "loaded crossbow," "loaded arrowgun," "loaded muzzleloader," and "loaded firearm." For the purpose of this section, the word "possession" shall include having any firearm or weapon used for hunting in or on one's person, vehicle, or conveyance. For the purpose of this section, a "loaded firearm" means a firearm in which ammunition is chambered or loaded in the magazine or clip when such magazine or clip is engaged or partially engaged in a firearm. The definition of a "loaded muzzleloader" will include a muzzleloading rifle, pistol, or shotgun that is capped, has a charged pan, or has a primer or battery installed in the muzzleloader. A "loaded crossbow" means a crossbow that is cocked and has either a bolt or arrow engaged or partially engaged on the shooting rail or track of the crossbow, or with a "trackless crossbow" when the crossbow is cocked and a bolt or arrow is nocked. "Loaded arrowgun" means an arrowgun that has an arrow or bolt inserted on the arrow rest or in the barrel. "Hunting weapon" means any weapon allowable for hunting as defined in § 29.1-519 of the Code of Virginia.
4VAC15-40-281. Unauthorized feeding of bear, deer, or turkey on national forest lands and department-owned lands.
It shall be unlawful to place or direct the placement of, deposit, distribute, or scatter food or salt capable of attracting or being eaten by bear, deer, or turkey on national forest lands or on department-owned lands without the written authorization of the Director of the Department of Game and Inland Fisheries Wildlife Resources or his the director's designee. The provisions of this section shall not prohibit the disposal of food in trash receptacles provided by the U.S. Forest Service on national forest lands or by the department on department-owned lands.
4VAC15-40-287. Model ordinances related to feeding of deer in cities and towns.
Per the provisions of § 29.1-527.2 of the Code of Virginia, the following model ordinance related to the feeding of deer may be adopted by a city or town. Any city or town must notify the director of the Department of Game and Inland Fisheries Wildlife Resources of the adoption of such an ordinance by registered mail.
Model ordinance:
A. Pursuant to § 29.1-527.2 of the Code of Virginia, it shall be unlawful for any person to place, distribute, or allow the placement of food, salt, minerals, or similar substances to feed or attract deer at any time.
B. No person shall continue to place, distribute, or allow the placement of food, salt, minerals, or similar substances for any purpose if the placement of these materials results in the presence of deer.
C. No part of this ordinance shall be construed to restrict agricultural, commercial, noncommercial, or residential plantings (including wildlife food plots); bona fide distribution of food to livestock; or wildlife management activities conducted or authorized by the Department of Game and Inland Fisheries Wildlife Resources.
4VAC15-90-290. Special quality deer management areas.
A. The board hereby designates the following areas posted by the Department of Game and Inland Fisheries Wildlife Resources as special quality deer management areas with special antlered buck harvest.
B. Special Fairystone quality deer management area. It shall be unlawful to kill an antlered deer on the special Fairystone quality deer management area unless the deer has at least four antler points, each greater than one inch in length, on either the right or left antler.
4VAC15-270-60. Use of firearms loaded with slugs and discharge of firearms near boardwalk or nature trail on Ragged Island Wildlife Management Area.
A. It shall be unlawful to possess outside of a vehicle, or shoot or hunt with a rifle, muzzleloader, pistol, or shotgun loaded with slugs, or to possess shotgun slugs, on Ragged Island Wildlife Management Area in Isle of Wight County. In addition, it shall be unlawful to discharge any firearm within 100 yards of the boardwalk or nature trail on Ragged Island Wildlife Management Area.
B. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their duties, nor shall it prohibit the possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
4VAC15-270-95. Model ordinances related to archery deer hunting.
Pursuant to § 29.1-528.1 A of the Code of Virginia, the following model ordinances related to hunting deer with bow and arrow (including crossbows) may be adopted by those counties and cities where there is an overabundance of the deer population, which is creating conflicts between humans and deer, including safety hazards to motorists. In accordance with § 29.1-528.1 B of the Code of Virginia, no such ordinance shall be enforceable unless the governing body of the locality notifies the director by registered mail prior to May 1 of the year in which the ordinance is to take effect.
Model Ordinance 1:
The times at which hunting shall commence and end each day shall be in accordance with the provisions of § 29.1-520 of the Code of Virginia.
Model Ordinance 2:
The number of deer that can be taken shall be in accordance with bag limits established by the Board of Game and Inland Fisheries Wildlife Resources pursuant to §§ 29.1-501 and 29.1-502 of the Code of Virginia.
Model Ordinance 3:
No person shall discharge a bow and arrow from, over, or across any street, sidewalk, alley, roadway, or toward any building or dwelling in such a manner that an arrow may strike it. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
Model Ordinance 4:
It shall be unlawful to discharge a bow and arrow in a manner that can be reasonably expected to result in the impact of the arrow upon the property of another without permission from the owner or tenant of such property. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
4VAC15-275-10. Application.
This chapter applies to any person who has never obtained a license to hunt in any state or country or any person who is under the age of younger than 16 years of age, unless such a person presents to the Department of Game and Inland Fisheries Wildlife Resources or one of its authorized license vendors a certificate of completion in hunter education issued or authorized by the director or his the director's representative under the hunter education program or proof that he holds the equivalent certificate obtained from an authorized agency or association of another state or country.
4VAC15-275-20. Definitions.
The following words and terms when used in this chapter shall have the following meanings unless the context clearly requires a different meaning:
"Accompanied and directly supervised" means, in the case of an apprentice hunter, that a licensed person over older than 18 years of age maintains a close visual and verbal contact with, provides adequate direction to, and can immediately assume control of the firearm from the apprentice hunter. In the case of a hunter age 12 years of age or under younger, the term means that the licensed adult is within sight of the person under the age of younger than 12 years of age.
"Adult" means the parent or legal guardian of the person under age younger than 12 years of age, or such person over the age of older than 18 years of age designated by the parent or legal guardian.
"Approved course provider" is any individual, business, or organization that makes available to the hunting public a hunter education course that is approved by the International Hunter Education Association – United States (IHEA-USA) and is accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Hunter education course" means a course offered in the classroom, through the Internet, or through an electronic format that provides course content and test questions that at a minimum meet the International Hunter Education Association-USA Education Standards, May 2, 2014, set forth by the International Hunter Education Association-USA (IHEA-USA) and are accepted by the department. A hunter education course shall include no less than 50 test questions, which shall include at least eight test questions specific to Virginia hunting laws.
"IHEA-USA" means the International Hunter Education Association-USA.
"Virginia Hunter Education Card" means a card authorized for issuance by the department to a person who has met the minimum standard of hunter education course competency. This card may be issued as an original or a replacement hunter education course card.
4VAC15-275-80. Instructor certification.
A. The department may designate as a hunter instructor any person found by it to be competent to give instruction in the courses required.
B. Volunteer instructors are designated to work on a voluntary basis and at the pleasure of the Department of Game and Inland Fisheries Wildlife Resources.
C. To be certified as a hunter education course instructor for the department's hunter education program, a person shall (i) have successfully completed a hunter education course and (ii) be certified as an instructor by the department or by a certification program accepted by the department.
D. Applicants for certified instructor shall submit an application to the department on a form and in a manner determined by the hunter education program manager. At a minimum, the application shall include:
1. The applicant's name;
2. The applicant's street address;
3. The applicant's telephone number;
4. The applicant's email address, if any;
5. Information describing the applicant's experience and training in hunter and hunting and proof of completion of a hunter education course that is accepted by the department; and
6. Any other information deemed necessary after review of the initial application.
E. Applicants may be required to submit written consent for a criminal history background check in a manner determined by the department or an interview in a manner determined by the department and in accordance with state policy.
4VAC15-290-130. Duty to comply with permit conditions.
A permit holder shall comply with all terms and conditions of any permit issued by the Department of Game and Inland Fisheries Wildlife Resources pursuant to Title 29.1 of the Code of Virginia and the regulations of the board pertaining to hunting, fishing, trapping, taking, attempting to take, possession, sale, offering for sale, transporting or causing to be transported, importing or exporting, propagating, exhibiting, and rehabilitating of any wild bird, wild animal, or fish. The penalty for violation of this section is prescribed by § 29.1-505 of the Code of Virginia.
4VAC15-340-80. Eel pots for taking American eels for sale.
A. The director may issue, deny, modify, suspend, or revoke annual eel pot permits designated for the sale of American eels. Such permits shall authorize the taking of American eels for sale, as specified, with eel pots from waters designated in this section. Such permits shall be valid so long as the harvest of American eels in the Commonwealth is not prohibited by other state or federal law or regulation. To be eligible, applicants must document harvest of at least one pound of American eels from Back Bay or North Landing River or their tributaries via reports submitted through the Virginia Marine Resources Commission Mandatory Harvest Reporting Program during the period January 1, 2007, to December 31, 2012, both dates inclusive. Applicants must document the reported harvest occurred while the applicant held a valid commercial fish pot or eel pot license issued by the Virginia Marine Resources Commission.
B. It shall be unlawful for permit holders to possess any American eel less than nine inches in total length.
C. It shall be unlawful for permit holders fishing eel pots to take any species other than American eels.
D. It shall be unlawful to place, set, or fish any eel pot that has a mesh less than 1/2-inch by 1/2-inch and does not contain at least one unrestricted 4-inch by 4-inch escape panel consisting of 1/2-inch by 1-inch mesh.
E. The permit holder's last name and Virginia Department of Game and Inland Fisheries Wildlife Resources American eel pot number must be permanently attached to buoys of all eel pots set. The maximum number of pots authorized per permit holder under this permit shall be 300.
F. American eels may be taken with eel pots in Back Bay and its natural tributaries (not including Lake Tecumseh and Red Wing Lake) and in North Landing River and its natural tributaries from the North Carolina line to the Great Bridge locks.
G. It shall be unlawful for any person to ship or otherwise transport any package, box, or other receptacle containing fish taken under an eel pot permit unless the same bears the permit holder's name and address.
H. Failure to comply with the daily harvest and sales reporting requirements as detailed in conditions of the permit shall be unlawful and may result in immediate permit revocation. It shall be the permit holder's responsibility to report "No Activity" when no activity occurs during a monthly reporting period.
4VAC15-410-20. Definitions.
As used in this chapter, unless the context clearly requires a different meaning, the following words and terms shall have the following meanings:
"Approved course provider" is any individual, business, or organization that makes available to the boating public a boating safety education course approved by the National Association of State Boating Law Administrators and accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. Persons who simply provide classroom instruction for an approved course provider shall not be considered an approved course provider. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Boating safety education course" means a course offered in the classroom, through the Internet, or through an electronic format such as CD-ROM that provides a course content and test questions that have been reviewed and approved by the National Association of State Boating Law Administrators in accordance with the National Boating Education Standards, updated January 1, 2008, and accepted by the department. A boating safety education course shall include no less than 50 test questions, which shall include at least 10 test questions specific about Virginia boating laws.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Dockside safety checklist" means a document provided by the department that consists of selected facts about Virginia boating laws and safe boat operation that a rental or livery agent or motorboat leasing business is required to present to those who rent or lease a motorboat or personal watercraft. The dockside safety checklist must be reviewed and initialed by the person operating the motorboat before the boat can be rented/leased rented or leased and operated.
"Equivalency exam" means a written examination that is developed by the department to test the knowledge of information included in the curriculum of a boating safety education course (may also be referred to as a challenge exam). The equivalency exam is intended to provide experienced and knowledgeable boaters with the opportunity to meet the boating safety education compliance requirement set forth in § 29.1-735.2 of the Code of Virginia without having to take and successfully complete a boating safety education course. The equivalency exam shall be comprised of no less than 75 or more than 100 test questions, shall include no less than 25 questions specific about Virginia boating laws, shall be proctored by an individual(s) individual specifically designated by the department, and shall be completed without the use of any reference material. A minimum score of at least 80% shall be considered passing.
"Motorboat" means any vessel propelled by machinery whether or not the machinery is the principal source of propulsion and for this chapter shall mean with a motor of 10 horsepower or greater.
"NASBLA" means the National Association of State Boating Law Administrators.
"NASBLA-approved course" means a boating safety education course that has been reviewed and approved by NASBLA.
"Onboard direct supervision" as referenced in § 29.1-735.2 B 6 and B 9 of the Code of Virginia occurs when a person maintains close visual and verbal contact with, provides adequate direction to, and can immediately assume control of a motorboat from the operator of a motorboat. A person who is water skiing, or is in the cabin of a motorboat and not at the helm/wheel is not considered to be in a position capable of providing direct supervision.
"Operate" means to navigate or otherwise control the movement of a motorboat or vessel.
"Optional Virginia Boater Education Card" means a card authorized for issuance by the department to persons who (i) can show they have met the minimum standard of boating safety education course competency, (ii) possess a valid license to operate a vessel issued to maritime personnel by the United States Coast Guard or a marine certificate issued by the Canadian government, (iii) possess a Canadian Pleasure Craft Operator's Card, or (iv) possess a valid commercial fisherman registration pursuant to § 28.2-241 of the Code of Virginia. For the purpose of this subsection a license is considered valid regardless of whether the license is current. This card may be issued as a replacement boating safety course card.
"Personal watercraft" means a motorboat less than 16 feet in length that uses an inboard motor powering a jet pump as its primary motive power and that is designed to be operated by a person sitting, standing, or kneeling on, rather than in the conventional manner of sitting or standing inside the vessel.
"Proctored" means that the written equivalency exam has been administered under the direct supervision of (i) a designated member of the United States Coast Guard Auxiliary or the United States Power Squadrons®, (ii) a designated department employee or a department volunteer boating safety instructor, or (iii) an individual who has been approved for such purpose by the department.
"Temporary operator's certificate" means a nonrenewable document issued with the certificate of number for the motorboat or personal watercraft, if the boat is new or was sold with a transfer of ownership. A temporary operator's certificate shall be issued only by the department, by any person authorized by the director to act as an agent to issue a certificate of number pursuant to § 29.1-706 of the Code of Virginia, or by a license agent of the department authorized to issue a temporary registration certificate for a motorboat or personal watercraft. A temporary operator's certificate shall allow the owner(s) owner to operate a motorboat with a motor of 10 horsepower or greater or personal watercraft in Virginia for 90 days.
"Vessel" means every description of watercraft, other than a seaplane on the water, used or capable of being used as a means of transportation on water.
"Waters of the Commonwealth" means any public waters within the territorial limits of the Commonwealth.
VA.R. Doc. No. R21-5904; Filed September 29, 2020, 11:23 a.m.
TITLE 4. CONSERVATION AND NATURAL RESOURCES
BOARD OF WILDLIFE RESOURCES
Final Regulation
REGISTRAR'S NOTICE: The Board of Wildlife Resources is claiming an exemption from Article 2 of 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 or the appropriation act where no agency discretion is involved. The State Board of Social Services will receive, consider, and respond to petitions by any interested person at any time with respect to reconsideration or revision.
Titles of Regulations: 4VAC15-20. Definitions and Miscellaneous: In General (amending 4VAC15-20-10, 4VAC15-20-75).
4VAC15-30. Definitions and Miscellaneous: Importation, Possession, Sale, etc., of Animals (amending 4VAC15-30-40).
4VAC15-40. Game: In General (amending 4VAC15-40-60, 4VAC15-40-281, 4VAC15-40-287).
4VAC15-90. Game: Deer (amending 4VAC15-90-290).
4VAC15-270. Game: Firearms (amending 4VAC15-270-60, 4VAC15-270-95).
4VAC15-275. Game: Hunter Education (amending 4VAC15-275-10, 4VAC15-275-20, 4VAC15-275-80).
4VAC15-290. Game: Permits (amending 4VAC15-290-130).
4VAC15-340. Fish: Seines and Nets (amending 4VAC15-340-80).
4VAC15-410. Watercraft: Boating Safety Education (amending 4VAC15-410-20).
Statutory Authority: §§ 29.1-103, 29.1-501, and 29.1-502 of the Code of Virginia.
Effective Date: January 1, 2021.
Agency Contact: Aaron Proctor, Regulations Coordinator, Department of Wildlife Resources, 7870 Villa Park Drive, Suite 400, Henrico, VA 23228, telephone (804) 367-8341, or email aaron.proctor@dwr.virginia.gov.
Summary:
The amendments align regulations with Chapter 958 of the 2020 Acts of Assembly, which changes the name of the department to Department of Wildlife Resources and of the board to Board of Wildlife Resources.
4VAC15-20-10. Definitions; generally.
Words and phrases used in any regulations made by the board shall have the same meaning, unless the context clearly indicates otherwise, as is given for such words and phrases in the Virginia Game and Inland Fisheries laws contained in Title 29.1 (§ 29.1-100 et seq.) of the Code of Virginia.
4VAC15-20-75. Wildlife Violator Compact.
A. This section is adopted pursuant to authority granted to the Board of Game and Inland Fisheries Wildlife Resources under §§ 29.1-103 and 29.1-530.5 of the Code of Virginia.
B. Definitions used herein in this section, unless the contrary is clearly indicated are those used in § 29.1-530.5 of the Code of Virginia, the Wildlife Violator Compact, herein referred to as the compact (compact).
C. In accordance with Article VII of the compact, the board hereby authorizes the Director of the Department of Game and Inland Fisheries Wildlife Resources to appoint the Commonwealth's representative to the Board of Compact Administrators. Such appointment shall be consistent with and subject to the aforesaid provisions of the compact and such representative shall serve at the pleasure of the director.
D. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the conviction in that state of a resident of the Commonwealth, the department shall enter such conviction in its records and such conviction shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations for purposes of suspension of license privileges.
E. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the failure of a resident of the Commonwealth to comply with the terms of a citation issued by that state, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence of compliance with the terms of such citation.
F. In accordance with Article V of the compact, upon receipt from a participating state of a report of the suspension of license privileges of a resident of the Commonwealth issued by that state that is in accordance with suspension of license pursuant to the Code of Virginia, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence that such suspension has been terminated.
G. Upon receipt of a report pursuant to subsections subsection D, E, or F of this section, the director or his the director's designee shall provide notice thereof to the resident of the Commonwealth who is the subject of such report. Such notice shall advise such person of the contents of the notice and of any action that the department proposes to take in response thereto.
H. The person who is the subject of such notice shall be provided an opportunity to request within 30 days from the date of such notice an opportunity to contest the department's proposed action by requesting an informal fact-finding conference to be conducted by a representative of the department designated by the director. Although such proceedings are exempt from the requirements of the Administrative Process Act (§ 2.2-4000 et seq. of the Code of Virginia) as provided by § 2.2-4002 A 3 thereof of the Code of Virginia, the department shall to the extent practicable afford such persons seeking an informal fact-finding conference the rights provided under § 2.2-4019 of the Code of Virginia. Those include but are not limited to the right to receive reasonable notice as described in subsection G of this section and the right to appear in person or by counsel before the designated representative of the department. However, no discovery shall be conducted and no subpoenas shall be issued as part of any such proceeding.
I. An informal fact-finding proceeding shall be completed within 60 days of receipt by the department of the request described in subsection H of this section. Upon such completion the designated representative of the department shall make a recommended decision to the director or to such person designated by the director to make such decision. The decision maker shall promptly issue a written decision to the person who requested the proceeding. If the affected party is not satisfied by this decision it may be appealed to a three member panel as appointed by the agency director.
J. Any decision upholding the suspension of licensing privileges as a result of the process described in subsections D through I of this section shall be entered by the department on its records and shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations.
K. The director shall establish procedures for reporting to participating states convictions or failures to comply with citations in the Commonwealth by residents of those respective states. Such procedures shall comply with the reporting requirements established by and pursuant to the provisions of the compact.
4VAC15-30-40. Importation requirements, possession, and sale of nonnative (exotic) animals.
A. Permit required. A special permit is required and may be issued by the department, if consistent with the department's fish and wildlife management program, to import, possess, or sell those nonnative (exotic) animals listed below in the following table and in 4VAC15-20-210 that the board finds and declares to be predatory or undesirable within the meaning and intent of § 29.1-542 of the Code of Virginia, in that their introduction into the Commonwealth will be detrimental to the native fish and wildlife resources of Virginia.
AMPHIBIANS |
Order | Family | Genus/Species | Common Name |
Anura | Bufonidae | Rhinella marina | Cane toad* |
Pipidae | Hymenochirus spp. Pseudohymenochiris merlini | African dwarf frog |
Xenopus spp. | Tongueless or African clawed frog |
Caudata | Ambystomatidae | All species | All mole salamanders |
BIRDS |
Order | Family | Genus/Species | Common Name |
Psittaciformes | Psittacidae | Myiopsitta monachus | Monk parakeet* |
Anseriformes | Anatidae | Cygnus olor | Mute swan |
FISH |
Order | Family | Genus/Species | Common Name |
Cypriniformes | Catostomidae | Catostomus microps | Modoc sucker |
Catostomus santaanae | Santa Ana sucker |
Catostomus warnerensis | Warner sucker |
Ictiobus bubalus | Smallmouth* buffalo |
I. cyprinellus | Bigmouth* buffalo |
I. niger | Black buffalo* |
Characidae | Pygopristis spp. Pygocentrus spp. Rooseveltiella spp. Serrasalmo spp. Serrasalmus spp. Taddyella spp. | Piranhas |
Cobitidae | Misgurnus anguillicaudatus | Oriental weatherfish |
Cyprinidae | Aristichyhys nobilis | Bighead carp* |
Chrosomus saylori | Laurel dace |
Ctenopharyngodon idella | Grass carp or white amur |
Cyprinella caerulea | Blue shiner |
Cyprinella formosa | Beautiful shiner |
Cyprinella lutrensis | Red shiner |
Hypophthalmichthys molitrix | Silver carp* |
Mylopharyngodom piceus | Black carp* |
Notropis albizonatus | Palezone shiner |
Notropis cahabae | Cahaba shiner |
Notropis girardi | Arkansas River shiner |
Notropis mekistocholas | Cape Fear shiner |
Notropis simus pecosensis | Pecos bluntnose shiner |
Notropis topeka (= tristis) | Topeka shiner |
Phoxinus cumberlandensis | Blackside dace |
Rhinichthys osculus lethoporus | Independence Valley speckled dace |
Rhinichthys osculus nevadensis | Ash Meadows speckled dace |
Rhinichthys osculus oligoporus | Clover Valley speckled dace |
Rhinichthys osculus ssp. | Foskett speckled dace |
Rhinichthys osculus thermalis | Kendall Warm Springs dace |
Scardinius erythrophthalmus | Rudd |
Tinca tinca | Tench* |
Cyprinodontiformes | Poeciliidae | Gambusia gaigei | Big Bend gambusia |
Gambusia georgei | San Marcos gambusia |
Gambusia heterochir | Clear Creek gambusia |
Gambusia nobilis | Pecos gambusia |
Peociliopsis occidentalis | Gila topminnow |
Gasterosteiformes | Gasterosteidae | Gasterosteus aculeatus williamsoni | Unarmored threespine stickleback |
Gobiesociformes | Gobiidae | Proterorhinus marmoratus | Tubenose goby |
Neogobius melanostomus | Round goby |
Perciformes | Channidae | Channa spp. Parachanna spp. | Snakeheads |
Cichlidae | Tilapia spp. | Tilapia |
Gymnocephalus cernuum | Ruffe* |
Elassomatidae | Elassoma alabamae | Spring pygmy sunfish |
Percidae | Crystallaria cincotta | Diamond darter |
Etheostoma chermocki | Vermilion darter |
Etheostoma boschungi | Slackwater darter |
Etheostoma chienense | Relict darter |
Etheostoma etowahae | Etowah darter |
Etheostoma fonticola | Fountain darter |
Etheostoma moorei | Yellowcheek darter |
Etheostoma nianguae | Niangua darter |
Etheostoma nuchale | Watercress darter |
Etheostoma okaloosae | Okaloosa darter |
Etheostoma phytophilum | Rush darter |
Etheostoma rubrum | Bayou darter |
Etheostoma scotti | Cherokee darter |
Etheostoma sp. | Bluemask (= jewel) darter |
Etheostoma susanae | Cumberland darter |
Etheostoma wapiti | Boulder darter |
Percina antesella | Amber darter |
Percina aurolineata | Goldline darter |
Percina jenkinsi | Conasauga logperch |
Percina pantherina | Leopard darter |
Percina tanasi | Snail darter |
Scorpaeniformes | Cottidae | Cottus sp. | Grotto sculpin |
Cottus paulus (= pygmaeus) | Pygmy sculpin |
Siluriformes | Clariidae | All species | Air-breathing catfish |
Ictaluridae | Noturus baileyi | Smoky madtom |
Noturus crypticus | Chucky madtom |
Noturus placidus | Neosho madtom |
Noturus stanauli | Pygmy madtom |
Noturus trautmani | Scioto madtom |
Synbranchiformes | Synbranchidae | Monopterus albus | Swamp eel |
MAMMALS |
Order | Family | Genus/Species | Common Name |
Artiodactyla | Suidae | All Species | Pigs or Hogs* |
Cervidae | All Species | Deer* |
Carnivora | Canidae | All Species | Wild Dogs,* Wolves, Coyotes or Coyote hybrids, Jackals and Foxes |
Ursidae | All Species | Bears* |
Procyonidae | All Species | Raccoons and* Relatives |
Mustelidae | All Species | Weasels, Badgers,* Skunks and Otters |
(except Mustela putorius furo) | Ferret |
Viverridae | All Species | Civets, Genets,* Lingsangs, Mongooses, and Fossas |
Herpestidae | All Species | Mongooses* |
Hyaenidae | All Species | Hyenas and Aardwolves* |
Felidae | All Species | Cats* |
Chiroptera | | All Species | Bats* |
Lagomorpha | Lepridae | Brachylagus idahoensis | Pygmy rabbit |
Lepus europeaeous | European hare |
Oryctolagus cuniculus | European rabbit |
Sylvilagus bachmani riparius | Riparian brush rabbit |
Sylvilagus palustris hefneri | Lower Keys marsh rabbit |
Rodentia | | All species native to Africa | All species native to Africa |
Dipodidae | Zapus hudsonius preblei | Preble's meadow jumping mouse |
Muridae | Microtus californicus scirpensis | Amargosa vole |
Microtus mexicanus hualpaiensis | Hualapai Mexican vole |
Microtus pennsylvanicus dukecampbelli | Florida salt marsh vole |
Neotoma floridana smalli | Key Largo woodrat |
Neotoma fuscipes riparia | Riparian (= San Joaquin Valley) woodrat |
Oryzomys palustris natator | Rice rat |
Peromyscus gossypinus allapaticola | Key Largo cotton mouse |
Peromyscus polionotus allophrys | Choctawhatchee beach mouse |
Peromyscus polionotus ammobates | Alabama beach mouse |
Peromyscus polionotus niveiventris | Southeastern beach mouse |
Peromyscus polionotus peninsularis | St. Andrew beach mouse |
Peromyscus polionotus phasma | Anastasia Island beach mouse |
Peromyscus polionotus trissyllepsis | Perdido Key beach mouse |
Reithrodontomys raviventris | Salt marsh harvest mouse |
Heteromyidae | Dipodomys heermanni morroensis | Morro Bay kangaroo rat |
Dipodomys ingens | Giant kangaroo rat |
Dipodomys merriami parvus | San Bernadino Merriam's kangaroo rat |
Dipodomys nitratoides exilis | Fresno kangaroo rat |
Dipodomys nitratoides nitratoides | Tipton kangaroo rat |
Dipodomys stephensi (including D. cascus) | Stephens' kangaroo rat |
Perognathus longimembris pacificus | Pacific pocket mouse |
Sciuridae | Cynomys spp. | Prairie dogs |
Spermophilus brunneus brunneus | Northern Idaho ground squirrel |
Tamiasciurus hudsonicus grahamensis | Mount Graham red squirrel |
Soricomorpha | Soricidae | Sorex ornatus relictus | Buena Vista Lake ornate shrew |
MOLLUSKS |
Order | Family | Genus/Species | Common Name |
Neotaenioglossa | Hydrobiidae | Potamopyrgus antipodarum | New Zealand mudsnail |
Veneroida | Dreissenidae | Dreissena bugensis | Quagga mussel |
Dreissena polymorpha | Zebra mussel |
REPTILES |
Order | Family | Genus/Species | Common Name |
Crocodilia | Alligatoridae | All species | Alligators, caimans* |
Crocodylidae | All species | Crocodiles* |
Gavialidae | All species | Gavials* |
Squamata | Colubridae | Boiga irregularis | Brown tree snake* |
CRUSTACEANS |
Order | Family | Genus/Species | Common Name |
Decapoda | Cambaridae | Cambarus aculabrum | Cave crayfish |
Cambarus zophonastes | Cave crayfish |
Orconectes rusticus | Rusty crayfish |
Orconectes shoupi | Nashville crayfish |
Pacifastacus fortis | Shasta crayfish |
Procambarus sp. | Marbled crayfish |
Parastacidae | Cherax spp. | Australian crayfish |
Varunidea | Eriocheir sinensis | Chinese mitten crab |
B. Temporary possession permit for certain animals. Notwithstanding the permitting requirements of subsection A of this section, a person, company, or corporation possessing any nonnative (exotic) animal, designated with an asterisk (*) in subsection A of this section, prior to July 1, 1992, must declare such possession in writing to the department by January 1, 1993. This written declaration shall serve as a permit for possession only, is not transferable, and must be renewed every five years. This written declaration must include species name, common name, number of individuals, date or dates acquired, sex (if possible), estimated age, height or length, and other characteristics such as bands and band numbers, tattoos, registration numbers, coloration, and specific markings. Possession transfer will require a new permit according to the requirements of this subsection.
C. Exception for certain monk parakeets. A permit is not required for monk parakeets (quakers) that have been captive bred and are closed-banded with a seamless band.
D. Exception for parts or products. A permit is not required for parts or products of those nonnative (exotic) animals listed in subsection A of this section that may be used for personal use, in the manufacture of products, or used in scientific research, provided that such parts or products be packaged outside the Commonwealth by any person, company, or corporation duly licensed by the state in which the parts originate. Such packages may be transported into the Commonwealth, consistent with other state laws and regulations, so long as the original package remains unbroken, unopened and intact until its point of destination is reached. Documentation concerning the type and cost of the animal parts ordered, the purpose and date of the order, point and date of shipping, and date of receiving shall be kept by the person, business, or institution ordering such nonnative (exotic) animal parts. Such documentation shall be open to inspection by a representative of the Department of Game and Inland Fisheries Wildlife Resources.
E. Exception for prairie dogs. The effective date of listing of prairie dogs under subsection A of this section shall be January 1, 1998. Prairie dogs possessed in captivity in Virginia on December 31, 1997, may be maintained in captivity until the animals' deaths, but they may not be sold on or after January 1, 1998, without a permit.
F. Exception for snakehead fish. Anglers may legally harvest snakehead fish of the family Channidae, provided that they immediately kill such fish and that they notify the department, as soon as practicable, of such actions.
G. Exception for feral hogs. Anyone may legally trap feral hogs with written permission of the landowner, provided that any trapped hogs are not removed from the trap site alive and are killed immediately.
H. Exception for grass carp. Anglers may legally harvest grass carp of the family Cyprinidae from public waters of the Commonwealth, except from department-owned or department-controlled lakes, provided that anglers ensure that harvested grass carp are dead.
I. All other nonnative (exotic) animals. All other nonnative (exotic) animals not listed in subsection A of this section may be possessed, purchased, and sold; provided, that such animals shall be subject to all applicable local, state, and federal laws and regulations, including those that apply to threatened/endangered species, and further provided, that such animals shall not be liberated within the Commonwealth.
4VAC15-40-60. Hunting with dogs or possession of weapons in certain locations during closed season.
A. Department-owned and national forest lands statewide. It shall be unlawful to have in possession a firearm or any hunting weapon that is not unloaded and cased or dismantled on all national forest lands statewide and on department-owned lands and on other lands managed by the department under cooperative agreement except during the period when it is lawful to take bear, deer, grouse, pheasant, quail, rabbit, raccoon, squirrel, turkey, waterfowl, or migratory gamebirds on these lands.
B. Certain counties. Except as otherwise provided in 4VAC15-40-70, it shall be unlawful to have either a shotgun or a rifle in one's possession when accompanied by a dog in the daytime in the fields, forests or waters of the Counties of Augusta, Clarke, Frederick, Page, Shenandoah, and Warren, and in the counties east of the Blue Ridge Mountains, except Patrick, at any time except the periods prescribed by law to hunt game birds and animals.
C. Shooting ranges and authorized activities. The provisions of this section shall not prohibit the conduct of any activities authorized by the board or the establishment and operation of archery and shooting ranges on the lands described in subsections A and B of this section. The use of firearms or any hunting weapon in such ranges during the closed season period will be restricted to the area within the established range boundaries. Such weapons shall be required to be unloaded and cased or dismantled in all areas other than the range boundaries. The use of firearms or any hunting weapon during the closed hunting period in such ranges shall be restricted to target shooting only, and no birds or animals shall be molested.
D. It shall be unlawful to chase with a dog or train dogs on national forest lands or department-owned lands except during authorized hunting, chase, or training seasons that specifically permit these activities on these lands or during raccoon hound field trials on these lands between September 1 and March 31, both dates inclusive, that are sanctioned by bona fide national kennel clubs and authorized by permits issued by the department or the U.S. Forest Service.
E. It shall be unlawful to possess or transport any loaded firearm or loaded hunting weapon in or on any vehicle at any time on national forest lands or department-owned lands.
F. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their authorized and official duties, nor shall it prohibit possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
G. Meaning of "possession" of any hunting weapon and definition of "loaded crossbow," "loaded arrowgun," "loaded muzzleloader," and "loaded firearm." For the purpose of this section, the word "possession" shall include having any firearm or weapon used for hunting in or on one's person, vehicle, or conveyance. For the purpose of this section, a "loaded firearm" means a firearm in which ammunition is chambered or loaded in the magazine or clip when such magazine or clip is engaged or partially engaged in a firearm. The definition of a "loaded muzzleloader" will include a muzzleloading rifle, pistol, or shotgun that is capped, has a charged pan, or has a primer or battery installed in the muzzleloader. A "loaded crossbow" means a crossbow that is cocked and has either a bolt or arrow engaged or partially engaged on the shooting rail or track of the crossbow, or with a "trackless crossbow" when the crossbow is cocked and a bolt or arrow is nocked. "Loaded arrowgun" means an arrowgun that has an arrow or bolt inserted on the arrow rest or in the barrel. "Hunting weapon" means any weapon allowable for hunting as defined in § 29.1-519 of the Code of Virginia.
4VAC15-40-281. Unauthorized feeding of bear, deer, or turkey on national forest lands and department-owned lands.
It shall be unlawful to place or direct the placement of, deposit, distribute, or scatter food or salt capable of attracting or being eaten by bear, deer, or turkey on national forest lands or on department-owned lands without the written authorization of the Director of the Department of Game and Inland Fisheries Wildlife Resources or his the director's designee. The provisions of this section shall not prohibit the disposal of food in trash receptacles provided by the U.S. Forest Service on national forest lands or by the department on department-owned lands.
4VAC15-40-287. Model ordinances related to feeding of deer in cities and towns.
Per the provisions of § 29.1-527.2 of the Code of Virginia, the following model ordinance related to the feeding of deer may be adopted by a city or town. Any city or town must notify the director of the Department of Game and Inland Fisheries Wildlife Resources of the adoption of such an ordinance by registered mail.
Model ordinance:
A. Pursuant to § 29.1-527.2 of the Code of Virginia, it shall be unlawful for any person to place, distribute, or allow the placement of food, salt, minerals, or similar substances to feed or attract deer at any time.
B. No person shall continue to place, distribute, or allow the placement of food, salt, minerals, or similar substances for any purpose if the placement of these materials results in the presence of deer.
C. No part of this ordinance shall be construed to restrict agricultural, commercial, noncommercial, or residential plantings (including wildlife food plots); bona fide distribution of food to livestock; or wildlife management activities conducted or authorized by the Department of Game and Inland Fisheries Wildlife Resources.
4VAC15-90-290. Special quality deer management areas.
A. The board hereby designates the following areas posted by the Department of Game and Inland Fisheries Wildlife Resources as special quality deer management areas with special antlered buck harvest.
B. Special Fairystone quality deer management area. It shall be unlawful to kill an antlered deer on the special Fairystone quality deer management area unless the deer has at least four antler points, each greater than one inch in length, on either the right or left antler.
4VAC15-270-60. Use of firearms loaded with slugs and discharge of firearms near boardwalk or nature trail on Ragged Island Wildlife Management Area.
A. It shall be unlawful to possess outside of a vehicle, or shoot or hunt with a rifle, muzzleloader, pistol, or shotgun loaded with slugs, or to possess shotgun slugs, on Ragged Island Wildlife Management Area in Isle of Wight County. In addition, it shall be unlawful to discharge any firearm within 100 yards of the boardwalk or nature trail on Ragged Island Wildlife Management Area.
B. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their duties, nor shall it prohibit the possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
4VAC15-270-95. Model ordinances related to archery deer hunting.
Pursuant to § 29.1-528.1 A of the Code of Virginia, the following model ordinances related to hunting deer with bow and arrow (including crossbows) may be adopted by those counties and cities where there is an overabundance of the deer population, which is creating conflicts between humans and deer, including safety hazards to motorists. In accordance with § 29.1-528.1 B of the Code of Virginia, no such ordinance shall be enforceable unless the governing body of the locality notifies the director by registered mail prior to May 1 of the year in which the ordinance is to take effect.
Model Ordinance 1:
The times at which hunting shall commence and end each day shall be in accordance with the provisions of § 29.1-520 of the Code of Virginia.
Model Ordinance 2:
The number of deer that can be taken shall be in accordance with bag limits established by the Board of Game and Inland Fisheries Wildlife Resources pursuant to §§ 29.1-501 and 29.1-502 of the Code of Virginia.
Model Ordinance 3:
No person shall discharge a bow and arrow from, over, or across any street, sidewalk, alley, roadway, or toward any building or dwelling in such a manner that an arrow may strike it. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
Model Ordinance 4:
It shall be unlawful to discharge a bow and arrow in a manner that can be reasonably expected to result in the impact of the arrow upon the property of another without permission from the owner or tenant of such property. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
4VAC15-275-10. Application.
This chapter applies to any person who has never obtained a license to hunt in any state or country or any person who is under the age of younger than 16 years of age, unless such a person presents to the Department of Game and Inland Fisheries Wildlife Resources or one of its authorized license vendors a certificate of completion in hunter education issued or authorized by the director or his the director's representative under the hunter education program or proof that he holds the equivalent certificate obtained from an authorized agency or association of another state or country.
4VAC15-275-20. Definitions.
The following words and terms when used in this chapter shall have the following meanings unless the context clearly requires a different meaning:
"Accompanied and directly supervised" means, in the case of an apprentice hunter, that a licensed person over older than 18 years of age maintains a close visual and verbal contact with, provides adequate direction to, and can immediately assume control of the firearm from the apprentice hunter. In the case of a hunter age 12 years of age or under younger, the term means that the licensed adult is within sight of the person under the age of younger than 12 years of age.
"Adult" means the parent or legal guardian of the person under age younger than 12 years of age, or such person over the age of older than 18 years of age designated by the parent or legal guardian.
"Approved course provider" is any individual, business, or organization that makes available to the hunting public a hunter education course that is approved by the International Hunter Education Association – United States (IHEA-USA) and is accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Hunter education course" means a course offered in the classroom, through the Internet, or through an electronic format that provides course content and test questions that at a minimum meet the International Hunter Education Association-USA Education Standards, May 2, 2014, set forth by the International Hunter Education Association-USA (IHEA-USA) and are accepted by the department. A hunter education course shall include no less than 50 test questions, which shall include at least eight test questions specific to Virginia hunting laws.
"IHEA-USA" means the International Hunter Education Association-USA.
"Virginia Hunter Education Card" means a card authorized for issuance by the department to a person who has met the minimum standard of hunter education course competency. This card may be issued as an original or a replacement hunter education course card.
4VAC15-275-80. Instructor certification.
A. The department may designate as a hunter instructor any person found by it to be competent to give instruction in the courses required.
B. Volunteer instructors are designated to work on a voluntary basis and at the pleasure of the Department of Game and Inland Fisheries Wildlife Resources.
C. To be certified as a hunter education course instructor for the department's hunter education program, a person shall (i) have successfully completed a hunter education course and (ii) be certified as an instructor by the department or by a certification program accepted by the department.
D. Applicants for certified instructor shall submit an application to the department on a form and in a manner determined by the hunter education program manager. At a minimum, the application shall include:
1. The applicant's name;
2. The applicant's street address;
3. The applicant's telephone number;
4. The applicant's email address, if any;
5. Information describing the applicant's experience and training in hunter and hunting and proof of completion of a hunter education course that is accepted by the department; and
6. Any other information deemed necessary after review of the initial application.
E. Applicants may be required to submit written consent for a criminal history background check in a manner determined by the department or an interview in a manner determined by the department and in accordance with state policy.
4VAC15-290-130. Duty to comply with permit conditions.
A permit holder shall comply with all terms and conditions of any permit issued by the Department of Game and Inland Fisheries Wildlife Resources pursuant to Title 29.1 of the Code of Virginia and the regulations of the board pertaining to hunting, fishing, trapping, taking, attempting to take, possession, sale, offering for sale, transporting or causing to be transported, importing or exporting, propagating, exhibiting, and rehabilitating of any wild bird, wild animal, or fish. The penalty for violation of this section is prescribed by § 29.1-505 of the Code of Virginia.
4VAC15-340-80. Eel pots for taking American eels for sale.
A. The director may issue, deny, modify, suspend, or revoke annual eel pot permits designated for the sale of American eels. Such permits shall authorize the taking of American eels for sale, as specified, with eel pots from waters designated in this section. Such permits shall be valid so long as the harvest of American eels in the Commonwealth is not prohibited by other state or federal law or regulation. To be eligible, applicants must document harvest of at least one pound of American eels from Back Bay or North Landing River or their tributaries via reports submitted through the Virginia Marine Resources Commission Mandatory Harvest Reporting Program during the period January 1, 2007, to December 31, 2012, both dates inclusive. Applicants must document the reported harvest occurred while the applicant held a valid commercial fish pot or eel pot license issued by the Virginia Marine Resources Commission.
B. It shall be unlawful for permit holders to possess any American eel less than nine inches in total length.
C. It shall be unlawful for permit holders fishing eel pots to take any species other than American eels.
D. It shall be unlawful to place, set, or fish any eel pot that has a mesh less than 1/2-inch by 1/2-inch and does not contain at least one unrestricted 4-inch by 4-inch escape panel consisting of 1/2-inch by 1-inch mesh.
E. The permit holder's last name and Virginia Department of Game and Inland Fisheries Wildlife Resources American eel pot number must be permanently attached to buoys of all eel pots set. The maximum number of pots authorized per permit holder under this permit shall be 300.
F. American eels may be taken with eel pots in Back Bay and its natural tributaries (not including Lake Tecumseh and Red Wing Lake) and in North Landing River and its natural tributaries from the North Carolina line to the Great Bridge locks.
G. It shall be unlawful for any person to ship or otherwise transport any package, box, or other receptacle containing fish taken under an eel pot permit unless the same bears the permit holder's name and address.
H. Failure to comply with the daily harvest and sales reporting requirements as detailed in conditions of the permit shall be unlawful and may result in immediate permit revocation. It shall be the permit holder's responsibility to report "No Activity" when no activity occurs during a monthly reporting period.
4VAC15-410-20. Definitions.
As used in this chapter, unless the context clearly requires a different meaning, the following words and terms shall have the following meanings:
"Approved course provider" is any individual, business, or organization that makes available to the boating public a boating safety education course approved by the National Association of State Boating Law Administrators and accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. Persons who simply provide classroom instruction for an approved course provider shall not be considered an approved course provider. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Boating safety education course" means a course offered in the classroom, through the Internet, or through an electronic format such as CD-ROM that provides a course content and test questions that have been reviewed and approved by the National Association of State Boating Law Administrators in accordance with the National Boating Education Standards, updated January 1, 2008, and accepted by the department. A boating safety education course shall include no less than 50 test questions, which shall include at least 10 test questions specific about Virginia boating laws.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Dockside safety checklist" means a document provided by the department that consists of selected facts about Virginia boating laws and safe boat operation that a rental or livery agent or motorboat leasing business is required to present to those who rent or lease a motorboat or personal watercraft. The dockside safety checklist must be reviewed and initialed by the person operating the motorboat before the boat can be rented/leased rented or leased and operated.
"Equivalency exam" means a written examination that is developed by the department to test the knowledge of information included in the curriculum of a boating safety education course (may also be referred to as a challenge exam). The equivalency exam is intended to provide experienced and knowledgeable boaters with the opportunity to meet the boating safety education compliance requirement set forth in § 29.1-735.2 of the Code of Virginia without having to take and successfully complete a boating safety education course. The equivalency exam shall be comprised of no less than 75 or more than 100 test questions, shall include no less than 25 questions specific about Virginia boating laws, shall be proctored by an individual(s) individual specifically designated by the department, and shall be completed without the use of any reference material. A minimum score of at least 80% shall be considered passing.
"Motorboat" means any vessel propelled by machinery whether or not the machinery is the principal source of propulsion and for this chapter shall mean with a motor of 10 horsepower or greater.
"NASBLA" means the National Association of State Boating Law Administrators.
"NASBLA-approved course" means a boating safety education course that has been reviewed and approved by NASBLA.
"Onboard direct supervision" as referenced in § 29.1-735.2 B 6 and B 9 of the Code of Virginia occurs when a person maintains close visual and verbal contact with, provides adequate direction to, and can immediately assume control of a motorboat from the operator of a motorboat. A person who is water skiing, or is in the cabin of a motorboat and not at the helm/wheel is not considered to be in a position capable of providing direct supervision.
"Operate" means to navigate or otherwise control the movement of a motorboat or vessel.
"Optional Virginia Boater Education Card" means a card authorized for issuance by the department to persons who (i) can show they have met the minimum standard of boating safety education course competency, (ii) possess a valid license to operate a vessel issued to maritime personnel by the United States Coast Guard or a marine certificate issued by the Canadian government, (iii) possess a Canadian Pleasure Craft Operator's Card, or (iv) possess a valid commercial fisherman registration pursuant to § 28.2-241 of the Code of Virginia. For the purpose of this subsection a license is considered valid regardless of whether the license is current. This card may be issued as a replacement boating safety course card.
"Personal watercraft" means a motorboat less than 16 feet in length that uses an inboard motor powering a jet pump as its primary motive power and that is designed to be operated by a person sitting, standing, or kneeling on, rather than in the conventional manner of sitting or standing inside the vessel.
"Proctored" means that the written equivalency exam has been administered under the direct supervision of (i) a designated member of the United States Coast Guard Auxiliary or the United States Power Squadrons®, (ii) a designated department employee or a department volunteer boating safety instructor, or (iii) an individual who has been approved for such purpose by the department.
"Temporary operator's certificate" means a nonrenewable document issued with the certificate of number for the motorboat or personal watercraft, if the boat is new or was sold with a transfer of ownership. A temporary operator's certificate shall be issued only by the department, by any person authorized by the director to act as an agent to issue a certificate of number pursuant to § 29.1-706 of the Code of Virginia, or by a license agent of the department authorized to issue a temporary registration certificate for a motorboat or personal watercraft. A temporary operator's certificate shall allow the owner(s) owner to operate a motorboat with a motor of 10 horsepower or greater or personal watercraft in Virginia for 90 days.
"Vessel" means every description of watercraft, other than a seaplane on the water, used or capable of being used as a means of transportation on water.
"Waters of the Commonwealth" means any public waters within the territorial limits of the Commonwealth.
VA.R. Doc. No. R21-5904; Filed September 29, 2020, 11:23 a.m.
TITLE 4. CONSERVATION AND NATURAL RESOURCES
BOARD OF WILDLIFE RESOURCES
Final Regulation
REGISTRAR'S NOTICE: The Board of Wildlife Resources is claiming an exemption from Article 2 of 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 or the appropriation act where no agency discretion is involved. The State Board of Social Services will receive, consider, and respond to petitions by any interested person at any time with respect to reconsideration or revision.
Titles of Regulations: 4VAC15-20. Definitions and Miscellaneous: In General (amending 4VAC15-20-10, 4VAC15-20-75).
4VAC15-30. Definitions and Miscellaneous: Importation, Possession, Sale, etc., of Animals (amending 4VAC15-30-40).
4VAC15-40. Game: In General (amending 4VAC15-40-60, 4VAC15-40-281, 4VAC15-40-287).
4VAC15-90. Game: Deer (amending 4VAC15-90-290).
4VAC15-270. Game: Firearms (amending 4VAC15-270-60, 4VAC15-270-95).
4VAC15-275. Game: Hunter Education (amending 4VAC15-275-10, 4VAC15-275-20, 4VAC15-275-80).
4VAC15-290. Game: Permits (amending 4VAC15-290-130).
4VAC15-340. Fish: Seines and Nets (amending 4VAC15-340-80).
4VAC15-410. Watercraft: Boating Safety Education (amending 4VAC15-410-20).
Statutory Authority: §§ 29.1-103, 29.1-501, and 29.1-502 of the Code of Virginia.
Effective Date: January 1, 2021.
Agency Contact: Aaron Proctor, Regulations Coordinator, Department of Wildlife Resources, 7870 Villa Park Drive, Suite 400, Henrico, VA 23228, telephone (804) 367-8341, or email aaron.proctor@dwr.virginia.gov.
Summary:
The amendments align regulations with Chapter 958 of the 2020 Acts of Assembly, which changes the name of the department to Department of Wildlife Resources and of the board to Board of Wildlife Resources.
4VAC15-20-10. Definitions; generally.
Words and phrases used in any regulations made by the board shall have the same meaning, unless the context clearly indicates otherwise, as is given for such words and phrases in the Virginia Game and Inland Fisheries laws contained in Title 29.1 (§ 29.1-100 et seq.) of the Code of Virginia.
4VAC15-20-75. Wildlife Violator Compact.
A. This section is adopted pursuant to authority granted to the Board of Game and Inland Fisheries Wildlife Resources under §§ 29.1-103 and 29.1-530.5 of the Code of Virginia.
B. Definitions used herein in this section, unless the contrary is clearly indicated are those used in § 29.1-530.5 of the Code of Virginia, the Wildlife Violator Compact, herein referred to as the compact (compact).
C. In accordance with Article VII of the compact, the board hereby authorizes the Director of the Department of Game and Inland Fisheries Wildlife Resources to appoint the Commonwealth's representative to the Board of Compact Administrators. Such appointment shall be consistent with and subject to the aforesaid provisions of the compact and such representative shall serve at the pleasure of the director.
D. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the conviction in that state of a resident of the Commonwealth, the department shall enter such conviction in its records and such conviction shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations for purposes of suspension of license privileges.
E. In accordance with Article IV of the compact, upon receipt from a participating state of a report of the failure of a resident of the Commonwealth to comply with the terms of a citation issued by that state, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence of compliance with the terms of such citation.
F. In accordance with Article V of the compact, upon receipt from a participating state of a report of the suspension of license privileges of a resident of the Commonwealth issued by that state that is in accordance with suspension of license pursuant to the Code of Virginia, the department shall notify such person of that report in accordance with the procedures set forth in subsections G through J of this section and shall initiate a proceeding to suspend any applicable licenses issued to such person by the board until the department has received satisfactory evidence that such suspension has been terminated.
G. Upon receipt of a report pursuant to subsections subsection D, E, or F of this section, the director or his the director's designee shall provide notice thereof to the resident of the Commonwealth who is the subject of such report. Such notice shall advise such person of the contents of the notice and of any action that the department proposes to take in response thereto.
H. The person who is the subject of such notice shall be provided an opportunity to request within 30 days from the date of such notice an opportunity to contest the department's proposed action by requesting an informal fact-finding conference to be conducted by a representative of the department designated by the director. Although such proceedings are exempt from the requirements of the Administrative Process Act (§ 2.2-4000 et seq. of the Code of Virginia) as provided by § 2.2-4002 A 3 thereof of the Code of Virginia, the department shall to the extent practicable afford such persons seeking an informal fact-finding conference the rights provided under § 2.2-4019 of the Code of Virginia. Those include but are not limited to the right to receive reasonable notice as described in subsection G of this section and the right to appear in person or by counsel before the designated representative of the department. However, no discovery shall be conducted and no subpoenas shall be issued as part of any such proceeding.
I. An informal fact-finding proceeding shall be completed within 60 days of receipt by the department of the request described in subsection H of this section. Upon such completion the designated representative of the department shall make a recommended decision to the director or to such person designated by the director to make such decision. The decision maker shall promptly issue a written decision to the person who requested the proceeding. If the affected party is not satisfied by this decision it may be appealed to a three member panel as appointed by the agency director.
J. Any decision upholding the suspension of licensing privileges as a result of the process described in subsections D through I of this section shall be entered by the department on its records and shall be treated as though it had occurred in the Commonwealth and therefore as a violation of the board's applicable regulations.
K. The director shall establish procedures for reporting to participating states convictions or failures to comply with citations in the Commonwealth by residents of those respective states. Such procedures shall comply with the reporting requirements established by and pursuant to the provisions of the compact.
4VAC15-30-40. Importation requirements, possession, and sale of nonnative (exotic) animals.
A. Permit required. A special permit is required and may be issued by the department, if consistent with the department's fish and wildlife management program, to import, possess, or sell those nonnative (exotic) animals listed below in the following table and in 4VAC15-20-210 that the board finds and declares to be predatory or undesirable within the meaning and intent of § 29.1-542 of the Code of Virginia, in that their introduction into the Commonwealth will be detrimental to the native fish and wildlife resources of Virginia.
AMPHIBIANS |
Order | Family | Genus/Species | Common Name |
Anura | Bufonidae | Rhinella marina | Cane toad* |
Pipidae | Hymenochirus spp. Pseudohymenochiris merlini | African dwarf frog |
Xenopus spp. | Tongueless or African clawed frog |
Caudata | Ambystomatidae | All species | All mole salamanders |
BIRDS |
Order | Family | Genus/Species | Common Name |
Psittaciformes | Psittacidae | Myiopsitta monachus | Monk parakeet* |
Anseriformes | Anatidae | Cygnus olor | Mute swan |
FISH |
Order | Family | Genus/Species | Common Name |
Cypriniformes | Catostomidae | Catostomus microps | Modoc sucker |
Catostomus santaanae | Santa Ana sucker |
Catostomus warnerensis | Warner sucker |
Ictiobus bubalus | Smallmouth* buffalo |
I. cyprinellus | Bigmouth* buffalo |
I. niger | Black buffalo* |
Characidae | Pygopristis spp. Pygocentrus spp. Rooseveltiella spp. Serrasalmo spp. Serrasalmus spp. Taddyella spp. | Piranhas |
Cobitidae | Misgurnus anguillicaudatus | Oriental weatherfish |
Cyprinidae | Aristichyhys nobilis | Bighead carp* |
Chrosomus saylori | Laurel dace |
Ctenopharyngodon idella | Grass carp or white amur |
Cyprinella caerulea | Blue shiner |
Cyprinella formosa | Beautiful shiner |
Cyprinella lutrensis | Red shiner |
Hypophthalmichthys molitrix | Silver carp* |
Mylopharyngodom piceus | Black carp* |
Notropis albizonatus | Palezone shiner |
Notropis cahabae | Cahaba shiner |
Notropis girardi | Arkansas River shiner |
Notropis mekistocholas | Cape Fear shiner |
Notropis simus pecosensis | Pecos bluntnose shiner |
Notropis topeka (= tristis) | Topeka shiner |
Phoxinus cumberlandensis | Blackside dace |
Rhinichthys osculus lethoporus | Independence Valley speckled dace |
Rhinichthys osculus nevadensis | Ash Meadows speckled dace |
Rhinichthys osculus oligoporus | Clover Valley speckled dace |
Rhinichthys osculus ssp. | Foskett speckled dace |
Rhinichthys osculus thermalis | Kendall Warm Springs dace |
Scardinius erythrophthalmus | Rudd |
Tinca tinca | Tench* |
Cyprinodontiformes | Poeciliidae | Gambusia gaigei | Big Bend gambusia |
Gambusia georgei | San Marcos gambusia |
Gambusia heterochir | Clear Creek gambusia |
Gambusia nobilis | Pecos gambusia |
Peociliopsis occidentalis | Gila topminnow |
Gasterosteiformes | Gasterosteidae | Gasterosteus aculeatus williamsoni | Unarmored threespine stickleback |
Gobiesociformes | Gobiidae | Proterorhinus marmoratus | Tubenose goby |
Neogobius melanostomus | Round goby |
Perciformes | Channidae | Channa spp. Parachanna spp. | Snakeheads |
Cichlidae | Tilapia spp. | Tilapia |
Gymnocephalus cernuum | Ruffe* |
Elassomatidae | Elassoma alabamae | Spring pygmy sunfish |
Percidae | Crystallaria cincotta | Diamond darter |
Etheostoma chermocki | Vermilion darter |
Etheostoma boschungi | Slackwater darter |
Etheostoma chienense | Relict darter |
Etheostoma etowahae | Etowah darter |
Etheostoma fonticola | Fountain darter |
Etheostoma moorei | Yellowcheek darter |
Etheostoma nianguae | Niangua darter |
Etheostoma nuchale | Watercress darter |
Etheostoma okaloosae | Okaloosa darter |
Etheostoma phytophilum | Rush darter |
Etheostoma rubrum | Bayou darter |
Etheostoma scotti | Cherokee darter |
Etheostoma sp. | Bluemask (= jewel) darter |
Etheostoma susanae | Cumberland darter |
Etheostoma wapiti | Boulder darter |
Percina antesella | Amber darter |
Percina aurolineata | Goldline darter |
Percina jenkinsi | Conasauga logperch |
Percina pantherina | Leopard darter |
Percina tanasi | Snail darter |
Scorpaeniformes | Cottidae | Cottus sp. | Grotto sculpin |
Cottus paulus (= pygmaeus) | Pygmy sculpin |
Siluriformes | Clariidae | All species | Air-breathing catfish |
Ictaluridae | Noturus baileyi | Smoky madtom |
Noturus crypticus | Chucky madtom |
Noturus placidus | Neosho madtom |
Noturus stanauli | Pygmy madtom |
Noturus trautmani | Scioto madtom |
Synbranchiformes | Synbranchidae | Monopterus albus | Swamp eel |
MAMMALS |
Order | Family | Genus/Species | Common Name |
Artiodactyla | Suidae | All Species | Pigs or Hogs* |
Cervidae | All Species | Deer* |
Carnivora | Canidae | All Species | Wild Dogs,* Wolves, Coyotes or Coyote hybrids, Jackals and Foxes |
Ursidae | All Species | Bears* |
Procyonidae | All Species | Raccoons and* Relatives |
Mustelidae | All Species | Weasels, Badgers,* Skunks and Otters |
(except Mustela putorius furo) | Ferret |
Viverridae | All Species | Civets, Genets,* Lingsangs, Mongooses, and Fossas |
Herpestidae | All Species | Mongooses* |
Hyaenidae | All Species | Hyenas and Aardwolves* |
Felidae | All Species | Cats* |
Chiroptera | | All Species | Bats* |
Lagomorpha | Lepridae | Brachylagus idahoensis | Pygmy rabbit |
Lepus europeaeous | European hare |
Oryctolagus cuniculus | European rabbit |
Sylvilagus bachmani riparius | Riparian brush rabbit |
Sylvilagus palustris hefneri | Lower Keys marsh rabbit |
Rodentia | | All species native to Africa | All species native to Africa |
Dipodidae | Zapus hudsonius preblei | Preble's meadow jumping mouse |
Muridae | Microtus californicus scirpensis | Amargosa vole |
Microtus mexicanus hualpaiensis | Hualapai Mexican vole |
Microtus pennsylvanicus dukecampbelli | Florida salt marsh vole |
Neotoma floridana smalli | Key Largo woodrat |
Neotoma fuscipes riparia | Riparian (= San Joaquin Valley) woodrat |
Oryzomys palustris natator | Rice rat |
Peromyscus gossypinus allapaticola | Key Largo cotton mouse |
Peromyscus polionotus allophrys | Choctawhatchee beach mouse |
Peromyscus polionotus ammobates | Alabama beach mouse |
Peromyscus polionotus niveiventris | Southeastern beach mouse |
Peromyscus polionotus peninsularis | St. Andrew beach mouse |
Peromyscus polionotus phasma | Anastasia Island beach mouse |
Peromyscus polionotus trissyllepsis | Perdido Key beach mouse |
Reithrodontomys raviventris | Salt marsh harvest mouse |
Heteromyidae | Dipodomys heermanni morroensis | Morro Bay kangaroo rat |
Dipodomys ingens | Giant kangaroo rat |
Dipodomys merriami parvus | San Bernadino Merriam's kangaroo rat |
Dipodomys nitratoides exilis | Fresno kangaroo rat |
Dipodomys nitratoides nitratoides | Tipton kangaroo rat |
Dipodomys stephensi (including D. cascus) | Stephens' kangaroo rat |
Perognathus longimembris pacificus | Pacific pocket mouse |
Sciuridae | Cynomys spp. | Prairie dogs |
Spermophilus brunneus brunneus | Northern Idaho ground squirrel |
Tamiasciurus hudsonicus grahamensis | Mount Graham red squirrel |
Soricomorpha | Soricidae | Sorex ornatus relictus | Buena Vista Lake ornate shrew |
MOLLUSKS |
Order | Family | Genus/Species | Common Name |
Neotaenioglossa | Hydrobiidae | Potamopyrgus antipodarum | New Zealand mudsnail |
Veneroida | Dreissenidae | Dreissena bugensis | Quagga mussel |
Dreissena polymorpha | Zebra mussel |
REPTILES |
Order | Family | Genus/Species | Common Name |
Crocodilia | Alligatoridae | All species | Alligators, caimans* |
Crocodylidae | All species | Crocodiles* |
Gavialidae | All species | Gavials* |
Squamata | Colubridae | Boiga irregularis | Brown tree snake* |
CRUSTACEANS |
Order | Family | Genus/Species | Common Name |
Decapoda | Cambaridae | Cambarus aculabrum | Cave crayfish |
Cambarus zophonastes | Cave crayfish |
Orconectes rusticus | Rusty crayfish |
Orconectes shoupi | Nashville crayfish |
Pacifastacus fortis | Shasta crayfish |
Procambarus sp. | Marbled crayfish |
Parastacidae | Cherax spp. | Australian crayfish |
Varunidea | Eriocheir sinensis | Chinese mitten crab |
B. Temporary possession permit for certain animals. Notwithstanding the permitting requirements of subsection A of this section, a person, company, or corporation possessing any nonnative (exotic) animal, designated with an asterisk (*) in subsection A of this section, prior to July 1, 1992, must declare such possession in writing to the department by January 1, 1993. This written declaration shall serve as a permit for possession only, is not transferable, and must be renewed every five years. This written declaration must include species name, common name, number of individuals, date or dates acquired, sex (if possible), estimated age, height or length, and other characteristics such as bands and band numbers, tattoos, registration numbers, coloration, and specific markings. Possession transfer will require a new permit according to the requirements of this subsection.
C. Exception for certain monk parakeets. A permit is not required for monk parakeets (quakers) that have been captive bred and are closed-banded with a seamless band.
D. Exception for parts or products. A permit is not required for parts or products of those nonnative (exotic) animals listed in subsection A of this section that may be used for personal use, in the manufacture of products, or used in scientific research, provided that such parts or products be packaged outside the Commonwealth by any person, company, or corporation duly licensed by the state in which the parts originate. Such packages may be transported into the Commonwealth, consistent with other state laws and regulations, so long as the original package remains unbroken, unopened and intact until its point of destination is reached. Documentation concerning the type and cost of the animal parts ordered, the purpose and date of the order, point and date of shipping, and date of receiving shall be kept by the person, business, or institution ordering such nonnative (exotic) animal parts. Such documentation shall be open to inspection by a representative of the Department of Game and Inland Fisheries Wildlife Resources.
E. Exception for prairie dogs. The effective date of listing of prairie dogs under subsection A of this section shall be January 1, 1998. Prairie dogs possessed in captivity in Virginia on December 31, 1997, may be maintained in captivity until the animals' deaths, but they may not be sold on or after January 1, 1998, without a permit.
F. Exception for snakehead fish. Anglers may legally harvest snakehead fish of the family Channidae, provided that they immediately kill such fish and that they notify the department, as soon as practicable, of such actions.
G. Exception for feral hogs. Anyone may legally trap feral hogs with written permission of the landowner, provided that any trapped hogs are not removed from the trap site alive and are killed immediately.
H. Exception for grass carp. Anglers may legally harvest grass carp of the family Cyprinidae from public waters of the Commonwealth, except from department-owned or department-controlled lakes, provided that anglers ensure that harvested grass carp are dead.
I. All other nonnative (exotic) animals. All other nonnative (exotic) animals not listed in subsection A of this section may be possessed, purchased, and sold; provided, that such animals shall be subject to all applicable local, state, and federal laws and regulations, including those that apply to threatened/endangered species, and further provided, that such animals shall not be liberated within the Commonwealth.
4VAC15-40-60. Hunting with dogs or possession of weapons in certain locations during closed season.
A. Department-owned and national forest lands statewide. It shall be unlawful to have in possession a firearm or any hunting weapon that is not unloaded and cased or dismantled on all national forest lands statewide and on department-owned lands and on other lands managed by the department under cooperative agreement except during the period when it is lawful to take bear, deer, grouse, pheasant, quail, rabbit, raccoon, squirrel, turkey, waterfowl, or migratory gamebirds on these lands.
B. Certain counties. Except as otherwise provided in 4VAC15-40-70, it shall be unlawful to have either a shotgun or a rifle in one's possession when accompanied by a dog in the daytime in the fields, forests or waters of the Counties of Augusta, Clarke, Frederick, Page, Shenandoah, and Warren, and in the counties east of the Blue Ridge Mountains, except Patrick, at any time except the periods prescribed by law to hunt game birds and animals.
C. Shooting ranges and authorized activities. The provisions of this section shall not prohibit the conduct of any activities authorized by the board or the establishment and operation of archery and shooting ranges on the lands described in subsections A and B of this section. The use of firearms or any hunting weapon in such ranges during the closed season period will be restricted to the area within the established range boundaries. Such weapons shall be required to be unloaded and cased or dismantled in all areas other than the range boundaries. The use of firearms or any hunting weapon during the closed hunting period in such ranges shall be restricted to target shooting only, and no birds or animals shall be molested.
D. It shall be unlawful to chase with a dog or train dogs on national forest lands or department-owned lands except during authorized hunting, chase, or training seasons that specifically permit these activities on these lands or during raccoon hound field trials on these lands between September 1 and March 31, both dates inclusive, that are sanctioned by bona fide national kennel clubs and authorized by permits issued by the department or the U.S. Forest Service.
E. It shall be unlawful to possess or transport any loaded firearm or loaded hunting weapon in or on any vehicle at any time on national forest lands or department-owned lands.
F. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their authorized and official duties, nor shall it prohibit possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
G. Meaning of "possession" of any hunting weapon and definition of "loaded crossbow," "loaded arrowgun," "loaded muzzleloader," and "loaded firearm." For the purpose of this section, the word "possession" shall include having any firearm or weapon used for hunting in or on one's person, vehicle, or conveyance. For the purpose of this section, a "loaded firearm" means a firearm in which ammunition is chambered or loaded in the magazine or clip when such magazine or clip is engaged or partially engaged in a firearm. The definition of a "loaded muzzleloader" will include a muzzleloading rifle, pistol, or shotgun that is capped, has a charged pan, or has a primer or battery installed in the muzzleloader. A "loaded crossbow" means a crossbow that is cocked and has either a bolt or arrow engaged or partially engaged on the shooting rail or track of the crossbow, or with a "trackless crossbow" when the crossbow is cocked and a bolt or arrow is nocked. "Loaded arrowgun" means an arrowgun that has an arrow or bolt inserted on the arrow rest or in the barrel. "Hunting weapon" means any weapon allowable for hunting as defined in § 29.1-519 of the Code of Virginia.
4VAC15-40-281. Unauthorized feeding of bear, deer, or turkey on national forest lands and department-owned lands.
It shall be unlawful to place or direct the placement of, deposit, distribute, or scatter food or salt capable of attracting or being eaten by bear, deer, or turkey on national forest lands or on department-owned lands without the written authorization of the Director of the Department of Game and Inland Fisheries Wildlife Resources or his the director's designee. The provisions of this section shall not prohibit the disposal of food in trash receptacles provided by the U.S. Forest Service on national forest lands or by the department on department-owned lands.
4VAC15-40-287. Model ordinances related to feeding of deer in cities and towns.
Per the provisions of § 29.1-527.2 of the Code of Virginia, the following model ordinance related to the feeding of deer may be adopted by a city or town. Any city or town must notify the director of the Department of Game and Inland Fisheries Wildlife Resources of the adoption of such an ordinance by registered mail.
Model ordinance:
A. Pursuant to § 29.1-527.2 of the Code of Virginia, it shall be unlawful for any person to place, distribute, or allow the placement of food, salt, minerals, or similar substances to feed or attract deer at any time.
B. No person shall continue to place, distribute, or allow the placement of food, salt, minerals, or similar substances for any purpose if the placement of these materials results in the presence of deer.
C. No part of this ordinance shall be construed to restrict agricultural, commercial, noncommercial, or residential plantings (including wildlife food plots); bona fide distribution of food to livestock; or wildlife management activities conducted or authorized by the Department of Game and Inland Fisheries Wildlife Resources.
4VAC15-90-290. Special quality deer management areas.
A. The board hereby designates the following areas posted by the Department of Game and Inland Fisheries Wildlife Resources as special quality deer management areas with special antlered buck harvest.
B. Special Fairystone quality deer management area. It shall be unlawful to kill an antlered deer on the special Fairystone quality deer management area unless the deer has at least four antler points, each greater than one inch in length, on either the right or left antler.
4VAC15-270-60. Use of firearms loaded with slugs and discharge of firearms near boardwalk or nature trail on Ragged Island Wildlife Management Area.
A. It shall be unlawful to possess outside of a vehicle, or shoot or hunt with a rifle, muzzleloader, pistol, or shotgun loaded with slugs, or to possess shotgun slugs, on Ragged Island Wildlife Management Area in Isle of Wight County. In addition, it shall be unlawful to discharge any firearm within 100 yards of the boardwalk or nature trail on Ragged Island Wildlife Management Area.
B. The provisions of this section shall not prohibit the possession, transport, and use of loaded firearms by employees of the Department of Game and Inland Fisheries Wildlife Resources while engaged in the performance of their duties, nor shall it prohibit the possession and transport of loaded concealed handguns where the individual possesses a concealed handgun permit as defined in § 18.2-308 of the Code of Virginia.
4VAC15-270-95. Model ordinances related to archery deer hunting.
Pursuant to § 29.1-528.1 A of the Code of Virginia, the following model ordinances related to hunting deer with bow and arrow (including crossbows) may be adopted by those counties and cities where there is an overabundance of the deer population, which is creating conflicts between humans and deer, including safety hazards to motorists. In accordance with § 29.1-528.1 B of the Code of Virginia, no such ordinance shall be enforceable unless the governing body of the locality notifies the director by registered mail prior to May 1 of the year in which the ordinance is to take effect.
Model Ordinance 1:
The times at which hunting shall commence and end each day shall be in accordance with the provisions of § 29.1-520 of the Code of Virginia.
Model Ordinance 2:
The number of deer that can be taken shall be in accordance with bag limits established by the Board of Game and Inland Fisheries Wildlife Resources pursuant to §§ 29.1-501 and 29.1-502 of the Code of Virginia.
Model Ordinance 3:
No person shall discharge a bow and arrow from, over, or across any street, sidewalk, alley, roadway, or toward any building or dwelling in such a manner that an arrow may strike it. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
Model Ordinance 4:
It shall be unlawful to discharge a bow and arrow in a manner that can be reasonably expected to result in the impact of the arrow upon the property of another without permission from the owner or tenant of such property. Any person who violates the provisions of this ordinance shall be guilty of a Class 3 misdemeanor.
4VAC15-275-10. Application.
This chapter applies to any person who has never obtained a license to hunt in any state or country or any person who is under the age of younger than 16 years of age, unless such a person presents to the Department of Game and Inland Fisheries Wildlife Resources or one of its authorized license vendors a certificate of completion in hunter education issued or authorized by the director or his the director's representative under the hunter education program or proof that he holds the equivalent certificate obtained from an authorized agency or association of another state or country.
4VAC15-275-20. Definitions.
The following words and terms when used in this chapter shall have the following meanings unless the context clearly requires a different meaning:
"Accompanied and directly supervised" means, in the case of an apprentice hunter, that a licensed person over older than 18 years of age maintains a close visual and verbal contact with, provides adequate direction to, and can immediately assume control of the firearm from the apprentice hunter. In the case of a hunter age 12 years of age or under younger, the term means that the licensed adult is within sight of the person under the age of younger than 12 years of age.
"Adult" means the parent or legal guardian of the person under age younger than 12 years of age, or such person over the age of older than 18 years of age designated by the parent or legal guardian.
"Approved course provider" is any individual, business, or organization that makes available to the hunting public a hunter education course that is approved by the International Hunter Education Association – United States (IHEA-USA) and is accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Hunter education course" means a course offered in the classroom, through the Internet, or through an electronic format that provides course content and test questions that at a minimum meet the International Hunter Education Association-USA Education Standards, May 2, 2014, set forth by the International Hunter Education Association-USA (IHEA-USA) and are accepted by the department. A hunter education course shall include no less than 50 test questions, which shall include at least eight test questions specific to Virginia hunting laws.
"IHEA-USA" means the International Hunter Education Association-USA.
"Virginia Hunter Education Card" means a card authorized for issuance by the department to a person who has met the minimum standard of hunter education course competency. This card may be issued as an original or a replacement hunter education course card.
4VAC15-275-80. Instructor certification.
A. The department may designate as a hunter instructor any person found by it to be competent to give instruction in the courses required.
B. Volunteer instructors are designated to work on a voluntary basis and at the pleasure of the Department of Game and Inland Fisheries Wildlife Resources.
C. To be certified as a hunter education course instructor for the department's hunter education program, a person shall (i) have successfully completed a hunter education course and (ii) be certified as an instructor by the department or by a certification program accepted by the department.
D. Applicants for certified instructor shall submit an application to the department on a form and in a manner determined by the hunter education program manager. At a minimum, the application shall include:
1. The applicant's name;
2. The applicant's street address;
3. The applicant's telephone number;
4. The applicant's email address, if any;
5. Information describing the applicant's experience and training in hunter and hunting and proof of completion of a hunter education course that is accepted by the department; and
6. Any other information deemed necessary after review of the initial application.
E. Applicants may be required to submit written consent for a criminal history background check in a manner determined by the department or an interview in a manner determined by the department and in accordance with state policy.
4VAC15-290-130. Duty to comply with permit conditions.
A permit holder shall comply with all terms and conditions of any permit issued by the Department of Game and Inland Fisheries Wildlife Resources pursuant to Title 29.1 of the Code of Virginia and the regulations of the board pertaining to hunting, fishing, trapping, taking, attempting to take, possession, sale, offering for sale, transporting or causing to be transported, importing or exporting, propagating, exhibiting, and rehabilitating of any wild bird, wild animal, or fish. The penalty for violation of this section is prescribed by § 29.1-505 of the Code of Virginia.
4VAC15-340-80. Eel pots for taking American eels for sale.
A. The director may issue, deny, modify, suspend, or revoke annual eel pot permits designated for the sale of American eels. Such permits shall authorize the taking of American eels for sale, as specified, with eel pots from waters designated in this section. Such permits shall be valid so long as the harvest of American eels in the Commonwealth is not prohibited by other state or federal law or regulation. To be eligible, applicants must document harvest of at least one pound of American eels from Back Bay or North Landing River or their tributaries via reports submitted through the Virginia Marine Resources Commission Mandatory Harvest Reporting Program during the period January 1, 2007, to December 31, 2012, both dates inclusive. Applicants must document the reported harvest occurred while the applicant held a valid commercial fish pot or eel pot license issued by the Virginia Marine Resources Commission.
B. It shall be unlawful for permit holders to possess any American eel less than nine inches in total length.
C. It shall be unlawful for permit holders fishing eel pots to take any species other than American eels.
D. It shall be unlawful to place, set, or fish any eel pot that has a mesh less than 1/2-inch by 1/2-inch and does not contain at least one unrestricted 4-inch by 4-inch escape panel consisting of 1/2-inch by 1-inch mesh.
E. The permit holder's last name and Virginia Department of Game and Inland Fisheries Wildlife Resources American eel pot number must be permanently attached to buoys of all eel pots set. The maximum number of pots authorized per permit holder under this permit shall be 300.
F. American eels may be taken with eel pots in Back Bay and its natural tributaries (not including Lake Tecumseh and Red Wing Lake) and in North Landing River and its natural tributaries from the North Carolina line to the Great Bridge locks.
G. It shall be unlawful for any person to ship or otherwise transport any package, box, or other receptacle containing fish taken under an eel pot permit unless the same bears the permit holder's name and address.
H. Failure to comply with the daily harvest and sales reporting requirements as detailed in conditions of the permit shall be unlawful and may result in immediate permit revocation. It shall be the permit holder's responsibility to report "No Activity" when no activity occurs during a monthly reporting period.
4VAC15-410-20. Definitions.
As used in this chapter, unless the context clearly requires a different meaning, the following words and terms shall have the following meanings:
"Approved course provider" is any individual, business, or organization that makes available to the boating public a boating safety education course approved by the National Association of State Boating Law Administrators and accepted by the department. An approved course provider shall have executed and have on file a valid cooperative agreement with the department. Persons who simply provide classroom instruction for an approved course provider shall not be considered an approved course provider. The department will make information regarding such approved courses and providers readily available for public access.
"Board" means the Board of Game and Inland Fisheries Wildlife Resources.
"Boating safety education course" means a course offered in the classroom, through the Internet, or through an electronic format such as CD-ROM that provides a course content and test questions that have been reviewed and approved by the National Association of State Boating Law Administrators in accordance with the National Boating Education Standards, updated January 1, 2008, and accepted by the department. A boating safety education course shall include no less than 50 test questions, which shall include at least 10 test questions specific about Virginia boating laws.
"Department" means the Department of Game and Inland Fisheries Wildlife Resources.
"Dockside safety checklist" means a document provided by the department that consists of selected facts about Virginia boating laws and safe boat operation that a rental or livery agent or motorboat leasing business is required to present to those who rent or lease a motorboat or personal watercraft. The dockside safety checklist must be reviewed and initialed by the person operating the motorboat before the boat can be rented/leased rented or leased and operated.
"Equivalency exam" means a written examination that is developed by the department to test the knowledge of information included in the curriculum of a boating safety education course (may also be referred to as a challenge exam). The equivalency exam is intended to provide experienced and knowledgeable boaters with the opportunity to meet the boating safety education compliance requirement set forth in § 29.1-735.2 of the Code of Virginia without having to take and successfully complete a boating safety education course. The equivalency exam shall be comprised of no less than 75 or more than 100 test questions, shall include no less than 25 questions specific about Virginia boating laws, shall be proctored by an individual(s) individual specifically designated by the department, and shall be completed without the use of any reference material. A minimum score of at least 80% shall be considered passing.
"Motorboat" means any vessel propelled by machinery whether or not the machinery is the principal source of propulsion and for this chapter shall mean with a motor of 10 horsepower or greater.
"NASBLA" means the National Association of State Boating Law Administrators.
"NASBLA-approved course" means a boating safety education course that has been reviewed and approved by NASBLA.
"Onboard direct supervision" as referenced in § 29.1-735.2 B 6 and B 9 of the Code of Virginia occurs when a person maintains close visual and verbal contact with, provides adequate direction to, and can immediately assume control of a motorboat from the operator of a motorboat. A person who is water skiing, or is in the cabin of a motorboat and not at the helm/wheel is not considered to be in a position capable of providing direct supervision.
"Operate" means to navigate or otherwise control the movement of a motorboat or vessel.
"Optional Virginia Boater Education Card" means a card authorized for issuance by the department to persons who (i) can show they have met the minimum standard of boating safety education course competency, (ii) possess a valid license to operate a vessel issued to maritime personnel by the United States Coast Guard or a marine certificate issued by the Canadian government, (iii) possess a Canadian Pleasure Craft Operator's Card, or (iv) possess a valid commercial fisherman registration pursuant to § 28.2-241 of the Code of Virginia. For the purpose of this subsection a license is considered valid regardless of whether the license is current. This card may be issued as a replacement boating safety course card.
"Personal watercraft" means a motorboat less than 16 feet in length that uses an inboard motor powering a jet pump as its primary motive power and that is designed to be operated by a person sitting, standing, or kneeling on, rather than in the conventional manner of sitting or standing inside the vessel.
"Proctored" means that the written equivalency exam has been administered under the direct supervision of (i) a designated member of the United States Coast Guard Auxiliary or the United States Power Squadrons®, (ii) a designated department employee or a department volunteer boating safety instructor, or (iii) an individual who has been approved for such purpose by the department.
"Temporary operator's certificate" means a nonrenewable document issued with the certificate of number for the motorboat or personal watercraft, if the boat is new or was sold with a transfer of ownership. A temporary operator's certificate shall be issued only by the department, by any person authorized by the director to act as an agent to issue a certificate of number pursuant to § 29.1-706 of the Code of Virginia, or by a license agent of the department authorized to issue a temporary registration certificate for a motorboat or personal watercraft. A temporary operator's certificate shall allow the owner(s) owner to operate a motorboat with a motor of 10 horsepower or greater or personal watercraft in Virginia for 90 days.
"Vessel" means every description of watercraft, other than a seaplane on the water, used or capable of being used as a means of transportation on water.
"Waters of the Commonwealth" means any public waters within the territorial limits of the Commonwealth.
VA.R. Doc. No. R21-5904; Filed September 29, 2020, 11:23 a.m.
TITLE 9. ENVIRONMENT
STATE WATER CONTROL BOARD
Final Regulation
REGISTRAR'S NOTICE: The
State Water Control Board is claiming an exemption from Article 2 of 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 or the appropriation act where no agency
discretion is involved. The State Water Control Board will receive, consider,
and respond to petitions by any interested person at any time with respect to
reconsideration or revision.
Titles of Regulations: 9VAC25-210. Virginia Water
Protection Permit Program Regulation (amending 9VAC25-210-10, 9VAC25-210-80,
9VAC25-210-230, 9VAC25-210-320).
9VAC25-660. Virginia Water Protection General Permit for
Impacts Less Than One-Half Acre (amending 9VAC25-660-50, 9VAC25-660-60,
9VAC25-660-100).
9VAC25-670. Virginia Water Protection General Permit for
Facilities and Activities of Utility and Public Service Companies Regulated by
the Federal Energy Regulatory Commission or the State Corporation Commission
and Other Utility Line Activities (amending 9VAC25-670-50, 9VAC25-670-60,
9VAC25-670-100).
9VAC25-680. Virginia Water Protection General Permit for
Linear Transportation Projects (amending 9VAC25-680-50, 9VAC25-680-60, 9VAC25-680-100).
9VAC25-690. Virginia Water Protection General Permit for
Impacts from Development and Certain Mining Activities (amending 9VAC25-690-50, 9VAC25-690-60,
9VAC25-690-100).
Statutory Authority: § 62.1-44.15 of the Code of
Virginia; § 401 of the Clean Water Act (33 USC § 1251 et seq.).
Effective Date: November 25, 2020.
Agency Contact: Dave Davis, Department of Environmental
Quality, 1111 East Main Street, Suite 1400, P.O. Box 1105, Richmond, VA 23218,
telephone (804) 698-4105, or email dave.davis@deq.virginia.gov.
Summary:
The amendments conform the regulations to legislation
adopted during the 2020 Session of the General Assembly. Pursuant to Chapter
622, amendments clarify that when an application for a general permit under the
Virginia Water Protection Permit Program is administratively withdrawn for
being incomplete, the department shall provide (i) notice to the applicant and
(ii) an opportunity for an informal fact-finding proceeding. Pursuant to
Chapter 958, amendments change the name of the Virginia Department of Game and
Inland Fisheries to the Virginia Department of Wildlife Resources.
Part I
VWP Permit Program Definitions, Exclusions, Prohibitions and Requirements
9VAC25-210-10. Definitions.
A. Definitions specific to surface water withdrawals are in
9VAC25-210-300.
B. Unless a different meaning is required by the context, the
following terms as used in this chapter shall have the following meanings:
"Adjacent" means bordering, contiguous, or
neighboring wetlands separated from other surface water by man-made dikes or
barriers, natural river berms, sand dunes, and the like.
"Administratively withdrawn" means a decision by
the board that permanently discontinues the review or processing of a VWP
permit application or request to modify a VWP permit.
"Applicant" means a person applying for a VWP individual
permit or for coverage under a VWP general permit.
"Aquatic environment" means surface waters and the
habitat they provide, including both plant and animal communities.
"Avoidance" means not taking or modifying a
proposed action or parts of an action so that there is no adverse impact to the
aquatic environment.
"Beneficial use" means both instream and offstream
uses. Instream beneficial uses include the protection of fish and wildlife
resources and habitat, maintenance of waste assimilation, recreation,
navigation, and cultural and aesthetic values. The preservation of instream
flows for purposes of the protection of navigation, maintenance of waste
assimilation capacity, the protection of fish and wildlife resources and
habitat, recreation, and cultural and aesthetic values is an instream
beneficial use of Virginia's waters. Offstream beneficial uses include domestic
uses (including public water supply), agricultural uses, electric power
generation, commercial uses, and industrial uses.
"Best management practices" or "BMPs"
means a schedule of activities, prohibition of practices, maintenance
procedures, and other management practices that prevent or reduce the pollution
of surface waters.
"Board" means the State Water Control Board.
"Channelization" means the alteration of a stream
channel by widening, deepening, straightening, cleaning, or paving certain
areas.
"Compensation" or "compensatory
mitigation" means (i) the restoration (reestablishment or rehabilitation),
establishment (creation), enhancement, or in certain circumstances preservation
of aquatic resources or (ii) in certain circumstances an out-of-kind measure
having a water quality, habitat, or other desirable benefit for the purposes of
offsetting unavoidable adverse impacts to aquatic resources that remain after
all appropriate and practicable avoidance and minimization has been achieved.
"Construction site" means any site where
land-disturbing activity is conducted or physically located for the purpose of
erecting buildings, roads, or other discrete structures, including on-site or
off-site areas used for dependent, support facilities, such as quarries, mines,
or temporary stormwater management or erosion control structures.
"Conversion" means those impacts to surface waters
that permanently change an existing wetland or aquatic resource type to a
different wetland or aquatic resource type.
"Coverage" means authorization to conduct a project
in accordance with a VWP general permit.
"Cowardin classification" or "Cowardin
classification method," unless otherwise specified in this chapter, means
the waters classification system in Classification of Wetlands and Deepwater
Habitats of the United States (Cowardin, Lewis M. II, et al., U.S. Fish and
Wildlife Service, December 1979, Reprinted 1992).
"Creation" means the establishment of a wetland or
other aquatic resource where one did not formerly exist.
"Cross-sectional drawing" means a scaled graph or
plot that represents the plane made by cutting across an object at right angles
to its length. Objects may include a surface water body or a portion of it, a
man-made channel, an above-ground structure, a below-ground structure, a
geographical feature, or the ground surface itself.
"Department" or "DEQ" means the
Department of Environmental Quality.
"Director" means the Director of the Department of
Environmental Quality (DEQ) or an authorized representative.
"Discharge" means, when used without qualification,
a discharge of a pollutant, or any addition of any pollutant or combination of
pollutants, to state waters.
"Draft VWP permit" means a document indicating the
board's tentative decision relative to a VWP permit action.
"Draining" means human-induced activities such as
ditching, excavation, installation of tile drains, hydrologic modification by
surface water runoff diversion, pumping water from wells, or similar activities
such that the activities have the effect of artificially dewatering the wetland
or altering its hydroperiod.
"Dredged material" means material that is excavated
or dredged from surface waters.
"Dredging" means a form of excavation in which
material is removed or relocated from beneath surface waters.
"Ecologically and environmentally preferable" means
capable of providing a higher likelihood than alternative proposals of
replacing existing wetland acreage and functions, stream functions, water
quality, and fish and wildlife resources.
"Emergent wetland" means a class of wetlands
dominated by erect, rooted, herbaceous plants growing in water or on a
substrate, excluding mosses and lichens. This vegetation is present for most of
the growing season in most years and is usually dominated by perennial plants.
"Enhancement" means activities conducted in
existing wetlands or other portions of the aquatic environment that increase
one or more aquatic functions.
"Excavate" or "excavation" means
ditching, dredging, or mechanized removal of earth, soil, or rock.
"Fill" means replacing portions of surface water
with upland, or raising the bottom elevation of a surface water for any purpose,
by placement of any pollutant or material including rock, sand, earth, and
man-made materials and debris.
"Fill material" means any pollutant that replaces
portions of surface water with dry land or that raises the bottom elevation of
a surface water for any purpose.
"Forested wetland" means a class of wetlands
dominated by woody vegetation that is approximately 20 feet (six meters) tall
or taller and three inches (7.6 centimeters) or larger in diameter at breast
height (DBH). These areas typically possess an overstory of trees, an
understory of trees or shrubs, and an herbaceous layer.
"Hydrologic regime" means the entire state of water
movement in a given area. It is a function of the climate and includes the
phenomena by which water first occurs as atmospheric water vapor, passes into a
liquid or solid form, falls as precipitation, moves along or into the ground
surface, and returns to the atmosphere as vapor by means of evaporation and
transpiration.
"Impacts" means results caused by those activities
specified in § 62.1-44.15:20 A of the Code of Virginia.
"Impairment" means the damage, loss, or degradation
of the acreage or functions of wetlands or the functions of state waters.
"Independent utility" means a test to determine
what constitutes a single and complete project. A project is considered to have
independent utility if it would be constructed absent the construction of other
projects in the project area. Portions of a phased development project that
depend upon other phases of the project do not have independent utility.
Portions of a phased development project that would be constructed even if the
other phases are not built can be considered as separate single complete
projects with independent public and economic utility.
"In-lieu fee program" means a program operated by a
nonprofit organization or governmental agency that receives moneys from persons
impacting wetlands or streams pursuant to an authorized, permitted activity and
that expends the moneys received to provide consolidated compensatory
mitigation for permitted wetland or stream impacts.
"Isolated wetlands of minimal ecological value"
means those wetlands that (i) do not have a surface water connection to other
state waters, (ii) are less than one-tenth of an acre (0.10 acre or 4,356
square feet) in size, (iii) are not located in a Federal Emergency Management
Agency designated 100-year floodplain, (iv) are not identified by the Virginia
Natural Heritage Program as a rare or state significant natural community, (v)
are not forested, and (vi) do not contain listed federal or state threatened or
endangered species.
"Joint Permit Application" or "JPA" means
an application form that is used to apply for permits from the Norfolk District
Army Corps of Engineers, the Virginia Marine Resources Commission, the Virginia
Department of Environmental Quality, and local wetland boards for work in
waters of the United States and in surface waters of Virginia.
"Law" means the State Water Control Law of
Virginia.
"Legal name" means the full legal name of an
individual, business, or other organization. For an individual, legal name
means the first name, middle initial, last name, and suffix. For an entity
authorized to do business in Virginia, the legal name means the exact name set
forth in the entity's articles of incorporation, organization or trust, or
formation agreement, as applicable.
"Minimization" means lessening impacts by reducing
the degree or magnitude of the proposed action and its implementation.
"Mitigation" means sequentially avoiding and
minimizing impacts to the maximum extent practicable, and then compensating for
remaining unavoidable impacts of a proposed action.
"Mitigation bank" means a site providing off-site,
consolidated compensatory mitigation that is developed and approved in accordance
with all applicable federal and state laws or regulations for the
establishment, use, and operation of mitigation banks and is operating under a
signed banking agreement.
"Mitigation banking" means compensating for
unavoidable wetland or stream losses in advance of development actions through
the sale or purchase of credits from a mitigation bank.
"Nationwide permit" means a general permit issued
by the U.S. Army Corps of Engineers (USACE) under 33 CFR Part 330 and, except
where suspended by individual USACE Corps Districts, applicable nationwide.
"Nontidal wetland" means those wetlands other than
tidal wetlands that are inundated or saturated by surface water or groundwater
at a frequency and duration sufficient to support, and that under normal circumstances
do support, a prevalence of vegetation typically adapted for life in saturated
soil conditions, as defined by the U.S. Environmental Protection Agency
pursuant to § 404 of the federal Clean Water Act in 40 CFR 230.3(t). Wetlands
generally include swamps, marshes, bogs, and similar areas.
"Normal agricultural activities" means those
activities defined as an agricultural operation in § 3.2-300 of the Code
of Virginia and any activity that is conducted as part of or in furtherance of
such agricultural operation but shall not include any activity for which a
permit would have been required as of January 1, 1997, under 33 USC § 1344
or any regulations promulgated pursuant thereto.
"Normal residential gardening and lawn and landscape
maintenance" means ongoing noncommercial residential activities conducted
by or on behalf of an individual occupant, including mowing; planting;
fertilizing; mulching; tilling; vegetation removal by hand or by hand tools;
and placement of decorative stone, fencing, and play equipment. Other
appurtenant noncommercial activities, provided that they do not result in the
conversion of a wetland to upland or to a different wetland type, may also be
included.
"Normal silvicultural activities" means any
silvicultural activity as defined in § 10.1-1181.1 of the Code of
Virginia, and any activity that is conducted as part of or in furtherance of
such silvicultural activity but shall not include any activity for which a
permit would have been required as of January 1, 1997, under 33 USC § 1344
or any regulations promulgated pursuant thereto.
"Notice of project completion" means a statement
submitted by the permittee or authorized agent that the authorized activities
and any required compensatory mitigation have been completed.
"Open water" means an area that, during a year with
normal patterns of precipitation, has standing water for sufficient duration to
establish an ordinary high water mark. The term "open water" includes
lakes and ponds but does not include ephemeral waters, stream beds, or
wetlands.
"Ordinary high water" or "ordinary high water
mark" means that line on the shore established by the fluctuations of
water and indicated by physical characteristics such as a clear, natural line
impressed on the bank; shelving; changes in the character of soil; destruction
of terrestrial vegetation; the presence of litter and debris; or other
appropriate means that consider the characteristics of the surrounding areas.
"Out-of-kind compensatory mitigation" or
"out-of-kind mitigation" means a measure that does not replace the
same type of wetland or surface water as was impacted but does replace lost
wetland or surface water functions or provide a water quality, habitat, or
other desirable benefit.
"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 stream bed 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.
"Permanent flooding or impounding" means a
permanent increase in the duration or depth of standing water on a land
surface, such as from a dam. Permanent increases in duration or depth of
standing water that result from extended-detention basins and enhanced
extended-detention basins, when designed, constructed, and maintained to
function in accordance with Virginia Department of Conservation and Recreation
(DCR) standards for such facilities (Virginia Stormwater Management Handbook,
First Edition, 1999, Volume 1, Chapter 3), or when designed in accordance with
local standards that, at a minimum, meet the DCR standards, are not considered
to be permanent flooding and impounding.
"Permanent impacts" means those impacts to surface
waters, including wetlands, that cause a permanent alteration of the physical,
chemical, or biological properties of the surface waters or of the acreage or
functions of a wetland.
"Permittee" means the person who holds a VWP
individual or general permit.
"Permittee-responsible compensatory mitigation" or
"permittee-responsible mitigation" means compensation or compensatory
mitigation, as defined in this section, that is undertaken by the permittee, or
an authorized agent or contractor, for which the permittee retains full
responsibility.
"Person" means individual, corporation,
partnership, association, governmental body, municipal corporation, or any
other legal entity.
"Phased development" means more than one project
proposed for a single piece of property or an assemblage of contiguous
properties under consideration for development by the same person, or by
related persons, that will begin and be completed at different times. Depending
on the relationship between the projects, a phased development may be
considered a single and complete project or each project may be considered a
single and complete project if each project has independent utility, as defined
in this section.
"Plan view drawing" means a scaled graph or plot
that represents the view of an object as projected onto orthogonal planes.
Objects may include structures, contours, or boundaries.
"Pollutant" means any substance, radioactive
material, or heat that causes or contributes to or may cause or contribute to
pollution.
"Pollution" means such alteration of the physical,
chemical, or biological properties of any state waters as will or is likely to
create a nuisance or render such waters (i) harmful or detrimental or injurious
to the public health, safety, or welfare or to the health of animals, fish, or
aquatic life; (ii) unsuitable with reasonable treatment for use as present or
possible future sources of public water supply; or (iii) unsuitable for
recreational, commercial, industrial, agricultural, or other reasonable uses;
provided that (a) an alteration of the physical, chemical, or biological
property of state waters, or a discharge or deposit of sewage, industrial
wastes or other wastes to state waters by any owner which by itself is not
sufficient to cause pollution, but which, in combination with such alteration
of or discharge or deposit to state waters by other owners is sufficient to
cause pollution; (b) the discharge of untreated sewage by any owner into state
waters; and (c) contributing to the contravention of standards of water quality
duly established by the board, are "pollution" for the terms and
purposes of this chapter.
"Practicable" means available and capable of being
done after taking into consideration cost, existing technology, and logistics
in light of overall project purposes.
"Preservation" means the protection of resources in
perpetuity through the implementation of appropriate legal and physical
mechanisms.
"Profile drawing" means a scaled graph or plot that
represents the side view of an object. Objects may include a surface water body
or a portion of it, a man-made channel, an above-ground structure, a
below-ground structure, a geographical feature, or the ground surface itself.
"Public hearing" means a fact finding proceeding
held to afford interested persons an opportunity to submit factual data, views,
and comments to the board pursuant to § 62.1-44.15:02 of the Code of
Virginia.
"Regional permit" means a general permit issued by
the U.S. Army Corps of Engineers under 33 CFR Part 330 and applicable within a
specified geographic area.
"Restoration" means the reestablishment of a
wetland or other aquatic resource in an area where it previously existed.
Wetland restoration means the reestablishment of wetland hydrology and
vegetation in an area where a wetland previously existed. Stream restoration
means the process of converting an unstable, altered, or degraded stream
corridor, including adjacent areas and floodplains, to its natural conditions.
"Riprap" means a layer of nonerodible material such
as stone or chunks of concrete.
"Section 401" means § 401 of the Clean Water
Act, or 33 USC § 1341, as amended in 1987.
"Scrub-shrub wetland" means a class of wetlands
dominated by woody vegetation, excluding woody vines, approximately three to 20
feet (one to six meters) tall. The species include true shrubs, young trees,
and trees or shrubs that are small or stunted because of environmental
conditions.
"Significant alteration or degradation of existing
wetland acreage or function" means human-induced activities that cause
either a diminution of the areal extent of the existing wetland or cause a
change in wetland community type resulting in the loss or more than minimal
degradation of its existing ecological functions.
"Single and complete project" means the total
project proposed or accomplished by a person, which also has independent
utility as defined in this section. For linear projects, the single and
complete project (e.g., a single and complete crossing) will apply to each
crossing of a separate surface water (e.g., a single water body) and to
multiple crossings of the same water body at separate and distinct locations.
Phases of a project that have independent utility may each be considered single
and complete.
"State waters" means all water, on the surface and
under the ground, wholly or partially within or bordering the Commonwealth or
within its jurisdiction, including wetlands.
"Stream bed" or "stream channel" means
the substrate of a stream, as measured between the ordinary high water mark
along each side of a stream. The substrate may consist of organic matter,
bedrock, or inorganic particles that range in size from clay to boulders, or a
combination of both. Areas contiguous to the stream bed, but outside of the
ordinary high water mark along each side of a stream, are not considered part
of the stream bed.
"Surface water" means all state waters that are not
groundwater as groundwater is defined in § 62.1-255 of the Code of
Virginia.
"Suspend" or "suspension" means a
decision by the board that stops the review or processing of a permit
application or request to modify a permit or permit coverage until such time
that information requested by the board is provided, reviewed, and deemed adequate.
"Temporal loss" means the time lag between the loss
of aquatic resource functions caused by the impacts and the replacement of
aquatic resource functions by compensatory mitigation.
"Temporary impacts" means impacts to wetlands or
other surface waters that do not cause a permanent alteration of the physical,
chemical, or biological properties of surface waters or the permanent
alteration or degradation of existing wetland acreage or functions. Temporary
impacts include activities in which the impact area is restored to its
preconstruction elevations and contours with topsoil from the impact area where
practicable, such that previous wetland acreage and functions or surface water
functions are restored.
"Tidal wetland" means vegetated and nonvegetated
wetlands as defined in § 28.2-1300 of the Code of Virginia.
"Toxic pollutant" means any agent or material
including those listed under § 307(a) of the Water Pollution Prevention
and Control Act (33 USC § 1317(a)), which after discharge will, on the basis of
available information, cause toxicity. Toxicity means the inherent potential or
capacity of a material to cause adverse effects in a living organism, including
acute or chronic effects to aquatic life, detrimental effects on human health,
or other adverse environmental effects.
"Undesirable plant species" means any species that
invades, naturally colonizes, or otherwise dominates a compensatory mitigation
site or mitigation bank, such that it causes or contributes to the failure of
the vegetative success criteria for a particular compensatory mitigation site,
mitigation bank, or in-lieu fee program project, or it otherwise prohibits the
restoration of the same vegetation cover type that was originally present.
"VWP general permit" means the general permit text,
terms, requirements, and conditions set forth in a regulation that constitutes
a VWP permit authorizing a specified category of activities.
"VWP permit" means an individual or general permit
issued by the board under § 62.1-44.15:20 of the Code of Virginia that
authorizes activities otherwise unlawful under § 62.1-44.5 of the Code of
Virginia or otherwise serves as the Commonwealth of Virginia's § 401
certification. For any applicant to the Federal Energy Regulatory Commission
for a certificate of public convenience and necessity pursuant to § 7c of
the federal Natural Gas Act (15 USC § 717f(c)) to construct any natural
gas transmission pipeline greater than 36 inches inside diameter, issuance of
an individual VWP permit pursuant to this chapter and a certification issued
pursuant to Article 2.6 (§ 62.1-44.15:80 et seq.) of the State Water Control
Law shall together constitute the certification required under § 401 of the
federal Clean Water Act.
"Water quality standards" means water quality
standards adopted by the board and approved by the administrator of the U.S.
Environmental Protection Agency under § 303 of the Clean Water Act as defined
in 9VAC25-260-5.
"Watershed approach" means an analytical process
for making compensatory mitigation decisions that support the sustainability or
improvement of aquatic resources in a watershed and that ensures authorized
impacts and mitigation have been considered on a watershed scale.
"Wetlands" means those areas that are inundated or
saturated by surface water or groundwater at a frequency and duration
sufficient to support, and that under normal circumstances do support, a
prevalence of vegetation typically adapted for life in saturated soil
conditions. Wetlands generally include swamps, marshes, bogs, and similar
areas.
9VAC25-210-80. Application for a VWP permit.
A. Application for a VWP Permit. Any person who is required
to obtain a VWP permit, except those persons applying for an emergency VWP
permit for a public water supply emergency, shall submit a complete VWP permit
application to the Department of Environmental Quality through the most current
Joint Permit Application procedures established within each type of Joint
Permit Application. The Virginia Department of Transportation (VDOT) may use
its Interagency Coordination Meeting (IACM) process for submitting JPAs. There
shall be no commencement of any activity subject to this chapter prior to the
issuance of a VWP permit or granting VWP general permit coverage.
B. Informational requirements for all VWP individual permit
applications are identified in this subsection with the exception of
applications for emergency VWP permits to address a public water supply
emergency, for which the information required in 9VAC25-210-340 C shall be
submitted. In addition to the information in this subsection, applications
involving a surface water withdrawal or a Federal Energy Regulatory Commission
(FERC) license or relicense associated with a surface water withdrawal shall
also submit the information required in 9VAC25-210-340 B.
1. A complete application for a VWP individual permit, at a
minimum, consists of the following information, if applicable to the project:
a. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
b. If different from applicant, legal name, mailing address,
telephone number, and if applicable, electronic mail address and fax number of
property owner.
c. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
d. Project name and proposed project schedule. This schedule
will be used to determine the VWP permit term.
e. The following information for the project site location,
and any related permittee-responsible compensatory mitigation site:
(1) The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
(2) Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
(3) The latitude and longitude to the nearest second at the
center of the site or sites.
(4) The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
(5) A detailed map depicting the location of the site or
sites, including the project boundary and existing preservation areas on the
site or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle
map) should be of sufficient detail to easily locate the site or sites for
inspection.
f. A narrative description of the project, including project
purpose and need.
g. An alternatives analysis for the proposed project detailing
the specific on-site and off-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site and off-site
measures taken to reduce the size, scope, configuration, or density of the
proposed project, including review of alternative sites where required for the
project, which would avoid or result in less adverse impact to surface waters,
and documentation demonstrating the reason the applicant determined less
damaging alternatives are not practicable. The analysis shall demonstrate to
the satisfaction of the board that avoidance and minimization opportunities
have been identified and measures have been applied to the proposed activity
such that the proposed activity in terms of impacts to state waters and fish
and wildlife resources is the least environmentally damaging practicable
alternative.
h. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
(1) Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
(2) Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
(3) Open water impacts identified according to type; and for
each type, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
(4) A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
(5) A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 1 h (1), 1
h (2), and 1 h (3) of this subsection; and (iii) quantifies and identifies any
other surface waters according to their Cowardin classification (i.e.,
emergent, scrub-shrub, or forested) or similar terminology.
i. Plan view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
(1) North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
(2) Limits of proposed impacts to surface waters.
(3) Location of all existing and proposed structures.
(4) All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; ordinary high water mark in
nontidal areas; tidal wetlands boundary; and mean low water and mean high water
lines in tidal areas.
(5) The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830).
(6) The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
j. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area includes at a
minimum a graphic scale, existing structures, existing and proposed elevations,
limits of surface water areas, ebb and flood or direction of flow (if
applicable), ordinary high water mark in nontidal areas, tidal wetland boundary,
mean low water and mean high water lines in tidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of the proposed impact.
k. Materials assessment. Upon request by the board, the
applicant shall provide evidence or certification that the material is free
from toxic contaminants prior to disposal or that the dredging activity will
not cause or contribute to a violation of water quality standards during
dredging. The applicant may be required to conduct grain size and composition
analyses, tests for specific parameters or chemical constituents, or elutriate
tests on the dredge material.
l. An assessment of potential impacts to federal and state
listed threatened or endangered species, including any correspondence or
documentation from federal or state resource agencies addressing potential impacts
to listed species.
m. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
(1) If permittee-responsible compensation is proposed for
wetland impacts, a conceptual wetland compensatory mitigation plan shall be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of replacement of wetland
acreage and functions; (ii) a detailed location map including latitude and
longitude to the nearest second and the fourth order subbasin, as defined by
the hydrologic unit boundaries of the National Watershed Boundary Dataset, at
the center of the site; (iii) a description of the surrounding land use; (iv) a
hydrologic analysis including a draft water budget for nontidal areas based on
expected monthly inputs and outputs that will project water level elevations
for a typical year, a dry year, and a wet year; (v) groundwater elevation data,
if available, or the proposed location of groundwater monitoring wells to
collect these data; (vi) wetland delineation confirmation, data sheets, and
maps for existing surface water areas on the proposed site or sites; (vii) a
conceptual grading plan; (viii) a conceptual planting scheme including
suggested plant species and zonation of each vegetation type proposed; (ix) a
description of existing soils including general information on both topsoil and
subsoil conditions, permeability, and the need for soil amendments; (x) a draft
design of water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
(2) If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan shall be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-section drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed
restoration measures to be employed including channel measurements, proposed
design flows, types of instream structures, and conceptual planting scheme;
(viii) reference stream data, if available; (ix) inclusion of buffer areas; (x)
schedule for restoration activities; and (xi) measures for the control of
undesirable species.
(3) For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et
seq. of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700
et seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions (a), (b), and (c) of
this subdivision B 1 m (3) or in lieu thereof shall describe the intended
protective mechanism or mechanisms that contain or contains the information
required as follows:
(a) A provision for access to the site;
(b) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(c) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
(4) Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
bank or in-lieu fee program sponsor of the availability of credits at the time
of application.
n. A written description and a graphical depiction identifying
all upland areas including buffers, wetlands, open water, other surface waters,
and compensatory mitigation areas located within the proposed project boundary
or permittee-responsible compensatory mitigation areas, that are under a deed
restriction, conservation easement, restrictive covenant, or other land use
protective instrument (i.e., protected areas). Such description and a graphical
depiction shall include the nature of the prohibited activities within the
protected areas and the limits of Chesapeake Bay Resource Protection Areas (RPAs)
as field-verified by the applicant, and if available, the limits as approved by
the locality in which the project site is located, unless the proposed use is
exempt from the Chesapeake Bay Preservation Area Designation and Management
Regulations (9VAC25-830), as additional state or local requirements may apply
if the project is located within an RPA.
o. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
p. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20. The board will continue to process the application, but the fee must
be received prior to release of a draft VWP permit.
2. Reserved.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more, and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensatory mitigation, including water quality
enhancements as replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Incomplete application.
1. Where an application for an individual permit or
general permit coverage is not accepted as complete by the board within 15
days of receipt, the board shall require the submission of additional
information from the applicant and may suspend processing of any application
until such time as the applicant has supplied the requested information and the
board considers the application complete. Where the applicant becomes aware
that he omitted one or more relevant facts from a VWP permit application or
submitted incorrect information in a VWP permit application or in any report to
the board, the applicant shall immediately submit such facts or the correct
information. A revised application with new information shall be deemed a new
application for purpose of review but shall not require an additional notice or
an additional permit application fee.
2. An incomplete permit application for an
individual permit or general permit coverage may be administratively
withdrawn from processing by the board for failure to provide the required
information after 60 days from the date of the latest written information
request made by the board. The board shall provide (i) notice to the
applicant and (ii) an opportunity for an informal fact-finding proceeding when
administratively withdrawing an incomplete application. Resubmittal of an
application for the same or similar project, after such time that the original
permit application was administratively withdrawn, shall require submittal of
an additional permit application fee and may be subject to additional noticing
requirements.
3. An applicant may request a suspension of application
review by the board. A submission by the applicant making such a request shall
not preclude the board from administratively withdrawing an incomplete
application. Resubmittal of a permit application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee and may be subject to additional noticing requirements.
9VAC25-210-230. Denial of the VWP permit or variance request.
A. The board shall make a decision to tentatively deny the
VWP permit or variance request if the requirements of this chapter are not met.
Basis for denial include, but are not limited to, the following:
1. The project will result in violations of water quality
standards or will impair the beneficial uses of state waters.
2. As a result of project implementation, shellfish waters
would be condemned in accordance with 9VAC25-260.
3. The project that the applicant proposed fails to adequately
avoid and minimize impacts to state waters to the maximum extent practicable.
4. The proposed compensatory mitigation plan is insufficient
or unsatisfactory for the proposed impacts and fails to achieve no net loss of
existing wetland acreage and function and no net loss of functions in all
surface waters.
5. The Department of Game and Inland Fisheries Wildlife
Resources indicates that natural or stockable trout waters would be
permanently and negatively impacted by the proposed activity.
6. The proposed activity is prohibited by 9VAC25-210-50.
7. The effect of project impacts, together with other existing
or proposed impacts to wetlands, will cause or contribute to a significant
impairment of state waters or fish and wildlife resources.
8. Failure to submit the required permit fee in accordance
with 9VAC25-210-80 B 1 g or 9VAC25-210-340 C 1 g.
9. The board determines that the applicant for an Emergency
Virginia Water Protection Permit has not demonstrated that there is a
substantial threat to public health and safety, and that normal Virginia Water
Protection Permit procedures, including public comment provisions, should be
followed.
B. The applicant shall be notified by letter of the board's
preliminary decision to tentatively deny the VWP permit requested.
C. Should the applicant withdraw his application, no VWP
permit or variance will be issued.
D. Should the applicant elect to proceed as originally
proposed, the board may deny the application and advise the applicant pursuant
to § 62.1-44.15:02 of the Code of Virginia of his right to a public hearing to
consider the denial.
9VAC25-210-320. Preapplication procedures for new or expanded
surface water withdrawals.
A. Preapplication review panel. At the request of a potential
applicant for a surface water withdrawal proposing to the Department of
Environmental Quality to withdraw 90 million gallons a month or greater, a
preapplication review panel shall be convened prior to submission of a VWP
application. The preapplication review panel shall assist potential applicants
that are proposing surface water withdrawals with the early identification of
issues related to the protection of beneficial instream and offstream uses of
state waters and the identification of the affected stream reach. DEQ shall
notify the Virginia Marine Resources Commission, the Virginia Institute of
Marine Science, the Virginia Department of Game and Inland Fisheries Wildlife
Resources, the Virginia Department of Conservation and Recreation, the
Virginia Department of Health, the U.S. Army Corps of Engineers, the U.S. Fish
and Wildlife Service, the U.S. Environmental Protection Agency, and other
appropriate local, state, and federal agencies of the preapplication review
panel request. These agencies shall participate to the extent practicable in
the preapplication review panel by providing information and guidance on the
potential natural resource impacts and regulatory implications of the options being
considered by the applicant and shall provide comments within 60 days of the
initial meeting of the preapplication panel.
B. Preapplication public notice. For new or expanded surface
water withdrawals requiring an individual VWP permit and proposing to withdraw
90 million gallons a month or greater, a potential applicant shall provide
information on the project, shall provide an opportunity for public comment on
the proposed project, and shall assist in identifying public concerns or issues
prior to filing a VWP individual permit application.
1. Except as provided in this subsection, the potential
applicant shall provide for publication of notice once a week for two
consecutive weeks in a newspaper of general circulation serving the locality
where the surface water withdrawal is proposed to be located.
2. If requested by any person, the potential applicant shall
hold at least one public information meeting. Notice of any public information
meeting held pursuant to this subsection shall be provided at least 14 days
prior to the public information meeting date and shall be published in the same
manner as required in subdivision 1 of this subsection. A potential applicant
shall submit the notice to DEQ for posting on the DEQ website. At a minimum,
any notice required by this subsection shall include:
a. A statement of the potential applicant's intent to apply
for a VWP permit for a surface water withdrawal;
b. The proposed location of the surface water withdrawal;
c. Information on how the public may request a public
information meeting or, in the alternative, the date, time, and location of the
public information meeting;
d. The name, address, and telephone number of the potential
applicant, or an authorized representative who can answer questions or receive
comments on the proposed surface water withdrawal; and
e. A statement of how oral or written public comments will be
used.
3. In accordance with the provisions of 9VAC25-780-50 C 11 and
9VAC25-780-150, a potential applicant shall not be required to publish public
notice or provide an opportunity for a public information meeting if a public
meeting has been held within two years prior to the submittal of an application
for a VWP permit on a local or regional water supply plan, which includes the
proposed project.
4. The potential applicant shall maintain a list of persons
making comment and their addresses and shall make a good faith effort to notify
commenters at the address provided by the commenter when the public notice for
the draft VWP individual permit is available.
9VAC25-660-50. Notification.
A. Notification to the board will be required prior to
commencing construction, as follows:
1. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed, permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-660-60 B. Compensatory
mitigation may be required for all permanent impacts.
2. An application for coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 2 a or 2 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such restriction,
easement, covenant, or instrument is the result of a federal or state permit
action and is specific to activities in wetlands and compensatory mitigation
sites, the application shall include all of the information required by
9VAC25-660-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 10, 11, 15, and 16 of
9VAC25-660-60 B and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall include
the information in 9VAC25-660-60 B 12.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services, and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of
federal or state listed threatened and endangered species or designated
critical habitat. Based upon consultation with these agencies, the board may
deny application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-660-60. Application.
A. The applicant shall file a complete application in
accordance with 9VAC25-660-50 and this section for coverage under thisVWP
general permit for impacts to nontidal wetlands or open water of less than
one-half acre and up to 300 linear feet of nontidal stream bed.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
4. The existing VWP general permit tracking number, if
applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas (RPAs)
as field-verified by the applicant, and if available, the limits as approved by
the locality in which the project site is located, unless the proposed use is
exempt from the Chesapeake Bay Preservation Area Designation and Management
Regulations (9VAC25-830).
f. The limits of areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification, and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 10 a, 10 b,
and 10 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
11. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed project,
including review of alternative sites where required for the project, which
would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the
satisfaction of the board that avoidance and minimization opportunities have
been identified and measures have been applied to the proposed activity such
that the proposed activity in terms of impacts to state waters and fish and
wildlife resources is the least environmentally damaging practicable
alternative.
12. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
Any compensatory mitigation plan proposing the purchase of mitigation bank or
in-lieu fee program credits shall include the number and type of credits
proposed to be purchased and documentation from the approved bank or in-lieu
fee program sponsor of the availability of credits at the time of application.
13. A copy of the FEMA flood insurance rate map or
FEMA-approved local floodplain map depicting any 100-year floodplains.
14. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
15. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary that are under a deed restriction, conservation easement,
restrictive covenant, or other land use protective instrument (i.e., protected
areas). Such description and a graphical depiction shall include the nature of
the prohibited activities within the protected areas and the limits of
Chesapeake Bay Resource Protection Areas (RPAs) as field-verified by the
applicant, and if available, the limits as approved by the locality in which
the project site is located, unless the proposed use is exempt from the
Chesapeake Bay Preservation Area Designation and Management Regulations
(9VAC25-830), as additional state or local requirements may apply if the
project is located within an RPA.
16. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. Upon receipt of an application from the Department of
Transportation for a road or highway construction project by the appropriate
DEQ office, the board has 10 business days, pursuant to § 33.2-258 of the
Code of Virginia, to review the application and either determine the
information requested in subsection B of this section is complete or inform the
Department of Transportation that additional information is required to make
the application complete. Upon receipt of an application from other applicants
for any type of project, the board has 15 days to review the application and
either determine that the information requested in subsection B of this section
is complete or inform the applicant that additional information is required to
make the application complete. Pursuant to § 33.2-258 of the Code of Virginia,
coverage under this VWP general permit for Department of Transportation road or
highway construction projects shall be approved or approved with conditions, or
the application shall be denied, within 30 business days of receipt of a
complete application. For all other projects, coverage under this VWP general
permit shall be approved or approved with conditions, or the application shall
be denied, within 45 days of receipt of a complete application. If the board
fails to act within the applicable 30 or 45 days on a complete application,
coverage under this VWP general permit shall be deemed granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under this VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of state waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
D. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within the applicable 10 or 15 days of
receipt, the board shall require the submission of additional information from
the applicant and may suspend processing of any application until such time as
the applicant has supplied the requested information and the application is
complete. Where the applicant becomes aware that he omitted one or more relevant
facts from an application, or submitted incorrect information in an application
or in any report to the board, the applicant shall immediately submit such
facts or the correct information. A revised application with new information
shall be deemed a new application for the purposes of review but shall not
require an additional permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-660-100. VWP general permit.
VWP GENERAL PERMIT NO. WP1 FOR IMPACTS LESS THAN ONE-HALF ACRE
UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE VIRGINIA STATE WATER CONTROL
LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations
adopted pursuant thereto, the board has determined that there is a reasonable
assurance that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of state waters or fish and
wildlife resources. In issuing this VWP general permit, the board has not taken
into consideration the structural stability of any proposed activities.
The permanent or temporary impact of less than one-half acre
of nontidal wetlands or open water and up to 300 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this VWP general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts to less than one-half acre of
nontidal wetlands or open water and up to 300 linear feet of nontidal stream
bed. Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with
9VAC25-660-80. An application or request for modification to coverage or
another VWP permit application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-660-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species that
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless otherwise specifically approved by the
Department of Environmental Quality on a case-by-case basis, and as follows:
The requirement to countersink does not apply to extensions or maintenance of
existing pipes and culverts that are not countersunk, floodplain pipes and
culverts being placed above ordinary high water, pipes and culverts being placed
on bedrock, or pipes and culverts required to be placed on slopes 5.0% or
greater. Bedrock encountered during construction must be identified and
approved in advance of a design change where the countersunk condition cannot
be met. Pipes and culverts 24 inches or less in diameter shall be countersunk
three inches below the natural stream bed elevations, and pipes and culverts
greater than 24 inches shall be countersunk at least six inches below the
natural stream bed elevations. Hydraulic capacity shall be determined based on
the reduced capacity due to the countersunk position. In all stream crossings
appropriate measures shall be implemented to minimize any disruption of aquatic
life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992. These controls shall be placed prior to clearing and grading and
maintained in good working order to minimize impacts to state waters. These
controls shall remain in place until the area is stabilized and shall then be
removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted impact area. All denuded
areas shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with the
project shall be accomplished in a manner that minimizes construction or waste
materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude unauthorized disturbances to
these surface waters and compensatory mitigation areas during construction. The
permittee shall notify contractors that no activities are to occur in these
marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary impact
area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their
preconstruction elevations and contours with topsoil from the impact area where
practicable within 30 days following the construction at that stream segment.
Streambanks shall be seeded or planted with the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact area where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary, supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct his activities in accordance
with the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in a Department of Environmental Quality VWP general permit
coverage letter, and shall ensure that all contractors are aware of the
time-of-year restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted stream flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes, and culverts
shall be constructed to minimize the adverse effects on surface waters to the
maximum extent practicable. Access roads constructed above preconstruction
elevations and contours in surface waters must be bridged, piped, or culverted
to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or other
similar structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized by the Department of Environmental Quality. Restoration
shall be the seeding or planting of the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands not to exceed a total of 90 days, provided
the material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a french drain effect). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control
Handbook, Third Edition, 1992.
2. Riprap apron for all outfalls shall be designed in accordance
with the Virginia Erosion and Sediment Control Handbook, Third Edition, 1992.
3. For stream bank protection activities, the structure and
backfill shall be placed as close to the stream bank as practicable. No
material shall be placed in excess of the minimum necessary for erosion
protection.
4. All stream bank protection control structures shall be
located to eliminate or minimize impacts to vegetated wetlands to the maximum
extent practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
F. Stormwater management facilities.
1. Stormwater management facilities shall be installed in
accordance with best management practices and watershed protection techniques
(e.g., vegetated buffers, siting considerations to minimize adverse effects to
aquatic resources, bioengineering methods incorporated into the facility design
to benefit water quality and minimize adverse effects to aquatic resources)
that provide for long-term aquatic resources protection and enhancement, to the
maximum extent practicable.
2. Compensation for unavoidable impacts shall not be allowed
within maintenance areas of stormwater management facilities.
3. Maintenance activities within stormwater management
facilities shall not require additional permit coverage or compensation,
provided that the maintenance activities do not exceed the original contours of
the facility, as approved and constructed, and are accomplished in designated
maintenance areas as indicated in the facility maintenance or design plan or
when unavailable, an alternative plan approved by the Department of
Environmental Quality.
Part II. Construction and Compensation Requirements,
Monitoring, and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit.
2. The types of compensation options that may be considered
for activities covered under this VWP general permit include the purchase of
mitigation bank credits or the purchase of in-lieu fee program credits in
accordance with 9VAC25-660-70 and the associated provisions of 9VAC25-210-116.
3. The final compensation plan shall be submitted to and
approved by the board prior to a construction activity in permitted impacts
areas. The board shall review and provide written comments on the final plan
within 30 days of receipt or it shall be deemed approved. The final plan as
approved by the board shall be an enforceable requirement of any coverage under
this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
B. Impact site construction monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs remain on the
project site and shall depict the impact area and the nonimpacted surface
waters immediately adjacent to and downgradient of each impact area. Each
photograph shall be labeled to include the following information: permit
number, impact area number, date and time of the photograph, name of the person
taking the photograph, photograph orientation, and photograph subject
description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities
within impact areas. Monthly inspections shall be conducted in the following
areas: all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water
areas within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality
standards to the Department of Environmental Quality in accordance with the
procedures in 9VAC25-660-100 Part II C. Corrective measures and additional
monitoring may be required if water quality standards are not met. Reporting
shall not be required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each
station.
C. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first
authorized impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all
authorized impact areas.
5. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are
encountered that require debris removal or involve a potentially toxic
substance. Measures to remove the obstruction, material, or toxic substance or
to change the location of a structure are prohibited until approved by the
Department of Environmental Quality.
6. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate Department
of Environmental Quality regional office shall be notified; otherwise, the
Department of Emergency Management shall be notified at 1-800-468-8892.
7. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
8. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
9. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are significant
penalties for submitting false information, including the possibility of fine
and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
which may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause
for revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with this
VWP general permit constitutes compliance with the VWP permit requirements of
the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. Coverage under this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credentials,
the permittee shall allow the board or any duly authorized agent of the board,
at reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an
emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility,
coverage, or liability, including liability for compliance with the
requirements of enforcement activities related to the authorized activity.
2. The board does not within 15 days notify the current and
new permittees of its intent to modify or revoke and reissue the VWP general
permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-660-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of the
Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to the VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of completing
or canceling all authorized activities requiring notification under
9VAC25-660-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The
director may accept this termination of coverage on behalf of the board. The
permittee shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in surface
waters in accordance with the VWP general permit and general permit coverage,
and that performing activities in surface waters is unlawful where the activity
is not authorized by the VWP permit or coverage, unless otherwise excluded from
obtaining coverage. I also understand that the submittal of this notice does
not release me from liability for any violations of the VWP general permit or
coverage, nor does it allow me to resume the authorized activities without
reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department
of Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit or coverage, nor
does it allow me to resume the authorized activities without reapplication and
coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been
necessary to halt or reduce the activity for which VWP general permit coverage
has been granted in order to maintain compliance with the conditions of the VWP
general permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board information that
the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also
furnish to the board, upon request, copies of records required to be kept by
the permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage under the VWP general
permit, for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or
industrial consumption, for recreation, or for other uses; or
4. On and after October 1, 2001, conduct the following
activities in a wetland:
a. New activities to cause draining that significantly alter
or degrade existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-660-27.
9VAC25-670-50. Notification.
A. Notification to the board will be required prior to
commencing construction, as follows:
1. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-670-60 B. Compensatory
mitigation may be required for all permanent impacts.
2. An application for the coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 2 a or 2 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such
restriction, easement, covenant, or instrument is the result of a federal or
state permit action and is specific to activities in wetlands and compensatory
mitigation sites, the application shall include all of the information required
by 9VAC25-670-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 10, 11, 14, and 15 of
9VAC25-670-60 B and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall
include the information in 9VAC25-670-60 B 12.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of
federal or state listed threatened and endangered species or designated
critical habitat. Based upon consultation with these agencies, the board may
deny application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-670-60. Application.
A. The applicant shall file a complete application in accordance
with 9VAC25-670-50 and this section for coverage under this VWP general permit
for impacts to surface waters from utility activities.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
4. The existing VWP general permit tracking number, if applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location and
any related permittee-responsible compensatory mitigation site:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for
inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay reservation Area Designation and
Management Regulations (9VAC25-830).
f. The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification, and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination, when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 10 a, 10 b,
and 10 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
11. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed
project, including review of alternative sites where required for the project,
which would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the satisfaction
of the board that avoidance and minimization opportunities have been identified
and measures have been applied to the proposed activity such that the proposed
activity in terms of impacts to state waters and fish and wildlife resources is
the least environmentally damaging practicable alternative.
12. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
a. If permittee-responsible compensation is proposed for wetland
impacts, a conceptual wetland compensatory mitigation plan must be submitted in
order for an application to be deemed complete and shall include at a minimum
(i) the goals and objectives in terms of replacement of wetland acreage and
functions; (ii) a detailed location map including latitude and longitude to the
nearest second and the fourth order subbasin, as defined by the hydrologic unit
boundaries of the National Watershed Boundary Dataset, at the center of the
site; (iii) a description of the surrounding land use; (iv) a hydrologic
analysis including a draft water budget for nontidal areas based on expected
monthly inputs and outputs that will project water level elevations for a
typical year, a dry year, and a wet year; (v) groundwater elevation data, if
available, or the proposed location of groundwater monitoring wells to collect
these data; (vi) wetland delineation confirmation, data sheets, and maps for
existing surface water areas on the proposed site or sites; (vii) a conceptual
grading plan; (viii) a conceptual planting scheme including suggested plant
species and zonation of each vegetation type proposed; (ix) a description of
existing soils including general information on both topsoil and subsoil
conditions, permeability, and the need for soil amendments; (x) a draft design
of any water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
b. If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-sectional drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed
restoration measures to be employed including channel measurements, proposed
design flows, types of instream structures, and conceptual planting scheme;
(viii) reference stream data, if available; (ix) inclusion of buffer areas; (x)
schedule for restoration activities; and (xi) measures for the control of
undesirable species.
c. For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et seq.
of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700 et
seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions c (1), c (2), and c (3)
of this subdivision 12 or in lieu thereof shall describe the intended protective
mechanism or mechanisms that contains the information required below:
(1) A provision for access to the site;
(2) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(3) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
d. Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
mitigation bank or in-lieu fee program sponsor of the availability of credits
at the time of application.
13. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
14. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary or permittee-responsible compensatory mitigation areas that
are under a deed restriction, conservation easement, restrictive covenant, or
other land use protective instrument (i.e., protected areas). Such description
and a graphical depiction shall include the nature of the prohibited activities
within the protected areas and the limits of Chesapeake Bay Resource Protection
Areas (RPAs) as field-verified by the applicant, and if available, the limits
as approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830), as additional state or local
requirements may apply if the project is located within an RPA.
15. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensation, including water quality enhancements as
replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Upon receipt of an application by the appropriate DEQ
office, the board has 15 days to review the application and either determine
the information requested in subsection B of this section is complete or inform
the applicant that additional information is required to make the application
complete. Coverage under the VWP general permit shall be approved or approved
with conditions, or the application shall be denied, within 45 days of receipt
of a complete application. If the board fails to act within 45 days on a
complete application, coverage under the VWP general permit shall be deemed
granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under the VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of surface waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
E. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within 15 days of receipt, the board
shall require the submission of additional information from the applicant and
may suspend processing of any application until such time as the applicant has
supplied the requested information and the application is complete. Where the
applicant becomes aware that he omitted one or more relevant facts from an
application, or submitted incorrect information in an application or any report
to the board, the applicant shall immediately submit such facts or the correct
information. A revised application with new information shall be deemed a new
application for the purposes of review but shall not require an additional
permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit application
fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-670-100. VWP general permit.
VWP GENERAL PERMIT NO. WP2 FOR FACILITIES AND ACTIVITIES OF
UTILITIES AND PUBLIC SERVICE COMPANIES REGULATED BY THE FEDERAL ENERGY
REGULATORY COMMISSION OR THE STATE CORPORATION COMMISSION AND OTHER UTILITY
LINE ACTIVITIES UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE VIRGINIA
STATE WATER CONTROL LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations adopted
pursuant thereto, the board has determined that there is a reasonable assurance
that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of surface waters or fish
and wildlife resources. In issuing this VWP general permit, the board has not
taken into consideration the structural stability of any proposed activities.
The permanent or temporary impact of up to one acre of
nontidal wetlands or open water and up to 1,500 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this VWP general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts of up to one acre of nontidal
wetlands or open water and up to 1,500 linear feet of nontidal stream bed.
Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with
9VAC25-670-80. An application or request for modification to coverage or
another VWP permit application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-670-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species which
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless otherwise specifically approved by the
Department of Environmental Quality on a case-by-case basis, and as follows:
The requirement to countersink does not apply to extensions or maintenance of
existing pipes and culverts that are not countersunk, floodplain pipes and
culverts being placed above ordinary high water, pipes and culverts being
placed on bedrock, or pipes and culverts required to be placed on slopes 5.0%
or greater. Bedrock encountered during construction must be identified and
approved in advance of a design change where the countersunk condition cannot
be met. Pipes and culverts 24 inches or less in diameter shall be countersunk
three inches below the natural stream bed elevations, and pipes and culverts
greater than 24 inches shall be countersunk at least six inches below the
natural stream bed elevations. Hydraulic capacity shall be determined based on
the reduced capacity due to the countersunk position. In all stream crossings
appropriate measures shall be implemented to minimize any disruption of aquatic
life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992. These controls shall be placed prior to clearing and grading and
maintained in good working order to minimize impacts to state waters. These
controls shall remain in place until the area is stabilized and shall then be
removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted area. All denuded areas
shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with the
project shall be accomplished in such a manner that minimizes construction or
waste materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material, to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude any unauthorized
disturbances to these surface waters and compensatory mitigation areas during
construction. The permittee shall notify contractors that no activities are to
occur in these marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary
impact area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their preconstruction
elevations and contours with topsoil from the impact area where practicable
within 30 days following the construction at that stream segment. Streambanks
shall be seeded or planted with the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact areas where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary, supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct his activities in accordance
with the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in a Department of Environmental Quality VWP general permit
coverage letter, and shall ensure that all contractors are aware of the time-of-year
restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted steam flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes,
and culverts shall be constructed to minimize the adverse effects on
surface waters to the maximum extent practicable. Access roads constructed
above preconstruction elevations and contours in surface waters must be
bridged, piped, or culverted to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or similar
structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized by the Department of Environmental Quality. Restoration
shall be the seeding or planting of the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands, not to exceed 90 days, provided the
material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a trench drain effect.). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control Handbook,
Third Edition, 1992.
2. Riprap apron for all outfalls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992.
3. For stream bank protection activities, the structure and
backfill shall be placed as close to the stream bank as practicable. No
material shall be placed in excess of the minimum necessary for erosion
protection.
4. All stream bank protection structures shall be located to
eliminate or minimize impacts to vegetated wetlands to the maximum extent
practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
Part II. Construction and Compensation Requirements,
Monitoring, and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit. For all
compensation that requires a protective mechanism, including preservation of
surface waters or buffers, the permittee shall record the approved protective
mechanism in the chain of title to the property, or an equivalent instrument
for government-owned lands, and proof of recordation shall be submitted to the
Department of Environmental Quality prior to commencing impacts in surface
waters.
2. Compensation options that may be considered under this VWP
general permit shall meet the criteria in 9VAC25-210-116 and 9VAC25-670-70.
3. The permittee-responsible compensation site or sites
depicted in the conceptual compensation plan submitted with the application
shall constitute the compensation site. A site change may require a
modification to coverage.
4. For compensation involving the purchase of mitigation bank
credits or the purchase of in-lieu fee program credits, the permittee shall not
initiate work in permitted impact areas until documentation of the mitigation
bank credit purchase or of the in-lieu fee program credit purchase has been
submitted to and received by the Department of Environmental Quality.
5. The final compensationplan shall be submitted to and
approved by the board prior to a construction activity in permitted impact
areas. The board shall review and provide written comments on the final plan
within 30 days of receipt or it shall be deemed approved. The final plan as
approved by the board shall be an enforceable requirement of any coverage under
this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
a. The final permittee-responsible wetlands compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) A summary of the type and acreage of existing wetland
impacts anticipated during the construction of the compensation site and the
proposed compensation for these impacts; a site access plan; a monitoring plan,
including proposed success criteria, monitoring goals, and the location of
photo-monitoring stations, monitoring wells, vegetation sampling points, and
reference wetlands or streams, if available; an abatement and control plan for
undesirable plant species; an erosion and sedimentation control plan; a
construction schedule; and the final protective mechanism for the protection of
the compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to commencing
impacts in surface waters.
b. The final permittee-responsible stream compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) An evaluation, discussion, and plan drawing or drawings of
existing conditions on the proposed compensation stream, including the
identification of functional and physical deficiencies for which the measures
are proposed, and summary of geomorphologic measurements (e.g., stream width,
entrenchment ratio, width-depth ratio, sinuosity, slope, substrate, etc.); a
site access plan; a monitoring plan, including a monitoring and reporting
schedule, monitoring design and methodologies for success, proposed success
criteria, location of photo-monitoring stations, vegetation sampling points,
survey points, bank pins, scour chains, and reference streams; an abatement and
control plan for undesirable plant species; an erosion and sedimentation
control plan, if appropriate; a construction schedule; a plan-view drawing
depicting the pattern and all compensation measures being employed; a profile
drawing; cross-sectional drawing or drawings of the proposed compensation
stream; and the final protective mechanism for the protection of the
compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
6. The following criteria shall apply to permittee-responsible
wetland or stream compensation:
a. The vegetation used shall be native species common to the
area, shall be suitable for growth in local wetland or riparian conditions, and
shall be from areas within the same or adjacent U.S. Department of Agriculture
Plant Hardiness Zone or Natural Resources Conservation Service Land Resource
Region as that of the project site. Planting of woody plants shall occur when
vegetation is normally dormant, unless otherwise approved in the final wetlands
or stream compensation plan or plans.
b. All work in permitted impact areas shall cease if
compensation site construction has not commenced within 180 days of
commencement of project construction, unless otherwise authorized by the board.
c. The Department of Environmental Quality shall be notified
in writing prior to the initiation of construction activities at the compensation
site.
d. Point sources of stormwater runoff shall be prohibited from
entering a wetland compensation site prior to treatment by appropriate best
management practices. Appropriate best management practices may include
sediment traps, grassed waterways, vegetated filter strips, debris screens, oil
and grease separators, or forebays.
e. The success of the compensation shall be based on meeting
the success criteria established in the approved final compensation plan.
f. If the wetland or stream compensation area fails to meet
the specified success criteria in a particular monitoring year, other than the
final monitoring year, the reasons for this failure shall be determined and a
corrective action plan shall be submitted to the Department of Environmental
Quality for approval with or before that year's monitoring report. The
corrective action plan shall contain at a minimum the proposed actions, a
schedule for those actions, and a monitoring plan, and shall be implemented by
the permittee in accordance with the approved schedule. Should significant
changes be necessary to ensure success, the required monitoring cycle shall
begin again, with monitoring year one being the year that the changes are
complete, as confirmed by the Department of Environmental Quality. If the
wetland or stream compensation area fails to meet the specified success
criteria by the final monitoring year or if the wetland or stream compensation
area has not met the stated restoration goals, reasons for this failure shall
be determined and a corrective action plan, including proposed actions, a
schedule, and a monitoring plan, shall be submitted with the final year
monitoring report for Department of Environmental Quality approval. Corrective
action shall be implemented by the permittee in accordance with the approved
schedule. Annual monitoring shall be required to continue until two sequential,
annual reports indicate that all criteria have been successfully satisfied and
the site has met the overall restoration goals (e.g., that corrective actions
were successful).
g. The surveyed wetland boundary for the compensation site
shall be based on the results of the hydrology, soils, and vegetation
monitoring data and shall be shown on the site plan. Calculation of total
wetland acreage shall be based on that boundary at the end of the monitoring
cycle. Data shall be submitted by December 31 of the final monitoring year.
h. Herbicides or algicides shall not be used in or immediately
adjacent to the compensation site or sites without prior authorization by the
board. All vegetation removal shall be done by manual means, unless authorized
by the Department of Environmental Quality in advance.
B. Impact site construction monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs shall remain on
the project site and depict the impact area and the nonimpacted surface waters
immediately adjacent to and downgradient of each impact area. Each photograph
shall be labeled to include the following information: permit number, impact
area number, date and time of the photograph, name of the person taking the
photograph, photograph orientation, and photograph subject description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities
within impact areas. Monthly inspections shall be conducted in the following
areas: all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water
areas within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality
standards to the Department of Environmental Quality in accordance with the
procedures in 9VAC25-670-100 Part II E. Corrective measures and additional
monitoring may be required if water quality standards are not met. Reporting
shall not be required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each
station.
C. Permittee-responsible wetland compensation site
monitoring.
1. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites including invert elevations for all water elevation
control structures and spot elevations throughout the site or sites. Aerial
surveys shall include the variation from actual ground conditions, such as +/-
0.2 feet. Either type of survey shall be certified by a licensed surveyor or by
a registered professional engineer to conform to the design plans. The survey
shall be submitted within 60 days of completing compensation site construction.
Changes or deviations in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
2. Photographs shall be taken at the compensation site or
sites from the permanent markers identified in the final compensation plan, and
established to ensure that the same locations and view directions at the site
or sites are monitored in each monitoring period. These photographs shall be
taken after the initial planting and at a time specified in the final
compensation plan during every monitoring year.
3. Compensation site monitoring shall begin on the first day
of the first complete growing season (monitoring year 1) after wetland
compensation site construction activities, including planting, have been
completed. Monitoring shall be required for monitoring years 1, 2, 3, and 5,
unless otherwise approved by the Department of Environmental Quality. In all
cases, if all success criteria have not been met in the fifth monitoring year,
then monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
4. The establishment of wetland hydrology shall be measured
during the growing season, with the location and number of monitoring wells,
and frequency of monitoring for each site, set forth in the final monitoring
plan. Hydrology monitoring well data shall be accompanied by precipitation
data, including rainfall amounts, either from on site, or from the closest
weather station. Once the wetland hydrology success criteria have been
satisfied for a particular monitoring year, weekly monitoring may be
discontinued for the remainder of that monitoring year following Department of
Environmental Quality approval. After a period of three monitoring years, the
permittee may request that hydrology monitoring be discontinued, providing that
adequate hydrology has been established and maintained. Hydrology monitoring
shall not be discontinued without written approval from the Department of
Environmental Quality.
5. The presence of hydric soils or soils under hydric
conditions shall be evaluated in accordance with the final compensation plan.
6. The establishment of wetland vegetation shall be in
accordance with the final compensation plan. Monitoring shall take place in
August, September, or October during the growing season of each monitoring
year, unless authorized in the monitoring plan.
7. The presence of undesirable plant species shall be
documented.
8. All wetland compensation monitoring reports shall be
submitted in accordance with 9VAC25-670-100 Part II E 6.
D. Permittee-responsible stream compensation and monitoring.
1. Riparian buffer restoration activities shall be detailed in
the final compensation plan and shall include, as appropriate, the planting of
a variety of native species currently growing in the site area, including
appropriate seed mixtures and woody species that are bare root, balled, or
burlapped. A minimum buffer width of 50 feet, measured from the top of the
stream bank at bankfull elevation landward on both sides of the stream, shall
be required where practical.
2. The installation of root wads, vanes, and other instream
structures, shaping of the stream banks, and channel relocation shall be
completed in the dry whenever practicable.
3. Livestock access to the stream and designated riparian
buffer shall be limited to the greatest extent practicable.
4. Stream channel restoration activities shall be conducted in
the dry or during low flow conditions. When site conditions prohibit access
from the streambank or upon prior authorization from the Department of
Environmental Quality, heavy equipment may be authorized for use within the
stream channel.
5. Photographs shall be taken at the compensation site from
the vicinity of the permanent photo-monitoring stations identified in the final
compensation plan. The photograph orientation shall remain constant during all
monitoring events. At a minimum, photographs shall be taken from the center of
the stream, facing downstream, with a sufficient number of photographs to view
the entire length of the restoration site. Photographs shall document the
completed restoration conditions. Photographs shall be taken prior to site
activities, during instream and riparian compensation construction activities,
within one week of completion of activities, and during at least one day of
each monitoring year to depict restored conditions.
6. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites. Aerial surveys shall include the variation from
actual ground conditions, such as +/- 0.2 feet. The survey shall be certified
by the licensed surveyor or by a registered, professional engineer to conform
to the design plans. The survey shall be submitted within 60 days of completing
compensation site construction. Changes or deviations from the final
compensation plans in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
7. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after stream compensation
site construction activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1 and 2, unless otherwise
approved by the Department of Environmental Quality. In all cases, if all
success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
8. All stream compensation site monitoring reports shall be
submitted in accordance with 9VAC25-670-100 Part II E 6.
E. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first permitted
impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all
authorized impact areas.
5. The Department of Environmental Quality shall be notified
in writing prior to the initiation of activities at the permittee-responsible compensation
site. The notification shall include a projected schedule of activities and
construction completion.
6. All permittee-responsible compensation site monitoring
reports shall be submitted annually by December 31, with the exception of the
last year, in which case the report shall be submitted at least 60 days prior
to the expiration of the general permit, unless otherwise approved by the
Department of Environmental Quality.
a. All wetland compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations, vegetative and soil monitoring
stations, monitoring wells, and wetland zones.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Analysis of all hydrology information, including
monitoring well data, precipitation data, and gauging data from streams or
other open water areas, as set forth in the final compensation plan.
(5) Evaluation of hydric soils or soils under hydric
conditions, as appropriate.
(6) Analysis of all vegetative community information,
including woody and herbaceous species, both planted and volunteers, as set
forth in the final compensation plan.
(7) Photographs labeled with the permit number, the name of
the compensation site, the photo-monitoring station number, the photograph
orientation, the date and time of the photograph, the name of the person taking
the photograph, and a brief description of the photograph subject. This
information shall be provided as a separate attachment to each photograph, if
necessary. Photographs taken after the initial planting shall be included in
the first monitoring report after planting is complete.
(8) Discussion of wildlife or signs of wildlife observed at
the compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site.
(10) Discussion of corrective measures or maintenance
activities to control undesirable species, to repair damaged water control
devices, or to replace damaged planted vegetation.
(11) Corrective action plan that includes proposed actions, a
schedule, and monitoring plan.
b. All stream compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations and monitoring stations.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Evaluation and discussion of the monitoring results in
relation to the success criteria and overall goals of compensation.
(5) Photographs shall be labeled with the permit number, the
name of the compensation site, the photo-monitoring station number, the
photograph orientation, the date and time of the photograph, the name of the
person taking the photograph, and a brief description of the photograph
subject. Photographs taken prior to compensation site construction activities,
during instream and riparian restoration activities, and within one week of
completion of activities shall be included in the first monitoring report.
(6) Discussion of alterations, maintenance, or major storm
events resulting in significant change in stream profile or cross section, and
corrective actions conducted at the stream compensation site.
(7) Documentation of undesirable plant species and summary of
abatement and control measures.
(8) Summary of wildlife or signs of wildlife observed at the
compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site, and as-built survey, if applicable.
(10) Corrective action plan that includes proposed actions, a
schedule and monitoring plan.
(11) Additional submittals that were approved by the
Department of Environmental Quality in the final compensation plan.
7. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are
encountered which require debris removal or involve potentially toxic
substance. Measures to remove the obstruction, material, or toxic substance or
to change the location of a structure are prohibited until approved by the
Department of Environmental Quality.
8. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate Department
of Environmental Quality regional office shall be notified; otherwise, the
Department of Emergency Management shall be notified at 1-800-468-8892.
9. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
10. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
11. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are
significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
which may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause
for revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with
this VWP general permit constitutes compliance with the VWP permit requirements
of the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. The issuance of this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credentials,
the permittee shall allow the board or any duly authorized agent of the board,
at reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an
emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility,
coverage, or liability, including liability for compliance with the
requirements of enforcement activities related to the authorized activity.
2. The board does not within the 15 days notify the current
and new permittees of its intent to modify or revoke and reissue the VWP
general permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-670-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of
the Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to the VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of
completing or canceling all authorized activities requiring notification under
9VAC25-670-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The
director may accept this termination of coverage on behalf of the board. The
permittee shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage, nor does it allow me to resume the authorized activities
without reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department of
Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit or coverage, nor
does it allow me to resume the authorized activities without reapplication and
coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been
necessary to halt or reduce the activity for which VWP general permit coverage
has been granted in order to maintain compliance with the conditions of the VWP
general permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board any information
that the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also
furnish to the board, upon request, copies of records required to be kept by
the permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage underthe VWP general permit,
for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or
industrial consumption, for recreation, or for other uses; or
4. On and after October 1, 2001, conduct the following
activities in a wetland:
a. New activities to cause draining that significantly alters
or degrades existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-670-27.
9VAC25-680-50. Notification.
A. Notification to the board will be required prior to
commencing construction, as follows:
1. When the Virginia Department of Transportation is the
applicant for coverage under this VWP general permit, the notification
requirements shall be in accordance with this section and 9VAC25-680-60, unless
otherwise authorized by the Department of Environmental Quality.
2. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-680-60 B. Compensatory
mitigation may be required for all permanent impacts.
3. An application for coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 3 a or 3 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such
restriction, easement, covenant, or instrument is the result of a federal or
state permit action and is specific to activities in wetlands and compensatory
mitigation sites, the application shall include all of the information required
by 9VAC25-680-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 11, 12, 15, and 16 of
9VAC25-680-60 B and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall
include the information in 9VAC25-680-60 B 13.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services, and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of
federal or state listed threatened and endangered species or designated
critical habitat. Based upon consultation with these agencies, the board may
deny application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-680-60. Application.
A. Applications shall be filed with the board as follows:
1. The applicant shall file a complete application in
accordance with 9VAC25-680-50 and this section for coverage under this VWP
general permit for impacts to surface waters from linear transportation
projects.
2. The VDOT may use its monthly IACM process for submitting
applications.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legalname, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, authorized agent's name, mailing address,
telephone number, and if applicable, fax number and electronic mail address.
4. The existing VWP general permit tracking number, if
applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location,
and any related permittee-responsible compensatory mitigation site:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or receiving
waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for
inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830).
f. The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. Materials assessment. Upon request by the board, the
applicant shall provide evidence or certification that the material is free
from toxic contaminants prior to disposal or that the dredging activity will
not cause or contribute to a violation of water quality standards during
dredging. The applicant may be required to conduct grain size and composition
analyses, tests for specific parameters or chemical constituents, or elutriate
tests on the dredge material.
11. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification; and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 11 a, 11 b,
and 11 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
12. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed
project, including review of alternative sites where required for the project,
which would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the
satisfaction of the board that avoidance and minimization opportunities have
been identified and measures have been applied to the proposed activity such
that the proposed activity in terms of impacts to state waters and fish and wildlife
resources is the least environmentally damaging practicable alternative.
13. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
a. If permittee-responsible compensation is proposed for
wetland impacts, a conceptual wetland compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of replacement of wetland acreage
and functions; (ii) a detailed location map including latitude and longitude to
the nearest second and the fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, at the center of
the site; (iii) a description of the surrounding land use; (iv) a hydrologic
analysis including a draft water budget for nontidal areas based on expected
monthly inputs and outputs that will project water level elevations for a
typical year, a dry year, and a wet year; (v) groundwater elevation data, if
available, or the proposed location of groundwater monitoring wells to collect
these data; (vi) wetland delineation confirmation, data sheets, and maps for
existing surface water areas on the proposed site or sites; (vii) a conceptual
grading plan; (viii) a conceptual planting scheme including suggested plant
species and zonation of each vegetation type proposed; (ix) a description of
existing soils including general information on both topsoil and subsoil
conditions, permeability, and the need for soil amendments; (x) a draft design
of any water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
b. If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-sectional drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed
restoration measures to be employed including channel measurements, proposed
design flows, types of instream structures, and conceptual planting scheme;
(viii) reference stream data, if available; (ix) inclusion of buffer areas; (x)
schedule for restoration activities; and (xi) measures for the control of
undesirable species.
c. For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et seq.
of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700 et
seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions c (1), c (2), and c (3)
of this subdivision 13 or in lieu thereof shall describe the intended
protective mechanism or mechanisms that contains the information required
below:
(1) A provision for access to the site;
(2) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(3) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
d. Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
mitigation bank or in-lieu fee program sponsor of the availability of credits
at the time of application.
14. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
15. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary or permittee-responsible compensatory mitigation areas that
are under a deed restriction, conservation easement, restrictive covenant, or
other land use protective instrument (i.e., protected areas). Such description
and a graphical depiction shall include the nature of the prohibited activities
within the protected areas and the limits of Chesapeake Bay Resource Protection
Areas (RPAs) as field-verified by the applicant, and if available, the limits
as approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830), as additional state or local
requirements may apply if the project is located within an RPA.
16. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual with
the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensation, including water quality enhancements as
replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Upon receipt of an application from the Department of
Transportation for a road or highway construction project by the appropriate
DEQ office, the board has 10 business days, pursuant to § 33.2-258 of the
Code of Virginia, to review the application and either determine the information
requested in subsection B of this section is complete or inform the Department
of Transportation that additional information is required to make the
application complete. Upon receipt of an application from other applicants for
any type of project, the board has 15 days to review the application and either
determine the information requested in subsection B of this section is complete
or inform the applicant that additional information is required to make the
application complete. Pursuant to § 33.2-258 of the Code of Virginia,
coverage under this VWP general permit for Department of Transportation road or
highway construction projects shall be approved or approved with conditions, or
the application shall be denied, within 30 business days of receipt of a
complete application. For all other projects, coverage under this VWP general
permit shall be approved or approved with conditions, or the application shall
be denied, within 45 days of receipt of a complete application. If the board
fails to act within the applicable 30 or 45 days on a complete application,
coverage under this VWP general permit shall be deemed granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under this VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of state waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
E. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within the applicable 10 or 15 days of
receipt, the board shall require the submission of additional information from
the applicant and may suspend processing of any application until such time as
the applicant has supplied the requested information and the application is
complete. Where the applicant becomes aware that he omitted one or more
relevant facts from an application, or submitted incorrect information in an
application or in any report to the board, the applicant shall immediately
submit such facts or the correct information. A revised application with new
information shall be deemed a new application for the purposes of review but
shall not require an additional permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-680-100. VWP general permit.
VWP GENERAL PERMIT NO. WP3 FOR LINEAR TRANSPORTATION PROJECTS
UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE VIRGINIA STATE WATER CONTROL
LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations adopted
pursuant thereto, the board has determined that there is a reasonable assurance
that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of state waters or fish and
wildlife resources. In issuing this VWP general permit, the board has not taken
into consideration the structural stability of any proposed activities.
The permanent or temporary impact of up to two acres of
nontidal wetlands or open water and up to 1,500 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this VWP general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts of up to two acres of nontidal
wetlands or open water and up to 1,500 linear feet of nontidal stream bed.
Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with 9VAC25-680-80.
An application or request for modification to coverage or another VWP permit
application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-680-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species which
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless specifically approved by the Department of
Environmental Quality on a case-by-case basis and as follows: The requirement
to countersink does not apply to extensions or maintenance of existing pipes
and culverts that are not countersunk, floodplain pipe and culverts being
placed above ordinary high water, pipes and culverts being placed on bedrock,
or pipes or culverts required to be placed on slopes 5.0% or greater. Bedrock
encountered during construction must be identified and approved in advance of a
design change where the countersunk condition cannot be met. Pipes and culverts
24 inches or less in diameter shall be countersunk three inches below the
natural stream bed elevations, and pipes and culverts greater than 24 inches shall
be countersunk at least six inches below the natural stream bed elevations.
Hydraulic capacity shall be determined based on the reduced capacity due to the
countersunk position. In all stream crossings appropriate measures shall be
implemented to minimize any disruption of aquatic life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992. These controls shall be placed prior to clearing and grading and
maintained in good working order to minimize impacts to state waters. These
controls shall remain in place until the area is stabilized and shall then be
removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted impact area. All denuded
areas shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with the
project shall be accomplished in a manner that minimizes construction or waste
materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material, to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude unauthorized disturbances to
these surface waters and compensatory mitigation areas during construction. The
permittee shall notify contractors that no activities are to occur in these
marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary
impact area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their
preconstruction elevations and contours with topsoil from the impact area where
practicable within 30 days following the construction at that stream segment.
Streambanks shall be seeded or planted with the same vegetation cover type
originally present, including any necessary, supplemental erosion control
grasses. Invasive species identified on the Department of Conservation and
Recreation's Virginia Invasive Plant Species List shall not be used to the
maximum extent practicable or without prior approval from the Department of
Environmental Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact area where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct his activities in accordance
with the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in Department of Environmental Quality VWP general permit
coverage, and shall ensure that all contractors are aware of the time-of-year
restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted stream flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes, and culverts
shall be constructed to minimize the adverse effects on surface waters to the
maximum extent practicable. Access roads constructed above preconstruction
elevations and contours in surface waters must be bridged, piped, or culverted
to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or similar
structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized by the Department of Environmental Quality. Restoration
shall be the seeding or planting of the same vegetation cover type originally
present, including any necessary supplemental erosion control grasses. Invasive
species identified on the Department of Conservation and Recreation's Virginia
Invasive Plant Species List shall not be used to the maximum extent practicable
or without prior approval from the Department of Environmental Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands not to exceed a total of 90 days, provided
the material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a french drain effect). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control
Handbook, Third Edition, 1992.
2. Riprap aprons for all outfalls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992.
3. For bank protection activities, the structure and backfill
shall be placed as close to the stream bank as practicable. No material shall
be placed in excess of the minimum necessary for erosion protection.
4. All stream bank protection structures shall be located to
eliminate or minimize impacts to vegetated wetlands to the maximum extent
practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
F. Dredging.
1. Dredging depths shall be determined and authorized
according to the proposed use and controlling depths outside the area to be
dredged.
2. Dredging shall be accomplished in a manner that minimizes
disturbance of the bottom and minimizes turbidity levels in the water column.
3. If evidence of impaired water quality, such as a fish kill,
is observed during the dredging, dredging operations shall cease, and the
Department of Environmental Quality shall be notified immediately.
4. Barges used for the transportation of dredge material shall
be filled in such a manner to prevent the overflow of dredged materials.
5. Double handling of dredged material in state waters shall
not be permitted.
6. For navigation channels the following shall apply:
a. A buffer of four times the depth of the dredge cut shall be
maintained between the bottom edge of the design channel and the channelward
limit of wetlands, or a buffer of 15 feet shall be maintained from the dredged
cut and the channelward edge of wetlands, whichever is greater. This landward
limit of buffer shall be flagged and inspected prior to construction.
b. Side slope cuts of the dredging area shall not exceed a
two-horizontal-to-one-vertical slope to prevent slumping of material into the
dredged area.
7. A dredged material management plan for the designated
upland disposal site shall be submitted and approved 30 days prior to initial
dredging activity.
8. Pipeline outfalls and spillways shall be located at
opposite ends of the dewatering area to allow for maximum retention and
settling time. Filter fabric shall be used to line the dewatering area and to
cover the outfall pipe to further reduce sedimentation to state waters.
9. The dredge material dewatering area shall be of adequate
size to contain the dredge material and to allow for adequate dewatering and
settling out of sediment prior to discharge back into state waters.
10. The dredge material dewatering area shall utilize an
earthen berm or straw bales covered with filter fabric along the edge of the
area to contain the dredged material, filter bags, or other similar filtering
practices, any of which shall be properly stabilized prior to placing the
dredged material within the containment area.
11. Overtopping of the dredge material containment berms with
dredge materials shall be strictly prohibited.
G. Stormwater management facilities.
1. Stormwater management facilities shall be installed in
accordance with best management practices and watershed protection techniques
(e.g., vegetated buffers, siting considerations to minimize adverse effects to
aquatic resources, bioengineering methods incorporated into the facility design
to benefit water quality and minimize adverse effects to aquatic resources)
that provide for long-term aquatic resources protection and enhancement, to the
maximum extent practicable.
2. Compensation for unavoidable impacts shall not be allowed
within maintenance areas of stormwater management facilities.
3. Maintenance activities within stormwater management
facilities shall not require additional permit coverage or compensation,
provided that the maintenance activities do not exceed the original contours of
the facility, as approved and constructed, and is accomplished in designated
maintenance areas as indicated in the facility maintenance or design plan or
when unavailable, an alternative plan approved by the Department of
Environmental Quality.
Part II. Construction and Compensation Requirements,
Monitoring and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit. For all
compensation that requires a protective mechanism, including preservation of
surface waters or buffers, the permittee shall record the approved protective
mechanism in the chain of title to the property, or an equivalent instrument for
government-owned lands, and proof of recordation shall be submitted to the
Department of Environmental Quality prior to commencing impacts in surface
waters.
2. Compensation options that may be considered under this VWP
general permit shall meet the criteria in 9VAC25-210-116 and 9VAC25-680-70.
3. The permittee-responsible compensation site or sites
depicted in the conceptual compensation plan submitted with the application
shall constitute the compensation site. A site change may require a modification
to coverage.
4. For compensation involving the purchase of mitigation bank
credits or the purchase of in-lieu fee program credits, the permittee shall not
initiate work in permitted impact areas until documentation of the mitigation
bank credit purchase or of the in-lieu fee program credit purchase has been
submitted to and received by the Department of Environmental Quality.
5. The final compensatory mitigation plan shall be submitted
to and approved by the board prior to a construction activity in permitted
impact areas. The board shall review and provide written comments on the final
plan within 30 days of receipt or it shall be deemed approved. The final plan
as approved by the board shall be an enforceable requirement of any coverage
under this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
a. The final permittee-responsible wetlands compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) A summary of the type and acreage of existing wetland
impacts anticipated during the construction of the compensation site and the
proposed compensation for these impacts; a site access plan; a monitoring plan,
including proposed success criteria, monitoring goals, and the location of
photo-monitoring stations, monitoring wells, vegetation sampling points, and
reference wetlands or streams, if available; an abatement and control plan for
undesirable plant species; an erosion and sedimentation control plan; a
construction schedule; and the final protective mechanism for the protection of
the compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
b. The final permittee-responsible stream compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) An evaluation, discussion, and plan drawing or drawings of
existing conditions on the proposed compensation stream, including the
identification of functional and physical deficiencies for which the measures
are proposed, and summary of geomorphologic measurements (e.g., stream width,
entrenchment ratio, width-depth ratio, sinuosity, slope, substrate, etc.); a
site access plan; a monitoring plan, including a monitoring and reporting
schedule, monitoring design and methodologies for success, proposed success
criteria, location of photo-monitoring stations, vegetation sampling points,
survey points, bank pins, scour chains, and reference streams; an abatement and
control plan for undesirable plant species; an erosion and sedimentation
control plan, if appropriate; a construction schedule; a plan-view drawing
depicting the pattern and all compensation measures being employed; a profile
drawing; cross-sectional drawing or drawings of the proposed compensation
stream; and the final protective mechanism for the protection of the
compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
6. The following criteria shall apply to permittee-responsible
wetland or stream compensation:
a. The vegetation used shall be native species common to the
area, shall be suitable for growth in local wetland or riparian conditions, and
shall be from areas within the same or adjacent U.S. Department of Agriculture
Plant Hardiness Zone or Natural Resources Conservation Service Land Resource
Region as that of the project site. Planting of woody plants shall occur when
vegetation is normally dormant, unless otherwise approved in the final wetlands
or stream compensation plan or plans.
b. All work in permitted impact areas shall cease if
compensation site construction has not commenced within 180 days of
commencement of project construction, unless otherwise authorized by the board.
c. The Department of Environmental Quality shall be notified
in writing prior to the initiation of construction activities at the
compensation site.
d. Point sources of stormwater runoff shall be prohibited from
entering a wetland compensation site prior to treatment by appropriate best
management practices. Appropriate best management practices may include
sediment traps, grassed waterways, vegetated filter strips, debris screens, oil
and grease separators, or forebays.
e. The success of the compensation shall be based on meeting
the success criteria established in the approved final compensation plan.
f. If the wetland or stream compensation area fails to meet
the specified success criteria in a particular monitoring year, other than the
final monitoring year, the reasons for this failure shall be determined and a
corrective action plan shall be submitted to the Department of Environmental
Quality for approval with or before that year's monitoring report. The
corrective action plan shall contain at minimum the proposed actions, a
schedule for those actions, and a monitoring plan, and shall be implemented by
the permittee in accordance with the approved schedule. Should significant
changes be necessary to ensure success, the required monitoring cycle shall
begin again, with monitoring year one being the year that the changes are
complete as confirmed by the Department of Environmental Quality. If the
wetland or stream compensation area fails to meet the specified success
criteria by the final monitoring year or if the wetland or stream compensation
area has not met the stated restoration goals, reasons for this failure shall
be determined and a corrective action plan, including proposed actions, a
schedule, and a monitoring plan, shall be submitted with the final year
monitoring report for the Department of Environmental Quality approval.
Corrective action shall be implemented by the permittee in accordance with the
approved schedule. Annual monitoring shall be required to continue until two
sequential, annual reports indicate that all criteria have been successfully
satisfied and the site has met the overall restoration goals (e.g., that
corrective actions were successful).
g.The surveyed wetland boundary for the compensation site
shall be based on the results of the hydrology, soils, and vegetation
monitoring data and shall be shown on the site plan. Calculation of total
wetland acreage shall be based on that boundary at the end of the monitoring
cycle. Data shall be submitted by December 31 of the final monitoring year.
h. Herbicides or algicides shall not be used in or immediately
adjacent to the compensation site or sites without prior authorization by the
board. All vegetation removal shall be done by manual means only, unless
authorized by the Department of Environmental Quality in advance.
B. Impact site construction monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs shall remain on
the project site and depict the impact area and the nonimpacted surface waters
immediately adjacent to and downgradient of each impact area. Each photograph
shall be labeled to include the following information: permit number, impact
area number, date and time of the photograph, name of the person taking the
photograph, photograph orientation, and photograph subject description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities
within impact areas. Monthly inspections shall be conducted in the following
areas: all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water areas
within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality
standards to the Department of Environmental Quality in accordance with the
procedures in 9VAC25-680-100 Part II E. Corrective measures and additional
monitoring may be required if water quality standards are not met. Reporting
shall not be required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each station.
C. Permittee-responsible wetland compensation site
monitoring.
1. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites, including invert elevations for all water elevation
control structures and spot elevations throughout the site or sites. Aerial
surveys shall include the variation from actual ground conditions, such as +/-
0.2 feet. Either type of survey shall be certified by a licensed surveyor or by
a registered professional engineer to conform to the design plans. The survey
shall be submitted within 60 days of completing compensation site construction.
Changes or deviations in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
2. Photographs shall be taken at the compensation site or
sites from the permanent markers identified in the final compensation plan, and
established to ensure that the same locations and view directions at the site
or sites are monitored in each monitoring period. These photographs shall be
taken after the initial planting and at a time specified in the final
compensation plan during every monitoring year.
3. Compensation site monitoring shall begin on the first day
of the first complete growing season (monitoring year 1) after wetland
compensation site construction activities, including planting, have been
completed. Monitoring shall be required for monitoring years 1, 2, 3, and 5,
unless otherwise approved by the Department of Environmental Quality. In all
cases, if all success criteria have not been met in the final monitoring year,
then monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
4. The establishment of wetland hydrology shall be measured
weekly during the growing season, with the location and number of monitoring
wells, and frequency of monitoring for each site, set forth in the final
monitoring plan. Hydrology monitoring well data shall be accompanied by
precipitation data, including rainfall amounts, either from on site or from the
closest weather station. Once the wetland hydrology success criteria have been
satisfied for a particular monitoring year, monitoring may be discontinued for
the remainder of that monitoring year following Department of Environmental
Quality approval. After a period of three monitoring years, the permittee may
request that hydrology monitoring be discontinued, providing that adequate hydrology
has been established and maintained. Hydrology monitoring shall not be
discontinued without written approval from the Department of Environmental
Quality.
5. The presence of hydric soils or soils under hydric
conditions shall be evaluated in accordance with the final compensation plan.
6. The establishment of wetland vegetation shall be in
accordance with the final compensation plan. Monitoring shall take place in
August, September, or October during the growing season of each monitoring
year, unless otherwise authorized in the monitoring plan.
7. The presence of undesirable plant species shall be
documented.
8. All wetland compensation monitoring reports shall be
submitted in accordance with 9VAC25-680-100 Part II E 6.
D. Permittee-responsible stream compensation and monitoring.
1. Riparian buffer restoration activities shall be detailed in
the final compensation plan and shall include, as appropriate, the planting of
a variety of native species currently growing in the site area, including appropriate
seed mixtures and woody species that are bare root, balled, or burlapped. A
minimum buffer width of 50 feet, measured from the top of the stream bank at
bankfull elevation landward on both sides of the stream, shall be required
where practical.
2. The installation of root wads, vanes, and other instream
structures, shaping of the stream banks and channel relocation shall be
completed in the dry whenever practicable.
3. Livestock access to the stream and designated riparian
buffer shall be limited to the greatest extent practicable.
4. Stream channel restoration activities shall be conducted in
the dry or during low flow conditions. When site conditions prohibit access
from the streambank or upon prior authorization from the Department of
Environmental Quality, heavy equipment may be authorized for use within the
stream channel.
5. Photographs shall be taken at the compensation site from
the vicinity of the permanent photo-monitoring stations identified in the final
compensation plan. The photograph orientation shall remain constant during all
monitoring events. At a minimum, photographs shall be taken from the center of
the stream, facing downstream, with a sufficient number of photographs to view
the entire length of the restoration site. Photographs shall document the
completed restoration conditions. Photographs shall be taken prior to site
activities, during instream and riparian compensation construction activities,
within one week of completion of activities, and during at least one day of each
monitoring year to depict restored conditions.
6. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites. Aerial surveys shall include the variation from
actual ground conditions, such as +/- 0.2 feet. The survey shall be certified
by the licensed surveyor or by a registered, professional engineer to conform
to the design plans. The survey shall be submitted within 60 days of completing
compensation site construction. Changes or deviations from the final
compensation plans in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
7. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after stream compensation
site constructions activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1 and 2, unless otherwise
approved by the Department of Environmental Quality. In all cases, if all
success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
8. All stream compensation site monitoring reports shall be
submitted in accordance with 9VAC25-680-100 Part II E 6.
E. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first permitted
impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all
authorized impact areas.
5. The Department of Environmental Quality shall be notified
in writing prior to the initiation of activities at the permittee-responsible
compensation site. The notification shall include a projected schedule of
activities and construction completion.
6. All permittee-responsible compensation site monitoring
reports shall be submitted annually by December 31, with the exception of the
last year, in which case the report shall be submitted at least 60 days prior
to the expiration of the general permit, unless otherwise approved by the
Department of Environmental Quality.
a. All wetland compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations, vegetative and soil monitoring
stations, monitoring wells, and wetland zones.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Analysis of all hydrology information, including monitoring
well data, precipitation data, and gauging data from streams or other open
water areas, as set forth in the final compensation plan.
(5) Evaluation of hydric soils or soils under hydric
conditions, as appropriate.
(6) Analysis of all vegetative community information,
including woody and herbaceous species, both planted and volunteers, as set
forth in the final compensation plan.
(7) Photographs labeled with the permit number, the name of
the compensation site, the photo-monitoring station number, the photograph
orientation, the date and time of the photograph, the name of the person taking
the photograph, and a brief description of the photograph subject. This
information shall be provided as a separate attachment to each photograph, if
necessary. Photographs taken after the initial planting shall be included in
the first monitoring report after planting is complete.
(8) Discussion of wildlife or signs of wildlife observed at
the compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site.
(10) Discussion of corrective measures or maintenance
activities to control undesirable species, to repair damaged water control
devices, or to replace damaged planted vegetation.
(11) Corrective action plan that includes proposed actions, a
schedule, and monitoring plan.
b. All stream compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations and monitoring stations.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Evaluation and discussion of the monitoring results in
relation to the success criteria and overall goals of compensation.
(5) Photographs shall be labeled with the permit number, the
name of the compensation site, the photo-monitoring station number, the
photograph orientation, the date and time of the photograph, the name of the
person taking the photograph, and a brief description of the photograph
subject. Photographs taken prior to compensation site construction activities,
during instream and riparian restoration activities, and within one week of
completion of activities shall be included in the first monitoring report.
(6) Discussion of alterations, maintenance, or major storm
events resulting in significant change in stream profile or cross section, and
corrective actions conducted at the stream compensation site.
(7) Documentation of undesirable plant species and summary of
abatement and control measures.
(8) Summary of wildlife or signs of wildlife observed at the
compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site, and as-built survey, if applicable.
(10) Corrective action plan that includes proposed actions, a
schedule and monitoring plan.
(11) Additional submittals that were approved by the
Department of Environmental Quality in the final compensation plan.
7. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are
encountered which require debris removal or involve potentially toxic
substance. Measures to remove the obstruction, material, or toxic substance or
to change the location of a structure are prohibited until approved by the
Department of Environmental Quality.
8. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate
Department of Environmental Quality regional office shall be notified; otherwise,
the Department of Emergency Management shall be notified at 1-800-468-8892.
9. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
10. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
11. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are
significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
that may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause
for revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with
this VWP general permit constitutes compliance with the VWP permit requirements
of the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. The issuance of this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credentials,
the permittee shall allow the board or any duly authorized agent of the board,
at reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility,
coverage, or liability, including liability for compliance with the
requirements of enforcement activities related to the authorized activity.
2. The board does not within 15 days notify the current and
new permittees of its intent to modify or revoke and reissue the VWP general
permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-680-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of the
Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of
completing or canceling all authorized activities requiring notification under
9VAC25-680-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The director
may accept this termination of coverage on behalf of the board. The permittee
shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage, nor does it allow me to resume the authorized activities
without reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department
of Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit authorization or
coverage, nor does it allow me to resume the authorized activities without
reapplication and coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been necessary
to halt or reduce the activity for which VWP general permit coverage has been
granted in order to maintain compliance with the conditions of the VWP general
permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board any information
that the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also furnish
to the board, upon request, copies of records required to be kept by the
permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage under the VWP general
permit, for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or industrial
consumption, for recreation, or for other uses; or
4. On and after August 1, 2001, for linear transportation
projects of the Virginia Department of Transportation, or on and after October
1, 2001, for all other projects, conduct the following activities in a wetland:
a. New activities to cause draining that significantly alters
or degrades existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-680-27.
9VAC25-690-50. Notification.
A. Notification to the board will be required prior to
commencing construction as follows:
1. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-690-60 B. Compensatory
mitigation may be required for all permanent impacts.
2. An application for coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 2 a or 2 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such
restriction, easement, covenant, or instrument is the result of a federal or
state permit action and is specific to activities in wetlands and compensatory
mitigation sites, the application shall include all of the information required
by 9VAC25-690-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 11, 12, 15, and 16 of
9VAC25-690-60 B, and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall
include the information in 9VAC25-690-60 B 13.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of federal
or state listed threatened and endangered species or designated critical
habitat. Based upon consultation with these agencies, the board may deny
application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-690-60. Application.
A. The applicant shall file a complete application in
accordance with 9VAC25-690-50 and this section for coverage under this VWP
general permit for impacts to surface waters from development and certain
mining activities.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
4. The existing VWP general permit tracking number, if
applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location,
and any related permittee-responsible compensatory mitigation site:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for
inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830).
f. The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. Materials assessment. Upon request by the board, the
applicant shall provide evidence or certification that the material is free
from toxic contaminants prior to disposal or that the dredging activity will
not cause or contribute to a violation of water quality standards during
dredging. The applicant may be required to conduct grain size and composition
analyses, tests for specific parameters or chemical constituents, or elutriate tests
on the dredge material.
11. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification, and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 11 a, 11 b,
and 11 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
12. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed
project, including review of alternative sites where required for the project,
which would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the
satisfaction of the board that avoidance and minimization opportunities have
been identified and measures have been applied to the proposed activity such
that the proposed activity in terms of impacts to state waters and fish and
wildlife resources is the least environmentally damaging practicable
alternative.
13. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
a. If permittee-responsible compensation is proposed for
wetland impacts, a conceptual wetland compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of replacement of wetland
acreage and functions; (ii) a detailed location map including latitude and
longitude to the nearest second and the fourth order subbasin, as defined by
the hydrologic unit boundaries of the National Watershed Boundary Dataset, at the
center of the site; (iii) a description of the surrounding land use; (iv) a
hydrologic analysis including a draft water budget for nontidal areas based on
expected monthly inputs and outputs that will project water level elevations
for a typical year, a dry year, and a wet year; (v) groundwater elevation data,
if available, or the proposed location of groundwater monitoring wells to
collect these data; (vi) wetland delineation confirmation, data sheets, and
maps for existing surface water areas on the proposed site or sites; (vii) a
conceptual grading plan; (viii) a conceptual planting scheme including
suggested plant species and zonation of each vegetation type proposed; (ix) a
description of existing soils including general information on both topsoil and
subsoil conditions, permeability, and the need for soil amendments; (x) a draft
design of any water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
b. If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-sectional drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed restoration
measures to be employed including channel measurements, proposed design flows,
types of instream structures, and conceptual planting scheme; (viii) reference
stream data, if available; (ix) inclusion of buffer areas; (x) schedule for
restoration activities; and (xi) measures for the control of undesirable
species.
c. For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et seq.
of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700 et
seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions c (1), c (2), and c (3)
of this subdivision 13 or in lieu thereof shall describe the intended
protective mechanism or mechanisms that contains the information required
below:
(1) A provision for access to the site;
(2) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(3) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
d. Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
bank or in-lieu fee program sponsor of the availability of credits at the time
of application.
14. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
15. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary or permittee-responsible compensatory mitigation areas that
are under a deed restriction, conservation easement, restrictive covenant, or
other land use protective instrument (i.e., protected areas). Such description
and a graphical depiction shall include the nature of the prohibited activities
within the protected areas and the limits of Chesapeake Bay Resource Protection
Areas (RPAs) as field-verified by the applicant, and if available, the limits
as approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830), as additional state or local requirements
may apply if the project is located within an RPA.
16. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensation, including water quality enhancements as
replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Upon receipt of an application by the appropriate DEQ
office, the board has 15 days to review the application and either determine
the information requested in subsection B of this section is complete or inform
the applicant that additional information is required to make the application
complete. Coverage under this VWP general permit shall be approved or approved
with conditions, or the application shall be denied, within 45 days of receipt
of a complete application. If the board fails to act within 45 days on a
complete application, coverage under this VWP permit general permit shall be
deemed granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under this VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of state waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
E. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within 15 days of receipt, the board
shall require the submission of additional information from the applicant and
may suspend processing of any application until such time as the applicant has
supplied the requested information and the application is complete. Where the
applicant becomes aware that he omitted one or more relevant facts from an
application, or submitted incorrect information in an application or in any
report to the board, the applicant shall immediately submit such facts or the
correct information. A revised application with new information shall be deemed
a new application for purposes of review but shall not require an additional
permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-690-100. VWP general permit.
VWP GENERAL PERMIT NO. WP4 FOR IMPACTS FROM DEVELOPMENT AND
CERTAIN MINING ACTIVITIES UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE
VIRGINIA STATE WATER CONTROL LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations adopted
pursuant thereto, the board has determined that there is a reasonable assurance
that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of state waters or fish and
wildlife resources. In issuing this VWP general permit, the board has not taken
into consideration the structural stability of any proposed activities.
The permanent or temporary impact of up to two acres of
nontidal wetlands or open water and up to 1,500 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts of up to two acres of nontidal
wetlands or open water and up to 1,500 linear feet of nontidal stream bed.
Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with
9VAC25-690-80. An application or request for modification to coverage or
another VWP permit application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-690-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species which
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless otherwise specifically approved by the
Department of Environmental Quality on a case-by-case basis, and as follows:
The requirement to countersink does not apply to extensions or maintenance of
existing pipes and culverts that are not countersunk, floodplain pipes and
culverts being placed above ordinary high water, pipes and culverts being
placed on bedrock, or pipes and culverts required to be placed on slopes 5.0%
or greater. Bedrock encountered during construction must be identified and
approved in advance of a design change where the countersunk condition cannot
be met. Pipes and culverts 24 inches or less in diameter shall be countersunk
three inches below the natural stream bed elevations, and pipes and culverts
greater than 24 inches shall be countersunk at least six inches below the
natural stream bed elevations. Hydraulic capacity shall be determined based on
the reduced capacity due to the countersunk position. In all stream crossings
appropriate measures shall be implemented to minimize any disruption of aquatic
life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992, or for mining activities covered by this general permit, the
standards issued by the Virginia Department of Mines, Minerals and Energy that
are effective as those in the Virginia Erosion and Sediment Control Handbook,
Third Edition, 1992. These controls shall be placed prior to clearing and
grading and maintained in good working order to minimize impacts to state
waters. These controls shall remain in place until the area is stabilized and
shall then be removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted impact area. All denuded
areas shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with
theproject shall be accomplished in a manner that minimizes construction or
waste materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily-impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude unauthorized disturbances to
these surface waters and compensatory mitigation areas during construction. The
permittee shall notify contractors that no activities are to occur in these
marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary
impact area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their
preconstruction elevations and contours with topsoil from the impact area where
practicable within 30 days following the construction at that stream segment.
Streambanks shall be seeded or planted with the same vegetation cover type
originally present, including any necessary supplemental erosion control
grasses. Invasive species identified on the Department of Conservation and
Recreation's Virginia Invasive Plant Species List shall not be used to the
maximum extent practicable or without prior approval from the Department of
Environmental Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact area where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct activities in accordance with
the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in Department of Environmental Quality VWP general permit
coverage, and shall ensure that all contractors are aware of the time-of-year
restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted stream flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes, and culverts
shall be constructed to minimize the adverse effects on surface waters to the
maximum extent practicable. Access roads constructed above preconstruction
elevations and contours in surface waters must be bridged, piped, or culverted
to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or similar
structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized the Department of Environmental Quality. Restoration shall
be the seeding of planting of the same vegetation cover type originally
present, including any necessary supplemental erosion control grasses. Invasive
specifies identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands not to exceed a total of 90 days, provided
the material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a french drain effect.). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control
Handbook, Third Edition, 1992.
2. Riprap apron for all outfalls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992.
3. For stream bank protection activities, the structure and
backfill shall be placed as close to the stream bank as practicable. No
material shall be placed in excess of the minimum necessary for erosion
protection.
4. All stream bank protection structures shall be located to
eliminate or minimize impacts to vegetated wetlands to the maximum extent
practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
F. Dredging.
1. Dredging depths shall be determined and authorized
according to the proposed use and controlling depths outside the area to be
dredged.
2. Dredging shall be accomplished in a manner that minimizes
disturbance of the bottom and minimizes turbidity levels in the water column.
3. If evidence of impaired water quality, such as a fish kill,
is observed during the dredging, dredging operations shall cease, and the
Department of Environmental Quality shall be notified immediately.
4. Barges used for the transportation of dredge material shall
be filled in such a manner to prevent the overflow of dredged materials.
5. Double handling of dredged material in state waters shall
not be permitted.
6. For navigation channels the following shall apply:
a. A buffer of four times the depth of the dredge cut shall be
maintained between the bottom edge of the design channel and the channelward
limit of wetlands, or a buffer of 15 feet shall be maintained from the dredged
cut and the channelward edge of wetlands, whichever is greater. This landward
limit of buffer shall be flagged and inspected prior to construction.
b. Side slope cuts of the dredging area shall not exceed a
two-horizontal-to-one-vertical slope to prevent slumping of material into the
dredged area.
7. A dredged material management plan for the designated
upland disposal site shall be submitted and approved 30 days prior to initial
dredging activity.
8. Pipeline outfalls and spillways shall be located at
opposite ends of the dewatering area to allow for maximum retention and
settling time. Filter fabric shall be used to line the dewatering area and to
cover the outfall pipe to further reduce sedimentation to state waters.
9. The dredge material dewatering area shall be of adequate
size to contain the dredge material and to allow for adequate dewatering and
settling out of sediment prior to discharge back into state waters.
10. The dredge material dewatering area shall utilize an
earthen berm or straw bales covered with filter fabric along the edge of the
area to contain the dredged material, filter bags, or other similar filtering
practices, any of which shall be properly stabilized prior to placing the
dredged material within the containment area.
11. Overtopping of the dredge material containment berms with
dredge materials shall be strictly prohibited.
G. Stormwater management facilities.
1. Stormwater management facilities shall be installed in accordance
with best management practices and watershed protection techniques (e.g.,
vegetated buffers, siting considerations to minimize adverse effects to aquatic
resources, bioengineering methods incorporated into the facility design to
benefit water quality and minimize adverse effects to aquatic resources) that
provide for long-term aquatic resources protection and enhancement, to the
maximum extent practicable.
2. Compensation for unavoidable impacts shall not be allowed
within maintenance areas of stormwater management facilities.
3. Maintenance activities within stormwater management
facilities shall not require additional permit coverage or compensation
provided that the maintenance activities do not exceed the original contours of
the facility, as approved and constructed, and is accomplished in designated
maintenance areas as indicated in the facility maintenance or design plan or
when unavailable, an alternative plan approved by the Department of
Environmental Quality.
Part II. Construction and Compensation Requirements,
Monitoring, and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit. For all
compensation that requires a protective mechanism, including preservation of
surface waters or buffers, the permittee shall record the approved protective
mechanism in the chain of title to the property, or an equivalent instrument
for government-owned lands, and proof of recordation shall be submitted to the
Department of Environmental Quality prior to commencing impacts in surface
waters.
2. Compensation options that may be considered under this VWP
general permit shall meet the criteria in 9VAC25-210-116 and 9VAC25-690-70.
3. The permittee-responsible compensation site or sites
depicted in the conceptual compensation plan submitted with the application
shall constitute the compensation site. A site change may require a
modification to coverage.
4. For compensation involving the purchase of mitigation bank
credits or the purchase of in-lieu fee program credits, the permittee shall not
initiate work in permitted impact areas until documentation of the mitigation
bank credit purchase or of the in-lieu fee program credit purchase has been
submitted to and received by the Department of Environmental Quality.
5. The final compensation plan shall be submitted to and
approved by the board prior to a construction activity in permitted impact
areas. The board shall review and provide written comments on the final plan
within 30 days of receipt or it shall be deemed approved. The final plan as
approved by the board shall be an enforceable requirement of any coverage under
this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
a. The final permittee-responsible wetlands compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) A summary of the type and acreage of existing wetland
impacts anticipated during the construction of the compensation site and the
proposed compensation for these impacts; a site access plan; a monitoring plan,
including proposed success criteria, monitoring goals, and the location of
photo-monitoring stations, monitoring wells, vegetation sampling points, and
reference wetlands or streams, if available; an abatement and control plan for
undesirable plant species; an erosion and sedimentation control plan; a
construction schedule; and the final protective mechanism for the compensation
site or sites, including all surface waters and buffer areas within its
boundaries.
(3) The approved protective mechanism. The protective mechanism
shall be recorded in the chain of title to the property, or an equivalent
instrument for government-owned lands, and proof of recordation shall be
submitted to the Department of Environmental Quality prior to commencing
impacts in surface waters.
b. The final permittee-responsible stream compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) An evaluation, discussion, and plan drawing or drawings of
existing conditions on the proposed compensation stream, including the
identification of functional and physical deficiencies for which the measures
are proposed, and summary of geomorphologic measurements (e.g., stream width,
entrenchment ratio, width-depth ratio, sinuosity, slope, substrate, etc.); a
site access plan; a monitoring plan, including a monitoring and reporting
schedule, monitoring design and methodologies for success, proposed success
criteria, location of photo-monitoring stations, vegetation sampling points,
survey points, bank pins, scour chains, and reference streams; an abatement and
control plan for undesirable plant species; an erosion and sedimentation
control plan, if appropriate; a construction schedule; a plan-view drawing
depicting the pattern and all compensation measures being employed; a profile
drawing; cross-sectional drawing or drawings of the proposed compensation
stream; and the final protective mechanism for the protection of the
compensation site or sites, including all surface waters and buffer areas within
its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
6. The following criteria shall apply to permittee-responsible
wetland or stream compensation:
a. The vegetation used shall be native species common to the
area, shall be suitable for growth in local wetland or riparian conditions, and
shall be from areas within the same or adjacent U.S. Department of Agriculture
Plant Hardiness Zone or Natural Resources Conservation Service Land Resource
Region as that of the project site. Planting of woody plants shall occur when
vegetation is normally dormant, unless otherwise approved in the final wetlands
or stream compensation plan or plans.
b. All work in permitted impact areas shall cease if
compensation site construction has not commenced within 180 days of
commencement of project construction, unless otherwise authorized by the board.
c. The Department of Environmental Quality shall be notified
in writing prior to the initiation of construction activities at the
compensation site.
d. Point sources of stormwater runoff shall be prohibited from
entering a wetland compensation site prior to treatment by appropriate best
management practices. Appropriate best management practices may include
sediment traps, grassed waterways, vegetated filter strips, debris screens, oil
and grease separators, or forebays.
e. The success of the compensation shall be based on meeting
the success criteria established in the approved final compensation plan.
f. If the wetland or stream compensation area fails to meet
the specified success criteria in a particular monitoring year, other than the
final monitoring year, the reasons for this failure shall be determined, and a
corrective action plan shall be submitted to the Department of Environmental
Quality for approval with or before that year's monitoring report. The
corrective action plan shall contain at minimum the proposed actions, a
schedule for those actions, and a monitoring plan, and shall be implemented by
the permittee in accordance with the approved schedule. Should significant
changes be necessary to ensure success, the required monitoring cycle shall
begin again, with monitoring year one being the year that the changes are
complete, as confirmed by the Department of Environmental Quality. If the wetland
or stream compensation area fails to meet the specified success criteria by the
final monitoring year or if the wetland or stream compensation area has not met
the stated restoration goals, reasons for this failure shall be determined and
a corrective action plan, including proposed actions, a schedule, and a
monitoring plan, shall be submitted with the final year monitoring report for
Department of Environmental Quality approval. Corrective action shall be
implemented by the permittee in accordance with the approved schedule. Annual
monitoring shall be required to continue until two sequential, annual reports
indicate that all criteria have been successfully satisfied and the site has
met the overall restoration goals (e.g., that corrective actions were
successful).
g. The surveyed wetland boundary for the wetlands compensation
site shall be based on the results of the hydrology, soils, and vegetation
monitoring data and shall be shown on the site plan. Calculation of total
wetland acreage shall be based on that boundary at the end of the monitoring
cycle. Data shall be submitted by December 31 of the final monitoring year.
h. Herbicides or algicides shall not be used in or immediately
adjacent to the wetlands or stream compensation site or sites without prior
authorization by the board. All vegetation removal shall be done by manual
means, unless authorized by the Department of Environmental Quality in advance.
B. Impact site construction
monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs shall remain on
the project site and depict the impact area and the nonimpacted surface waters
immediately adjacent to and downgradient of each impact area. Each photograph
shall be labeled to include the following information: permit number, impact
area number, date and time of the photograph, name of the person taking the
photograph, photograph orientation, and photograph subject description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities within
impact areas. Monthly inspections shall be conducted in the following areas:
all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water
areas within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality standards
to the Department of Environmental Quality in accordance with the procedures in
9VAC25-690-100 Part II E. Corrective measures and additional monitoring may be
required if water quality standards are not met. Reporting shall not be
required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each
station.
C. Permittee-responsible wetland compensation site
monitoring.
1. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites including invert elevations for all water elevation
control structures and spot elevations throughout the site or sites. Aerial
surveys shall include the variation from actual ground conditions, such as +/-
0.2 feet. Either type of survey shall be certified by a licensed surveyor or by
a registered professional engineer to conform to the design plans. The survey
shall be submitted within 60 days of completing compensation site construction.
Changes or deviations in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
2. Photographs shall be taken at the compensation site or
sites from the permanent markers identified in the final compensation plan, and
established to ensure that the same locations and view directions at the site
or sites are monitored in each monitoring period. These photographs shall be
taken after the initial planting and at a time specified in the final
compensation plan during every monitoring year.
3. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after wetland compensation
site construction activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1, 2, 3, and 5, unless
otherwise approved by the Department of Environmental Quality. In all cases, if
all success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
4. The establishment of wetland hydrology shall be measured
during the growing season, with the location and number of monitoring wells,
and frequency of monitoring for each site, set forth in the final monitoring
plan. Hydrology monitoring well data shall be accompanied by precipitation
data, including rainfall amounts either from on site or from the closest
weather station. Once the wetland hydrology success criteria have been
satisfied for a particular monitoring year, monitoring may be discontinued for
the remainder of that monitoring year following Department of Environmental
Quality approval. After a period of three monitoring years, the permittee may
request that hydrology monitoring be discontinued, providing that adequate
hydrology has been established and maintained. Hydrology monitoring shall not
be discontinued without written approval from the Department of Environmental
Quality.
5. The presence of hydric soils or soils under hydric
conditions shall be evaluated in accordance with the final compensation plan.
6. The establishment of wetland vegetation shall be in
accordance with the final compensation plan. Monitoring shall take place in
August, September, or October during the growing season of each monitoring
year, unless otherwise authorized in the monitoring plan.
7. The presence of undesirable plant species shall be
documented.
8. All wetland compensation monitoring reports shall be
submitted in accordance with 9VAC25-690-100 Part II E 6.
D. Permittee-responsible stream compensation and monitoring.
1. Riparian buffer restoration activities shall be detailed in
the final compensation plan and shall include, as appropriate, the planting of
a variety of native species currently growing in the site area, including
appropriate seed mixtures and woody species that are bare root, balled, or
burlapped. A minimum buffer width of 50 feet, measured from the top of the
stream bank at bankfull elevation landward on both sides of the stream, shall
be required where practical.
2. The installation of root wads, vanes, and other instream
structures, shaping of the stream banks, and channel relocation shall be
completed in the dry whenever practicable.
3. Livestock access to the stream and designated riparian
buffer shall be limited to the greatest extent practicable.
4. Stream channel restoration activities shall be conducted in
the dry or during low flow conditions. When site conditions prohibit access
from the streambank or upon prior authorization from the Department of
Environmental Quality, heavy equipment may be authorized for use within the
stream channel.
5. Photographs shall be taken at the compensation site from
the vicinity of the permanent photo-monitoring stations identified in the final
compensation plan. The photograph orientation shall remain constant during all
monitoring events. At a minimum, photographs shall be taken from the center of
the stream, facing downstream, with a sufficient number of photographs to view
the entire length of the restoration site. Photographs shall document the
completed restoration conditions. Photographs shall be taken prior to site
activities, during instream and riparian compensation construction activities,
within one week of completion of activities, and during at least one day of
each monitoring year to depict restored conditions.
6. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites. Aerial surveys shall include the variation from
actual ground conditions, such as +/- 0.2 feet. The survey shall be certified by
the licensed surveyor or by a registered, professional engineer to conform to
the design plans. The survey shall be submitted within 60 days of completing
compensation site construction. Changes or deviations from the final
compensation plans in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
7. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after stream compensation
site construction activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1 and 2, unless otherwise
approved by the Department of Environmental Quality. In all cases, if all
success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
8. All stream compensation site monitoring reports shall be
submitted by in accordance with 9VAC25-690-100 Part II E 6.
E. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first permitted
impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all authorized
impact areas.
5. The Department of Environmental Quality shall be notified
in writing prior to the initiation of activities at the permittee-responsible
compensation site. The notification shall include a projected schedule of
activities and construction completion.
6. All permittee-responsible compensation site monitoring
reports shall be submitted annually by December 31, with the exception of the
last year, in which case the report shall be submitted at least 60 days prior
to the expiration of the general permit, unless otherwise approved by the
Department of Environmental Quality.
a. All wetland compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations, vegetative and soil monitoring
stations, monitoring wells, and wetland zones.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Analysis of all hydrology information, including
monitoring well data, precipitation data, and gauging data from streams or
other open water areas, as set forth in the final compensation plan.
(5) Evaluation of hydric soils or soils under hydric
conditions, as appropriate.
(6) Analysis of all vegetative community information,
including woody and herbaceous species, both planted and volunteers, as set
forth in the final compensation plan.
(7) Photographs labeled with the permit number, the name of
the compensation site, the photo-monitoring station number, the photograph
orientation, the date and time of the photograph, the name of the person taking
the photograph, and a brief description of the photograph subject. This information
shall be provided as a separate attachment to each photograph, if necessary.
Photographs taken after the initial planting shall be included in the first
monitoring report after planting is complete.
(8) Discussion of wildlife or signs of wildlife observed at
the compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site.
(10) Discussion of corrective measures or maintenance
activities to control undesirable species, to repair damaged water control devices,
or to replace damaged planted vegetation.
(11) Corrective action plan that includes proposed actions, a
schedule, and monitoring plan.
b. All stream compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations and monitoring stations.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Evaluation and discussion of the monitoring results in
relation to the success criteria and overall goals of compensation.
(5) Photographs shall be labeled with the permit number, the
name of the compensation site, the photo-monitoring station number, the
photograph orientation, the date and time of the photograph, the name of the
person taking the photograph, and a brief description of the photograph
subject. Photographs taken prior to compensation site construction activities,
during instream and riparian restoration activities, and within one week of
completion of activities shall be included in the first monitoring report.
(6) Discussion of alterations, maintenance, or major storm
events resulting in significant change in stream profile or cross section, and
corrective actions conducted at the stream compensation site.
(7) Documentation of undesirable plant species and summary of
abatement and control measures.
(8) Summary of wildlife or signs of wildlife observed at the
compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site, and as-built survey, if applicable.
(10) Corrective action plan that includes proposed actions, a
schedule and monitoring plan.
(11) Additional submittals that were approved by the
Department of Environmental Quality in the final compensation plan.
7. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are encountered
which require debris removal or involve potentially toxic substance. Measures
to remove the obstruction, material, or toxic substance or to change the
location of a structure are prohibited until approved by the Department of
Environmental Quality.
8. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate Department
of Environmental Quality regional office shall be notified; otherwise, the
Department of Emergency Management shall be notified at 1-800-468-8892.
9. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
10. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
11. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are
significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
which may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause for
revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with
this VWP general permit constitutes compliance with the VWP permit requirements
of the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. The issuance of this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credential, the
permittee shall allow the board or any duly authorized agent of the board, at
reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an
emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility, coverage,
or liability, including liability for compliance with the requirements of
enforcement activities related to the authorized activity.
2. The board does not within 15 days notify the current and
new permittees of its intent to modify or revoke and reissue the VWP general
permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-690-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of
the Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of
completing or canceling all authorized activities requiring notification under
9VAC25-690-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The
director may accept this termination of coverage on behalf of the board. The
permittee shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage, nor does it allow me to resume the authorized activities
without reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department
of Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit or coverage, nor
does it allow me to resume the authorized activities without reapplication and
coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been
necessary to halt or reduce the activity for which VWP general permit coverage
has been granted in order to maintain compliance with the conditions of the VWP
general permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board any information
that the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also
furnish to the board, upon request, copies of records required to be kept by
the permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage under the VWP general
permit, for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or
industrial consumption, for recreation, or for other uses; or
4. On and after October 1, 2001, conduct the following
activities in a wetland:
a. New activities to cause draining that significantly alters
or degrades existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-690-27.
VA.R. Doc. No. R21-6473; Filed September 29, 2020, 4:57 a.m.
TITLE 9. ENVIRONMENT
STATE WATER CONTROL BOARD
Notice of Effective Date
Title of Regulation: 9VAC25-260. Water Quality
Standards (amending 9VAC25-260-155).
Statutory Authority: § 62.1-44.15 of the Code of
Virginia; Clean Water Act (33 USC § 1251 et seq.); 40 CFR 131.
Effective Date: October 13, 2020.
On December 13, 2018, the State Water Control Board adopted
revisions to the water quality standards in 9VAC25-260-155. These
revisions relate to water quality criteria and other policies related to water
quality. The amendments were published in final form on June 22, 2020, in
Volume 36, Issue 22 of the Virginia Register of Regulations (VA.R. 36:22 2341-2358) to be effective
upon filing notice of U.S. Environmental Protection Agency (EPA) approval with
the Registrar of Regulations. The State Water Control Board received EPA
approval by letter dated October 6, 2020, and filed notice with the Registrar.
Copies are available online at http://www.deq.state.va.us/wqs;
by contacting David Whitehurst telephone toll free at 1-800-592-5482, ext. 4121
or local at 804-698-4121; by written request to P.O. Box 1105, Richmond, VA
23218; or by email request to david.whitehurst@deq.virginia.gov.
Agency Contact: David Whitehurst, Department of
Environmental Quality, 1111 East Main Street, Suite 1400, P.O. Box 1105,
Richmond, VA 23218, telephone (804) 698-4121, FAX (804) 698-4032, or email david.whitehurst@deq.virginia.gov.
VA.R. Doc. No. R20-5530; Filed October 13, 2020, 5:00 p.m.
TITLE 9. ENVIRONMENT
STATE WATER CONTROL BOARD
Final Regulation
REGISTRAR'S NOTICE: The
State Water Control Board is claiming an exemption from Article 2 of 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 or the appropriation act where no agency
discretion is involved. The State Water Control Board will receive, consider,
and respond to petitions by any interested person at any time with respect to
reconsideration or revision.
Titles of Regulations: 9VAC25-210. Virginia Water
Protection Permit Program Regulation (amending 9VAC25-210-10, 9VAC25-210-80,
9VAC25-210-230, 9VAC25-210-320).
9VAC25-660. Virginia Water Protection General Permit for
Impacts Less Than One-Half Acre (amending 9VAC25-660-50, 9VAC25-660-60,
9VAC25-660-100).
9VAC25-670. Virginia Water Protection General Permit for
Facilities and Activities of Utility and Public Service Companies Regulated by
the Federal Energy Regulatory Commission or the State Corporation Commission
and Other Utility Line Activities (amending 9VAC25-670-50, 9VAC25-670-60,
9VAC25-670-100).
9VAC25-680. Virginia Water Protection General Permit for
Linear Transportation Projects (amending 9VAC25-680-50, 9VAC25-680-60, 9VAC25-680-100).
9VAC25-690. Virginia Water Protection General Permit for
Impacts from Development and Certain Mining Activities (amending 9VAC25-690-50, 9VAC25-690-60,
9VAC25-690-100).
Statutory Authority: § 62.1-44.15 of the Code of
Virginia; § 401 of the Clean Water Act (33 USC § 1251 et seq.).
Effective Date: November 25, 2020.
Agency Contact: Dave Davis, Department of Environmental
Quality, 1111 East Main Street, Suite 1400, P.O. Box 1105, Richmond, VA 23218,
telephone (804) 698-4105, or email dave.davis@deq.virginia.gov.
Summary:
The amendments conform the regulations to legislation
adopted during the 2020 Session of the General Assembly. Pursuant to Chapter
622, amendments clarify that when an application for a general permit under the
Virginia Water Protection Permit Program is administratively withdrawn for
being incomplete, the department shall provide (i) notice to the applicant and
(ii) an opportunity for an informal fact-finding proceeding. Pursuant to
Chapter 958, amendments change the name of the Virginia Department of Game and
Inland Fisheries to the Virginia Department of Wildlife Resources.
Part I
VWP Permit Program Definitions, Exclusions, Prohibitions and Requirements
9VAC25-210-10. Definitions.
A. Definitions specific to surface water withdrawals are in
9VAC25-210-300.
B. Unless a different meaning is required by the context, the
following terms as used in this chapter shall have the following meanings:
"Adjacent" means bordering, contiguous, or
neighboring wetlands separated from other surface water by man-made dikes or
barriers, natural river berms, sand dunes, and the like.
"Administratively withdrawn" means a decision by
the board that permanently discontinues the review or processing of a VWP
permit application or request to modify a VWP permit.
"Applicant" means a person applying for a VWP individual
permit or for coverage under a VWP general permit.
"Aquatic environment" means surface waters and the
habitat they provide, including both plant and animal communities.
"Avoidance" means not taking or modifying a
proposed action or parts of an action so that there is no adverse impact to the
aquatic environment.
"Beneficial use" means both instream and offstream
uses. Instream beneficial uses include the protection of fish and wildlife
resources and habitat, maintenance of waste assimilation, recreation,
navigation, and cultural and aesthetic values. The preservation of instream
flows for purposes of the protection of navigation, maintenance of waste
assimilation capacity, the protection of fish and wildlife resources and
habitat, recreation, and cultural and aesthetic values is an instream
beneficial use of Virginia's waters. Offstream beneficial uses include domestic
uses (including public water supply), agricultural uses, electric power
generation, commercial uses, and industrial uses.
"Best management practices" or "BMPs"
means a schedule of activities, prohibition of practices, maintenance
procedures, and other management practices that prevent or reduce the pollution
of surface waters.
"Board" means the State Water Control Board.
"Channelization" means the alteration of a stream
channel by widening, deepening, straightening, cleaning, or paving certain
areas.
"Compensation" or "compensatory
mitigation" means (i) the restoration (reestablishment or rehabilitation),
establishment (creation), enhancement, or in certain circumstances preservation
of aquatic resources or (ii) in certain circumstances an out-of-kind measure
having a water quality, habitat, or other desirable benefit for the purposes of
offsetting unavoidable adverse impacts to aquatic resources that remain after
all appropriate and practicable avoidance and minimization has been achieved.
"Construction site" means any site where
land-disturbing activity is conducted or physically located for the purpose of
erecting buildings, roads, or other discrete structures, including on-site or
off-site areas used for dependent, support facilities, such as quarries, mines,
or temporary stormwater management or erosion control structures.
"Conversion" means those impacts to surface waters
that permanently change an existing wetland or aquatic resource type to a
different wetland or aquatic resource type.
"Coverage" means authorization to conduct a project
in accordance with a VWP general permit.
"Cowardin classification" or "Cowardin
classification method," unless otherwise specified in this chapter, means
the waters classification system in Classification of Wetlands and Deepwater
Habitats of the United States (Cowardin, Lewis M. II, et al., U.S. Fish and
Wildlife Service, December 1979, Reprinted 1992).
"Creation" means the establishment of a wetland or
other aquatic resource where one did not formerly exist.
"Cross-sectional drawing" means a scaled graph or
plot that represents the plane made by cutting across an object at right angles
to its length. Objects may include a surface water body or a portion of it, a
man-made channel, an above-ground structure, a below-ground structure, a
geographical feature, or the ground surface itself.
"Department" or "DEQ" means the
Department of Environmental Quality.
"Director" means the Director of the Department of
Environmental Quality (DEQ) or an authorized representative.
"Discharge" means, when used without qualification,
a discharge of a pollutant, or any addition of any pollutant or combination of
pollutants, to state waters.
"Draft VWP permit" means a document indicating the
board's tentative decision relative to a VWP permit action.
"Draining" means human-induced activities such as
ditching, excavation, installation of tile drains, hydrologic modification by
surface water runoff diversion, pumping water from wells, or similar activities
such that the activities have the effect of artificially dewatering the wetland
or altering its hydroperiod.
"Dredged material" means material that is excavated
or dredged from surface waters.
"Dredging" means a form of excavation in which
material is removed or relocated from beneath surface waters.
"Ecologically and environmentally preferable" means
capable of providing a higher likelihood than alternative proposals of
replacing existing wetland acreage and functions, stream functions, water
quality, and fish and wildlife resources.
"Emergent wetland" means a class of wetlands
dominated by erect, rooted, herbaceous plants growing in water or on a
substrate, excluding mosses and lichens. This vegetation is present for most of
the growing season in most years and is usually dominated by perennial plants.
"Enhancement" means activities conducted in
existing wetlands or other portions of the aquatic environment that increase
one or more aquatic functions.
"Excavate" or "excavation" means
ditching, dredging, or mechanized removal of earth, soil, or rock.
"Fill" means replacing portions of surface water
with upland, or raising the bottom elevation of a surface water for any purpose,
by placement of any pollutant or material including rock, sand, earth, and
man-made materials and debris.
"Fill material" means any pollutant that replaces
portions of surface water with dry land or that raises the bottom elevation of
a surface water for any purpose.
"Forested wetland" means a class of wetlands
dominated by woody vegetation that is approximately 20 feet (six meters) tall
or taller and three inches (7.6 centimeters) or larger in diameter at breast
height (DBH). These areas typically possess an overstory of trees, an
understory of trees or shrubs, and an herbaceous layer.
"Hydrologic regime" means the entire state of water
movement in a given area. It is a function of the climate and includes the
phenomena by which water first occurs as atmospheric water vapor, passes into a
liquid or solid form, falls as precipitation, moves along or into the ground
surface, and returns to the atmosphere as vapor by means of evaporation and
transpiration.
"Impacts" means results caused by those activities
specified in § 62.1-44.15:20 A of the Code of Virginia.
"Impairment" means the damage, loss, or degradation
of the acreage or functions of wetlands or the functions of state waters.
"Independent utility" means a test to determine
what constitutes a single and complete project. A project is considered to have
independent utility if it would be constructed absent the construction of other
projects in the project area. Portions of a phased development project that
depend upon other phases of the project do not have independent utility.
Portions of a phased development project that would be constructed even if the
other phases are not built can be considered as separate single complete
projects with independent public and economic utility.
"In-lieu fee program" means a program operated by a
nonprofit organization or governmental agency that receives moneys from persons
impacting wetlands or streams pursuant to an authorized, permitted activity and
that expends the moneys received to provide consolidated compensatory
mitigation for permitted wetland or stream impacts.
"Isolated wetlands of minimal ecological value"
means those wetlands that (i) do not have a surface water connection to other
state waters, (ii) are less than one-tenth of an acre (0.10 acre or 4,356
square feet) in size, (iii) are not located in a Federal Emergency Management
Agency designated 100-year floodplain, (iv) are not identified by the Virginia
Natural Heritage Program as a rare or state significant natural community, (v)
are not forested, and (vi) do not contain listed federal or state threatened or
endangered species.
"Joint Permit Application" or "JPA" means
an application form that is used to apply for permits from the Norfolk District
Army Corps of Engineers, the Virginia Marine Resources Commission, the Virginia
Department of Environmental Quality, and local wetland boards for work in
waters of the United States and in surface waters of Virginia.
"Law" means the State Water Control Law of
Virginia.
"Legal name" means the full legal name of an
individual, business, or other organization. For an individual, legal name
means the first name, middle initial, last name, and suffix. For an entity
authorized to do business in Virginia, the legal name means the exact name set
forth in the entity's articles of incorporation, organization or trust, or
formation agreement, as applicable.
"Minimization" means lessening impacts by reducing
the degree or magnitude of the proposed action and its implementation.
"Mitigation" means sequentially avoiding and
minimizing impacts to the maximum extent practicable, and then compensating for
remaining unavoidable impacts of a proposed action.
"Mitigation bank" means a site providing off-site,
consolidated compensatory mitigation that is developed and approved in accordance
with all applicable federal and state laws or regulations for the
establishment, use, and operation of mitigation banks and is operating under a
signed banking agreement.
"Mitigation banking" means compensating for
unavoidable wetland or stream losses in advance of development actions through
the sale or purchase of credits from a mitigation bank.
"Nationwide permit" means a general permit issued
by the U.S. Army Corps of Engineers (USACE) under 33 CFR Part 330 and, except
where suspended by individual USACE Corps Districts, applicable nationwide.
"Nontidal wetland" means those wetlands other than
tidal wetlands that are inundated or saturated by surface water or groundwater
at a frequency and duration sufficient to support, and that under normal circumstances
do support, a prevalence of vegetation typically adapted for life in saturated
soil conditions, as defined by the U.S. Environmental Protection Agency
pursuant to § 404 of the federal Clean Water Act in 40 CFR 230.3(t). Wetlands
generally include swamps, marshes, bogs, and similar areas.
"Normal agricultural activities" means those
activities defined as an agricultural operation in § 3.2-300 of the Code
of Virginia and any activity that is conducted as part of or in furtherance of
such agricultural operation but shall not include any activity for which a
permit would have been required as of January 1, 1997, under 33 USC § 1344
or any regulations promulgated pursuant thereto.
"Normal residential gardening and lawn and landscape
maintenance" means ongoing noncommercial residential activities conducted
by or on behalf of an individual occupant, including mowing; planting;
fertilizing; mulching; tilling; vegetation removal by hand or by hand tools;
and placement of decorative stone, fencing, and play equipment. Other
appurtenant noncommercial activities, provided that they do not result in the
conversion of a wetland to upland or to a different wetland type, may also be
included.
"Normal silvicultural activities" means any
silvicultural activity as defined in § 10.1-1181.1 of the Code of
Virginia, and any activity that is conducted as part of or in furtherance of
such silvicultural activity but shall not include any activity for which a
permit would have been required as of January 1, 1997, under 33 USC § 1344
or any regulations promulgated pursuant thereto.
"Notice of project completion" means a statement
submitted by the permittee or authorized agent that the authorized activities
and any required compensatory mitigation have been completed.
"Open water" means an area that, during a year with
normal patterns of precipitation, has standing water for sufficient duration to
establish an ordinary high water mark. The term "open water" includes
lakes and ponds but does not include ephemeral waters, stream beds, or
wetlands.
"Ordinary high water" or "ordinary high water
mark" means that line on the shore established by the fluctuations of
water and indicated by physical characteristics such as a clear, natural line
impressed on the bank; shelving; changes in the character of soil; destruction
of terrestrial vegetation; the presence of litter and debris; or other
appropriate means that consider the characteristics of the surrounding areas.
"Out-of-kind compensatory mitigation" or
"out-of-kind mitigation" means a measure that does not replace the
same type of wetland or surface water as was impacted but does replace lost
wetland or surface water functions or provide a water quality, habitat, or
other desirable benefit.
"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 stream bed 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.
"Permanent flooding or impounding" means a
permanent increase in the duration or depth of standing water on a land
surface, such as from a dam. Permanent increases in duration or depth of
standing water that result from extended-detention basins and enhanced
extended-detention basins, when designed, constructed, and maintained to
function in accordance with Virginia Department of Conservation and Recreation
(DCR) standards for such facilities (Virginia Stormwater Management Handbook,
First Edition, 1999, Volume 1, Chapter 3), or when designed in accordance with
local standards that, at a minimum, meet the DCR standards, are not considered
to be permanent flooding and impounding.
"Permanent impacts" means those impacts to surface
waters, including wetlands, that cause a permanent alteration of the physical,
chemical, or biological properties of the surface waters or of the acreage or
functions of a wetland.
"Permittee" means the person who holds a VWP
individual or general permit.
"Permittee-responsible compensatory mitigation" or
"permittee-responsible mitigation" means compensation or compensatory
mitigation, as defined in this section, that is undertaken by the permittee, or
an authorized agent or contractor, for which the permittee retains full
responsibility.
"Person" means individual, corporation,
partnership, association, governmental body, municipal corporation, or any
other legal entity.
"Phased development" means more than one project
proposed for a single piece of property or an assemblage of contiguous
properties under consideration for development by the same person, or by
related persons, that will begin and be completed at different times. Depending
on the relationship between the projects, a phased development may be
considered a single and complete project or each project may be considered a
single and complete project if each project has independent utility, as defined
in this section.
"Plan view drawing" means a scaled graph or plot
that represents the view of an object as projected onto orthogonal planes.
Objects may include structures, contours, or boundaries.
"Pollutant" means any substance, radioactive
material, or heat that causes or contributes to or may cause or contribute to
pollution.
"Pollution" means such alteration of the physical,
chemical, or biological properties of any state waters as will or is likely to
create a nuisance or render such waters (i) harmful or detrimental or injurious
to the public health, safety, or welfare or to the health of animals, fish, or
aquatic life; (ii) unsuitable with reasonable treatment for use as present or
possible future sources of public water supply; or (iii) unsuitable for
recreational, commercial, industrial, agricultural, or other reasonable uses;
provided that (a) an alteration of the physical, chemical, or biological
property of state waters, or a discharge or deposit of sewage, industrial
wastes or other wastes to state waters by any owner which by itself is not
sufficient to cause pollution, but which, in combination with such alteration
of or discharge or deposit to state waters by other owners is sufficient to
cause pollution; (b) the discharge of untreated sewage by any owner into state
waters; and (c) contributing to the contravention of standards of water quality
duly established by the board, are "pollution" for the terms and
purposes of this chapter.
"Practicable" means available and capable of being
done after taking into consideration cost, existing technology, and logistics
in light of overall project purposes.
"Preservation" means the protection of resources in
perpetuity through the implementation of appropriate legal and physical
mechanisms.
"Profile drawing" means a scaled graph or plot that
represents the side view of an object. Objects may include a surface water body
or a portion of it, a man-made channel, an above-ground structure, a
below-ground structure, a geographical feature, or the ground surface itself.
"Public hearing" means a fact finding proceeding
held to afford interested persons an opportunity to submit factual data, views,
and comments to the board pursuant to § 62.1-44.15:02 of the Code of
Virginia.
"Regional permit" means a general permit issued by
the U.S. Army Corps of Engineers under 33 CFR Part 330 and applicable within a
specified geographic area.
"Restoration" means the reestablishment of a
wetland or other aquatic resource in an area where it previously existed.
Wetland restoration means the reestablishment of wetland hydrology and
vegetation in an area where a wetland previously existed. Stream restoration
means the process of converting an unstable, altered, or degraded stream
corridor, including adjacent areas and floodplains, to its natural conditions.
"Riprap" means a layer of nonerodible material such
as stone or chunks of concrete.
"Section 401" means § 401 of the Clean Water
Act, or 33 USC § 1341, as amended in 1987.
"Scrub-shrub wetland" means a class of wetlands
dominated by woody vegetation, excluding woody vines, approximately three to 20
feet (one to six meters) tall. The species include true shrubs, young trees,
and trees or shrubs that are small or stunted because of environmental
conditions.
"Significant alteration or degradation of existing
wetland acreage or function" means human-induced activities that cause
either a diminution of the areal extent of the existing wetland or cause a
change in wetland community type resulting in the loss or more than minimal
degradation of its existing ecological functions.
"Single and complete project" means the total
project proposed or accomplished by a person, which also has independent
utility as defined in this section. For linear projects, the single and
complete project (e.g., a single and complete crossing) will apply to each
crossing of a separate surface water (e.g., a single water body) and to
multiple crossings of the same water body at separate and distinct locations.
Phases of a project that have independent utility may each be considered single
and complete.
"State waters" means all water, on the surface and
under the ground, wholly or partially within or bordering the Commonwealth or
within its jurisdiction, including wetlands.
"Stream bed" or "stream channel" means
the substrate of a stream, as measured between the ordinary high water mark
along each side of a stream. The substrate may consist of organic matter,
bedrock, or inorganic particles that range in size from clay to boulders, or a
combination of both. Areas contiguous to the stream bed, but outside of the
ordinary high water mark along each side of a stream, are not considered part
of the stream bed.
"Surface water" means all state waters that are not
groundwater as groundwater is defined in § 62.1-255 of the Code of
Virginia.
"Suspend" or "suspension" means a
decision by the board that stops the review or processing of a permit
application or request to modify a permit or permit coverage until such time
that information requested by the board is provided, reviewed, and deemed adequate.
"Temporal loss" means the time lag between the loss
of aquatic resource functions caused by the impacts and the replacement of
aquatic resource functions by compensatory mitigation.
"Temporary impacts" means impacts to wetlands or
other surface waters that do not cause a permanent alteration of the physical,
chemical, or biological properties of surface waters or the permanent
alteration or degradation of existing wetland acreage or functions. Temporary
impacts include activities in which the impact area is restored to its
preconstruction elevations and contours with topsoil from the impact area where
practicable, such that previous wetland acreage and functions or surface water
functions are restored.
"Tidal wetland" means vegetated and nonvegetated
wetlands as defined in § 28.2-1300 of the Code of Virginia.
"Toxic pollutant" means any agent or material
including those listed under § 307(a) of the Water Pollution Prevention
and Control Act (33 USC § 1317(a)), which after discharge will, on the basis of
available information, cause toxicity. Toxicity means the inherent potential or
capacity of a material to cause adverse effects in a living organism, including
acute or chronic effects to aquatic life, detrimental effects on human health,
or other adverse environmental effects.
"Undesirable plant species" means any species that
invades, naturally colonizes, or otherwise dominates a compensatory mitigation
site or mitigation bank, such that it causes or contributes to the failure of
the vegetative success criteria for a particular compensatory mitigation site,
mitigation bank, or in-lieu fee program project, or it otherwise prohibits the
restoration of the same vegetation cover type that was originally present.
"VWP general permit" means the general permit text,
terms, requirements, and conditions set forth in a regulation that constitutes
a VWP permit authorizing a specified category of activities.
"VWP permit" means an individual or general permit
issued by the board under § 62.1-44.15:20 of the Code of Virginia that
authorizes activities otherwise unlawful under § 62.1-44.5 of the Code of
Virginia or otherwise serves as the Commonwealth of Virginia's § 401
certification. For any applicant to the Federal Energy Regulatory Commission
for a certificate of public convenience and necessity pursuant to § 7c of
the federal Natural Gas Act (15 USC § 717f(c)) to construct any natural
gas transmission pipeline greater than 36 inches inside diameter, issuance of
an individual VWP permit pursuant to this chapter and a certification issued
pursuant to Article 2.6 (§ 62.1-44.15:80 et seq.) of the State Water Control
Law shall together constitute the certification required under § 401 of the
federal Clean Water Act.
"Water quality standards" means water quality
standards adopted by the board and approved by the administrator of the U.S.
Environmental Protection Agency under § 303 of the Clean Water Act as defined
in 9VAC25-260-5.
"Watershed approach" means an analytical process
for making compensatory mitigation decisions that support the sustainability or
improvement of aquatic resources in a watershed and that ensures authorized
impacts and mitigation have been considered on a watershed scale.
"Wetlands" means those areas that are inundated or
saturated by surface water or groundwater at a frequency and duration
sufficient to support, and that under normal circumstances do support, a
prevalence of vegetation typically adapted for life in saturated soil
conditions. Wetlands generally include swamps, marshes, bogs, and similar
areas.
9VAC25-210-80. Application for a VWP permit.
A. Application for a VWP Permit. Any person who is required
to obtain a VWP permit, except those persons applying for an emergency VWP
permit for a public water supply emergency, shall submit a complete VWP permit
application to the Department of Environmental Quality through the most current
Joint Permit Application procedures established within each type of Joint
Permit Application. The Virginia Department of Transportation (VDOT) may use
its Interagency Coordination Meeting (IACM) process for submitting JPAs. There
shall be no commencement of any activity subject to this chapter prior to the
issuance of a VWP permit or granting VWP general permit coverage.
B. Informational requirements for all VWP individual permit
applications are identified in this subsection with the exception of
applications for emergency VWP permits to address a public water supply
emergency, for which the information required in 9VAC25-210-340 C shall be
submitted. In addition to the information in this subsection, applications
involving a surface water withdrawal or a Federal Energy Regulatory Commission
(FERC) license or relicense associated with a surface water withdrawal shall
also submit the information required in 9VAC25-210-340 B.
1. A complete application for a VWP individual permit, at a
minimum, consists of the following information, if applicable to the project:
a. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
b. If different from applicant, legal name, mailing address,
telephone number, and if applicable, electronic mail address and fax number of
property owner.
c. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
d. Project name and proposed project schedule. This schedule
will be used to determine the VWP permit term.
e. The following information for the project site location,
and any related permittee-responsible compensatory mitigation site:
(1) The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
(2) Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
(3) The latitude and longitude to the nearest second at the
center of the site or sites.
(4) The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
(5) A detailed map depicting the location of the site or
sites, including the project boundary and existing preservation areas on the
site or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle
map) should be of sufficient detail to easily locate the site or sites for
inspection.
f. A narrative description of the project, including project
purpose and need.
g. An alternatives analysis for the proposed project detailing
the specific on-site and off-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site and off-site
measures taken to reduce the size, scope, configuration, or density of the
proposed project, including review of alternative sites where required for the
project, which would avoid or result in less adverse impact to surface waters,
and documentation demonstrating the reason the applicant determined less
damaging alternatives are not practicable. The analysis shall demonstrate to
the satisfaction of the board that avoidance and minimization opportunities
have been identified and measures have been applied to the proposed activity
such that the proposed activity in terms of impacts to state waters and fish
and wildlife resources is the least environmentally damaging practicable
alternative.
h. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
(1) Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
(2) Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
(3) Open water impacts identified according to type; and for
each type, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
(4) A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
(5) A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 1 h (1), 1
h (2), and 1 h (3) of this subsection; and (iii) quantifies and identifies any
other surface waters according to their Cowardin classification (i.e.,
emergent, scrub-shrub, or forested) or similar terminology.
i. Plan view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
(1) North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
(2) Limits of proposed impacts to surface waters.
(3) Location of all existing and proposed structures.
(4) All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; ordinary high water mark in
nontidal areas; tidal wetlands boundary; and mean low water and mean high water
lines in tidal areas.
(5) The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830).
(6) The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
j. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area includes at a
minimum a graphic scale, existing structures, existing and proposed elevations,
limits of surface water areas, ebb and flood or direction of flow (if
applicable), ordinary high water mark in nontidal areas, tidal wetland boundary,
mean low water and mean high water lines in tidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of the proposed impact.
k. Materials assessment. Upon request by the board, the
applicant shall provide evidence or certification that the material is free
from toxic contaminants prior to disposal or that the dredging activity will
not cause or contribute to a violation of water quality standards during
dredging. The applicant may be required to conduct grain size and composition
analyses, tests for specific parameters or chemical constituents, or elutriate
tests on the dredge material.
l. An assessment of potential impacts to federal and state
listed threatened or endangered species, including any correspondence or
documentation from federal or state resource agencies addressing potential impacts
to listed species.
m. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
(1) If permittee-responsible compensation is proposed for
wetland impacts, a conceptual wetland compensatory mitigation plan shall be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of replacement of wetland
acreage and functions; (ii) a detailed location map including latitude and
longitude to the nearest second and the fourth order subbasin, as defined by
the hydrologic unit boundaries of the National Watershed Boundary Dataset, at
the center of the site; (iii) a description of the surrounding land use; (iv) a
hydrologic analysis including a draft water budget for nontidal areas based on
expected monthly inputs and outputs that will project water level elevations
for a typical year, a dry year, and a wet year; (v) groundwater elevation data,
if available, or the proposed location of groundwater monitoring wells to
collect these data; (vi) wetland delineation confirmation, data sheets, and
maps for existing surface water areas on the proposed site or sites; (vii) a
conceptual grading plan; (viii) a conceptual planting scheme including
suggested plant species and zonation of each vegetation type proposed; (ix) a
description of existing soils including general information on both topsoil and
subsoil conditions, permeability, and the need for soil amendments; (x) a draft
design of water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
(2) If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan shall be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-section drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed
restoration measures to be employed including channel measurements, proposed
design flows, types of instream structures, and conceptual planting scheme;
(viii) reference stream data, if available; (ix) inclusion of buffer areas; (x)
schedule for restoration activities; and (xi) measures for the control of
undesirable species.
(3) For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et
seq. of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700
et seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions (a), (b), and (c) of
this subdivision B 1 m (3) or in lieu thereof shall describe the intended
protective mechanism or mechanisms that contain or contains the information
required as follows:
(a) A provision for access to the site;
(b) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(c) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
(4) Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
bank or in-lieu fee program sponsor of the availability of credits at the time
of application.
n. A written description and a graphical depiction identifying
all upland areas including buffers, wetlands, open water, other surface waters,
and compensatory mitigation areas located within the proposed project boundary
or permittee-responsible compensatory mitigation areas, that are under a deed
restriction, conservation easement, restrictive covenant, or other land use
protective instrument (i.e., protected areas). Such description and a graphical
depiction shall include the nature of the prohibited activities within the
protected areas and the limits of Chesapeake Bay Resource Protection Areas (RPAs)
as field-verified by the applicant, and if available, the limits as approved by
the locality in which the project site is located, unless the proposed use is
exempt from the Chesapeake Bay Preservation Area Designation and Management
Regulations (9VAC25-830), as additional state or local requirements may apply
if the project is located within an RPA.
o. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
p. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20. The board will continue to process the application, but the fee must
be received prior to release of a draft VWP permit.
2. Reserved.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more, and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensatory mitigation, including water quality
enhancements as replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Incomplete application.
1. Where an application for an individual permit or
general permit coverage is not accepted as complete by the board within 15
days of receipt, the board shall require the submission of additional
information from the applicant and may suspend processing of any application
until such time as the applicant has supplied the requested information and the
board considers the application complete. Where the applicant becomes aware
that he omitted one or more relevant facts from a VWP permit application or
submitted incorrect information in a VWP permit application or in any report to
the board, the applicant shall immediately submit such facts or the correct
information. A revised application with new information shall be deemed a new
application for purpose of review but shall not require an additional notice or
an additional permit application fee.
2. An incomplete permit application for an
individual permit or general permit coverage may be administratively
withdrawn from processing by the board for failure to provide the required
information after 60 days from the date of the latest written information
request made by the board. The board shall provide (i) notice to the
applicant and (ii) an opportunity for an informal fact-finding proceeding when
administratively withdrawing an incomplete application. Resubmittal of an
application for the same or similar project, after such time that the original
permit application was administratively withdrawn, shall require submittal of
an additional permit application fee and may be subject to additional noticing
requirements.
3. An applicant may request a suspension of application
review by the board. A submission by the applicant making such a request shall
not preclude the board from administratively withdrawing an incomplete
application. Resubmittal of a permit application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee and may be subject to additional noticing requirements.
9VAC25-210-230. Denial of the VWP permit or variance request.
A. The board shall make a decision to tentatively deny the
VWP permit or variance request if the requirements of this chapter are not met.
Basis for denial include, but are not limited to, the following:
1. The project will result in violations of water quality
standards or will impair the beneficial uses of state waters.
2. As a result of project implementation, shellfish waters
would be condemned in accordance with 9VAC25-260.
3. The project that the applicant proposed fails to adequately
avoid and minimize impacts to state waters to the maximum extent practicable.
4. The proposed compensatory mitigation plan is insufficient
or unsatisfactory for the proposed impacts and fails to achieve no net loss of
existing wetland acreage and function and no net loss of functions in all
surface waters.
5. The Department of Game and Inland Fisheries Wildlife
Resources indicates that natural or stockable trout waters would be
permanently and negatively impacted by the proposed activity.
6. The proposed activity is prohibited by 9VAC25-210-50.
7. The effect of project impacts, together with other existing
or proposed impacts to wetlands, will cause or contribute to a significant
impairment of state waters or fish and wildlife resources.
8. Failure to submit the required permit fee in accordance
with 9VAC25-210-80 B 1 g or 9VAC25-210-340 C 1 g.
9. The board determines that the applicant for an Emergency
Virginia Water Protection Permit has not demonstrated that there is a
substantial threat to public health and safety, and that normal Virginia Water
Protection Permit procedures, including public comment provisions, should be
followed.
B. The applicant shall be notified by letter of the board's
preliminary decision to tentatively deny the VWP permit requested.
C. Should the applicant withdraw his application, no VWP
permit or variance will be issued.
D. Should the applicant elect to proceed as originally
proposed, the board may deny the application and advise the applicant pursuant
to § 62.1-44.15:02 of the Code of Virginia of his right to a public hearing to
consider the denial.
9VAC25-210-320. Preapplication procedures for new or expanded
surface water withdrawals.
A. Preapplication review panel. At the request of a potential
applicant for a surface water withdrawal proposing to the Department of
Environmental Quality to withdraw 90 million gallons a month or greater, a
preapplication review panel shall be convened prior to submission of a VWP
application. The preapplication review panel shall assist potential applicants
that are proposing surface water withdrawals with the early identification of
issues related to the protection of beneficial instream and offstream uses of
state waters and the identification of the affected stream reach. DEQ shall
notify the Virginia Marine Resources Commission, the Virginia Institute of
Marine Science, the Virginia Department of Game and Inland Fisheries Wildlife
Resources, the Virginia Department of Conservation and Recreation, the
Virginia Department of Health, the U.S. Army Corps of Engineers, the U.S. Fish
and Wildlife Service, the U.S. Environmental Protection Agency, and other
appropriate local, state, and federal agencies of the preapplication review
panel request. These agencies shall participate to the extent practicable in
the preapplication review panel by providing information and guidance on the
potential natural resource impacts and regulatory implications of the options being
considered by the applicant and shall provide comments within 60 days of the
initial meeting of the preapplication panel.
B. Preapplication public notice. For new or expanded surface
water withdrawals requiring an individual VWP permit and proposing to withdraw
90 million gallons a month or greater, a potential applicant shall provide
information on the project, shall provide an opportunity for public comment on
the proposed project, and shall assist in identifying public concerns or issues
prior to filing a VWP individual permit application.
1. Except as provided in this subsection, the potential
applicant shall provide for publication of notice once a week for two
consecutive weeks in a newspaper of general circulation serving the locality
where the surface water withdrawal is proposed to be located.
2. If requested by any person, the potential applicant shall
hold at least one public information meeting. Notice of any public information
meeting held pursuant to this subsection shall be provided at least 14 days
prior to the public information meeting date and shall be published in the same
manner as required in subdivision 1 of this subsection. A potential applicant
shall submit the notice to DEQ for posting on the DEQ website. At a minimum,
any notice required by this subsection shall include:
a. A statement of the potential applicant's intent to apply
for a VWP permit for a surface water withdrawal;
b. The proposed location of the surface water withdrawal;
c. Information on how the public may request a public
information meeting or, in the alternative, the date, time, and location of the
public information meeting;
d. The name, address, and telephone number of the potential
applicant, or an authorized representative who can answer questions or receive
comments on the proposed surface water withdrawal; and
e. A statement of how oral or written public comments will be
used.
3. In accordance with the provisions of 9VAC25-780-50 C 11 and
9VAC25-780-150, a potential applicant shall not be required to publish public
notice or provide an opportunity for a public information meeting if a public
meeting has been held within two years prior to the submittal of an application
for a VWP permit on a local or regional water supply plan, which includes the
proposed project.
4. The potential applicant shall maintain a list of persons
making comment and their addresses and shall make a good faith effort to notify
commenters at the address provided by the commenter when the public notice for
the draft VWP individual permit is available.
9VAC25-660-50. Notification.
A. Notification to the board will be required prior to
commencing construction, as follows:
1. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed, permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-660-60 B. Compensatory
mitigation may be required for all permanent impacts.
2. An application for coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 2 a or 2 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such restriction,
easement, covenant, or instrument is the result of a federal or state permit
action and is specific to activities in wetlands and compensatory mitigation
sites, the application shall include all of the information required by
9VAC25-660-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 10, 11, 15, and 16 of
9VAC25-660-60 B and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall include
the information in 9VAC25-660-60 B 12.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services, and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of
federal or state listed threatened and endangered species or designated
critical habitat. Based upon consultation with these agencies, the board may
deny application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-660-60. Application.
A. The applicant shall file a complete application in
accordance with 9VAC25-660-50 and this section for coverage under thisVWP
general permit for impacts to nontidal wetlands or open water of less than
one-half acre and up to 300 linear feet of nontidal stream bed.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
4. The existing VWP general permit tracking number, if
applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas (RPAs)
as field-verified by the applicant, and if available, the limits as approved by
the locality in which the project site is located, unless the proposed use is
exempt from the Chesapeake Bay Preservation Area Designation and Management
Regulations (9VAC25-830).
f. The limits of areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification, and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 10 a, 10 b,
and 10 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
11. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed project,
including review of alternative sites where required for the project, which
would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the
satisfaction of the board that avoidance and minimization opportunities have
been identified and measures have been applied to the proposed activity such
that the proposed activity in terms of impacts to state waters and fish and
wildlife resources is the least environmentally damaging practicable
alternative.
12. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
Any compensatory mitigation plan proposing the purchase of mitigation bank or
in-lieu fee program credits shall include the number and type of credits
proposed to be purchased and documentation from the approved bank or in-lieu
fee program sponsor of the availability of credits at the time of application.
13. A copy of the FEMA flood insurance rate map or
FEMA-approved local floodplain map depicting any 100-year floodplains.
14. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
15. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary that are under a deed restriction, conservation easement,
restrictive covenant, or other land use protective instrument (i.e., protected
areas). Such description and a graphical depiction shall include the nature of
the prohibited activities within the protected areas and the limits of
Chesapeake Bay Resource Protection Areas (RPAs) as field-verified by the
applicant, and if available, the limits as approved by the locality in which
the project site is located, unless the proposed use is exempt from the
Chesapeake Bay Preservation Area Designation and Management Regulations
(9VAC25-830), as additional state or local requirements may apply if the
project is located within an RPA.
16. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. Upon receipt of an application from the Department of
Transportation for a road or highway construction project by the appropriate
DEQ office, the board has 10 business days, pursuant to § 33.2-258 of the
Code of Virginia, to review the application and either determine the
information requested in subsection B of this section is complete or inform the
Department of Transportation that additional information is required to make
the application complete. Upon receipt of an application from other applicants
for any type of project, the board has 15 days to review the application and
either determine that the information requested in subsection B of this section
is complete or inform the applicant that additional information is required to
make the application complete. Pursuant to § 33.2-258 of the Code of Virginia,
coverage under this VWP general permit for Department of Transportation road or
highway construction projects shall be approved or approved with conditions, or
the application shall be denied, within 30 business days of receipt of a
complete application. For all other projects, coverage under this VWP general
permit shall be approved or approved with conditions, or the application shall
be denied, within 45 days of receipt of a complete application. If the board
fails to act within the applicable 30 or 45 days on a complete application,
coverage under this VWP general permit shall be deemed granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under this VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of state waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
D. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within the applicable 10 or 15 days of
receipt, the board shall require the submission of additional information from
the applicant and may suspend processing of any application until such time as
the applicant has supplied the requested information and the application is
complete. Where the applicant becomes aware that he omitted one or more relevant
facts from an application, or submitted incorrect information in an application
or in any report to the board, the applicant shall immediately submit such
facts or the correct information. A revised application with new information
shall be deemed a new application for the purposes of review but shall not
require an additional permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-660-100. VWP general permit.
VWP GENERAL PERMIT NO. WP1 FOR IMPACTS LESS THAN ONE-HALF ACRE
UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE VIRGINIA STATE WATER CONTROL
LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations
adopted pursuant thereto, the board has determined that there is a reasonable
assurance that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of state waters or fish and
wildlife resources. In issuing this VWP general permit, the board has not taken
into consideration the structural stability of any proposed activities.
The permanent or temporary impact of less than one-half acre
of nontidal wetlands or open water and up to 300 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this VWP general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts to less than one-half acre of
nontidal wetlands or open water and up to 300 linear feet of nontidal stream
bed. Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with
9VAC25-660-80. An application or request for modification to coverage or
another VWP permit application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-660-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species that
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless otherwise specifically approved by the
Department of Environmental Quality on a case-by-case basis, and as follows:
The requirement to countersink does not apply to extensions or maintenance of
existing pipes and culverts that are not countersunk, floodplain pipes and
culverts being placed above ordinary high water, pipes and culverts being placed
on bedrock, or pipes and culverts required to be placed on slopes 5.0% or
greater. Bedrock encountered during construction must be identified and
approved in advance of a design change where the countersunk condition cannot
be met. Pipes and culverts 24 inches or less in diameter shall be countersunk
three inches below the natural stream bed elevations, and pipes and culverts
greater than 24 inches shall be countersunk at least six inches below the
natural stream bed elevations. Hydraulic capacity shall be determined based on
the reduced capacity due to the countersunk position. In all stream crossings
appropriate measures shall be implemented to minimize any disruption of aquatic
life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992. These controls shall be placed prior to clearing and grading and
maintained in good working order to minimize impacts to state waters. These
controls shall remain in place until the area is stabilized and shall then be
removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted impact area. All denuded
areas shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with the
project shall be accomplished in a manner that minimizes construction or waste
materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude unauthorized disturbances to
these surface waters and compensatory mitigation areas during construction. The
permittee shall notify contractors that no activities are to occur in these
marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary impact
area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their
preconstruction elevations and contours with topsoil from the impact area where
practicable within 30 days following the construction at that stream segment.
Streambanks shall be seeded or planted with the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact area where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary, supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct his activities in accordance
with the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in a Department of Environmental Quality VWP general permit
coverage letter, and shall ensure that all contractors are aware of the
time-of-year restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted stream flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes, and culverts
shall be constructed to minimize the adverse effects on surface waters to the
maximum extent practicable. Access roads constructed above preconstruction
elevations and contours in surface waters must be bridged, piped, or culverted
to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or other
similar structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized by the Department of Environmental Quality. Restoration
shall be the seeding or planting of the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands not to exceed a total of 90 days, provided
the material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a french drain effect). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control
Handbook, Third Edition, 1992.
2. Riprap apron for all outfalls shall be designed in accordance
with the Virginia Erosion and Sediment Control Handbook, Third Edition, 1992.
3. For stream bank protection activities, the structure and
backfill shall be placed as close to the stream bank as practicable. No
material shall be placed in excess of the minimum necessary for erosion
protection.
4. All stream bank protection control structures shall be
located to eliminate or minimize impacts to vegetated wetlands to the maximum
extent practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
F. Stormwater management facilities.
1. Stormwater management facilities shall be installed in
accordance with best management practices and watershed protection techniques
(e.g., vegetated buffers, siting considerations to minimize adverse effects to
aquatic resources, bioengineering methods incorporated into the facility design
to benefit water quality and minimize adverse effects to aquatic resources)
that provide for long-term aquatic resources protection and enhancement, to the
maximum extent practicable.
2. Compensation for unavoidable impacts shall not be allowed
within maintenance areas of stormwater management facilities.
3. Maintenance activities within stormwater management
facilities shall not require additional permit coverage or compensation,
provided that the maintenance activities do not exceed the original contours of
the facility, as approved and constructed, and are accomplished in designated
maintenance areas as indicated in the facility maintenance or design plan or
when unavailable, an alternative plan approved by the Department of
Environmental Quality.
Part II. Construction and Compensation Requirements,
Monitoring, and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit.
2. The types of compensation options that may be considered
for activities covered under this VWP general permit include the purchase of
mitigation bank credits or the purchase of in-lieu fee program credits in
accordance with 9VAC25-660-70 and the associated provisions of 9VAC25-210-116.
3. The final compensation plan shall be submitted to and
approved by the board prior to a construction activity in permitted impacts
areas. The board shall review and provide written comments on the final plan
within 30 days of receipt or it shall be deemed approved. The final plan as
approved by the board shall be an enforceable requirement of any coverage under
this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
B. Impact site construction monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs remain on the
project site and shall depict the impact area and the nonimpacted surface
waters immediately adjacent to and downgradient of each impact area. Each
photograph shall be labeled to include the following information: permit
number, impact area number, date and time of the photograph, name of the person
taking the photograph, photograph orientation, and photograph subject
description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities
within impact areas. Monthly inspections shall be conducted in the following
areas: all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water
areas within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality
standards to the Department of Environmental Quality in accordance with the
procedures in 9VAC25-660-100 Part II C. Corrective measures and additional
monitoring may be required if water quality standards are not met. Reporting
shall not be required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each
station.
C. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first
authorized impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all
authorized impact areas.
5. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are
encountered that require debris removal or involve a potentially toxic
substance. Measures to remove the obstruction, material, or toxic substance or
to change the location of a structure are prohibited until approved by the
Department of Environmental Quality.
6. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate Department
of Environmental Quality regional office shall be notified; otherwise, the
Department of Emergency Management shall be notified at 1-800-468-8892.
7. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
8. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
9. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are significant
penalties for submitting false information, including the possibility of fine
and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
which may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause
for revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with this
VWP general permit constitutes compliance with the VWP permit requirements of
the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. Coverage under this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credentials,
the permittee shall allow the board or any duly authorized agent of the board,
at reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an
emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility,
coverage, or liability, including liability for compliance with the
requirements of enforcement activities related to the authorized activity.
2. The board does not within 15 days notify the current and
new permittees of its intent to modify or revoke and reissue the VWP general
permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-660-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of the
Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to the VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of completing
or canceling all authorized activities requiring notification under
9VAC25-660-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The
director may accept this termination of coverage on behalf of the board. The
permittee shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in surface
waters in accordance with the VWP general permit and general permit coverage,
and that performing activities in surface waters is unlawful where the activity
is not authorized by the VWP permit or coverage, unless otherwise excluded from
obtaining coverage. I also understand that the submittal of this notice does
not release me from liability for any violations of the VWP general permit or
coverage, nor does it allow me to resume the authorized activities without
reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department
of Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit or coverage, nor
does it allow me to resume the authorized activities without reapplication and
coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been
necessary to halt or reduce the activity for which VWP general permit coverage
has been granted in order to maintain compliance with the conditions of the VWP
general permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board information that
the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also
furnish to the board, upon request, copies of records required to be kept by
the permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage under the VWP general
permit, for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or
industrial consumption, for recreation, or for other uses; or
4. On and after October 1, 2001, conduct the following
activities in a wetland:
a. New activities to cause draining that significantly alter
or degrade existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-660-27.
9VAC25-670-50. Notification.
A. Notification to the board will be required prior to
commencing construction, as follows:
1. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-670-60 B. Compensatory
mitigation may be required for all permanent impacts.
2. An application for the coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 2 a or 2 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such
restriction, easement, covenant, or instrument is the result of a federal or
state permit action and is specific to activities in wetlands and compensatory
mitigation sites, the application shall include all of the information required
by 9VAC25-670-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 10, 11, 14, and 15 of
9VAC25-670-60 B and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall
include the information in 9VAC25-670-60 B 12.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of
federal or state listed threatened and endangered species or designated
critical habitat. Based upon consultation with these agencies, the board may
deny application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-670-60. Application.
A. The applicant shall file a complete application in accordance
with 9VAC25-670-50 and this section for coverage under this VWP general permit
for impacts to surface waters from utility activities.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
4. The existing VWP general permit tracking number, if applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location and
any related permittee-responsible compensatory mitigation site:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for
inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay reservation Area Designation and
Management Regulations (9VAC25-830).
f. The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification, and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination, when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 10 a, 10 b,
and 10 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
11. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed
project, including review of alternative sites where required for the project,
which would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the satisfaction
of the board that avoidance and minimization opportunities have been identified
and measures have been applied to the proposed activity such that the proposed
activity in terms of impacts to state waters and fish and wildlife resources is
the least environmentally damaging practicable alternative.
12. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
a. If permittee-responsible compensation is proposed for wetland
impacts, a conceptual wetland compensatory mitigation plan must be submitted in
order for an application to be deemed complete and shall include at a minimum
(i) the goals and objectives in terms of replacement of wetland acreage and
functions; (ii) a detailed location map including latitude and longitude to the
nearest second and the fourth order subbasin, as defined by the hydrologic unit
boundaries of the National Watershed Boundary Dataset, at the center of the
site; (iii) a description of the surrounding land use; (iv) a hydrologic
analysis including a draft water budget for nontidal areas based on expected
monthly inputs and outputs that will project water level elevations for a
typical year, a dry year, and a wet year; (v) groundwater elevation data, if
available, or the proposed location of groundwater monitoring wells to collect
these data; (vi) wetland delineation confirmation, data sheets, and maps for
existing surface water areas on the proposed site or sites; (vii) a conceptual
grading plan; (viii) a conceptual planting scheme including suggested plant
species and zonation of each vegetation type proposed; (ix) a description of
existing soils including general information on both topsoil and subsoil
conditions, permeability, and the need for soil amendments; (x) a draft design
of any water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
b. If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-sectional drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed
restoration measures to be employed including channel measurements, proposed
design flows, types of instream structures, and conceptual planting scheme;
(viii) reference stream data, if available; (ix) inclusion of buffer areas; (x)
schedule for restoration activities; and (xi) measures for the control of
undesirable species.
c. For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et seq.
of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700 et
seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions c (1), c (2), and c (3)
of this subdivision 12 or in lieu thereof shall describe the intended protective
mechanism or mechanisms that contains the information required below:
(1) A provision for access to the site;
(2) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(3) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
d. Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
mitigation bank or in-lieu fee program sponsor of the availability of credits
at the time of application.
13. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
14. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary or permittee-responsible compensatory mitigation areas that
are under a deed restriction, conservation easement, restrictive covenant, or
other land use protective instrument (i.e., protected areas). Such description
and a graphical depiction shall include the nature of the prohibited activities
within the protected areas and the limits of Chesapeake Bay Resource Protection
Areas (RPAs) as field-verified by the applicant, and if available, the limits
as approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830), as additional state or local
requirements may apply if the project is located within an RPA.
15. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensation, including water quality enhancements as
replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Upon receipt of an application by the appropriate DEQ
office, the board has 15 days to review the application and either determine
the information requested in subsection B of this section is complete or inform
the applicant that additional information is required to make the application
complete. Coverage under the VWP general permit shall be approved or approved
with conditions, or the application shall be denied, within 45 days of receipt
of a complete application. If the board fails to act within 45 days on a
complete application, coverage under the VWP general permit shall be deemed
granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under the VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of surface waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
E. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within 15 days of receipt, the board
shall require the submission of additional information from the applicant and
may suspend processing of any application until such time as the applicant has
supplied the requested information and the application is complete. Where the
applicant becomes aware that he omitted one or more relevant facts from an
application, or submitted incorrect information in an application or any report
to the board, the applicant shall immediately submit such facts or the correct
information. A revised application with new information shall be deemed a new
application for the purposes of review but shall not require an additional
permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit application
fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-670-100. VWP general permit.
VWP GENERAL PERMIT NO. WP2 FOR FACILITIES AND ACTIVITIES OF
UTILITIES AND PUBLIC SERVICE COMPANIES REGULATED BY THE FEDERAL ENERGY
REGULATORY COMMISSION OR THE STATE CORPORATION COMMISSION AND OTHER UTILITY
LINE ACTIVITIES UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE VIRGINIA
STATE WATER CONTROL LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations adopted
pursuant thereto, the board has determined that there is a reasonable assurance
that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of surface waters or fish
and wildlife resources. In issuing this VWP general permit, the board has not
taken into consideration the structural stability of any proposed activities.
The permanent or temporary impact of up to one acre of
nontidal wetlands or open water and up to 1,500 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this VWP general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts of up to one acre of nontidal
wetlands or open water and up to 1,500 linear feet of nontidal stream bed.
Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with
9VAC25-670-80. An application or request for modification to coverage or
another VWP permit application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-670-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species which
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless otherwise specifically approved by the
Department of Environmental Quality on a case-by-case basis, and as follows:
The requirement to countersink does not apply to extensions or maintenance of
existing pipes and culverts that are not countersunk, floodplain pipes and
culverts being placed above ordinary high water, pipes and culverts being
placed on bedrock, or pipes and culverts required to be placed on slopes 5.0%
or greater. Bedrock encountered during construction must be identified and
approved in advance of a design change where the countersunk condition cannot
be met. Pipes and culverts 24 inches or less in diameter shall be countersunk
three inches below the natural stream bed elevations, and pipes and culverts
greater than 24 inches shall be countersunk at least six inches below the
natural stream bed elevations. Hydraulic capacity shall be determined based on
the reduced capacity due to the countersunk position. In all stream crossings
appropriate measures shall be implemented to minimize any disruption of aquatic
life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992. These controls shall be placed prior to clearing and grading and
maintained in good working order to minimize impacts to state waters. These
controls shall remain in place until the area is stabilized and shall then be
removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted area. All denuded areas
shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with the
project shall be accomplished in such a manner that minimizes construction or
waste materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material, to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude any unauthorized
disturbances to these surface waters and compensatory mitigation areas during
construction. The permittee shall notify contractors that no activities are to
occur in these marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary
impact area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their preconstruction
elevations and contours with topsoil from the impact area where practicable
within 30 days following the construction at that stream segment. Streambanks
shall be seeded or planted with the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact areas where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary, supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct his activities in accordance
with the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in a Department of Environmental Quality VWP general permit
coverage letter, and shall ensure that all contractors are aware of the time-of-year
restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted steam flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes,
and culverts shall be constructed to minimize the adverse effects on
surface waters to the maximum extent practicable. Access roads constructed
above preconstruction elevations and contours in surface waters must be
bridged, piped, or culverted to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or similar
structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized by the Department of Environmental Quality. Restoration
shall be the seeding or planting of the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands, not to exceed 90 days, provided the
material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a trench drain effect.). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control Handbook,
Third Edition, 1992.
2. Riprap apron for all outfalls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992.
3. For stream bank protection activities, the structure and
backfill shall be placed as close to the stream bank as practicable. No
material shall be placed in excess of the minimum necessary for erosion
protection.
4. All stream bank protection structures shall be located to
eliminate or minimize impacts to vegetated wetlands to the maximum extent
practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
Part II. Construction and Compensation Requirements,
Monitoring, and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit. For all
compensation that requires a protective mechanism, including preservation of
surface waters or buffers, the permittee shall record the approved protective
mechanism in the chain of title to the property, or an equivalent instrument
for government-owned lands, and proof of recordation shall be submitted to the
Department of Environmental Quality prior to commencing impacts in surface
waters.
2. Compensation options that may be considered under this VWP
general permit shall meet the criteria in 9VAC25-210-116 and 9VAC25-670-70.
3. The permittee-responsible compensation site or sites
depicted in the conceptual compensation plan submitted with the application
shall constitute the compensation site. A site change may require a
modification to coverage.
4. For compensation involving the purchase of mitigation bank
credits or the purchase of in-lieu fee program credits, the permittee shall not
initiate work in permitted impact areas until documentation of the mitigation
bank credit purchase or of the in-lieu fee program credit purchase has been
submitted to and received by the Department of Environmental Quality.
5. The final compensationplan shall be submitted to and
approved by the board prior to a construction activity in permitted impact
areas. The board shall review and provide written comments on the final plan
within 30 days of receipt or it shall be deemed approved. The final plan as
approved by the board shall be an enforceable requirement of any coverage under
this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
a. The final permittee-responsible wetlands compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) A summary of the type and acreage of existing wetland
impacts anticipated during the construction of the compensation site and the
proposed compensation for these impacts; a site access plan; a monitoring plan,
including proposed success criteria, monitoring goals, and the location of
photo-monitoring stations, monitoring wells, vegetation sampling points, and
reference wetlands or streams, if available; an abatement and control plan for
undesirable plant species; an erosion and sedimentation control plan; a
construction schedule; and the final protective mechanism for the protection of
the compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to commencing
impacts in surface waters.
b. The final permittee-responsible stream compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) An evaluation, discussion, and plan drawing or drawings of
existing conditions on the proposed compensation stream, including the
identification of functional and physical deficiencies for which the measures
are proposed, and summary of geomorphologic measurements (e.g., stream width,
entrenchment ratio, width-depth ratio, sinuosity, slope, substrate, etc.); a
site access plan; a monitoring plan, including a monitoring and reporting
schedule, monitoring design and methodologies for success, proposed success
criteria, location of photo-monitoring stations, vegetation sampling points,
survey points, bank pins, scour chains, and reference streams; an abatement and
control plan for undesirable plant species; an erosion and sedimentation
control plan, if appropriate; a construction schedule; a plan-view drawing
depicting the pattern and all compensation measures being employed; a profile
drawing; cross-sectional drawing or drawings of the proposed compensation
stream; and the final protective mechanism for the protection of the
compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
6. The following criteria shall apply to permittee-responsible
wetland or stream compensation:
a. The vegetation used shall be native species common to the
area, shall be suitable for growth in local wetland or riparian conditions, and
shall be from areas within the same or adjacent U.S. Department of Agriculture
Plant Hardiness Zone or Natural Resources Conservation Service Land Resource
Region as that of the project site. Planting of woody plants shall occur when
vegetation is normally dormant, unless otherwise approved in the final wetlands
or stream compensation plan or plans.
b. All work in permitted impact areas shall cease if
compensation site construction has not commenced within 180 days of
commencement of project construction, unless otherwise authorized by the board.
c. The Department of Environmental Quality shall be notified
in writing prior to the initiation of construction activities at the compensation
site.
d. Point sources of stormwater runoff shall be prohibited from
entering a wetland compensation site prior to treatment by appropriate best
management practices. Appropriate best management practices may include
sediment traps, grassed waterways, vegetated filter strips, debris screens, oil
and grease separators, or forebays.
e. The success of the compensation shall be based on meeting
the success criteria established in the approved final compensation plan.
f. If the wetland or stream compensation area fails to meet
the specified success criteria in a particular monitoring year, other than the
final monitoring year, the reasons for this failure shall be determined and a
corrective action plan shall be submitted to the Department of Environmental
Quality for approval with or before that year's monitoring report. The
corrective action plan shall contain at a minimum the proposed actions, a
schedule for those actions, and a monitoring plan, and shall be implemented by
the permittee in accordance with the approved schedule. Should significant
changes be necessary to ensure success, the required monitoring cycle shall
begin again, with monitoring year one being the year that the changes are
complete, as confirmed by the Department of Environmental Quality. If the
wetland or stream compensation area fails to meet the specified success
criteria by the final monitoring year or if the wetland or stream compensation
area has not met the stated restoration goals, reasons for this failure shall
be determined and a corrective action plan, including proposed actions, a
schedule, and a monitoring plan, shall be submitted with the final year
monitoring report for Department of Environmental Quality approval. Corrective
action shall be implemented by the permittee in accordance with the approved
schedule. Annual monitoring shall be required to continue until two sequential,
annual reports indicate that all criteria have been successfully satisfied and
the site has met the overall restoration goals (e.g., that corrective actions
were successful).
g. The surveyed wetland boundary for the compensation site
shall be based on the results of the hydrology, soils, and vegetation
monitoring data and shall be shown on the site plan. Calculation of total
wetland acreage shall be based on that boundary at the end of the monitoring
cycle. Data shall be submitted by December 31 of the final monitoring year.
h. Herbicides or algicides shall not be used in or immediately
adjacent to the compensation site or sites without prior authorization by the
board. All vegetation removal shall be done by manual means, unless authorized
by the Department of Environmental Quality in advance.
B. Impact site construction monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs shall remain on
the project site and depict the impact area and the nonimpacted surface waters
immediately adjacent to and downgradient of each impact area. Each photograph
shall be labeled to include the following information: permit number, impact
area number, date and time of the photograph, name of the person taking the
photograph, photograph orientation, and photograph subject description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities
within impact areas. Monthly inspections shall be conducted in the following
areas: all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water
areas within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality
standards to the Department of Environmental Quality in accordance with the
procedures in 9VAC25-670-100 Part II E. Corrective measures and additional
monitoring may be required if water quality standards are not met. Reporting
shall not be required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each
station.
C. Permittee-responsible wetland compensation site
monitoring.
1. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites including invert elevations for all water elevation
control structures and spot elevations throughout the site or sites. Aerial
surveys shall include the variation from actual ground conditions, such as +/-
0.2 feet. Either type of survey shall be certified by a licensed surveyor or by
a registered professional engineer to conform to the design plans. The survey
shall be submitted within 60 days of completing compensation site construction.
Changes or deviations in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
2. Photographs shall be taken at the compensation site or
sites from the permanent markers identified in the final compensation plan, and
established to ensure that the same locations and view directions at the site
or sites are monitored in each monitoring period. These photographs shall be
taken after the initial planting and at a time specified in the final
compensation plan during every monitoring year.
3. Compensation site monitoring shall begin on the first day
of the first complete growing season (monitoring year 1) after wetland
compensation site construction activities, including planting, have been
completed. Monitoring shall be required for monitoring years 1, 2, 3, and 5,
unless otherwise approved by the Department of Environmental Quality. In all
cases, if all success criteria have not been met in the fifth monitoring year,
then monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
4. The establishment of wetland hydrology shall be measured
during the growing season, with the location and number of monitoring wells,
and frequency of monitoring for each site, set forth in the final monitoring
plan. Hydrology monitoring well data shall be accompanied by precipitation
data, including rainfall amounts, either from on site, or from the closest
weather station. Once the wetland hydrology success criteria have been
satisfied for a particular monitoring year, weekly monitoring may be
discontinued for the remainder of that monitoring year following Department of
Environmental Quality approval. After a period of three monitoring years, the
permittee may request that hydrology monitoring be discontinued, providing that
adequate hydrology has been established and maintained. Hydrology monitoring
shall not be discontinued without written approval from the Department of
Environmental Quality.
5. The presence of hydric soils or soils under hydric
conditions shall be evaluated in accordance with the final compensation plan.
6. The establishment of wetland vegetation shall be in
accordance with the final compensation plan. Monitoring shall take place in
August, September, or October during the growing season of each monitoring
year, unless authorized in the monitoring plan.
7. The presence of undesirable plant species shall be
documented.
8. All wetland compensation monitoring reports shall be
submitted in accordance with 9VAC25-670-100 Part II E 6.
D. Permittee-responsible stream compensation and monitoring.
1. Riparian buffer restoration activities shall be detailed in
the final compensation plan and shall include, as appropriate, the planting of
a variety of native species currently growing in the site area, including
appropriate seed mixtures and woody species that are bare root, balled, or
burlapped. A minimum buffer width of 50 feet, measured from the top of the
stream bank at bankfull elevation landward on both sides of the stream, shall
be required where practical.
2. The installation of root wads, vanes, and other instream
structures, shaping of the stream banks, and channel relocation shall be
completed in the dry whenever practicable.
3. Livestock access to the stream and designated riparian
buffer shall be limited to the greatest extent practicable.
4. Stream channel restoration activities shall be conducted in
the dry or during low flow conditions. When site conditions prohibit access
from the streambank or upon prior authorization from the Department of
Environmental Quality, heavy equipment may be authorized for use within the
stream channel.
5. Photographs shall be taken at the compensation site from
the vicinity of the permanent photo-monitoring stations identified in the final
compensation plan. The photograph orientation shall remain constant during all
monitoring events. At a minimum, photographs shall be taken from the center of
the stream, facing downstream, with a sufficient number of photographs to view
the entire length of the restoration site. Photographs shall document the
completed restoration conditions. Photographs shall be taken prior to site
activities, during instream and riparian compensation construction activities,
within one week of completion of activities, and during at least one day of
each monitoring year to depict restored conditions.
6. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites. Aerial surveys shall include the variation from
actual ground conditions, such as +/- 0.2 feet. The survey shall be certified
by the licensed surveyor or by a registered, professional engineer to conform
to the design plans. The survey shall be submitted within 60 days of completing
compensation site construction. Changes or deviations from the final
compensation plans in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
7. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after stream compensation
site construction activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1 and 2, unless otherwise
approved by the Department of Environmental Quality. In all cases, if all
success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
8. All stream compensation site monitoring reports shall be
submitted in accordance with 9VAC25-670-100 Part II E 6.
E. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first permitted
impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all
authorized impact areas.
5. The Department of Environmental Quality shall be notified
in writing prior to the initiation of activities at the permittee-responsible compensation
site. The notification shall include a projected schedule of activities and
construction completion.
6. All permittee-responsible compensation site monitoring
reports shall be submitted annually by December 31, with the exception of the
last year, in which case the report shall be submitted at least 60 days prior
to the expiration of the general permit, unless otherwise approved by the
Department of Environmental Quality.
a. All wetland compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations, vegetative and soil monitoring
stations, monitoring wells, and wetland zones.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Analysis of all hydrology information, including
monitoring well data, precipitation data, and gauging data from streams or
other open water areas, as set forth in the final compensation plan.
(5) Evaluation of hydric soils or soils under hydric
conditions, as appropriate.
(6) Analysis of all vegetative community information,
including woody and herbaceous species, both planted and volunteers, as set
forth in the final compensation plan.
(7) Photographs labeled with the permit number, the name of
the compensation site, the photo-monitoring station number, the photograph
orientation, the date and time of the photograph, the name of the person taking
the photograph, and a brief description of the photograph subject. This
information shall be provided as a separate attachment to each photograph, if
necessary. Photographs taken after the initial planting shall be included in
the first monitoring report after planting is complete.
(8) Discussion of wildlife or signs of wildlife observed at
the compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site.
(10) Discussion of corrective measures or maintenance
activities to control undesirable species, to repair damaged water control
devices, or to replace damaged planted vegetation.
(11) Corrective action plan that includes proposed actions, a
schedule, and monitoring plan.
b. All stream compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations and monitoring stations.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Evaluation and discussion of the monitoring results in
relation to the success criteria and overall goals of compensation.
(5) Photographs shall be labeled with the permit number, the
name of the compensation site, the photo-monitoring station number, the
photograph orientation, the date and time of the photograph, the name of the
person taking the photograph, and a brief description of the photograph
subject. Photographs taken prior to compensation site construction activities,
during instream and riparian restoration activities, and within one week of
completion of activities shall be included in the first monitoring report.
(6) Discussion of alterations, maintenance, or major storm
events resulting in significant change in stream profile or cross section, and
corrective actions conducted at the stream compensation site.
(7) Documentation of undesirable plant species and summary of
abatement and control measures.
(8) Summary of wildlife or signs of wildlife observed at the
compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site, and as-built survey, if applicable.
(10) Corrective action plan that includes proposed actions, a
schedule and monitoring plan.
(11) Additional submittals that were approved by the
Department of Environmental Quality in the final compensation plan.
7. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are
encountered which require debris removal or involve potentially toxic
substance. Measures to remove the obstruction, material, or toxic substance or
to change the location of a structure are prohibited until approved by the
Department of Environmental Quality.
8. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate Department
of Environmental Quality regional office shall be notified; otherwise, the
Department of Emergency Management shall be notified at 1-800-468-8892.
9. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
10. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
11. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are
significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
which may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause
for revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with
this VWP general permit constitutes compliance with the VWP permit requirements
of the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. The issuance of this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credentials,
the permittee shall allow the board or any duly authorized agent of the board,
at reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an
emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility,
coverage, or liability, including liability for compliance with the
requirements of enforcement activities related to the authorized activity.
2. The board does not within the 15 days notify the current
and new permittees of its intent to modify or revoke and reissue the VWP
general permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-670-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of
the Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to the VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of
completing or canceling all authorized activities requiring notification under
9VAC25-670-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The
director may accept this termination of coverage on behalf of the board. The
permittee shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage, nor does it allow me to resume the authorized activities
without reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department of
Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit or coverage, nor
does it allow me to resume the authorized activities without reapplication and
coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been
necessary to halt or reduce the activity for which VWP general permit coverage
has been granted in order to maintain compliance with the conditions of the VWP
general permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board any information
that the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also
furnish to the board, upon request, copies of records required to be kept by
the permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage underthe VWP general permit,
for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or
industrial consumption, for recreation, or for other uses; or
4. On and after October 1, 2001, conduct the following
activities in a wetland:
a. New activities to cause draining that significantly alters
or degrades existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-670-27.
9VAC25-680-50. Notification.
A. Notification to the board will be required prior to
commencing construction, as follows:
1. When the Virginia Department of Transportation is the
applicant for coverage under this VWP general permit, the notification
requirements shall be in accordance with this section and 9VAC25-680-60, unless
otherwise authorized by the Department of Environmental Quality.
2. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-680-60 B. Compensatory
mitigation may be required for all permanent impacts.
3. An application for coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 3 a or 3 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such
restriction, easement, covenant, or instrument is the result of a federal or
state permit action and is specific to activities in wetlands and compensatory
mitigation sites, the application shall include all of the information required
by 9VAC25-680-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 11, 12, 15, and 16 of
9VAC25-680-60 B and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall
include the information in 9VAC25-680-60 B 13.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services, and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of
federal or state listed threatened and endangered species or designated
critical habitat. Based upon consultation with these agencies, the board may
deny application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-680-60. Application.
A. Applications shall be filed with the board as follows:
1. The applicant shall file a complete application in
accordance with 9VAC25-680-50 and this section for coverage under this VWP
general permit for impacts to surface waters from linear transportation
projects.
2. The VDOT may use its monthly IACM process for submitting
applications.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legalname, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, authorized agent's name, mailing address,
telephone number, and if applicable, fax number and electronic mail address.
4. The existing VWP general permit tracking number, if
applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location,
and any related permittee-responsible compensatory mitigation site:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or receiving
waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for
inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830).
f. The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. Materials assessment. Upon request by the board, the
applicant shall provide evidence or certification that the material is free
from toxic contaminants prior to disposal or that the dredging activity will
not cause or contribute to a violation of water quality standards during
dredging. The applicant may be required to conduct grain size and composition
analyses, tests for specific parameters or chemical constituents, or elutriate
tests on the dredge material.
11. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification; and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 11 a, 11 b,
and 11 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
12. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed
project, including review of alternative sites where required for the project,
which would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the
satisfaction of the board that avoidance and minimization opportunities have
been identified and measures have been applied to the proposed activity such
that the proposed activity in terms of impacts to state waters and fish and wildlife
resources is the least environmentally damaging practicable alternative.
13. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
a. If permittee-responsible compensation is proposed for
wetland impacts, a conceptual wetland compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of replacement of wetland acreage
and functions; (ii) a detailed location map including latitude and longitude to
the nearest second and the fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, at the center of
the site; (iii) a description of the surrounding land use; (iv) a hydrologic
analysis including a draft water budget for nontidal areas based on expected
monthly inputs and outputs that will project water level elevations for a
typical year, a dry year, and a wet year; (v) groundwater elevation data, if
available, or the proposed location of groundwater monitoring wells to collect
these data; (vi) wetland delineation confirmation, data sheets, and maps for
existing surface water areas on the proposed site or sites; (vii) a conceptual
grading plan; (viii) a conceptual planting scheme including suggested plant
species and zonation of each vegetation type proposed; (ix) a description of
existing soils including general information on both topsoil and subsoil
conditions, permeability, and the need for soil amendments; (x) a draft design
of any water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
b. If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-sectional drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed
restoration measures to be employed including channel measurements, proposed
design flows, types of instream structures, and conceptual planting scheme;
(viii) reference stream data, if available; (ix) inclusion of buffer areas; (x)
schedule for restoration activities; and (xi) measures for the control of
undesirable species.
c. For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et seq.
of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700 et
seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions c (1), c (2), and c (3)
of this subdivision 13 or in lieu thereof shall describe the intended
protective mechanism or mechanisms that contains the information required
below:
(1) A provision for access to the site;
(2) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(3) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
d. Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
mitigation bank or in-lieu fee program sponsor of the availability of credits
at the time of application.
14. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
15. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary or permittee-responsible compensatory mitigation areas that
are under a deed restriction, conservation easement, restrictive covenant, or
other land use protective instrument (i.e., protected areas). Such description
and a graphical depiction shall include the nature of the prohibited activities
within the protected areas and the limits of Chesapeake Bay Resource Protection
Areas (RPAs) as field-verified by the applicant, and if available, the limits
as approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830), as additional state or local
requirements may apply if the project is located within an RPA.
16. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual with
the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensation, including water quality enhancements as
replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Upon receipt of an application from the Department of
Transportation for a road or highway construction project by the appropriate
DEQ office, the board has 10 business days, pursuant to § 33.2-258 of the
Code of Virginia, to review the application and either determine the information
requested in subsection B of this section is complete or inform the Department
of Transportation that additional information is required to make the
application complete. Upon receipt of an application from other applicants for
any type of project, the board has 15 days to review the application and either
determine the information requested in subsection B of this section is complete
or inform the applicant that additional information is required to make the
application complete. Pursuant to § 33.2-258 of the Code of Virginia,
coverage under this VWP general permit for Department of Transportation road or
highway construction projects shall be approved or approved with conditions, or
the application shall be denied, within 30 business days of receipt of a
complete application. For all other projects, coverage under this VWP general
permit shall be approved or approved with conditions, or the application shall
be denied, within 45 days of receipt of a complete application. If the board
fails to act within the applicable 30 or 45 days on a complete application,
coverage under this VWP general permit shall be deemed granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under this VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of state waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
E. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within the applicable 10 or 15 days of
receipt, the board shall require the submission of additional information from
the applicant and may suspend processing of any application until such time as
the applicant has supplied the requested information and the application is
complete. Where the applicant becomes aware that he omitted one or more
relevant facts from an application, or submitted incorrect information in an
application or in any report to the board, the applicant shall immediately
submit such facts or the correct information. A revised application with new
information shall be deemed a new application for the purposes of review but
shall not require an additional permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-680-100. VWP general permit.
VWP GENERAL PERMIT NO. WP3 FOR LINEAR TRANSPORTATION PROJECTS
UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE VIRGINIA STATE WATER CONTROL
LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations adopted
pursuant thereto, the board has determined that there is a reasonable assurance
that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of state waters or fish and
wildlife resources. In issuing this VWP general permit, the board has not taken
into consideration the structural stability of any proposed activities.
The permanent or temporary impact of up to two acres of
nontidal wetlands or open water and up to 1,500 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this VWP general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts of up to two acres of nontidal
wetlands or open water and up to 1,500 linear feet of nontidal stream bed.
Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with 9VAC25-680-80.
An application or request for modification to coverage or another VWP permit
application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-680-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species which
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless specifically approved by the Department of
Environmental Quality on a case-by-case basis and as follows: The requirement
to countersink does not apply to extensions or maintenance of existing pipes
and culverts that are not countersunk, floodplain pipe and culverts being
placed above ordinary high water, pipes and culverts being placed on bedrock,
or pipes or culverts required to be placed on slopes 5.0% or greater. Bedrock
encountered during construction must be identified and approved in advance of a
design change where the countersunk condition cannot be met. Pipes and culverts
24 inches or less in diameter shall be countersunk three inches below the
natural stream bed elevations, and pipes and culverts greater than 24 inches shall
be countersunk at least six inches below the natural stream bed elevations.
Hydraulic capacity shall be determined based on the reduced capacity due to the
countersunk position. In all stream crossings appropriate measures shall be
implemented to minimize any disruption of aquatic life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992. These controls shall be placed prior to clearing and grading and
maintained in good working order to minimize impacts to state waters. These
controls shall remain in place until the area is stabilized and shall then be
removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted impact area. All denuded
areas shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with the
project shall be accomplished in a manner that minimizes construction or waste
materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material, to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude unauthorized disturbances to
these surface waters and compensatory mitigation areas during construction. The
permittee shall notify contractors that no activities are to occur in these
marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary
impact area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their
preconstruction elevations and contours with topsoil from the impact area where
practicable within 30 days following the construction at that stream segment.
Streambanks shall be seeded or planted with the same vegetation cover type
originally present, including any necessary, supplemental erosion control
grasses. Invasive species identified on the Department of Conservation and
Recreation's Virginia Invasive Plant Species List shall not be used to the
maximum extent practicable or without prior approval from the Department of
Environmental Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact area where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct his activities in accordance
with the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in Department of Environmental Quality VWP general permit
coverage, and shall ensure that all contractors are aware of the time-of-year
restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted stream flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes, and culverts
shall be constructed to minimize the adverse effects on surface waters to the
maximum extent practicable. Access roads constructed above preconstruction
elevations and contours in surface waters must be bridged, piped, or culverted
to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or similar
structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized by the Department of Environmental Quality. Restoration
shall be the seeding or planting of the same vegetation cover type originally
present, including any necessary supplemental erosion control grasses. Invasive
species identified on the Department of Conservation and Recreation's Virginia
Invasive Plant Species List shall not be used to the maximum extent practicable
or without prior approval from the Department of Environmental Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands not to exceed a total of 90 days, provided
the material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a french drain effect). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control
Handbook, Third Edition, 1992.
2. Riprap aprons for all outfalls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992.
3. For bank protection activities, the structure and backfill
shall be placed as close to the stream bank as practicable. No material shall
be placed in excess of the minimum necessary for erosion protection.
4. All stream bank protection structures shall be located to
eliminate or minimize impacts to vegetated wetlands to the maximum extent
practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
F. Dredging.
1. Dredging depths shall be determined and authorized
according to the proposed use and controlling depths outside the area to be
dredged.
2. Dredging shall be accomplished in a manner that minimizes
disturbance of the bottom and minimizes turbidity levels in the water column.
3. If evidence of impaired water quality, such as a fish kill,
is observed during the dredging, dredging operations shall cease, and the
Department of Environmental Quality shall be notified immediately.
4. Barges used for the transportation of dredge material shall
be filled in such a manner to prevent the overflow of dredged materials.
5. Double handling of dredged material in state waters shall
not be permitted.
6. For navigation channels the following shall apply:
a. A buffer of four times the depth of the dredge cut shall be
maintained between the bottom edge of the design channel and the channelward
limit of wetlands, or a buffer of 15 feet shall be maintained from the dredged
cut and the channelward edge of wetlands, whichever is greater. This landward
limit of buffer shall be flagged and inspected prior to construction.
b. Side slope cuts of the dredging area shall not exceed a
two-horizontal-to-one-vertical slope to prevent slumping of material into the
dredged area.
7. A dredged material management plan for the designated
upland disposal site shall be submitted and approved 30 days prior to initial
dredging activity.
8. Pipeline outfalls and spillways shall be located at
opposite ends of the dewatering area to allow for maximum retention and
settling time. Filter fabric shall be used to line the dewatering area and to
cover the outfall pipe to further reduce sedimentation to state waters.
9. The dredge material dewatering area shall be of adequate
size to contain the dredge material and to allow for adequate dewatering and
settling out of sediment prior to discharge back into state waters.
10. The dredge material dewatering area shall utilize an
earthen berm or straw bales covered with filter fabric along the edge of the
area to contain the dredged material, filter bags, or other similar filtering
practices, any of which shall be properly stabilized prior to placing the
dredged material within the containment area.
11. Overtopping of the dredge material containment berms with
dredge materials shall be strictly prohibited.
G. Stormwater management facilities.
1. Stormwater management facilities shall be installed in
accordance with best management practices and watershed protection techniques
(e.g., vegetated buffers, siting considerations to minimize adverse effects to
aquatic resources, bioengineering methods incorporated into the facility design
to benefit water quality and minimize adverse effects to aquatic resources)
that provide for long-term aquatic resources protection and enhancement, to the
maximum extent practicable.
2. Compensation for unavoidable impacts shall not be allowed
within maintenance areas of stormwater management facilities.
3. Maintenance activities within stormwater management
facilities shall not require additional permit coverage or compensation,
provided that the maintenance activities do not exceed the original contours of
the facility, as approved and constructed, and is accomplished in designated
maintenance areas as indicated in the facility maintenance or design plan or
when unavailable, an alternative plan approved by the Department of
Environmental Quality.
Part II. Construction and Compensation Requirements,
Monitoring and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit. For all
compensation that requires a protective mechanism, including preservation of
surface waters or buffers, the permittee shall record the approved protective
mechanism in the chain of title to the property, or an equivalent instrument for
government-owned lands, and proof of recordation shall be submitted to the
Department of Environmental Quality prior to commencing impacts in surface
waters.
2. Compensation options that may be considered under this VWP
general permit shall meet the criteria in 9VAC25-210-116 and 9VAC25-680-70.
3. The permittee-responsible compensation site or sites
depicted in the conceptual compensation plan submitted with the application
shall constitute the compensation site. A site change may require a modification
to coverage.
4. For compensation involving the purchase of mitigation bank
credits or the purchase of in-lieu fee program credits, the permittee shall not
initiate work in permitted impact areas until documentation of the mitigation
bank credit purchase or of the in-lieu fee program credit purchase has been
submitted to and received by the Department of Environmental Quality.
5. The final compensatory mitigation plan shall be submitted
to and approved by the board prior to a construction activity in permitted
impact areas. The board shall review and provide written comments on the final
plan within 30 days of receipt or it shall be deemed approved. The final plan
as approved by the board shall be an enforceable requirement of any coverage
under this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
a. The final permittee-responsible wetlands compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) A summary of the type and acreage of existing wetland
impacts anticipated during the construction of the compensation site and the
proposed compensation for these impacts; a site access plan; a monitoring plan,
including proposed success criteria, monitoring goals, and the location of
photo-monitoring stations, monitoring wells, vegetation sampling points, and
reference wetlands or streams, if available; an abatement and control plan for
undesirable plant species; an erosion and sedimentation control plan; a
construction schedule; and the final protective mechanism for the protection of
the compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
b. The final permittee-responsible stream compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) An evaluation, discussion, and plan drawing or drawings of
existing conditions on the proposed compensation stream, including the
identification of functional and physical deficiencies for which the measures
are proposed, and summary of geomorphologic measurements (e.g., stream width,
entrenchment ratio, width-depth ratio, sinuosity, slope, substrate, etc.); a
site access plan; a monitoring plan, including a monitoring and reporting
schedule, monitoring design and methodologies for success, proposed success
criteria, location of photo-monitoring stations, vegetation sampling points,
survey points, bank pins, scour chains, and reference streams; an abatement and
control plan for undesirable plant species; an erosion and sedimentation
control plan, if appropriate; a construction schedule; a plan-view drawing
depicting the pattern and all compensation measures being employed; a profile
drawing; cross-sectional drawing or drawings of the proposed compensation
stream; and the final protective mechanism for the protection of the
compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
6. The following criteria shall apply to permittee-responsible
wetland or stream compensation:
a. The vegetation used shall be native species common to the
area, shall be suitable for growth in local wetland or riparian conditions, and
shall be from areas within the same or adjacent U.S. Department of Agriculture
Plant Hardiness Zone or Natural Resources Conservation Service Land Resource
Region as that of the project site. Planting of woody plants shall occur when
vegetation is normally dormant, unless otherwise approved in the final wetlands
or stream compensation plan or plans.
b. All work in permitted impact areas shall cease if
compensation site construction has not commenced within 180 days of
commencement of project construction, unless otherwise authorized by the board.
c. The Department of Environmental Quality shall be notified
in writing prior to the initiation of construction activities at the
compensation site.
d. Point sources of stormwater runoff shall be prohibited from
entering a wetland compensation site prior to treatment by appropriate best
management practices. Appropriate best management practices may include
sediment traps, grassed waterways, vegetated filter strips, debris screens, oil
and grease separators, or forebays.
e. The success of the compensation shall be based on meeting
the success criteria established in the approved final compensation plan.
f. If the wetland or stream compensation area fails to meet
the specified success criteria in a particular monitoring year, other than the
final monitoring year, the reasons for this failure shall be determined and a
corrective action plan shall be submitted to the Department of Environmental
Quality for approval with or before that year's monitoring report. The
corrective action plan shall contain at minimum the proposed actions, a
schedule for those actions, and a monitoring plan, and shall be implemented by
the permittee in accordance with the approved schedule. Should significant
changes be necessary to ensure success, the required monitoring cycle shall
begin again, with monitoring year one being the year that the changes are
complete as confirmed by the Department of Environmental Quality. If the
wetland or stream compensation area fails to meet the specified success
criteria by the final monitoring year or if the wetland or stream compensation
area has not met the stated restoration goals, reasons for this failure shall
be determined and a corrective action plan, including proposed actions, a
schedule, and a monitoring plan, shall be submitted with the final year
monitoring report for the Department of Environmental Quality approval.
Corrective action shall be implemented by the permittee in accordance with the
approved schedule. Annual monitoring shall be required to continue until two
sequential, annual reports indicate that all criteria have been successfully
satisfied and the site has met the overall restoration goals (e.g., that
corrective actions were successful).
g.The surveyed wetland boundary for the compensation site
shall be based on the results of the hydrology, soils, and vegetation
monitoring data and shall be shown on the site plan. Calculation of total
wetland acreage shall be based on that boundary at the end of the monitoring
cycle. Data shall be submitted by December 31 of the final monitoring year.
h. Herbicides or algicides shall not be used in or immediately
adjacent to the compensation site or sites without prior authorization by the
board. All vegetation removal shall be done by manual means only, unless
authorized by the Department of Environmental Quality in advance.
B. Impact site construction monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs shall remain on
the project site and depict the impact area and the nonimpacted surface waters
immediately adjacent to and downgradient of each impact area. Each photograph
shall be labeled to include the following information: permit number, impact
area number, date and time of the photograph, name of the person taking the
photograph, photograph orientation, and photograph subject description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities
within impact areas. Monthly inspections shall be conducted in the following
areas: all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water areas
within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality
standards to the Department of Environmental Quality in accordance with the
procedures in 9VAC25-680-100 Part II E. Corrective measures and additional
monitoring may be required if water quality standards are not met. Reporting
shall not be required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each station.
C. Permittee-responsible wetland compensation site
monitoring.
1. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites, including invert elevations for all water elevation
control structures and spot elevations throughout the site or sites. Aerial
surveys shall include the variation from actual ground conditions, such as +/-
0.2 feet. Either type of survey shall be certified by a licensed surveyor or by
a registered professional engineer to conform to the design plans. The survey
shall be submitted within 60 days of completing compensation site construction.
Changes or deviations in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
2. Photographs shall be taken at the compensation site or
sites from the permanent markers identified in the final compensation plan, and
established to ensure that the same locations and view directions at the site
or sites are monitored in each monitoring period. These photographs shall be
taken after the initial planting and at a time specified in the final
compensation plan during every monitoring year.
3. Compensation site monitoring shall begin on the first day
of the first complete growing season (monitoring year 1) after wetland
compensation site construction activities, including planting, have been
completed. Monitoring shall be required for monitoring years 1, 2, 3, and 5,
unless otherwise approved by the Department of Environmental Quality. In all
cases, if all success criteria have not been met in the final monitoring year,
then monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
4. The establishment of wetland hydrology shall be measured
weekly during the growing season, with the location and number of monitoring
wells, and frequency of monitoring for each site, set forth in the final
monitoring plan. Hydrology monitoring well data shall be accompanied by
precipitation data, including rainfall amounts, either from on site or from the
closest weather station. Once the wetland hydrology success criteria have been
satisfied for a particular monitoring year, monitoring may be discontinued for
the remainder of that monitoring year following Department of Environmental
Quality approval. After a period of three monitoring years, the permittee may
request that hydrology monitoring be discontinued, providing that adequate hydrology
has been established and maintained. Hydrology monitoring shall not be
discontinued without written approval from the Department of Environmental
Quality.
5. The presence of hydric soils or soils under hydric
conditions shall be evaluated in accordance with the final compensation plan.
6. The establishment of wetland vegetation shall be in
accordance with the final compensation plan. Monitoring shall take place in
August, September, or October during the growing season of each monitoring
year, unless otherwise authorized in the monitoring plan.
7. The presence of undesirable plant species shall be
documented.
8. All wetland compensation monitoring reports shall be
submitted in accordance with 9VAC25-680-100 Part II E 6.
D. Permittee-responsible stream compensation and monitoring.
1. Riparian buffer restoration activities shall be detailed in
the final compensation plan and shall include, as appropriate, the planting of
a variety of native species currently growing in the site area, including appropriate
seed mixtures and woody species that are bare root, balled, or burlapped. A
minimum buffer width of 50 feet, measured from the top of the stream bank at
bankfull elevation landward on both sides of the stream, shall be required
where practical.
2. The installation of root wads, vanes, and other instream
structures, shaping of the stream banks and channel relocation shall be
completed in the dry whenever practicable.
3. Livestock access to the stream and designated riparian
buffer shall be limited to the greatest extent practicable.
4. Stream channel restoration activities shall be conducted in
the dry or during low flow conditions. When site conditions prohibit access
from the streambank or upon prior authorization from the Department of
Environmental Quality, heavy equipment may be authorized for use within the
stream channel.
5. Photographs shall be taken at the compensation site from
the vicinity of the permanent photo-monitoring stations identified in the final
compensation plan. The photograph orientation shall remain constant during all
monitoring events. At a minimum, photographs shall be taken from the center of
the stream, facing downstream, with a sufficient number of photographs to view
the entire length of the restoration site. Photographs shall document the
completed restoration conditions. Photographs shall be taken prior to site
activities, during instream and riparian compensation construction activities,
within one week of completion of activities, and during at least one day of each
monitoring year to depict restored conditions.
6. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites. Aerial surveys shall include the variation from
actual ground conditions, such as +/- 0.2 feet. The survey shall be certified
by the licensed surveyor or by a registered, professional engineer to conform
to the design plans. The survey shall be submitted within 60 days of completing
compensation site construction. Changes or deviations from the final
compensation plans in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
7. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after stream compensation
site constructions activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1 and 2, unless otherwise
approved by the Department of Environmental Quality. In all cases, if all
success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
8. All stream compensation site monitoring reports shall be
submitted in accordance with 9VAC25-680-100 Part II E 6.
E. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first permitted
impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all
authorized impact areas.
5. The Department of Environmental Quality shall be notified
in writing prior to the initiation of activities at the permittee-responsible
compensation site. The notification shall include a projected schedule of
activities and construction completion.
6. All permittee-responsible compensation site monitoring
reports shall be submitted annually by December 31, with the exception of the
last year, in which case the report shall be submitted at least 60 days prior
to the expiration of the general permit, unless otherwise approved by the
Department of Environmental Quality.
a. All wetland compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations, vegetative and soil monitoring
stations, monitoring wells, and wetland zones.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Analysis of all hydrology information, including monitoring
well data, precipitation data, and gauging data from streams or other open
water areas, as set forth in the final compensation plan.
(5) Evaluation of hydric soils or soils under hydric
conditions, as appropriate.
(6) Analysis of all vegetative community information,
including woody and herbaceous species, both planted and volunteers, as set
forth in the final compensation plan.
(7) Photographs labeled with the permit number, the name of
the compensation site, the photo-monitoring station number, the photograph
orientation, the date and time of the photograph, the name of the person taking
the photograph, and a brief description of the photograph subject. This
information shall be provided as a separate attachment to each photograph, if
necessary. Photographs taken after the initial planting shall be included in
the first monitoring report after planting is complete.
(8) Discussion of wildlife or signs of wildlife observed at
the compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site.
(10) Discussion of corrective measures or maintenance
activities to control undesirable species, to repair damaged water control
devices, or to replace damaged planted vegetation.
(11) Corrective action plan that includes proposed actions, a
schedule, and monitoring plan.
b. All stream compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations and monitoring stations.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Evaluation and discussion of the monitoring results in
relation to the success criteria and overall goals of compensation.
(5) Photographs shall be labeled with the permit number, the
name of the compensation site, the photo-monitoring station number, the
photograph orientation, the date and time of the photograph, the name of the
person taking the photograph, and a brief description of the photograph
subject. Photographs taken prior to compensation site construction activities,
during instream and riparian restoration activities, and within one week of
completion of activities shall be included in the first monitoring report.
(6) Discussion of alterations, maintenance, or major storm
events resulting in significant change in stream profile or cross section, and
corrective actions conducted at the stream compensation site.
(7) Documentation of undesirable plant species and summary of
abatement and control measures.
(8) Summary of wildlife or signs of wildlife observed at the
compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site, and as-built survey, if applicable.
(10) Corrective action plan that includes proposed actions, a
schedule and monitoring plan.
(11) Additional submittals that were approved by the
Department of Environmental Quality in the final compensation plan.
7. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are
encountered which require debris removal or involve potentially toxic
substance. Measures to remove the obstruction, material, or toxic substance or
to change the location of a structure are prohibited until approved by the
Department of Environmental Quality.
8. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate
Department of Environmental Quality regional office shall be notified; otherwise,
the Department of Emergency Management shall be notified at 1-800-468-8892.
9. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
10. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
11. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are
significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
that may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause
for revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with
this VWP general permit constitutes compliance with the VWP permit requirements
of the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. The issuance of this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credentials,
the permittee shall allow the board or any duly authorized agent of the board,
at reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility,
coverage, or liability, including liability for compliance with the
requirements of enforcement activities related to the authorized activity.
2. The board does not within 15 days notify the current and
new permittees of its intent to modify or revoke and reissue the VWP general
permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-680-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of the
Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of
completing or canceling all authorized activities requiring notification under
9VAC25-680-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The director
may accept this termination of coverage on behalf of the board. The permittee
shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage, nor does it allow me to resume the authorized activities
without reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department
of Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit authorization or
coverage, nor does it allow me to resume the authorized activities without
reapplication and coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been necessary
to halt or reduce the activity for which VWP general permit coverage has been
granted in order to maintain compliance with the conditions of the VWP general
permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board any information
that the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also furnish
to the board, upon request, copies of records required to be kept by the
permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage under the VWP general
permit, for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or industrial
consumption, for recreation, or for other uses; or
4. On and after August 1, 2001, for linear transportation
projects of the Virginia Department of Transportation, or on and after October
1, 2001, for all other projects, conduct the following activities in a wetland:
a. New activities to cause draining that significantly alters
or degrades existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-680-27.
9VAC25-690-50. Notification.
A. Notification to the board will be required prior to
commencing construction as follows:
1. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-690-60 B. Compensatory
mitigation may be required for all permanent impacts.
2. An application for coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 2 a or 2 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such
restriction, easement, covenant, or instrument is the result of a federal or
state permit action and is specific to activities in wetlands and compensatory
mitigation sites, the application shall include all of the information required
by 9VAC25-690-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 11, 12, 15, and 16 of
9VAC25-690-60 B, and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall
include the information in 9VAC25-690-60 B 13.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of federal
or state listed threatened and endangered species or designated critical
habitat. Based upon consultation with these agencies, the board may deny
application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-690-60. Application.
A. The applicant shall file a complete application in
accordance with 9VAC25-690-50 and this section for coverage under this VWP
general permit for impacts to surface waters from development and certain
mining activities.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
4. The existing VWP general permit tracking number, if
applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location,
and any related permittee-responsible compensatory mitigation site:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for
inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830).
f. The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. Materials assessment. Upon request by the board, the
applicant shall provide evidence or certification that the material is free
from toxic contaminants prior to disposal or that the dredging activity will
not cause or contribute to a violation of water quality standards during
dredging. The applicant may be required to conduct grain size and composition
analyses, tests for specific parameters or chemical constituents, or elutriate tests
on the dredge material.
11. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification, and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 11 a, 11 b,
and 11 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
12. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed
project, including review of alternative sites where required for the project,
which would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the
satisfaction of the board that avoidance and minimization opportunities have
been identified and measures have been applied to the proposed activity such
that the proposed activity in terms of impacts to state waters and fish and
wildlife resources is the least environmentally damaging practicable
alternative.
13. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
a. If permittee-responsible compensation is proposed for
wetland impacts, a conceptual wetland compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of replacement of wetland
acreage and functions; (ii) a detailed location map including latitude and
longitude to the nearest second and the fourth order subbasin, as defined by
the hydrologic unit boundaries of the National Watershed Boundary Dataset, at the
center of the site; (iii) a description of the surrounding land use; (iv) a
hydrologic analysis including a draft water budget for nontidal areas based on
expected monthly inputs and outputs that will project water level elevations
for a typical year, a dry year, and a wet year; (v) groundwater elevation data,
if available, or the proposed location of groundwater monitoring wells to
collect these data; (vi) wetland delineation confirmation, data sheets, and
maps for existing surface water areas on the proposed site or sites; (vii) a
conceptual grading plan; (viii) a conceptual planting scheme including
suggested plant species and zonation of each vegetation type proposed; (ix) a
description of existing soils including general information on both topsoil and
subsoil conditions, permeability, and the need for soil amendments; (x) a draft
design of any water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
b. If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-sectional drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed restoration
measures to be employed including channel measurements, proposed design flows,
types of instream structures, and conceptual planting scheme; (viii) reference
stream data, if available; (ix) inclusion of buffer areas; (x) schedule for
restoration activities; and (xi) measures for the control of undesirable
species.
c. For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et seq.
of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700 et
seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions c (1), c (2), and c (3)
of this subdivision 13 or in lieu thereof shall describe the intended
protective mechanism or mechanisms that contains the information required
below:
(1) A provision for access to the site;
(2) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(3) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
d. Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
bank or in-lieu fee program sponsor of the availability of credits at the time
of application.
14. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
15. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary or permittee-responsible compensatory mitigation areas that
are under a deed restriction, conservation easement, restrictive covenant, or
other land use protective instrument (i.e., protected areas). Such description
and a graphical depiction shall include the nature of the prohibited activities
within the protected areas and the limits of Chesapeake Bay Resource Protection
Areas (RPAs) as field-verified by the applicant, and if available, the limits
as approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830), as additional state or local requirements
may apply if the project is located within an RPA.
16. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensation, including water quality enhancements as
replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Upon receipt of an application by the appropriate DEQ
office, the board has 15 days to review the application and either determine
the information requested in subsection B of this section is complete or inform
the applicant that additional information is required to make the application
complete. Coverage under this VWP general permit shall be approved or approved
with conditions, or the application shall be denied, within 45 days of receipt
of a complete application. If the board fails to act within 45 days on a
complete application, coverage under this VWP permit general permit shall be
deemed granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under this VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of state waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
E. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within 15 days of receipt, the board
shall require the submission of additional information from the applicant and
may suspend processing of any application until such time as the applicant has
supplied the requested information and the application is complete. Where the
applicant becomes aware that he omitted one or more relevant facts from an
application, or submitted incorrect information in an application or in any
report to the board, the applicant shall immediately submit such facts or the
correct information. A revised application with new information shall be deemed
a new application for purposes of review but shall not require an additional
permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-690-100. VWP general permit.
VWP GENERAL PERMIT NO. WP4 FOR IMPACTS FROM DEVELOPMENT AND
CERTAIN MINING ACTIVITIES UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE
VIRGINIA STATE WATER CONTROL LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations adopted
pursuant thereto, the board has determined that there is a reasonable assurance
that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of state waters or fish and
wildlife resources. In issuing this VWP general permit, the board has not taken
into consideration the structural stability of any proposed activities.
The permanent or temporary impact of up to two acres of
nontidal wetlands or open water and up to 1,500 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts of up to two acres of nontidal
wetlands or open water and up to 1,500 linear feet of nontidal stream bed.
Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with
9VAC25-690-80. An application or request for modification to coverage or
another VWP permit application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-690-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species which
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless otherwise specifically approved by the
Department of Environmental Quality on a case-by-case basis, and as follows:
The requirement to countersink does not apply to extensions or maintenance of
existing pipes and culverts that are not countersunk, floodplain pipes and
culverts being placed above ordinary high water, pipes and culverts being
placed on bedrock, or pipes and culverts required to be placed on slopes 5.0%
or greater. Bedrock encountered during construction must be identified and
approved in advance of a design change where the countersunk condition cannot
be met. Pipes and culverts 24 inches or less in diameter shall be countersunk
three inches below the natural stream bed elevations, and pipes and culverts
greater than 24 inches shall be countersunk at least six inches below the
natural stream bed elevations. Hydraulic capacity shall be determined based on
the reduced capacity due to the countersunk position. In all stream crossings
appropriate measures shall be implemented to minimize any disruption of aquatic
life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992, or for mining activities covered by this general permit, the
standards issued by the Virginia Department of Mines, Minerals and Energy that
are effective as those in the Virginia Erosion and Sediment Control Handbook,
Third Edition, 1992. These controls shall be placed prior to clearing and
grading and maintained in good working order to minimize impacts to state
waters. These controls shall remain in place until the area is stabilized and
shall then be removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted impact area. All denuded
areas shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with
theproject shall be accomplished in a manner that minimizes construction or
waste materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily-impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude unauthorized disturbances to
these surface waters and compensatory mitigation areas during construction. The
permittee shall notify contractors that no activities are to occur in these
marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary
impact area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their
preconstruction elevations and contours with topsoil from the impact area where
practicable within 30 days following the construction at that stream segment.
Streambanks shall be seeded or planted with the same vegetation cover type
originally present, including any necessary supplemental erosion control
grasses. Invasive species identified on the Department of Conservation and
Recreation's Virginia Invasive Plant Species List shall not be used to the
maximum extent practicable or without prior approval from the Department of
Environmental Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact area where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct activities in accordance with
the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in Department of Environmental Quality VWP general permit
coverage, and shall ensure that all contractors are aware of the time-of-year
restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted stream flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes, and culverts
shall be constructed to minimize the adverse effects on surface waters to the
maximum extent practicable. Access roads constructed above preconstruction
elevations and contours in surface waters must be bridged, piped, or culverted
to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or similar
structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized the Department of Environmental Quality. Restoration shall
be the seeding of planting of the same vegetation cover type originally
present, including any necessary supplemental erosion control grasses. Invasive
specifies identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands not to exceed a total of 90 days, provided
the material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a french drain effect.). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control
Handbook, Third Edition, 1992.
2. Riprap apron for all outfalls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992.
3. For stream bank protection activities, the structure and
backfill shall be placed as close to the stream bank as practicable. No
material shall be placed in excess of the minimum necessary for erosion
protection.
4. All stream bank protection structures shall be located to
eliminate or minimize impacts to vegetated wetlands to the maximum extent
practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
F. Dredging.
1. Dredging depths shall be determined and authorized
according to the proposed use and controlling depths outside the area to be
dredged.
2. Dredging shall be accomplished in a manner that minimizes
disturbance of the bottom and minimizes turbidity levels in the water column.
3. If evidence of impaired water quality, such as a fish kill,
is observed during the dredging, dredging operations shall cease, and the
Department of Environmental Quality shall be notified immediately.
4. Barges used for the transportation of dredge material shall
be filled in such a manner to prevent the overflow of dredged materials.
5. Double handling of dredged material in state waters shall
not be permitted.
6. For navigation channels the following shall apply:
a. A buffer of four times the depth of the dredge cut shall be
maintained between the bottom edge of the design channel and the channelward
limit of wetlands, or a buffer of 15 feet shall be maintained from the dredged
cut and the channelward edge of wetlands, whichever is greater. This landward
limit of buffer shall be flagged and inspected prior to construction.
b. Side slope cuts of the dredging area shall not exceed a
two-horizontal-to-one-vertical slope to prevent slumping of material into the
dredged area.
7. A dredged material management plan for the designated
upland disposal site shall be submitted and approved 30 days prior to initial
dredging activity.
8. Pipeline outfalls and spillways shall be located at
opposite ends of the dewatering area to allow for maximum retention and
settling time. Filter fabric shall be used to line the dewatering area and to
cover the outfall pipe to further reduce sedimentation to state waters.
9. The dredge material dewatering area shall be of adequate
size to contain the dredge material and to allow for adequate dewatering and
settling out of sediment prior to discharge back into state waters.
10. The dredge material dewatering area shall utilize an
earthen berm or straw bales covered with filter fabric along the edge of the
area to contain the dredged material, filter bags, or other similar filtering
practices, any of which shall be properly stabilized prior to placing the
dredged material within the containment area.
11. Overtopping of the dredge material containment berms with
dredge materials shall be strictly prohibited.
G. Stormwater management facilities.
1. Stormwater management facilities shall be installed in accordance
with best management practices and watershed protection techniques (e.g.,
vegetated buffers, siting considerations to minimize adverse effects to aquatic
resources, bioengineering methods incorporated into the facility design to
benefit water quality and minimize adverse effects to aquatic resources) that
provide for long-term aquatic resources protection and enhancement, to the
maximum extent practicable.
2. Compensation for unavoidable impacts shall not be allowed
within maintenance areas of stormwater management facilities.
3. Maintenance activities within stormwater management
facilities shall not require additional permit coverage or compensation
provided that the maintenance activities do not exceed the original contours of
the facility, as approved and constructed, and is accomplished in designated
maintenance areas as indicated in the facility maintenance or design plan or
when unavailable, an alternative plan approved by the Department of
Environmental Quality.
Part II. Construction and Compensation Requirements,
Monitoring, and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit. For all
compensation that requires a protective mechanism, including preservation of
surface waters or buffers, the permittee shall record the approved protective
mechanism in the chain of title to the property, or an equivalent instrument
for government-owned lands, and proof of recordation shall be submitted to the
Department of Environmental Quality prior to commencing impacts in surface
waters.
2. Compensation options that may be considered under this VWP
general permit shall meet the criteria in 9VAC25-210-116 and 9VAC25-690-70.
3. The permittee-responsible compensation site or sites
depicted in the conceptual compensation plan submitted with the application
shall constitute the compensation site. A site change may require a
modification to coverage.
4. For compensation involving the purchase of mitigation bank
credits or the purchase of in-lieu fee program credits, the permittee shall not
initiate work in permitted impact areas until documentation of the mitigation
bank credit purchase or of the in-lieu fee program credit purchase has been
submitted to and received by the Department of Environmental Quality.
5. The final compensation plan shall be submitted to and
approved by the board prior to a construction activity in permitted impact
areas. The board shall review and provide written comments on the final plan
within 30 days of receipt or it shall be deemed approved. The final plan as
approved by the board shall be an enforceable requirement of any coverage under
this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
a. The final permittee-responsible wetlands compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) A summary of the type and acreage of existing wetland
impacts anticipated during the construction of the compensation site and the
proposed compensation for these impacts; a site access plan; a monitoring plan,
including proposed success criteria, monitoring goals, and the location of
photo-monitoring stations, monitoring wells, vegetation sampling points, and
reference wetlands or streams, if available; an abatement and control plan for
undesirable plant species; an erosion and sedimentation control plan; a
construction schedule; and the final protective mechanism for the compensation
site or sites, including all surface waters and buffer areas within its
boundaries.
(3) The approved protective mechanism. The protective mechanism
shall be recorded in the chain of title to the property, or an equivalent
instrument for government-owned lands, and proof of recordation shall be
submitted to the Department of Environmental Quality prior to commencing
impacts in surface waters.
b. The final permittee-responsible stream compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) An evaluation, discussion, and plan drawing or drawings of
existing conditions on the proposed compensation stream, including the
identification of functional and physical deficiencies for which the measures
are proposed, and summary of geomorphologic measurements (e.g., stream width,
entrenchment ratio, width-depth ratio, sinuosity, slope, substrate, etc.); a
site access plan; a monitoring plan, including a monitoring and reporting
schedule, monitoring design and methodologies for success, proposed success
criteria, location of photo-monitoring stations, vegetation sampling points,
survey points, bank pins, scour chains, and reference streams; an abatement and
control plan for undesirable plant species; an erosion and sedimentation
control plan, if appropriate; a construction schedule; a plan-view drawing
depicting the pattern and all compensation measures being employed; a profile
drawing; cross-sectional drawing or drawings of the proposed compensation
stream; and the final protective mechanism for the protection of the
compensation site or sites, including all surface waters and buffer areas within
its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
6. The following criteria shall apply to permittee-responsible
wetland or stream compensation:
a. The vegetation used shall be native species common to the
area, shall be suitable for growth in local wetland or riparian conditions, and
shall be from areas within the same or adjacent U.S. Department of Agriculture
Plant Hardiness Zone or Natural Resources Conservation Service Land Resource
Region as that of the project site. Planting of woody plants shall occur when
vegetation is normally dormant, unless otherwise approved in the final wetlands
or stream compensation plan or plans.
b. All work in permitted impact areas shall cease if
compensation site construction has not commenced within 180 days of
commencement of project construction, unless otherwise authorized by the board.
c. The Department of Environmental Quality shall be notified
in writing prior to the initiation of construction activities at the
compensation site.
d. Point sources of stormwater runoff shall be prohibited from
entering a wetland compensation site prior to treatment by appropriate best
management practices. Appropriate best management practices may include
sediment traps, grassed waterways, vegetated filter strips, debris screens, oil
and grease separators, or forebays.
e. The success of the compensation shall be based on meeting
the success criteria established in the approved final compensation plan.
f. If the wetland or stream compensation area fails to meet
the specified success criteria in a particular monitoring year, other than the
final monitoring year, the reasons for this failure shall be determined, and a
corrective action plan shall be submitted to the Department of Environmental
Quality for approval with or before that year's monitoring report. The
corrective action plan shall contain at minimum the proposed actions, a
schedule for those actions, and a monitoring plan, and shall be implemented by
the permittee in accordance with the approved schedule. Should significant
changes be necessary to ensure success, the required monitoring cycle shall
begin again, with monitoring year one being the year that the changes are
complete, as confirmed by the Department of Environmental Quality. If the wetland
or stream compensation area fails to meet the specified success criteria by the
final monitoring year or if the wetland or stream compensation area has not met
the stated restoration goals, reasons for this failure shall be determined and
a corrective action plan, including proposed actions, a schedule, and a
monitoring plan, shall be submitted with the final year monitoring report for
Department of Environmental Quality approval. Corrective action shall be
implemented by the permittee in accordance with the approved schedule. Annual
monitoring shall be required to continue until two sequential, annual reports
indicate that all criteria have been successfully satisfied and the site has
met the overall restoration goals (e.g., that corrective actions were
successful).
g. The surveyed wetland boundary for the wetlands compensation
site shall be based on the results of the hydrology, soils, and vegetation
monitoring data and shall be shown on the site plan. Calculation of total
wetland acreage shall be based on that boundary at the end of the monitoring
cycle. Data shall be submitted by December 31 of the final monitoring year.
h. Herbicides or algicides shall not be used in or immediately
adjacent to the wetlands or stream compensation site or sites without prior
authorization by the board. All vegetation removal shall be done by manual
means, unless authorized by the Department of Environmental Quality in advance.
B. Impact site construction
monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs shall remain on
the project site and depict the impact area and the nonimpacted surface waters
immediately adjacent to and downgradient of each impact area. Each photograph
shall be labeled to include the following information: permit number, impact
area number, date and time of the photograph, name of the person taking the
photograph, photograph orientation, and photograph subject description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities within
impact areas. Monthly inspections shall be conducted in the following areas:
all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water
areas within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality standards
to the Department of Environmental Quality in accordance with the procedures in
9VAC25-690-100 Part II E. Corrective measures and additional monitoring may be
required if water quality standards are not met. Reporting shall not be
required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each
station.
C. Permittee-responsible wetland compensation site
monitoring.
1. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites including invert elevations for all water elevation
control structures and spot elevations throughout the site or sites. Aerial
surveys shall include the variation from actual ground conditions, such as +/-
0.2 feet. Either type of survey shall be certified by a licensed surveyor or by
a registered professional engineer to conform to the design plans. The survey
shall be submitted within 60 days of completing compensation site construction.
Changes or deviations in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
2. Photographs shall be taken at the compensation site or
sites from the permanent markers identified in the final compensation plan, and
established to ensure that the same locations and view directions at the site
or sites are monitored in each monitoring period. These photographs shall be
taken after the initial planting and at a time specified in the final
compensation plan during every monitoring year.
3. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after wetland compensation
site construction activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1, 2, 3, and 5, unless
otherwise approved by the Department of Environmental Quality. In all cases, if
all success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
4. The establishment of wetland hydrology shall be measured
during the growing season, with the location and number of monitoring wells,
and frequency of monitoring for each site, set forth in the final monitoring
plan. Hydrology monitoring well data shall be accompanied by precipitation
data, including rainfall amounts either from on site or from the closest
weather station. Once the wetland hydrology success criteria have been
satisfied for a particular monitoring year, monitoring may be discontinued for
the remainder of that monitoring year following Department of Environmental
Quality approval. After a period of three monitoring years, the permittee may
request that hydrology monitoring be discontinued, providing that adequate
hydrology has been established and maintained. Hydrology monitoring shall not
be discontinued without written approval from the Department of Environmental
Quality.
5. The presence of hydric soils or soils under hydric
conditions shall be evaluated in accordance with the final compensation plan.
6. The establishment of wetland vegetation shall be in
accordance with the final compensation plan. Monitoring shall take place in
August, September, or October during the growing season of each monitoring
year, unless otherwise authorized in the monitoring plan.
7. The presence of undesirable plant species shall be
documented.
8. All wetland compensation monitoring reports shall be
submitted in accordance with 9VAC25-690-100 Part II E 6.
D. Permittee-responsible stream compensation and monitoring.
1. Riparian buffer restoration activities shall be detailed in
the final compensation plan and shall include, as appropriate, the planting of
a variety of native species currently growing in the site area, including
appropriate seed mixtures and woody species that are bare root, balled, or
burlapped. A minimum buffer width of 50 feet, measured from the top of the
stream bank at bankfull elevation landward on both sides of the stream, shall
be required where practical.
2. The installation of root wads, vanes, and other instream
structures, shaping of the stream banks, and channel relocation shall be
completed in the dry whenever practicable.
3. Livestock access to the stream and designated riparian
buffer shall be limited to the greatest extent practicable.
4. Stream channel restoration activities shall be conducted in
the dry or during low flow conditions. When site conditions prohibit access
from the streambank or upon prior authorization from the Department of
Environmental Quality, heavy equipment may be authorized for use within the
stream channel.
5. Photographs shall be taken at the compensation site from
the vicinity of the permanent photo-monitoring stations identified in the final
compensation plan. The photograph orientation shall remain constant during all
monitoring events. At a minimum, photographs shall be taken from the center of
the stream, facing downstream, with a sufficient number of photographs to view
the entire length of the restoration site. Photographs shall document the
completed restoration conditions. Photographs shall be taken prior to site
activities, during instream and riparian compensation construction activities,
within one week of completion of activities, and during at least one day of
each monitoring year to depict restored conditions.
6. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites. Aerial surveys shall include the variation from
actual ground conditions, such as +/- 0.2 feet. The survey shall be certified by
the licensed surveyor or by a registered, professional engineer to conform to
the design plans. The survey shall be submitted within 60 days of completing
compensation site construction. Changes or deviations from the final
compensation plans in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
7. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after stream compensation
site construction activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1 and 2, unless otherwise
approved by the Department of Environmental Quality. In all cases, if all
success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
8. All stream compensation site monitoring reports shall be
submitted by in accordance with 9VAC25-690-100 Part II E 6.
E. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first permitted
impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all authorized
impact areas.
5. The Department of Environmental Quality shall be notified
in writing prior to the initiation of activities at the permittee-responsible
compensation site. The notification shall include a projected schedule of
activities and construction completion.
6. All permittee-responsible compensation site monitoring
reports shall be submitted annually by December 31, with the exception of the
last year, in which case the report shall be submitted at least 60 days prior
to the expiration of the general permit, unless otherwise approved by the
Department of Environmental Quality.
a. All wetland compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations, vegetative and soil monitoring
stations, monitoring wells, and wetland zones.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Analysis of all hydrology information, including
monitoring well data, precipitation data, and gauging data from streams or
other open water areas, as set forth in the final compensation plan.
(5) Evaluation of hydric soils or soils under hydric
conditions, as appropriate.
(6) Analysis of all vegetative community information,
including woody and herbaceous species, both planted and volunteers, as set
forth in the final compensation plan.
(7) Photographs labeled with the permit number, the name of
the compensation site, the photo-monitoring station number, the photograph
orientation, the date and time of the photograph, the name of the person taking
the photograph, and a brief description of the photograph subject. This information
shall be provided as a separate attachment to each photograph, if necessary.
Photographs taken after the initial planting shall be included in the first
monitoring report after planting is complete.
(8) Discussion of wildlife or signs of wildlife observed at
the compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site.
(10) Discussion of corrective measures or maintenance
activities to control undesirable species, to repair damaged water control devices,
or to replace damaged planted vegetation.
(11) Corrective action plan that includes proposed actions, a
schedule, and monitoring plan.
b. All stream compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations and monitoring stations.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Evaluation and discussion of the monitoring results in
relation to the success criteria and overall goals of compensation.
(5) Photographs shall be labeled with the permit number, the
name of the compensation site, the photo-monitoring station number, the
photograph orientation, the date and time of the photograph, the name of the
person taking the photograph, and a brief description of the photograph
subject. Photographs taken prior to compensation site construction activities,
during instream and riparian restoration activities, and within one week of
completion of activities shall be included in the first monitoring report.
(6) Discussion of alterations, maintenance, or major storm
events resulting in significant change in stream profile or cross section, and
corrective actions conducted at the stream compensation site.
(7) Documentation of undesirable plant species and summary of
abatement and control measures.
(8) Summary of wildlife or signs of wildlife observed at the
compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site, and as-built survey, if applicable.
(10) Corrective action plan that includes proposed actions, a
schedule and monitoring plan.
(11) Additional submittals that were approved by the
Department of Environmental Quality in the final compensation plan.
7. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are encountered
which require debris removal or involve potentially toxic substance. Measures
to remove the obstruction, material, or toxic substance or to change the
location of a structure are prohibited until approved by the Department of
Environmental Quality.
8. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate Department
of Environmental Quality regional office shall be notified; otherwise, the
Department of Emergency Management shall be notified at 1-800-468-8892.
9. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
10. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
11. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are
significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
which may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause for
revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with
this VWP general permit constitutes compliance with the VWP permit requirements
of the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. The issuance of this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credential, the
permittee shall allow the board or any duly authorized agent of the board, at
reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an
emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility, coverage,
or liability, including liability for compliance with the requirements of
enforcement activities related to the authorized activity.
2. The board does not within 15 days notify the current and
new permittees of its intent to modify or revoke and reissue the VWP general
permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-690-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of
the Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of
completing or canceling all authorized activities requiring notification under
9VAC25-690-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The
director may accept this termination of coverage on behalf of the board. The
permittee shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage, nor does it allow me to resume the authorized activities
without reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department
of Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit or coverage, nor
does it allow me to resume the authorized activities without reapplication and
coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been
necessary to halt or reduce the activity for which VWP general permit coverage
has been granted in order to maintain compliance with the conditions of the VWP
general permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board any information
that the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also
furnish to the board, upon request, copies of records required to be kept by
the permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage under the VWP general
permit, for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or
industrial consumption, for recreation, or for other uses; or
4. On and after October 1, 2001, conduct the following
activities in a wetland:
a. New activities to cause draining that significantly alters
or degrades existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-690-27.
VA.R. Doc. No. R21-6473; Filed September 29, 2020, 4:57 a.m.
TITLE 9. ENVIRONMENT
STATE WATER CONTROL BOARD
Final Regulation
REGISTRAR'S NOTICE: The
State Water Control Board is claiming an exemption from Article 2 of 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 or the appropriation act where no agency
discretion is involved. The State Water Control Board will receive, consider,
and respond to petitions by any interested person at any time with respect to
reconsideration or revision.
Titles of Regulations: 9VAC25-210. Virginia Water
Protection Permit Program Regulation (amending 9VAC25-210-10, 9VAC25-210-80,
9VAC25-210-230, 9VAC25-210-320).
9VAC25-660. Virginia Water Protection General Permit for
Impacts Less Than One-Half Acre (amending 9VAC25-660-50, 9VAC25-660-60,
9VAC25-660-100).
9VAC25-670. Virginia Water Protection General Permit for
Facilities and Activities of Utility and Public Service Companies Regulated by
the Federal Energy Regulatory Commission or the State Corporation Commission
and Other Utility Line Activities (amending 9VAC25-670-50, 9VAC25-670-60,
9VAC25-670-100).
9VAC25-680. Virginia Water Protection General Permit for
Linear Transportation Projects (amending 9VAC25-680-50, 9VAC25-680-60, 9VAC25-680-100).
9VAC25-690. Virginia Water Protection General Permit for
Impacts from Development and Certain Mining Activities (amending 9VAC25-690-50, 9VAC25-690-60,
9VAC25-690-100).
Statutory Authority: § 62.1-44.15 of the Code of
Virginia; § 401 of the Clean Water Act (33 USC § 1251 et seq.).
Effective Date: November 25, 2020.
Agency Contact: Dave Davis, Department of Environmental
Quality, 1111 East Main Street, Suite 1400, P.O. Box 1105, Richmond, VA 23218,
telephone (804) 698-4105, or email dave.davis@deq.virginia.gov.
Summary:
The amendments conform the regulations to legislation
adopted during the 2020 Session of the General Assembly. Pursuant to Chapter
622, amendments clarify that when an application for a general permit under the
Virginia Water Protection Permit Program is administratively withdrawn for
being incomplete, the department shall provide (i) notice to the applicant and
(ii) an opportunity for an informal fact-finding proceeding. Pursuant to
Chapter 958, amendments change the name of the Virginia Department of Game and
Inland Fisheries to the Virginia Department of Wildlife Resources.
Part I
VWP Permit Program Definitions, Exclusions, Prohibitions and Requirements
9VAC25-210-10. Definitions.
A. Definitions specific to surface water withdrawals are in
9VAC25-210-300.
B. Unless a different meaning is required by the context, the
following terms as used in this chapter shall have the following meanings:
"Adjacent" means bordering, contiguous, or
neighboring wetlands separated from other surface water by man-made dikes or
barriers, natural river berms, sand dunes, and the like.
"Administratively withdrawn" means a decision by
the board that permanently discontinues the review or processing of a VWP
permit application or request to modify a VWP permit.
"Applicant" means a person applying for a VWP individual
permit or for coverage under a VWP general permit.
"Aquatic environment" means surface waters and the
habitat they provide, including both plant and animal communities.
"Avoidance" means not taking or modifying a
proposed action or parts of an action so that there is no adverse impact to the
aquatic environment.
"Beneficial use" means both instream and offstream
uses. Instream beneficial uses include the protection of fish and wildlife
resources and habitat, maintenance of waste assimilation, recreation,
navigation, and cultural and aesthetic values. The preservation of instream
flows for purposes of the protection of navigation, maintenance of waste
assimilation capacity, the protection of fish and wildlife resources and
habitat, recreation, and cultural and aesthetic values is an instream
beneficial use of Virginia's waters. Offstream beneficial uses include domestic
uses (including public water supply), agricultural uses, electric power
generation, commercial uses, and industrial uses.
"Best management practices" or "BMPs"
means a schedule of activities, prohibition of practices, maintenance
procedures, and other management practices that prevent or reduce the pollution
of surface waters.
"Board" means the State Water Control Board.
"Channelization" means the alteration of a stream
channel by widening, deepening, straightening, cleaning, or paving certain
areas.
"Compensation" or "compensatory
mitigation" means (i) the restoration (reestablishment or rehabilitation),
establishment (creation), enhancement, or in certain circumstances preservation
of aquatic resources or (ii) in certain circumstances an out-of-kind measure
having a water quality, habitat, or other desirable benefit for the purposes of
offsetting unavoidable adverse impacts to aquatic resources that remain after
all appropriate and practicable avoidance and minimization has been achieved.
"Construction site" means any site where
land-disturbing activity is conducted or physically located for the purpose of
erecting buildings, roads, or other discrete structures, including on-site or
off-site areas used for dependent, support facilities, such as quarries, mines,
or temporary stormwater management or erosion control structures.
"Conversion" means those impacts to surface waters
that permanently change an existing wetland or aquatic resource type to a
different wetland or aquatic resource type.
"Coverage" means authorization to conduct a project
in accordance with a VWP general permit.
"Cowardin classification" or "Cowardin
classification method," unless otherwise specified in this chapter, means
the waters classification system in Classification of Wetlands and Deepwater
Habitats of the United States (Cowardin, Lewis M. II, et al., U.S. Fish and
Wildlife Service, December 1979, Reprinted 1992).
"Creation" means the establishment of a wetland or
other aquatic resource where one did not formerly exist.
"Cross-sectional drawing" means a scaled graph or
plot that represents the plane made by cutting across an object at right angles
to its length. Objects may include a surface water body or a portion of it, a
man-made channel, an above-ground structure, a below-ground structure, a
geographical feature, or the ground surface itself.
"Department" or "DEQ" means the
Department of Environmental Quality.
"Director" means the Director of the Department of
Environmental Quality (DEQ) or an authorized representative.
"Discharge" means, when used without qualification,
a discharge of a pollutant, or any addition of any pollutant or combination of
pollutants, to state waters.
"Draft VWP permit" means a document indicating the
board's tentative decision relative to a VWP permit action.
"Draining" means human-induced activities such as
ditching, excavation, installation of tile drains, hydrologic modification by
surface water runoff diversion, pumping water from wells, or similar activities
such that the activities have the effect of artificially dewatering the wetland
or altering its hydroperiod.
"Dredged material" means material that is excavated
or dredged from surface waters.
"Dredging" means a form of excavation in which
material is removed or relocated from beneath surface waters.
"Ecologically and environmentally preferable" means
capable of providing a higher likelihood than alternative proposals of
replacing existing wetland acreage and functions, stream functions, water
quality, and fish and wildlife resources.
"Emergent wetland" means a class of wetlands
dominated by erect, rooted, herbaceous plants growing in water or on a
substrate, excluding mosses and lichens. This vegetation is present for most of
the growing season in most years and is usually dominated by perennial plants.
"Enhancement" means activities conducted in
existing wetlands or other portions of the aquatic environment that increase
one or more aquatic functions.
"Excavate" or "excavation" means
ditching, dredging, or mechanized removal of earth, soil, or rock.
"Fill" means replacing portions of surface water
with upland, or raising the bottom elevation of a surface water for any purpose,
by placement of any pollutant or material including rock, sand, earth, and
man-made materials and debris.
"Fill material" means any pollutant that replaces
portions of surface water with dry land or that raises the bottom elevation of
a surface water for any purpose.
"Forested wetland" means a class of wetlands
dominated by woody vegetation that is approximately 20 feet (six meters) tall
or taller and three inches (7.6 centimeters) or larger in diameter at breast
height (DBH). These areas typically possess an overstory of trees, an
understory of trees or shrubs, and an herbaceous layer.
"Hydrologic regime" means the entire state of water
movement in a given area. It is a function of the climate and includes the
phenomena by which water first occurs as atmospheric water vapor, passes into a
liquid or solid form, falls as precipitation, moves along or into the ground
surface, and returns to the atmosphere as vapor by means of evaporation and
transpiration.
"Impacts" means results caused by those activities
specified in § 62.1-44.15:20 A of the Code of Virginia.
"Impairment" means the damage, loss, or degradation
of the acreage or functions of wetlands or the functions of state waters.
"Independent utility" means a test to determine
what constitutes a single and complete project. A project is considered to have
independent utility if it would be constructed absent the construction of other
projects in the project area. Portions of a phased development project that
depend upon other phases of the project do not have independent utility.
Portions of a phased development project that would be constructed even if the
other phases are not built can be considered as separate single complete
projects with independent public and economic utility.
"In-lieu fee program" means a program operated by a
nonprofit organization or governmental agency that receives moneys from persons
impacting wetlands or streams pursuant to an authorized, permitted activity and
that expends the moneys received to provide consolidated compensatory
mitigation for permitted wetland or stream impacts.
"Isolated wetlands of minimal ecological value"
means those wetlands that (i) do not have a surface water connection to other
state waters, (ii) are less than one-tenth of an acre (0.10 acre or 4,356
square feet) in size, (iii) are not located in a Federal Emergency Management
Agency designated 100-year floodplain, (iv) are not identified by the Virginia
Natural Heritage Program as a rare or state significant natural community, (v)
are not forested, and (vi) do not contain listed federal or state threatened or
endangered species.
"Joint Permit Application" or "JPA" means
an application form that is used to apply for permits from the Norfolk District
Army Corps of Engineers, the Virginia Marine Resources Commission, the Virginia
Department of Environmental Quality, and local wetland boards for work in
waters of the United States and in surface waters of Virginia.
"Law" means the State Water Control Law of
Virginia.
"Legal name" means the full legal name of an
individual, business, or other organization. For an individual, legal name
means the first name, middle initial, last name, and suffix. For an entity
authorized to do business in Virginia, the legal name means the exact name set
forth in the entity's articles of incorporation, organization or trust, or
formation agreement, as applicable.
"Minimization" means lessening impacts by reducing
the degree or magnitude of the proposed action and its implementation.
"Mitigation" means sequentially avoiding and
minimizing impacts to the maximum extent practicable, and then compensating for
remaining unavoidable impacts of a proposed action.
"Mitigation bank" means a site providing off-site,
consolidated compensatory mitigation that is developed and approved in accordance
with all applicable federal and state laws or regulations for the
establishment, use, and operation of mitigation banks and is operating under a
signed banking agreement.
"Mitigation banking" means compensating for
unavoidable wetland or stream losses in advance of development actions through
the sale or purchase of credits from a mitigation bank.
"Nationwide permit" means a general permit issued
by the U.S. Army Corps of Engineers (USACE) under 33 CFR Part 330 and, except
where suspended by individual USACE Corps Districts, applicable nationwide.
"Nontidal wetland" means those wetlands other than
tidal wetlands that are inundated or saturated by surface water or groundwater
at a frequency and duration sufficient to support, and that under normal circumstances
do support, a prevalence of vegetation typically adapted for life in saturated
soil conditions, as defined by the U.S. Environmental Protection Agency
pursuant to § 404 of the federal Clean Water Act in 40 CFR 230.3(t). Wetlands
generally include swamps, marshes, bogs, and similar areas.
"Normal agricultural activities" means those
activities defined as an agricultural operation in § 3.2-300 of the Code
of Virginia and any activity that is conducted as part of or in furtherance of
such agricultural operation but shall not include any activity for which a
permit would have been required as of January 1, 1997, under 33 USC § 1344
or any regulations promulgated pursuant thereto.
"Normal residential gardening and lawn and landscape
maintenance" means ongoing noncommercial residential activities conducted
by or on behalf of an individual occupant, including mowing; planting;
fertilizing; mulching; tilling; vegetation removal by hand or by hand tools;
and placement of decorative stone, fencing, and play equipment. Other
appurtenant noncommercial activities, provided that they do not result in the
conversion of a wetland to upland or to a different wetland type, may also be
included.
"Normal silvicultural activities" means any
silvicultural activity as defined in § 10.1-1181.1 of the Code of
Virginia, and any activity that is conducted as part of or in furtherance of
such silvicultural activity but shall not include any activity for which a
permit would have been required as of January 1, 1997, under 33 USC § 1344
or any regulations promulgated pursuant thereto.
"Notice of project completion" means a statement
submitted by the permittee or authorized agent that the authorized activities
and any required compensatory mitigation have been completed.
"Open water" means an area that, during a year with
normal patterns of precipitation, has standing water for sufficient duration to
establish an ordinary high water mark. The term "open water" includes
lakes and ponds but does not include ephemeral waters, stream beds, or
wetlands.
"Ordinary high water" or "ordinary high water
mark" means that line on the shore established by the fluctuations of
water and indicated by physical characteristics such as a clear, natural line
impressed on the bank; shelving; changes in the character of soil; destruction
of terrestrial vegetation; the presence of litter and debris; or other
appropriate means that consider the characteristics of the surrounding areas.
"Out-of-kind compensatory mitigation" or
"out-of-kind mitigation" means a measure that does not replace the
same type of wetland or surface water as was impacted but does replace lost
wetland or surface water functions or provide a water quality, habitat, or
other desirable benefit.
"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 stream bed 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.
"Permanent flooding or impounding" means a
permanent increase in the duration or depth of standing water on a land
surface, such as from a dam. Permanent increases in duration or depth of
standing water that result from extended-detention basins and enhanced
extended-detention basins, when designed, constructed, and maintained to
function in accordance with Virginia Department of Conservation and Recreation
(DCR) standards for such facilities (Virginia Stormwater Management Handbook,
First Edition, 1999, Volume 1, Chapter 3), or when designed in accordance with
local standards that, at a minimum, meet the DCR standards, are not considered
to be permanent flooding and impounding.
"Permanent impacts" means those impacts to surface
waters, including wetlands, that cause a permanent alteration of the physical,
chemical, or biological properties of the surface waters or of the acreage or
functions of a wetland.
"Permittee" means the person who holds a VWP
individual or general permit.
"Permittee-responsible compensatory mitigation" or
"permittee-responsible mitigation" means compensation or compensatory
mitigation, as defined in this section, that is undertaken by the permittee, or
an authorized agent or contractor, for which the permittee retains full
responsibility.
"Person" means individual, corporation,
partnership, association, governmental body, municipal corporation, or any
other legal entity.
"Phased development" means more than one project
proposed for a single piece of property or an assemblage of contiguous
properties under consideration for development by the same person, or by
related persons, that will begin and be completed at different times. Depending
on the relationship between the projects, a phased development may be
considered a single and complete project or each project may be considered a
single and complete project if each project has independent utility, as defined
in this section.
"Plan view drawing" means a scaled graph or plot
that represents the view of an object as projected onto orthogonal planes.
Objects may include structures, contours, or boundaries.
"Pollutant" means any substance, radioactive
material, or heat that causes or contributes to or may cause or contribute to
pollution.
"Pollution" means such alteration of the physical,
chemical, or biological properties of any state waters as will or is likely to
create a nuisance or render such waters (i) harmful or detrimental or injurious
to the public health, safety, or welfare or to the health of animals, fish, or
aquatic life; (ii) unsuitable with reasonable treatment for use as present or
possible future sources of public water supply; or (iii) unsuitable for
recreational, commercial, industrial, agricultural, or other reasonable uses;
provided that (a) an alteration of the physical, chemical, or biological
property of state waters, or a discharge or deposit of sewage, industrial
wastes or other wastes to state waters by any owner which by itself is not
sufficient to cause pollution, but which, in combination with such alteration
of or discharge or deposit to state waters by other owners is sufficient to
cause pollution; (b) the discharge of untreated sewage by any owner into state
waters; and (c) contributing to the contravention of standards of water quality
duly established by the board, are "pollution" for the terms and
purposes of this chapter.
"Practicable" means available and capable of being
done after taking into consideration cost, existing technology, and logistics
in light of overall project purposes.
"Preservation" means the protection of resources in
perpetuity through the implementation of appropriate legal and physical
mechanisms.
"Profile drawing" means a scaled graph or plot that
represents the side view of an object. Objects may include a surface water body
or a portion of it, a man-made channel, an above-ground structure, a
below-ground structure, a geographical feature, or the ground surface itself.
"Public hearing" means a fact finding proceeding
held to afford interested persons an opportunity to submit factual data, views,
and comments to the board pursuant to § 62.1-44.15:02 of the Code of
Virginia.
"Regional permit" means a general permit issued by
the U.S. Army Corps of Engineers under 33 CFR Part 330 and applicable within a
specified geographic area.
"Restoration" means the reestablishment of a
wetland or other aquatic resource in an area where it previously existed.
Wetland restoration means the reestablishment of wetland hydrology and
vegetation in an area where a wetland previously existed. Stream restoration
means the process of converting an unstable, altered, or degraded stream
corridor, including adjacent areas and floodplains, to its natural conditions.
"Riprap" means a layer of nonerodible material such
as stone or chunks of concrete.
"Section 401" means § 401 of the Clean Water
Act, or 33 USC § 1341, as amended in 1987.
"Scrub-shrub wetland" means a class of wetlands
dominated by woody vegetation, excluding woody vines, approximately three to 20
feet (one to six meters) tall. The species include true shrubs, young trees,
and trees or shrubs that are small or stunted because of environmental
conditions.
"Significant alteration or degradation of existing
wetland acreage or function" means human-induced activities that cause
either a diminution of the areal extent of the existing wetland or cause a
change in wetland community type resulting in the loss or more than minimal
degradation of its existing ecological functions.
"Single and complete project" means the total
project proposed or accomplished by a person, which also has independent
utility as defined in this section. For linear projects, the single and
complete project (e.g., a single and complete crossing) will apply to each
crossing of a separate surface water (e.g., a single water body) and to
multiple crossings of the same water body at separate and distinct locations.
Phases of a project that have independent utility may each be considered single
and complete.
"State waters" means all water, on the surface and
under the ground, wholly or partially within or bordering the Commonwealth or
within its jurisdiction, including wetlands.
"Stream bed" or "stream channel" means
the substrate of a stream, as measured between the ordinary high water mark
along each side of a stream. The substrate may consist of organic matter,
bedrock, or inorganic particles that range in size from clay to boulders, or a
combination of both. Areas contiguous to the stream bed, but outside of the
ordinary high water mark along each side of a stream, are not considered part
of the stream bed.
"Surface water" means all state waters that are not
groundwater as groundwater is defined in § 62.1-255 of the Code of
Virginia.
"Suspend" or "suspension" means a
decision by the board that stops the review or processing of a permit
application or request to modify a permit or permit coverage until such time
that information requested by the board is provided, reviewed, and deemed adequate.
"Temporal loss" means the time lag between the loss
of aquatic resource functions caused by the impacts and the replacement of
aquatic resource functions by compensatory mitigation.
"Temporary impacts" means impacts to wetlands or
other surface waters that do not cause a permanent alteration of the physical,
chemical, or biological properties of surface waters or the permanent
alteration or degradation of existing wetland acreage or functions. Temporary
impacts include activities in which the impact area is restored to its
preconstruction elevations and contours with topsoil from the impact area where
practicable, such that previous wetland acreage and functions or surface water
functions are restored.
"Tidal wetland" means vegetated and nonvegetated
wetlands as defined in § 28.2-1300 of the Code of Virginia.
"Toxic pollutant" means any agent or material
including those listed under § 307(a) of the Water Pollution Prevention
and Control Act (33 USC § 1317(a)), which after discharge will, on the basis of
available information, cause toxicity. Toxicity means the inherent potential or
capacity of a material to cause adverse effects in a living organism, including
acute or chronic effects to aquatic life, detrimental effects on human health,
or other adverse environmental effects.
"Undesirable plant species" means any species that
invades, naturally colonizes, or otherwise dominates a compensatory mitigation
site or mitigation bank, such that it causes or contributes to the failure of
the vegetative success criteria for a particular compensatory mitigation site,
mitigation bank, or in-lieu fee program project, or it otherwise prohibits the
restoration of the same vegetation cover type that was originally present.
"VWP general permit" means the general permit text,
terms, requirements, and conditions set forth in a regulation that constitutes
a VWP permit authorizing a specified category of activities.
"VWP permit" means an individual or general permit
issued by the board under § 62.1-44.15:20 of the Code of Virginia that
authorizes activities otherwise unlawful under § 62.1-44.5 of the Code of
Virginia or otherwise serves as the Commonwealth of Virginia's § 401
certification. For any applicant to the Federal Energy Regulatory Commission
for a certificate of public convenience and necessity pursuant to § 7c of
the federal Natural Gas Act (15 USC § 717f(c)) to construct any natural
gas transmission pipeline greater than 36 inches inside diameter, issuance of
an individual VWP permit pursuant to this chapter and a certification issued
pursuant to Article 2.6 (§ 62.1-44.15:80 et seq.) of the State Water Control
Law shall together constitute the certification required under § 401 of the
federal Clean Water Act.
"Water quality standards" means water quality
standards adopted by the board and approved by the administrator of the U.S.
Environmental Protection Agency under § 303 of the Clean Water Act as defined
in 9VAC25-260-5.
"Watershed approach" means an analytical process
for making compensatory mitigation decisions that support the sustainability or
improvement of aquatic resources in a watershed and that ensures authorized
impacts and mitigation have been considered on a watershed scale.
"Wetlands" means those areas that are inundated or
saturated by surface water or groundwater at a frequency and duration
sufficient to support, and that under normal circumstances do support, a
prevalence of vegetation typically adapted for life in saturated soil
conditions. Wetlands generally include swamps, marshes, bogs, and similar
areas.
9VAC25-210-80. Application for a VWP permit.
A. Application for a VWP Permit. Any person who is required
to obtain a VWP permit, except those persons applying for an emergency VWP
permit for a public water supply emergency, shall submit a complete VWP permit
application to the Department of Environmental Quality through the most current
Joint Permit Application procedures established within each type of Joint
Permit Application. The Virginia Department of Transportation (VDOT) may use
its Interagency Coordination Meeting (IACM) process for submitting JPAs. There
shall be no commencement of any activity subject to this chapter prior to the
issuance of a VWP permit or granting VWP general permit coverage.
B. Informational requirements for all VWP individual permit
applications are identified in this subsection with the exception of
applications for emergency VWP permits to address a public water supply
emergency, for which the information required in 9VAC25-210-340 C shall be
submitted. In addition to the information in this subsection, applications
involving a surface water withdrawal or a Federal Energy Regulatory Commission
(FERC) license or relicense associated with a surface water withdrawal shall
also submit the information required in 9VAC25-210-340 B.
1. A complete application for a VWP individual permit, at a
minimum, consists of the following information, if applicable to the project:
a. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
b. If different from applicant, legal name, mailing address,
telephone number, and if applicable, electronic mail address and fax number of
property owner.
c. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
d. Project name and proposed project schedule. This schedule
will be used to determine the VWP permit term.
e. The following information for the project site location,
and any related permittee-responsible compensatory mitigation site:
(1) The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
(2) Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
(3) The latitude and longitude to the nearest second at the
center of the site or sites.
(4) The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
(5) A detailed map depicting the location of the site or
sites, including the project boundary and existing preservation areas on the
site or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle
map) should be of sufficient detail to easily locate the site or sites for
inspection.
f. A narrative description of the project, including project
purpose and need.
g. An alternatives analysis for the proposed project detailing
the specific on-site and off-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site and off-site
measures taken to reduce the size, scope, configuration, or density of the
proposed project, including review of alternative sites where required for the
project, which would avoid or result in less adverse impact to surface waters,
and documentation demonstrating the reason the applicant determined less
damaging alternatives are not practicable. The analysis shall demonstrate to
the satisfaction of the board that avoidance and minimization opportunities
have been identified and measures have been applied to the proposed activity
such that the proposed activity in terms of impacts to state waters and fish
and wildlife resources is the least environmentally damaging practicable
alternative.
h. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
(1) Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
(2) Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
(3) Open water impacts identified according to type; and for
each type, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
(4) A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
(5) A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 1 h (1), 1
h (2), and 1 h (3) of this subsection; and (iii) quantifies and identifies any
other surface waters according to their Cowardin classification (i.e.,
emergent, scrub-shrub, or forested) or similar terminology.
i. Plan view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
(1) North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
(2) Limits of proposed impacts to surface waters.
(3) Location of all existing and proposed structures.
(4) All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; ordinary high water mark in
nontidal areas; tidal wetlands boundary; and mean low water and mean high water
lines in tidal areas.
(5) The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830).
(6) The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
j. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area includes at a
minimum a graphic scale, existing structures, existing and proposed elevations,
limits of surface water areas, ebb and flood or direction of flow (if
applicable), ordinary high water mark in nontidal areas, tidal wetland boundary,
mean low water and mean high water lines in tidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of the proposed impact.
k. Materials assessment. Upon request by the board, the
applicant shall provide evidence or certification that the material is free
from toxic contaminants prior to disposal or that the dredging activity will
not cause or contribute to a violation of water quality standards during
dredging. The applicant may be required to conduct grain size and composition
analyses, tests for specific parameters or chemical constituents, or elutriate
tests on the dredge material.
l. An assessment of potential impacts to federal and state
listed threatened or endangered species, including any correspondence or
documentation from federal or state resource agencies addressing potential impacts
to listed species.
m. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
(1) If permittee-responsible compensation is proposed for
wetland impacts, a conceptual wetland compensatory mitigation plan shall be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of replacement of wetland
acreage and functions; (ii) a detailed location map including latitude and
longitude to the nearest second and the fourth order subbasin, as defined by
the hydrologic unit boundaries of the National Watershed Boundary Dataset, at
the center of the site; (iii) a description of the surrounding land use; (iv) a
hydrologic analysis including a draft water budget for nontidal areas based on
expected monthly inputs and outputs that will project water level elevations
for a typical year, a dry year, and a wet year; (v) groundwater elevation data,
if available, or the proposed location of groundwater monitoring wells to
collect these data; (vi) wetland delineation confirmation, data sheets, and
maps for existing surface water areas on the proposed site or sites; (vii) a
conceptual grading plan; (viii) a conceptual planting scheme including
suggested plant species and zonation of each vegetation type proposed; (ix) a
description of existing soils including general information on both topsoil and
subsoil conditions, permeability, and the need for soil amendments; (x) a draft
design of water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
(2) If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan shall be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-section drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed
restoration measures to be employed including channel measurements, proposed
design flows, types of instream structures, and conceptual planting scheme;
(viii) reference stream data, if available; (ix) inclusion of buffer areas; (x)
schedule for restoration activities; and (xi) measures for the control of
undesirable species.
(3) For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et
seq. of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700
et seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions (a), (b), and (c) of
this subdivision B 1 m (3) or in lieu thereof shall describe the intended
protective mechanism or mechanisms that contain or contains the information
required as follows:
(a) A provision for access to the site;
(b) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(c) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
(4) Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
bank or in-lieu fee program sponsor of the availability of credits at the time
of application.
n. A written description and a graphical depiction identifying
all upland areas including buffers, wetlands, open water, other surface waters,
and compensatory mitigation areas located within the proposed project boundary
or permittee-responsible compensatory mitigation areas, that are under a deed
restriction, conservation easement, restrictive covenant, or other land use
protective instrument (i.e., protected areas). Such description and a graphical
depiction shall include the nature of the prohibited activities within the
protected areas and the limits of Chesapeake Bay Resource Protection Areas (RPAs)
as field-verified by the applicant, and if available, the limits as approved by
the locality in which the project site is located, unless the proposed use is
exempt from the Chesapeake Bay Preservation Area Designation and Management
Regulations (9VAC25-830), as additional state or local requirements may apply
if the project is located within an RPA.
o. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
p. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20. The board will continue to process the application, but the fee must
be received prior to release of a draft VWP permit.
2. Reserved.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more, and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensatory mitigation, including water quality
enhancements as replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Incomplete application.
1. Where an application for an individual permit or
general permit coverage is not accepted as complete by the board within 15
days of receipt, the board shall require the submission of additional
information from the applicant and may suspend processing of any application
until such time as the applicant has supplied the requested information and the
board considers the application complete. Where the applicant becomes aware
that he omitted one or more relevant facts from a VWP permit application or
submitted incorrect information in a VWP permit application or in any report to
the board, the applicant shall immediately submit such facts or the correct
information. A revised application with new information shall be deemed a new
application for purpose of review but shall not require an additional notice or
an additional permit application fee.
2. An incomplete permit application for an
individual permit or general permit coverage may be administratively
withdrawn from processing by the board for failure to provide the required
information after 60 days from the date of the latest written information
request made by the board. The board shall provide (i) notice to the
applicant and (ii) an opportunity for an informal fact-finding proceeding when
administratively withdrawing an incomplete application. Resubmittal of an
application for the same or similar project, after such time that the original
permit application was administratively withdrawn, shall require submittal of
an additional permit application fee and may be subject to additional noticing
requirements.
3. An applicant may request a suspension of application
review by the board. A submission by the applicant making such a request shall
not preclude the board from administratively withdrawing an incomplete
application. Resubmittal of a permit application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee and may be subject to additional noticing requirements.
9VAC25-210-230. Denial of the VWP permit or variance request.
A. The board shall make a decision to tentatively deny the
VWP permit or variance request if the requirements of this chapter are not met.
Basis for denial include, but are not limited to, the following:
1. The project will result in violations of water quality
standards or will impair the beneficial uses of state waters.
2. As a result of project implementation, shellfish waters
would be condemned in accordance with 9VAC25-260.
3. The project that the applicant proposed fails to adequately
avoid and minimize impacts to state waters to the maximum extent practicable.
4. The proposed compensatory mitigation plan is insufficient
or unsatisfactory for the proposed impacts and fails to achieve no net loss of
existing wetland acreage and function and no net loss of functions in all
surface waters.
5. The Department of Game and Inland Fisheries Wildlife
Resources indicates that natural or stockable trout waters would be
permanently and negatively impacted by the proposed activity.
6. The proposed activity is prohibited by 9VAC25-210-50.
7. The effect of project impacts, together with other existing
or proposed impacts to wetlands, will cause or contribute to a significant
impairment of state waters or fish and wildlife resources.
8. Failure to submit the required permit fee in accordance
with 9VAC25-210-80 B 1 g or 9VAC25-210-340 C 1 g.
9. The board determines that the applicant for an Emergency
Virginia Water Protection Permit has not demonstrated that there is a
substantial threat to public health and safety, and that normal Virginia Water
Protection Permit procedures, including public comment provisions, should be
followed.
B. The applicant shall be notified by letter of the board's
preliminary decision to tentatively deny the VWP permit requested.
C. Should the applicant withdraw his application, no VWP
permit or variance will be issued.
D. Should the applicant elect to proceed as originally
proposed, the board may deny the application and advise the applicant pursuant
to § 62.1-44.15:02 of the Code of Virginia of his right to a public hearing to
consider the denial.
9VAC25-210-320. Preapplication procedures for new or expanded
surface water withdrawals.
A. Preapplication review panel. At the request of a potential
applicant for a surface water withdrawal proposing to the Department of
Environmental Quality to withdraw 90 million gallons a month or greater, a
preapplication review panel shall be convened prior to submission of a VWP
application. The preapplication review panel shall assist potential applicants
that are proposing surface water withdrawals with the early identification of
issues related to the protection of beneficial instream and offstream uses of
state waters and the identification of the affected stream reach. DEQ shall
notify the Virginia Marine Resources Commission, the Virginia Institute of
Marine Science, the Virginia Department of Game and Inland Fisheries Wildlife
Resources, the Virginia Department of Conservation and Recreation, the
Virginia Department of Health, the U.S. Army Corps of Engineers, the U.S. Fish
and Wildlife Service, the U.S. Environmental Protection Agency, and other
appropriate local, state, and federal agencies of the preapplication review
panel request. These agencies shall participate to the extent practicable in
the preapplication review panel by providing information and guidance on the
potential natural resource impacts and regulatory implications of the options being
considered by the applicant and shall provide comments within 60 days of the
initial meeting of the preapplication panel.
B. Preapplication public notice. For new or expanded surface
water withdrawals requiring an individual VWP permit and proposing to withdraw
90 million gallons a month or greater, a potential applicant shall provide
information on the project, shall provide an opportunity for public comment on
the proposed project, and shall assist in identifying public concerns or issues
prior to filing a VWP individual permit application.
1. Except as provided in this subsection, the potential
applicant shall provide for publication of notice once a week for two
consecutive weeks in a newspaper of general circulation serving the locality
where the surface water withdrawal is proposed to be located.
2. If requested by any person, the potential applicant shall
hold at least one public information meeting. Notice of any public information
meeting held pursuant to this subsection shall be provided at least 14 days
prior to the public information meeting date and shall be published in the same
manner as required in subdivision 1 of this subsection. A potential applicant
shall submit the notice to DEQ for posting on the DEQ website. At a minimum,
any notice required by this subsection shall include:
a. A statement of the potential applicant's intent to apply
for a VWP permit for a surface water withdrawal;
b. The proposed location of the surface water withdrawal;
c. Information on how the public may request a public
information meeting or, in the alternative, the date, time, and location of the
public information meeting;
d. The name, address, and telephone number of the potential
applicant, or an authorized representative who can answer questions or receive
comments on the proposed surface water withdrawal; and
e. A statement of how oral or written public comments will be
used.
3. In accordance with the provisions of 9VAC25-780-50 C 11 and
9VAC25-780-150, a potential applicant shall not be required to publish public
notice or provide an opportunity for a public information meeting if a public
meeting has been held within two years prior to the submittal of an application
for a VWP permit on a local or regional water supply plan, which includes the
proposed project.
4. The potential applicant shall maintain a list of persons
making comment and their addresses and shall make a good faith effort to notify
commenters at the address provided by the commenter when the public notice for
the draft VWP individual permit is available.
9VAC25-660-50. Notification.
A. Notification to the board will be required prior to
commencing construction, as follows:
1. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed, permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-660-60 B. Compensatory
mitigation may be required for all permanent impacts.
2. An application for coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 2 a or 2 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such restriction,
easement, covenant, or instrument is the result of a federal or state permit
action and is specific to activities in wetlands and compensatory mitigation
sites, the application shall include all of the information required by
9VAC25-660-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 10, 11, 15, and 16 of
9VAC25-660-60 B and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall include
the information in 9VAC25-660-60 B 12.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services, and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of
federal or state listed threatened and endangered species or designated
critical habitat. Based upon consultation with these agencies, the board may
deny application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-660-60. Application.
A. The applicant shall file a complete application in
accordance with 9VAC25-660-50 and this section for coverage under thisVWP
general permit for impacts to nontidal wetlands or open water of less than
one-half acre and up to 300 linear feet of nontidal stream bed.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
4. The existing VWP general permit tracking number, if
applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas (RPAs)
as field-verified by the applicant, and if available, the limits as approved by
the locality in which the project site is located, unless the proposed use is
exempt from the Chesapeake Bay Preservation Area Designation and Management
Regulations (9VAC25-830).
f. The limits of areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification, and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 10 a, 10 b,
and 10 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
11. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed project,
including review of alternative sites where required for the project, which
would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the
satisfaction of the board that avoidance and minimization opportunities have
been identified and measures have been applied to the proposed activity such
that the proposed activity in terms of impacts to state waters and fish and
wildlife resources is the least environmentally damaging practicable
alternative.
12. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
Any compensatory mitigation plan proposing the purchase of mitigation bank or
in-lieu fee program credits shall include the number and type of credits
proposed to be purchased and documentation from the approved bank or in-lieu
fee program sponsor of the availability of credits at the time of application.
13. A copy of the FEMA flood insurance rate map or
FEMA-approved local floodplain map depicting any 100-year floodplains.
14. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
15. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary that are under a deed restriction, conservation easement,
restrictive covenant, or other land use protective instrument (i.e., protected
areas). Such description and a graphical depiction shall include the nature of
the prohibited activities within the protected areas and the limits of
Chesapeake Bay Resource Protection Areas (RPAs) as field-verified by the
applicant, and if available, the limits as approved by the locality in which
the project site is located, unless the proposed use is exempt from the
Chesapeake Bay Preservation Area Designation and Management Regulations
(9VAC25-830), as additional state or local requirements may apply if the
project is located within an RPA.
16. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. Upon receipt of an application from the Department of
Transportation for a road or highway construction project by the appropriate
DEQ office, the board has 10 business days, pursuant to § 33.2-258 of the
Code of Virginia, to review the application and either determine the
information requested in subsection B of this section is complete or inform the
Department of Transportation that additional information is required to make
the application complete. Upon receipt of an application from other applicants
for any type of project, the board has 15 days to review the application and
either determine that the information requested in subsection B of this section
is complete or inform the applicant that additional information is required to
make the application complete. Pursuant to § 33.2-258 of the Code of Virginia,
coverage under this VWP general permit for Department of Transportation road or
highway construction projects shall be approved or approved with conditions, or
the application shall be denied, within 30 business days of receipt of a
complete application. For all other projects, coverage under this VWP general
permit shall be approved or approved with conditions, or the application shall
be denied, within 45 days of receipt of a complete application. If the board
fails to act within the applicable 30 or 45 days on a complete application,
coverage under this VWP general permit shall be deemed granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under this VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of state waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
D. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within the applicable 10 or 15 days of
receipt, the board shall require the submission of additional information from
the applicant and may suspend processing of any application until such time as
the applicant has supplied the requested information and the application is
complete. Where the applicant becomes aware that he omitted one or more relevant
facts from an application, or submitted incorrect information in an application
or in any report to the board, the applicant shall immediately submit such
facts or the correct information. A revised application with new information
shall be deemed a new application for the purposes of review but shall not
require an additional permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-660-100. VWP general permit.
VWP GENERAL PERMIT NO. WP1 FOR IMPACTS LESS THAN ONE-HALF ACRE
UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE VIRGINIA STATE WATER CONTROL
LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations
adopted pursuant thereto, the board has determined that there is a reasonable
assurance that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of state waters or fish and
wildlife resources. In issuing this VWP general permit, the board has not taken
into consideration the structural stability of any proposed activities.
The permanent or temporary impact of less than one-half acre
of nontidal wetlands or open water and up to 300 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this VWP general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts to less than one-half acre of
nontidal wetlands or open water and up to 300 linear feet of nontidal stream
bed. Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with
9VAC25-660-80. An application or request for modification to coverage or
another VWP permit application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-660-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species that
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless otherwise specifically approved by the
Department of Environmental Quality on a case-by-case basis, and as follows:
The requirement to countersink does not apply to extensions or maintenance of
existing pipes and culverts that are not countersunk, floodplain pipes and
culverts being placed above ordinary high water, pipes and culverts being placed
on bedrock, or pipes and culverts required to be placed on slopes 5.0% or
greater. Bedrock encountered during construction must be identified and
approved in advance of a design change where the countersunk condition cannot
be met. Pipes and culverts 24 inches or less in diameter shall be countersunk
three inches below the natural stream bed elevations, and pipes and culverts
greater than 24 inches shall be countersunk at least six inches below the
natural stream bed elevations. Hydraulic capacity shall be determined based on
the reduced capacity due to the countersunk position. In all stream crossings
appropriate measures shall be implemented to minimize any disruption of aquatic
life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992. These controls shall be placed prior to clearing and grading and
maintained in good working order to minimize impacts to state waters. These
controls shall remain in place until the area is stabilized and shall then be
removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted impact area. All denuded
areas shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with the
project shall be accomplished in a manner that minimizes construction or waste
materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude unauthorized disturbances to
these surface waters and compensatory mitigation areas during construction. The
permittee shall notify contractors that no activities are to occur in these
marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary impact
area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their
preconstruction elevations and contours with topsoil from the impact area where
practicable within 30 days following the construction at that stream segment.
Streambanks shall be seeded or planted with the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact area where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary, supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct his activities in accordance
with the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in a Department of Environmental Quality VWP general permit
coverage letter, and shall ensure that all contractors are aware of the
time-of-year restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted stream flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes, and culverts
shall be constructed to minimize the adverse effects on surface waters to the
maximum extent practicable. Access roads constructed above preconstruction
elevations and contours in surface waters must be bridged, piped, or culverted
to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or other
similar structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized by the Department of Environmental Quality. Restoration
shall be the seeding or planting of the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands not to exceed a total of 90 days, provided
the material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a french drain effect). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control
Handbook, Third Edition, 1992.
2. Riprap apron for all outfalls shall be designed in accordance
with the Virginia Erosion and Sediment Control Handbook, Third Edition, 1992.
3. For stream bank protection activities, the structure and
backfill shall be placed as close to the stream bank as practicable. No
material shall be placed in excess of the minimum necessary for erosion
protection.
4. All stream bank protection control structures shall be
located to eliminate or minimize impacts to vegetated wetlands to the maximum
extent practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
F. Stormwater management facilities.
1. Stormwater management facilities shall be installed in
accordance with best management practices and watershed protection techniques
(e.g., vegetated buffers, siting considerations to minimize adverse effects to
aquatic resources, bioengineering methods incorporated into the facility design
to benefit water quality and minimize adverse effects to aquatic resources)
that provide for long-term aquatic resources protection and enhancement, to the
maximum extent practicable.
2. Compensation for unavoidable impacts shall not be allowed
within maintenance areas of stormwater management facilities.
3. Maintenance activities within stormwater management
facilities shall not require additional permit coverage or compensation,
provided that the maintenance activities do not exceed the original contours of
the facility, as approved and constructed, and are accomplished in designated
maintenance areas as indicated in the facility maintenance or design plan or
when unavailable, an alternative plan approved by the Department of
Environmental Quality.
Part II. Construction and Compensation Requirements,
Monitoring, and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit.
2. The types of compensation options that may be considered
for activities covered under this VWP general permit include the purchase of
mitigation bank credits or the purchase of in-lieu fee program credits in
accordance with 9VAC25-660-70 and the associated provisions of 9VAC25-210-116.
3. The final compensation plan shall be submitted to and
approved by the board prior to a construction activity in permitted impacts
areas. The board shall review and provide written comments on the final plan
within 30 days of receipt or it shall be deemed approved. The final plan as
approved by the board shall be an enforceable requirement of any coverage under
this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
B. Impact site construction monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs remain on the
project site and shall depict the impact area and the nonimpacted surface
waters immediately adjacent to and downgradient of each impact area. Each
photograph shall be labeled to include the following information: permit
number, impact area number, date and time of the photograph, name of the person
taking the photograph, photograph orientation, and photograph subject
description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities
within impact areas. Monthly inspections shall be conducted in the following
areas: all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water
areas within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality
standards to the Department of Environmental Quality in accordance with the
procedures in 9VAC25-660-100 Part II C. Corrective measures and additional
monitoring may be required if water quality standards are not met. Reporting
shall not be required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each
station.
C. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first
authorized impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all
authorized impact areas.
5. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are
encountered that require debris removal or involve a potentially toxic
substance. Measures to remove the obstruction, material, or toxic substance or
to change the location of a structure are prohibited until approved by the
Department of Environmental Quality.
6. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate Department
of Environmental Quality regional office shall be notified; otherwise, the
Department of Emergency Management shall be notified at 1-800-468-8892.
7. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
8. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
9. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are significant
penalties for submitting false information, including the possibility of fine
and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
which may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause
for revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with this
VWP general permit constitutes compliance with the VWP permit requirements of
the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. Coverage under this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credentials,
the permittee shall allow the board or any duly authorized agent of the board,
at reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an
emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility,
coverage, or liability, including liability for compliance with the
requirements of enforcement activities related to the authorized activity.
2. The board does not within 15 days notify the current and
new permittees of its intent to modify or revoke and reissue the VWP general
permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-660-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of the
Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to the VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of completing
or canceling all authorized activities requiring notification under
9VAC25-660-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The
director may accept this termination of coverage on behalf of the board. The
permittee shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in surface
waters in accordance with the VWP general permit and general permit coverage,
and that performing activities in surface waters is unlawful where the activity
is not authorized by the VWP permit or coverage, unless otherwise excluded from
obtaining coverage. I also understand that the submittal of this notice does
not release me from liability for any violations of the VWP general permit or
coverage, nor does it allow me to resume the authorized activities without
reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department
of Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit or coverage, nor
does it allow me to resume the authorized activities without reapplication and
coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been
necessary to halt or reduce the activity for which VWP general permit coverage
has been granted in order to maintain compliance with the conditions of the VWP
general permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board information that
the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also
furnish to the board, upon request, copies of records required to be kept by
the permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage under the VWP general
permit, for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or
industrial consumption, for recreation, or for other uses; or
4. On and after October 1, 2001, conduct the following
activities in a wetland:
a. New activities to cause draining that significantly alter
or degrade existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-660-27.
9VAC25-670-50. Notification.
A. Notification to the board will be required prior to
commencing construction, as follows:
1. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-670-60 B. Compensatory
mitigation may be required for all permanent impacts.
2. An application for the coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 2 a or 2 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such
restriction, easement, covenant, or instrument is the result of a federal or
state permit action and is specific to activities in wetlands and compensatory
mitigation sites, the application shall include all of the information required
by 9VAC25-670-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 10, 11, 14, and 15 of
9VAC25-670-60 B and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall
include the information in 9VAC25-670-60 B 12.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of
federal or state listed threatened and endangered species or designated
critical habitat. Based upon consultation with these agencies, the board may
deny application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-670-60. Application.
A. The applicant shall file a complete application in accordance
with 9VAC25-670-50 and this section for coverage under this VWP general permit
for impacts to surface waters from utility activities.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
4. The existing VWP general permit tracking number, if applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location and
any related permittee-responsible compensatory mitigation site:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for
inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay reservation Area Designation and
Management Regulations (9VAC25-830).
f. The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification, and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination, when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 10 a, 10 b,
and 10 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
11. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed
project, including review of alternative sites where required for the project,
which would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the satisfaction
of the board that avoidance and minimization opportunities have been identified
and measures have been applied to the proposed activity such that the proposed
activity in terms of impacts to state waters and fish and wildlife resources is
the least environmentally damaging practicable alternative.
12. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
a. If permittee-responsible compensation is proposed for wetland
impacts, a conceptual wetland compensatory mitigation plan must be submitted in
order for an application to be deemed complete and shall include at a minimum
(i) the goals and objectives in terms of replacement of wetland acreage and
functions; (ii) a detailed location map including latitude and longitude to the
nearest second and the fourth order subbasin, as defined by the hydrologic unit
boundaries of the National Watershed Boundary Dataset, at the center of the
site; (iii) a description of the surrounding land use; (iv) a hydrologic
analysis including a draft water budget for nontidal areas based on expected
monthly inputs and outputs that will project water level elevations for a
typical year, a dry year, and a wet year; (v) groundwater elevation data, if
available, or the proposed location of groundwater monitoring wells to collect
these data; (vi) wetland delineation confirmation, data sheets, and maps for
existing surface water areas on the proposed site or sites; (vii) a conceptual
grading plan; (viii) a conceptual planting scheme including suggested plant
species and zonation of each vegetation type proposed; (ix) a description of
existing soils including general information on both topsoil and subsoil
conditions, permeability, and the need for soil amendments; (x) a draft design
of any water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
b. If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-sectional drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed
restoration measures to be employed including channel measurements, proposed
design flows, types of instream structures, and conceptual planting scheme;
(viii) reference stream data, if available; (ix) inclusion of buffer areas; (x)
schedule for restoration activities; and (xi) measures for the control of
undesirable species.
c. For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et seq.
of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700 et
seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions c (1), c (2), and c (3)
of this subdivision 12 or in lieu thereof shall describe the intended protective
mechanism or mechanisms that contains the information required below:
(1) A provision for access to the site;
(2) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(3) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
d. Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
mitigation bank or in-lieu fee program sponsor of the availability of credits
at the time of application.
13. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
14. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary or permittee-responsible compensatory mitigation areas that
are under a deed restriction, conservation easement, restrictive covenant, or
other land use protective instrument (i.e., protected areas). Such description
and a graphical depiction shall include the nature of the prohibited activities
within the protected areas and the limits of Chesapeake Bay Resource Protection
Areas (RPAs) as field-verified by the applicant, and if available, the limits
as approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830), as additional state or local
requirements may apply if the project is located within an RPA.
15. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensation, including water quality enhancements as
replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Upon receipt of an application by the appropriate DEQ
office, the board has 15 days to review the application and either determine
the information requested in subsection B of this section is complete or inform
the applicant that additional information is required to make the application
complete. Coverage under the VWP general permit shall be approved or approved
with conditions, or the application shall be denied, within 45 days of receipt
of a complete application. If the board fails to act within 45 days on a
complete application, coverage under the VWP general permit shall be deemed
granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under the VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of surface waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
E. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within 15 days of receipt, the board
shall require the submission of additional information from the applicant and
may suspend processing of any application until such time as the applicant has
supplied the requested information and the application is complete. Where the
applicant becomes aware that he omitted one or more relevant facts from an
application, or submitted incorrect information in an application or any report
to the board, the applicant shall immediately submit such facts or the correct
information. A revised application with new information shall be deemed a new
application for the purposes of review but shall not require an additional
permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit application
fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-670-100. VWP general permit.
VWP GENERAL PERMIT NO. WP2 FOR FACILITIES AND ACTIVITIES OF
UTILITIES AND PUBLIC SERVICE COMPANIES REGULATED BY THE FEDERAL ENERGY
REGULATORY COMMISSION OR THE STATE CORPORATION COMMISSION AND OTHER UTILITY
LINE ACTIVITIES UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE VIRGINIA
STATE WATER CONTROL LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations adopted
pursuant thereto, the board has determined that there is a reasonable assurance
that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of surface waters or fish
and wildlife resources. In issuing this VWP general permit, the board has not
taken into consideration the structural stability of any proposed activities.
The permanent or temporary impact of up to one acre of
nontidal wetlands or open water and up to 1,500 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this VWP general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts of up to one acre of nontidal
wetlands or open water and up to 1,500 linear feet of nontidal stream bed.
Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with
9VAC25-670-80. An application or request for modification to coverage or
another VWP permit application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-670-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species which
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless otherwise specifically approved by the
Department of Environmental Quality on a case-by-case basis, and as follows:
The requirement to countersink does not apply to extensions or maintenance of
existing pipes and culverts that are not countersunk, floodplain pipes and
culverts being placed above ordinary high water, pipes and culverts being
placed on bedrock, or pipes and culverts required to be placed on slopes 5.0%
or greater. Bedrock encountered during construction must be identified and
approved in advance of a design change where the countersunk condition cannot
be met. Pipes and culverts 24 inches or less in diameter shall be countersunk
three inches below the natural stream bed elevations, and pipes and culverts
greater than 24 inches shall be countersunk at least six inches below the
natural stream bed elevations. Hydraulic capacity shall be determined based on
the reduced capacity due to the countersunk position. In all stream crossings
appropriate measures shall be implemented to minimize any disruption of aquatic
life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992. These controls shall be placed prior to clearing and grading and
maintained in good working order to minimize impacts to state waters. These
controls shall remain in place until the area is stabilized and shall then be
removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted area. All denuded areas
shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with the
project shall be accomplished in such a manner that minimizes construction or
waste materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material, to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude any unauthorized
disturbances to these surface waters and compensatory mitigation areas during
construction. The permittee shall notify contractors that no activities are to
occur in these marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary
impact area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their preconstruction
elevations and contours with topsoil from the impact area where practicable
within 30 days following the construction at that stream segment. Streambanks
shall be seeded or planted with the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact areas where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary, supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct his activities in accordance
with the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in a Department of Environmental Quality VWP general permit
coverage letter, and shall ensure that all contractors are aware of the time-of-year
restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted steam flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes,
and culverts shall be constructed to minimize the adverse effects on
surface waters to the maximum extent practicable. Access roads constructed
above preconstruction elevations and contours in surface waters must be
bridged, piped, or culverted to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or similar
structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized by the Department of Environmental Quality. Restoration
shall be the seeding or planting of the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands, not to exceed 90 days, provided the
material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a trench drain effect.). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control Handbook,
Third Edition, 1992.
2. Riprap apron for all outfalls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992.
3. For stream bank protection activities, the structure and
backfill shall be placed as close to the stream bank as practicable. No
material shall be placed in excess of the minimum necessary for erosion
protection.
4. All stream bank protection structures shall be located to
eliminate or minimize impacts to vegetated wetlands to the maximum extent
practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
Part II. Construction and Compensation Requirements,
Monitoring, and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit. For all
compensation that requires a protective mechanism, including preservation of
surface waters or buffers, the permittee shall record the approved protective
mechanism in the chain of title to the property, or an equivalent instrument
for government-owned lands, and proof of recordation shall be submitted to the
Department of Environmental Quality prior to commencing impacts in surface
waters.
2. Compensation options that may be considered under this VWP
general permit shall meet the criteria in 9VAC25-210-116 and 9VAC25-670-70.
3. The permittee-responsible compensation site or sites
depicted in the conceptual compensation plan submitted with the application
shall constitute the compensation site. A site change may require a
modification to coverage.
4. For compensation involving the purchase of mitigation bank
credits or the purchase of in-lieu fee program credits, the permittee shall not
initiate work in permitted impact areas until documentation of the mitigation
bank credit purchase or of the in-lieu fee program credit purchase has been
submitted to and received by the Department of Environmental Quality.
5. The final compensationplan shall be submitted to and
approved by the board prior to a construction activity in permitted impact
areas. The board shall review and provide written comments on the final plan
within 30 days of receipt or it shall be deemed approved. The final plan as
approved by the board shall be an enforceable requirement of any coverage under
this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
a. The final permittee-responsible wetlands compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) A summary of the type and acreage of existing wetland
impacts anticipated during the construction of the compensation site and the
proposed compensation for these impacts; a site access plan; a monitoring plan,
including proposed success criteria, monitoring goals, and the location of
photo-monitoring stations, monitoring wells, vegetation sampling points, and
reference wetlands or streams, if available; an abatement and control plan for
undesirable plant species; an erosion and sedimentation control plan; a
construction schedule; and the final protective mechanism for the protection of
the compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to commencing
impacts in surface waters.
b. The final permittee-responsible stream compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) An evaluation, discussion, and plan drawing or drawings of
existing conditions on the proposed compensation stream, including the
identification of functional and physical deficiencies for which the measures
are proposed, and summary of geomorphologic measurements (e.g., stream width,
entrenchment ratio, width-depth ratio, sinuosity, slope, substrate, etc.); a
site access plan; a monitoring plan, including a monitoring and reporting
schedule, monitoring design and methodologies for success, proposed success
criteria, location of photo-monitoring stations, vegetation sampling points,
survey points, bank pins, scour chains, and reference streams; an abatement and
control plan for undesirable plant species; an erosion and sedimentation
control plan, if appropriate; a construction schedule; a plan-view drawing
depicting the pattern and all compensation measures being employed; a profile
drawing; cross-sectional drawing or drawings of the proposed compensation
stream; and the final protective mechanism for the protection of the
compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
6. The following criteria shall apply to permittee-responsible
wetland or stream compensation:
a. The vegetation used shall be native species common to the
area, shall be suitable for growth in local wetland or riparian conditions, and
shall be from areas within the same or adjacent U.S. Department of Agriculture
Plant Hardiness Zone or Natural Resources Conservation Service Land Resource
Region as that of the project site. Planting of woody plants shall occur when
vegetation is normally dormant, unless otherwise approved in the final wetlands
or stream compensation plan or plans.
b. All work in permitted impact areas shall cease if
compensation site construction has not commenced within 180 days of
commencement of project construction, unless otherwise authorized by the board.
c. The Department of Environmental Quality shall be notified
in writing prior to the initiation of construction activities at the compensation
site.
d. Point sources of stormwater runoff shall be prohibited from
entering a wetland compensation site prior to treatment by appropriate best
management practices. Appropriate best management practices may include
sediment traps, grassed waterways, vegetated filter strips, debris screens, oil
and grease separators, or forebays.
e. The success of the compensation shall be based on meeting
the success criteria established in the approved final compensation plan.
f. If the wetland or stream compensation area fails to meet
the specified success criteria in a particular monitoring year, other than the
final monitoring year, the reasons for this failure shall be determined and a
corrective action plan shall be submitted to the Department of Environmental
Quality for approval with or before that year's monitoring report. The
corrective action plan shall contain at a minimum the proposed actions, a
schedule for those actions, and a monitoring plan, and shall be implemented by
the permittee in accordance with the approved schedule. Should significant
changes be necessary to ensure success, the required monitoring cycle shall
begin again, with monitoring year one being the year that the changes are
complete, as confirmed by the Department of Environmental Quality. If the
wetland or stream compensation area fails to meet the specified success
criteria by the final monitoring year or if the wetland or stream compensation
area has not met the stated restoration goals, reasons for this failure shall
be determined and a corrective action plan, including proposed actions, a
schedule, and a monitoring plan, shall be submitted with the final year
monitoring report for Department of Environmental Quality approval. Corrective
action shall be implemented by the permittee in accordance with the approved
schedule. Annual monitoring shall be required to continue until two sequential,
annual reports indicate that all criteria have been successfully satisfied and
the site has met the overall restoration goals (e.g., that corrective actions
were successful).
g. The surveyed wetland boundary for the compensation site
shall be based on the results of the hydrology, soils, and vegetation
monitoring data and shall be shown on the site plan. Calculation of total
wetland acreage shall be based on that boundary at the end of the monitoring
cycle. Data shall be submitted by December 31 of the final monitoring year.
h. Herbicides or algicides shall not be used in or immediately
adjacent to the compensation site or sites without prior authorization by the
board. All vegetation removal shall be done by manual means, unless authorized
by the Department of Environmental Quality in advance.
B. Impact site construction monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs shall remain on
the project site and depict the impact area and the nonimpacted surface waters
immediately adjacent to and downgradient of each impact area. Each photograph
shall be labeled to include the following information: permit number, impact
area number, date and time of the photograph, name of the person taking the
photograph, photograph orientation, and photograph subject description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities
within impact areas. Monthly inspections shall be conducted in the following
areas: all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water
areas within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality
standards to the Department of Environmental Quality in accordance with the
procedures in 9VAC25-670-100 Part II E. Corrective measures and additional
monitoring may be required if water quality standards are not met. Reporting
shall not be required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each
station.
C. Permittee-responsible wetland compensation site
monitoring.
1. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites including invert elevations for all water elevation
control structures and spot elevations throughout the site or sites. Aerial
surveys shall include the variation from actual ground conditions, such as +/-
0.2 feet. Either type of survey shall be certified by a licensed surveyor or by
a registered professional engineer to conform to the design plans. The survey
shall be submitted within 60 days of completing compensation site construction.
Changes or deviations in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
2. Photographs shall be taken at the compensation site or
sites from the permanent markers identified in the final compensation plan, and
established to ensure that the same locations and view directions at the site
or sites are monitored in each monitoring period. These photographs shall be
taken after the initial planting and at a time specified in the final
compensation plan during every monitoring year.
3. Compensation site monitoring shall begin on the first day
of the first complete growing season (monitoring year 1) after wetland
compensation site construction activities, including planting, have been
completed. Monitoring shall be required for monitoring years 1, 2, 3, and 5,
unless otherwise approved by the Department of Environmental Quality. In all
cases, if all success criteria have not been met in the fifth monitoring year,
then monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
4. The establishment of wetland hydrology shall be measured
during the growing season, with the location and number of monitoring wells,
and frequency of monitoring for each site, set forth in the final monitoring
plan. Hydrology monitoring well data shall be accompanied by precipitation
data, including rainfall amounts, either from on site, or from the closest
weather station. Once the wetland hydrology success criteria have been
satisfied for a particular monitoring year, weekly monitoring may be
discontinued for the remainder of that monitoring year following Department of
Environmental Quality approval. After a period of three monitoring years, the
permittee may request that hydrology monitoring be discontinued, providing that
adequate hydrology has been established and maintained. Hydrology monitoring
shall not be discontinued without written approval from the Department of
Environmental Quality.
5. The presence of hydric soils or soils under hydric
conditions shall be evaluated in accordance with the final compensation plan.
6. The establishment of wetland vegetation shall be in
accordance with the final compensation plan. Monitoring shall take place in
August, September, or October during the growing season of each monitoring
year, unless authorized in the monitoring plan.
7. The presence of undesirable plant species shall be
documented.
8. All wetland compensation monitoring reports shall be
submitted in accordance with 9VAC25-670-100 Part II E 6.
D. Permittee-responsible stream compensation and monitoring.
1. Riparian buffer restoration activities shall be detailed in
the final compensation plan and shall include, as appropriate, the planting of
a variety of native species currently growing in the site area, including
appropriate seed mixtures and woody species that are bare root, balled, or
burlapped. A minimum buffer width of 50 feet, measured from the top of the
stream bank at bankfull elevation landward on both sides of the stream, shall
be required where practical.
2. The installation of root wads, vanes, and other instream
structures, shaping of the stream banks, and channel relocation shall be
completed in the dry whenever practicable.
3. Livestock access to the stream and designated riparian
buffer shall be limited to the greatest extent practicable.
4. Stream channel restoration activities shall be conducted in
the dry or during low flow conditions. When site conditions prohibit access
from the streambank or upon prior authorization from the Department of
Environmental Quality, heavy equipment may be authorized for use within the
stream channel.
5. Photographs shall be taken at the compensation site from
the vicinity of the permanent photo-monitoring stations identified in the final
compensation plan. The photograph orientation shall remain constant during all
monitoring events. At a minimum, photographs shall be taken from the center of
the stream, facing downstream, with a sufficient number of photographs to view
the entire length of the restoration site. Photographs shall document the
completed restoration conditions. Photographs shall be taken prior to site
activities, during instream and riparian compensation construction activities,
within one week of completion of activities, and during at least one day of
each monitoring year to depict restored conditions.
6. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites. Aerial surveys shall include the variation from
actual ground conditions, such as +/- 0.2 feet. The survey shall be certified
by the licensed surveyor or by a registered, professional engineer to conform
to the design plans. The survey shall be submitted within 60 days of completing
compensation site construction. Changes or deviations from the final
compensation plans in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
7. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after stream compensation
site construction activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1 and 2, unless otherwise
approved by the Department of Environmental Quality. In all cases, if all
success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
8. All stream compensation site monitoring reports shall be
submitted in accordance with 9VAC25-670-100 Part II E 6.
E. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first permitted
impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all
authorized impact areas.
5. The Department of Environmental Quality shall be notified
in writing prior to the initiation of activities at the permittee-responsible compensation
site. The notification shall include a projected schedule of activities and
construction completion.
6. All permittee-responsible compensation site monitoring
reports shall be submitted annually by December 31, with the exception of the
last year, in which case the report shall be submitted at least 60 days prior
to the expiration of the general permit, unless otherwise approved by the
Department of Environmental Quality.
a. All wetland compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations, vegetative and soil monitoring
stations, monitoring wells, and wetland zones.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Analysis of all hydrology information, including
monitoring well data, precipitation data, and gauging data from streams or
other open water areas, as set forth in the final compensation plan.
(5) Evaluation of hydric soils or soils under hydric
conditions, as appropriate.
(6) Analysis of all vegetative community information,
including woody and herbaceous species, both planted and volunteers, as set
forth in the final compensation plan.
(7) Photographs labeled with the permit number, the name of
the compensation site, the photo-monitoring station number, the photograph
orientation, the date and time of the photograph, the name of the person taking
the photograph, and a brief description of the photograph subject. This
information shall be provided as a separate attachment to each photograph, if
necessary. Photographs taken after the initial planting shall be included in
the first monitoring report after planting is complete.
(8) Discussion of wildlife or signs of wildlife observed at
the compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site.
(10) Discussion of corrective measures or maintenance
activities to control undesirable species, to repair damaged water control
devices, or to replace damaged planted vegetation.
(11) Corrective action plan that includes proposed actions, a
schedule, and monitoring plan.
b. All stream compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations and monitoring stations.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Evaluation and discussion of the monitoring results in
relation to the success criteria and overall goals of compensation.
(5) Photographs shall be labeled with the permit number, the
name of the compensation site, the photo-monitoring station number, the
photograph orientation, the date and time of the photograph, the name of the
person taking the photograph, and a brief description of the photograph
subject. Photographs taken prior to compensation site construction activities,
during instream and riparian restoration activities, and within one week of
completion of activities shall be included in the first monitoring report.
(6) Discussion of alterations, maintenance, or major storm
events resulting in significant change in stream profile or cross section, and
corrective actions conducted at the stream compensation site.
(7) Documentation of undesirable plant species and summary of
abatement and control measures.
(8) Summary of wildlife or signs of wildlife observed at the
compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site, and as-built survey, if applicable.
(10) Corrective action plan that includes proposed actions, a
schedule and monitoring plan.
(11) Additional submittals that were approved by the
Department of Environmental Quality in the final compensation plan.
7. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are
encountered which require debris removal or involve potentially toxic
substance. Measures to remove the obstruction, material, or toxic substance or
to change the location of a structure are prohibited until approved by the
Department of Environmental Quality.
8. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate Department
of Environmental Quality regional office shall be notified; otherwise, the
Department of Emergency Management shall be notified at 1-800-468-8892.
9. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
10. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
11. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are
significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
which may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause
for revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with
this VWP general permit constitutes compliance with the VWP permit requirements
of the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. The issuance of this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credentials,
the permittee shall allow the board or any duly authorized agent of the board,
at reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an
emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility,
coverage, or liability, including liability for compliance with the
requirements of enforcement activities related to the authorized activity.
2. The board does not within the 15 days notify the current
and new permittees of its intent to modify or revoke and reissue the VWP
general permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-670-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of
the Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to the VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of
completing or canceling all authorized activities requiring notification under
9VAC25-670-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The
director may accept this termination of coverage on behalf of the board. The
permittee shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage, nor does it allow me to resume the authorized activities
without reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department of
Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit or coverage, nor
does it allow me to resume the authorized activities without reapplication and
coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been
necessary to halt or reduce the activity for which VWP general permit coverage
has been granted in order to maintain compliance with the conditions of the VWP
general permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board any information
that the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also
furnish to the board, upon request, copies of records required to be kept by
the permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage underthe VWP general permit,
for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or
industrial consumption, for recreation, or for other uses; or
4. On and after October 1, 2001, conduct the following
activities in a wetland:
a. New activities to cause draining that significantly alters
or degrades existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-670-27.
9VAC25-680-50. Notification.
A. Notification to the board will be required prior to
commencing construction, as follows:
1. When the Virginia Department of Transportation is the
applicant for coverage under this VWP general permit, the notification
requirements shall be in accordance with this section and 9VAC25-680-60, unless
otherwise authorized by the Department of Environmental Quality.
2. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-680-60 B. Compensatory
mitigation may be required for all permanent impacts.
3. An application for coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 3 a or 3 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such
restriction, easement, covenant, or instrument is the result of a federal or
state permit action and is specific to activities in wetlands and compensatory
mitigation sites, the application shall include all of the information required
by 9VAC25-680-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 11, 12, 15, and 16 of
9VAC25-680-60 B and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall
include the information in 9VAC25-680-60 B 13.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services, and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of
federal or state listed threatened and endangered species or designated
critical habitat. Based upon consultation with these agencies, the board may
deny application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-680-60. Application.
A. Applications shall be filed with the board as follows:
1. The applicant shall file a complete application in
accordance with 9VAC25-680-50 and this section for coverage under this VWP
general permit for impacts to surface waters from linear transportation
projects.
2. The VDOT may use its monthly IACM process for submitting
applications.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legalname, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, authorized agent's name, mailing address,
telephone number, and if applicable, fax number and electronic mail address.
4. The existing VWP general permit tracking number, if
applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location,
and any related permittee-responsible compensatory mitigation site:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or receiving
waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for
inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830).
f. The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. Materials assessment. Upon request by the board, the
applicant shall provide evidence or certification that the material is free
from toxic contaminants prior to disposal or that the dredging activity will
not cause or contribute to a violation of water quality standards during
dredging. The applicant may be required to conduct grain size and composition
analyses, tests for specific parameters or chemical constituents, or elutriate
tests on the dredge material.
11. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification; and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 11 a, 11 b,
and 11 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
12. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed
project, including review of alternative sites where required for the project,
which would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the
satisfaction of the board that avoidance and minimization opportunities have
been identified and measures have been applied to the proposed activity such
that the proposed activity in terms of impacts to state waters and fish and wildlife
resources is the least environmentally damaging practicable alternative.
13. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
a. If permittee-responsible compensation is proposed for
wetland impacts, a conceptual wetland compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of replacement of wetland acreage
and functions; (ii) a detailed location map including latitude and longitude to
the nearest second and the fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, at the center of
the site; (iii) a description of the surrounding land use; (iv) a hydrologic
analysis including a draft water budget for nontidal areas based on expected
monthly inputs and outputs that will project water level elevations for a
typical year, a dry year, and a wet year; (v) groundwater elevation data, if
available, or the proposed location of groundwater monitoring wells to collect
these data; (vi) wetland delineation confirmation, data sheets, and maps for
existing surface water areas on the proposed site or sites; (vii) a conceptual
grading plan; (viii) a conceptual planting scheme including suggested plant
species and zonation of each vegetation type proposed; (ix) a description of
existing soils including general information on both topsoil and subsoil
conditions, permeability, and the need for soil amendments; (x) a draft design
of any water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
b. If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-sectional drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed
restoration measures to be employed including channel measurements, proposed
design flows, types of instream structures, and conceptual planting scheme;
(viii) reference stream data, if available; (ix) inclusion of buffer areas; (x)
schedule for restoration activities; and (xi) measures for the control of
undesirable species.
c. For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et seq.
of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700 et
seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions c (1), c (2), and c (3)
of this subdivision 13 or in lieu thereof shall describe the intended
protective mechanism or mechanisms that contains the information required
below:
(1) A provision for access to the site;
(2) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(3) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
d. Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
mitigation bank or in-lieu fee program sponsor of the availability of credits
at the time of application.
14. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
15. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary or permittee-responsible compensatory mitigation areas that
are under a deed restriction, conservation easement, restrictive covenant, or
other land use protective instrument (i.e., protected areas). Such description
and a graphical depiction shall include the nature of the prohibited activities
within the protected areas and the limits of Chesapeake Bay Resource Protection
Areas (RPAs) as field-verified by the applicant, and if available, the limits
as approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830), as additional state or local
requirements may apply if the project is located within an RPA.
16. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual with
the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensation, including water quality enhancements as
replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Upon receipt of an application from the Department of
Transportation for a road or highway construction project by the appropriate
DEQ office, the board has 10 business days, pursuant to § 33.2-258 of the
Code of Virginia, to review the application and either determine the information
requested in subsection B of this section is complete or inform the Department
of Transportation that additional information is required to make the
application complete. Upon receipt of an application from other applicants for
any type of project, the board has 15 days to review the application and either
determine the information requested in subsection B of this section is complete
or inform the applicant that additional information is required to make the
application complete. Pursuant to § 33.2-258 of the Code of Virginia,
coverage under this VWP general permit for Department of Transportation road or
highway construction projects shall be approved or approved with conditions, or
the application shall be denied, within 30 business days of receipt of a
complete application. For all other projects, coverage under this VWP general
permit shall be approved or approved with conditions, or the application shall
be denied, within 45 days of receipt of a complete application. If the board
fails to act within the applicable 30 or 45 days on a complete application,
coverage under this VWP general permit shall be deemed granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under this VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of state waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
E. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within the applicable 10 or 15 days of
receipt, the board shall require the submission of additional information from
the applicant and may suspend processing of any application until such time as
the applicant has supplied the requested information and the application is
complete. Where the applicant becomes aware that he omitted one or more
relevant facts from an application, or submitted incorrect information in an
application or in any report to the board, the applicant shall immediately
submit such facts or the correct information. A revised application with new
information shall be deemed a new application for the purposes of review but
shall not require an additional permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-680-100. VWP general permit.
VWP GENERAL PERMIT NO. WP3 FOR LINEAR TRANSPORTATION PROJECTS
UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE VIRGINIA STATE WATER CONTROL
LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations adopted
pursuant thereto, the board has determined that there is a reasonable assurance
that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of state waters or fish and
wildlife resources. In issuing this VWP general permit, the board has not taken
into consideration the structural stability of any proposed activities.
The permanent or temporary impact of up to two acres of
nontidal wetlands or open water and up to 1,500 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this VWP general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts of up to two acres of nontidal
wetlands or open water and up to 1,500 linear feet of nontidal stream bed.
Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with 9VAC25-680-80.
An application or request for modification to coverage or another VWP permit
application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-680-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species which
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless specifically approved by the Department of
Environmental Quality on a case-by-case basis and as follows: The requirement
to countersink does not apply to extensions or maintenance of existing pipes
and culverts that are not countersunk, floodplain pipe and culverts being
placed above ordinary high water, pipes and culverts being placed on bedrock,
or pipes or culverts required to be placed on slopes 5.0% or greater. Bedrock
encountered during construction must be identified and approved in advance of a
design change where the countersunk condition cannot be met. Pipes and culverts
24 inches or less in diameter shall be countersunk three inches below the
natural stream bed elevations, and pipes and culverts greater than 24 inches shall
be countersunk at least six inches below the natural stream bed elevations.
Hydraulic capacity shall be determined based on the reduced capacity due to the
countersunk position. In all stream crossings appropriate measures shall be
implemented to minimize any disruption of aquatic life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992. These controls shall be placed prior to clearing and grading and
maintained in good working order to minimize impacts to state waters. These
controls shall remain in place until the area is stabilized and shall then be
removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted impact area. All denuded
areas shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with the
project shall be accomplished in a manner that minimizes construction or waste
materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material, to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude unauthorized disturbances to
these surface waters and compensatory mitigation areas during construction. The
permittee shall notify contractors that no activities are to occur in these
marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary
impact area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their
preconstruction elevations and contours with topsoil from the impact area where
practicable within 30 days following the construction at that stream segment.
Streambanks shall be seeded or planted with the same vegetation cover type
originally present, including any necessary, supplemental erosion control
grasses. Invasive species identified on the Department of Conservation and
Recreation's Virginia Invasive Plant Species List shall not be used to the
maximum extent practicable or without prior approval from the Department of
Environmental Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact area where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct his activities in accordance
with the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in Department of Environmental Quality VWP general permit
coverage, and shall ensure that all contractors are aware of the time-of-year
restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted stream flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes, and culverts
shall be constructed to minimize the adverse effects on surface waters to the
maximum extent practicable. Access roads constructed above preconstruction
elevations and contours in surface waters must be bridged, piped, or culverted
to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or similar
structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized by the Department of Environmental Quality. Restoration
shall be the seeding or planting of the same vegetation cover type originally
present, including any necessary supplemental erosion control grasses. Invasive
species identified on the Department of Conservation and Recreation's Virginia
Invasive Plant Species List shall not be used to the maximum extent practicable
or without prior approval from the Department of Environmental Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands not to exceed a total of 90 days, provided
the material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a french drain effect). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control
Handbook, Third Edition, 1992.
2. Riprap aprons for all outfalls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992.
3. For bank protection activities, the structure and backfill
shall be placed as close to the stream bank as practicable. No material shall
be placed in excess of the minimum necessary for erosion protection.
4. All stream bank protection structures shall be located to
eliminate or minimize impacts to vegetated wetlands to the maximum extent
practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
F. Dredging.
1. Dredging depths shall be determined and authorized
according to the proposed use and controlling depths outside the area to be
dredged.
2. Dredging shall be accomplished in a manner that minimizes
disturbance of the bottom and minimizes turbidity levels in the water column.
3. If evidence of impaired water quality, such as a fish kill,
is observed during the dredging, dredging operations shall cease, and the
Department of Environmental Quality shall be notified immediately.
4. Barges used for the transportation of dredge material shall
be filled in such a manner to prevent the overflow of dredged materials.
5. Double handling of dredged material in state waters shall
not be permitted.
6. For navigation channels the following shall apply:
a. A buffer of four times the depth of the dredge cut shall be
maintained between the bottom edge of the design channel and the channelward
limit of wetlands, or a buffer of 15 feet shall be maintained from the dredged
cut and the channelward edge of wetlands, whichever is greater. This landward
limit of buffer shall be flagged and inspected prior to construction.
b. Side slope cuts of the dredging area shall not exceed a
two-horizontal-to-one-vertical slope to prevent slumping of material into the
dredged area.
7. A dredged material management plan for the designated
upland disposal site shall be submitted and approved 30 days prior to initial
dredging activity.
8. Pipeline outfalls and spillways shall be located at
opposite ends of the dewatering area to allow for maximum retention and
settling time. Filter fabric shall be used to line the dewatering area and to
cover the outfall pipe to further reduce sedimentation to state waters.
9. The dredge material dewatering area shall be of adequate
size to contain the dredge material and to allow for adequate dewatering and
settling out of sediment prior to discharge back into state waters.
10. The dredge material dewatering area shall utilize an
earthen berm or straw bales covered with filter fabric along the edge of the
area to contain the dredged material, filter bags, or other similar filtering
practices, any of which shall be properly stabilized prior to placing the
dredged material within the containment area.
11. Overtopping of the dredge material containment berms with
dredge materials shall be strictly prohibited.
G. Stormwater management facilities.
1. Stormwater management facilities shall be installed in
accordance with best management practices and watershed protection techniques
(e.g., vegetated buffers, siting considerations to minimize adverse effects to
aquatic resources, bioengineering methods incorporated into the facility design
to benefit water quality and minimize adverse effects to aquatic resources)
that provide for long-term aquatic resources protection and enhancement, to the
maximum extent practicable.
2. Compensation for unavoidable impacts shall not be allowed
within maintenance areas of stormwater management facilities.
3. Maintenance activities within stormwater management
facilities shall not require additional permit coverage or compensation,
provided that the maintenance activities do not exceed the original contours of
the facility, as approved and constructed, and is accomplished in designated
maintenance areas as indicated in the facility maintenance or design plan or
when unavailable, an alternative plan approved by the Department of
Environmental Quality.
Part II. Construction and Compensation Requirements,
Monitoring and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit. For all
compensation that requires a protective mechanism, including preservation of
surface waters or buffers, the permittee shall record the approved protective
mechanism in the chain of title to the property, or an equivalent instrument for
government-owned lands, and proof of recordation shall be submitted to the
Department of Environmental Quality prior to commencing impacts in surface
waters.
2. Compensation options that may be considered under this VWP
general permit shall meet the criteria in 9VAC25-210-116 and 9VAC25-680-70.
3. The permittee-responsible compensation site or sites
depicted in the conceptual compensation plan submitted with the application
shall constitute the compensation site. A site change may require a modification
to coverage.
4. For compensation involving the purchase of mitigation bank
credits or the purchase of in-lieu fee program credits, the permittee shall not
initiate work in permitted impact areas until documentation of the mitigation
bank credit purchase or of the in-lieu fee program credit purchase has been
submitted to and received by the Department of Environmental Quality.
5. The final compensatory mitigation plan shall be submitted
to and approved by the board prior to a construction activity in permitted
impact areas. The board shall review and provide written comments on the final
plan within 30 days of receipt or it shall be deemed approved. The final plan
as approved by the board shall be an enforceable requirement of any coverage
under this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
a. The final permittee-responsible wetlands compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) A summary of the type and acreage of existing wetland
impacts anticipated during the construction of the compensation site and the
proposed compensation for these impacts; a site access plan; a monitoring plan,
including proposed success criteria, monitoring goals, and the location of
photo-monitoring stations, monitoring wells, vegetation sampling points, and
reference wetlands or streams, if available; an abatement and control plan for
undesirable plant species; an erosion and sedimentation control plan; a
construction schedule; and the final protective mechanism for the protection of
the compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
b. The final permittee-responsible stream compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) An evaluation, discussion, and plan drawing or drawings of
existing conditions on the proposed compensation stream, including the
identification of functional and physical deficiencies for which the measures
are proposed, and summary of geomorphologic measurements (e.g., stream width,
entrenchment ratio, width-depth ratio, sinuosity, slope, substrate, etc.); a
site access plan; a monitoring plan, including a monitoring and reporting
schedule, monitoring design and methodologies for success, proposed success
criteria, location of photo-monitoring stations, vegetation sampling points,
survey points, bank pins, scour chains, and reference streams; an abatement and
control plan for undesirable plant species; an erosion and sedimentation
control plan, if appropriate; a construction schedule; a plan-view drawing
depicting the pattern and all compensation measures being employed; a profile
drawing; cross-sectional drawing or drawings of the proposed compensation
stream; and the final protective mechanism for the protection of the
compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
6. The following criteria shall apply to permittee-responsible
wetland or stream compensation:
a. The vegetation used shall be native species common to the
area, shall be suitable for growth in local wetland or riparian conditions, and
shall be from areas within the same or adjacent U.S. Department of Agriculture
Plant Hardiness Zone or Natural Resources Conservation Service Land Resource
Region as that of the project site. Planting of woody plants shall occur when
vegetation is normally dormant, unless otherwise approved in the final wetlands
or stream compensation plan or plans.
b. All work in permitted impact areas shall cease if
compensation site construction has not commenced within 180 days of
commencement of project construction, unless otherwise authorized by the board.
c. The Department of Environmental Quality shall be notified
in writing prior to the initiation of construction activities at the
compensation site.
d. Point sources of stormwater runoff shall be prohibited from
entering a wetland compensation site prior to treatment by appropriate best
management practices. Appropriate best management practices may include
sediment traps, grassed waterways, vegetated filter strips, debris screens, oil
and grease separators, or forebays.
e. The success of the compensation shall be based on meeting
the success criteria established in the approved final compensation plan.
f. If the wetland or stream compensation area fails to meet
the specified success criteria in a particular monitoring year, other than the
final monitoring year, the reasons for this failure shall be determined and a
corrective action plan shall be submitted to the Department of Environmental
Quality for approval with or before that year's monitoring report. The
corrective action plan shall contain at minimum the proposed actions, a
schedule for those actions, and a monitoring plan, and shall be implemented by
the permittee in accordance with the approved schedule. Should significant
changes be necessary to ensure success, the required monitoring cycle shall
begin again, with monitoring year one being the year that the changes are
complete as confirmed by the Department of Environmental Quality. If the
wetland or stream compensation area fails to meet the specified success
criteria by the final monitoring year or if the wetland or stream compensation
area has not met the stated restoration goals, reasons for this failure shall
be determined and a corrective action plan, including proposed actions, a
schedule, and a monitoring plan, shall be submitted with the final year
monitoring report for the Department of Environmental Quality approval.
Corrective action shall be implemented by the permittee in accordance with the
approved schedule. Annual monitoring shall be required to continue until two
sequential, annual reports indicate that all criteria have been successfully
satisfied and the site has met the overall restoration goals (e.g., that
corrective actions were successful).
g.The surveyed wetland boundary for the compensation site
shall be based on the results of the hydrology, soils, and vegetation
monitoring data and shall be shown on the site plan. Calculation of total
wetland acreage shall be based on that boundary at the end of the monitoring
cycle. Data shall be submitted by December 31 of the final monitoring year.
h. Herbicides or algicides shall not be used in or immediately
adjacent to the compensation site or sites without prior authorization by the
board. All vegetation removal shall be done by manual means only, unless
authorized by the Department of Environmental Quality in advance.
B. Impact site construction monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs shall remain on
the project site and depict the impact area and the nonimpacted surface waters
immediately adjacent to and downgradient of each impact area. Each photograph
shall be labeled to include the following information: permit number, impact
area number, date and time of the photograph, name of the person taking the
photograph, photograph orientation, and photograph subject description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities
within impact areas. Monthly inspections shall be conducted in the following
areas: all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water areas
within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality
standards to the Department of Environmental Quality in accordance with the
procedures in 9VAC25-680-100 Part II E. Corrective measures and additional
monitoring may be required if water quality standards are not met. Reporting
shall not be required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each station.
C. Permittee-responsible wetland compensation site
monitoring.
1. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites, including invert elevations for all water elevation
control structures and spot elevations throughout the site or sites. Aerial
surveys shall include the variation from actual ground conditions, such as +/-
0.2 feet. Either type of survey shall be certified by a licensed surveyor or by
a registered professional engineer to conform to the design plans. The survey
shall be submitted within 60 days of completing compensation site construction.
Changes or deviations in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
2. Photographs shall be taken at the compensation site or
sites from the permanent markers identified in the final compensation plan, and
established to ensure that the same locations and view directions at the site
or sites are monitored in each monitoring period. These photographs shall be
taken after the initial planting and at a time specified in the final
compensation plan during every monitoring year.
3. Compensation site monitoring shall begin on the first day
of the first complete growing season (monitoring year 1) after wetland
compensation site construction activities, including planting, have been
completed. Monitoring shall be required for monitoring years 1, 2, 3, and 5,
unless otherwise approved by the Department of Environmental Quality. In all
cases, if all success criteria have not been met in the final monitoring year,
then monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
4. The establishment of wetland hydrology shall be measured
weekly during the growing season, with the location and number of monitoring
wells, and frequency of monitoring for each site, set forth in the final
monitoring plan. Hydrology monitoring well data shall be accompanied by
precipitation data, including rainfall amounts, either from on site or from the
closest weather station. Once the wetland hydrology success criteria have been
satisfied for a particular monitoring year, monitoring may be discontinued for
the remainder of that monitoring year following Department of Environmental
Quality approval. After a period of three monitoring years, the permittee may
request that hydrology monitoring be discontinued, providing that adequate hydrology
has been established and maintained. Hydrology monitoring shall not be
discontinued without written approval from the Department of Environmental
Quality.
5. The presence of hydric soils or soils under hydric
conditions shall be evaluated in accordance with the final compensation plan.
6. The establishment of wetland vegetation shall be in
accordance with the final compensation plan. Monitoring shall take place in
August, September, or October during the growing season of each monitoring
year, unless otherwise authorized in the monitoring plan.
7. The presence of undesirable plant species shall be
documented.
8. All wetland compensation monitoring reports shall be
submitted in accordance with 9VAC25-680-100 Part II E 6.
D. Permittee-responsible stream compensation and monitoring.
1. Riparian buffer restoration activities shall be detailed in
the final compensation plan and shall include, as appropriate, the planting of
a variety of native species currently growing in the site area, including appropriate
seed mixtures and woody species that are bare root, balled, or burlapped. A
minimum buffer width of 50 feet, measured from the top of the stream bank at
bankfull elevation landward on both sides of the stream, shall be required
where practical.
2. The installation of root wads, vanes, and other instream
structures, shaping of the stream banks and channel relocation shall be
completed in the dry whenever practicable.
3. Livestock access to the stream and designated riparian
buffer shall be limited to the greatest extent practicable.
4. Stream channel restoration activities shall be conducted in
the dry or during low flow conditions. When site conditions prohibit access
from the streambank or upon prior authorization from the Department of
Environmental Quality, heavy equipment may be authorized for use within the
stream channel.
5. Photographs shall be taken at the compensation site from
the vicinity of the permanent photo-monitoring stations identified in the final
compensation plan. The photograph orientation shall remain constant during all
monitoring events. At a minimum, photographs shall be taken from the center of
the stream, facing downstream, with a sufficient number of photographs to view
the entire length of the restoration site. Photographs shall document the
completed restoration conditions. Photographs shall be taken prior to site
activities, during instream and riparian compensation construction activities,
within one week of completion of activities, and during at least one day of each
monitoring year to depict restored conditions.
6. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites. Aerial surveys shall include the variation from
actual ground conditions, such as +/- 0.2 feet. The survey shall be certified
by the licensed surveyor or by a registered, professional engineer to conform
to the design plans. The survey shall be submitted within 60 days of completing
compensation site construction. Changes or deviations from the final
compensation plans in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
7. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after stream compensation
site constructions activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1 and 2, unless otherwise
approved by the Department of Environmental Quality. In all cases, if all
success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
8. All stream compensation site monitoring reports shall be
submitted in accordance with 9VAC25-680-100 Part II E 6.
E. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first permitted
impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all
authorized impact areas.
5. The Department of Environmental Quality shall be notified
in writing prior to the initiation of activities at the permittee-responsible
compensation site. The notification shall include a projected schedule of
activities and construction completion.
6. All permittee-responsible compensation site monitoring
reports shall be submitted annually by December 31, with the exception of the
last year, in which case the report shall be submitted at least 60 days prior
to the expiration of the general permit, unless otherwise approved by the
Department of Environmental Quality.
a. All wetland compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations, vegetative and soil monitoring
stations, monitoring wells, and wetland zones.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Analysis of all hydrology information, including monitoring
well data, precipitation data, and gauging data from streams or other open
water areas, as set forth in the final compensation plan.
(5) Evaluation of hydric soils or soils under hydric
conditions, as appropriate.
(6) Analysis of all vegetative community information,
including woody and herbaceous species, both planted and volunteers, as set
forth in the final compensation plan.
(7) Photographs labeled with the permit number, the name of
the compensation site, the photo-monitoring station number, the photograph
orientation, the date and time of the photograph, the name of the person taking
the photograph, and a brief description of the photograph subject. This
information shall be provided as a separate attachment to each photograph, if
necessary. Photographs taken after the initial planting shall be included in
the first monitoring report after planting is complete.
(8) Discussion of wildlife or signs of wildlife observed at
the compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site.
(10) Discussion of corrective measures or maintenance
activities to control undesirable species, to repair damaged water control
devices, or to replace damaged planted vegetation.
(11) Corrective action plan that includes proposed actions, a
schedule, and monitoring plan.
b. All stream compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations and monitoring stations.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Evaluation and discussion of the monitoring results in
relation to the success criteria and overall goals of compensation.
(5) Photographs shall be labeled with the permit number, the
name of the compensation site, the photo-monitoring station number, the
photograph orientation, the date and time of the photograph, the name of the
person taking the photograph, and a brief description of the photograph
subject. Photographs taken prior to compensation site construction activities,
during instream and riparian restoration activities, and within one week of
completion of activities shall be included in the first monitoring report.
(6) Discussion of alterations, maintenance, or major storm
events resulting in significant change in stream profile or cross section, and
corrective actions conducted at the stream compensation site.
(7) Documentation of undesirable plant species and summary of
abatement and control measures.
(8) Summary of wildlife or signs of wildlife observed at the
compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site, and as-built survey, if applicable.
(10) Corrective action plan that includes proposed actions, a
schedule and monitoring plan.
(11) Additional submittals that were approved by the
Department of Environmental Quality in the final compensation plan.
7. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are
encountered which require debris removal or involve potentially toxic
substance. Measures to remove the obstruction, material, or toxic substance or
to change the location of a structure are prohibited until approved by the
Department of Environmental Quality.
8. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate
Department of Environmental Quality regional office shall be notified; otherwise,
the Department of Emergency Management shall be notified at 1-800-468-8892.
9. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
10. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
11. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are
significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
that may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause
for revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with
this VWP general permit constitutes compliance with the VWP permit requirements
of the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. The issuance of this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credentials,
the permittee shall allow the board or any duly authorized agent of the board,
at reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility,
coverage, or liability, including liability for compliance with the
requirements of enforcement activities related to the authorized activity.
2. The board does not within 15 days notify the current and
new permittees of its intent to modify or revoke and reissue the VWP general
permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-680-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of the
Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of
completing or canceling all authorized activities requiring notification under
9VAC25-680-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The director
may accept this termination of coverage on behalf of the board. The permittee
shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage, nor does it allow me to resume the authorized activities
without reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department
of Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit authorization or
coverage, nor does it allow me to resume the authorized activities without
reapplication and coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been necessary
to halt or reduce the activity for which VWP general permit coverage has been
granted in order to maintain compliance with the conditions of the VWP general
permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board any information
that the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also furnish
to the board, upon request, copies of records required to be kept by the
permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage under the VWP general
permit, for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or industrial
consumption, for recreation, or for other uses; or
4. On and after August 1, 2001, for linear transportation
projects of the Virginia Department of Transportation, or on and after October
1, 2001, for all other projects, conduct the following activities in a wetland:
a. New activities to cause draining that significantly alters
or degrades existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-680-27.
9VAC25-690-50. Notification.
A. Notification to the board will be required prior to
commencing construction as follows:
1. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-690-60 B. Compensatory
mitigation may be required for all permanent impacts.
2. An application for coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 2 a or 2 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such
restriction, easement, covenant, or instrument is the result of a federal or
state permit action and is specific to activities in wetlands and compensatory
mitigation sites, the application shall include all of the information required
by 9VAC25-690-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 11, 12, 15, and 16 of
9VAC25-690-60 B, and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall
include the information in 9VAC25-690-60 B 13.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of federal
or state listed threatened and endangered species or designated critical
habitat. Based upon consultation with these agencies, the board may deny
application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-690-60. Application.
A. The applicant shall file a complete application in
accordance with 9VAC25-690-50 and this section for coverage under this VWP
general permit for impacts to surface waters from development and certain
mining activities.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
4. The existing VWP general permit tracking number, if
applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location,
and any related permittee-responsible compensatory mitigation site:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for
inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830).
f. The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. Materials assessment. Upon request by the board, the
applicant shall provide evidence or certification that the material is free
from toxic contaminants prior to disposal or that the dredging activity will
not cause or contribute to a violation of water quality standards during
dredging. The applicant may be required to conduct grain size and composition
analyses, tests for specific parameters or chemical constituents, or elutriate tests
on the dredge material.
11. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification, and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 11 a, 11 b,
and 11 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
12. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed
project, including review of alternative sites where required for the project,
which would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the
satisfaction of the board that avoidance and minimization opportunities have
been identified and measures have been applied to the proposed activity such
that the proposed activity in terms of impacts to state waters and fish and
wildlife resources is the least environmentally damaging practicable
alternative.
13. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
a. If permittee-responsible compensation is proposed for
wetland impacts, a conceptual wetland compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of replacement of wetland
acreage and functions; (ii) a detailed location map including latitude and
longitude to the nearest second and the fourth order subbasin, as defined by
the hydrologic unit boundaries of the National Watershed Boundary Dataset, at the
center of the site; (iii) a description of the surrounding land use; (iv) a
hydrologic analysis including a draft water budget for nontidal areas based on
expected monthly inputs and outputs that will project water level elevations
for a typical year, a dry year, and a wet year; (v) groundwater elevation data,
if available, or the proposed location of groundwater monitoring wells to
collect these data; (vi) wetland delineation confirmation, data sheets, and
maps for existing surface water areas on the proposed site or sites; (vii) a
conceptual grading plan; (viii) a conceptual planting scheme including
suggested plant species and zonation of each vegetation type proposed; (ix) a
description of existing soils including general information on both topsoil and
subsoil conditions, permeability, and the need for soil amendments; (x) a draft
design of any water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
b. If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-sectional drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed restoration
measures to be employed including channel measurements, proposed design flows,
types of instream structures, and conceptual planting scheme; (viii) reference
stream data, if available; (ix) inclusion of buffer areas; (x) schedule for
restoration activities; and (xi) measures for the control of undesirable
species.
c. For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et seq.
of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700 et
seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions c (1), c (2), and c (3)
of this subdivision 13 or in lieu thereof shall describe the intended
protective mechanism or mechanisms that contains the information required
below:
(1) A provision for access to the site;
(2) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(3) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
d. Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
bank or in-lieu fee program sponsor of the availability of credits at the time
of application.
14. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
15. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary or permittee-responsible compensatory mitigation areas that
are under a deed restriction, conservation easement, restrictive covenant, or
other land use protective instrument (i.e., protected areas). Such description
and a graphical depiction shall include the nature of the prohibited activities
within the protected areas and the limits of Chesapeake Bay Resource Protection
Areas (RPAs) as field-verified by the applicant, and if available, the limits
as approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830), as additional state or local requirements
may apply if the project is located within an RPA.
16. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensation, including water quality enhancements as
replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Upon receipt of an application by the appropriate DEQ
office, the board has 15 days to review the application and either determine
the information requested in subsection B of this section is complete or inform
the applicant that additional information is required to make the application
complete. Coverage under this VWP general permit shall be approved or approved
with conditions, or the application shall be denied, within 45 days of receipt
of a complete application. If the board fails to act within 45 days on a
complete application, coverage under this VWP permit general permit shall be
deemed granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under this VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of state waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
E. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within 15 days of receipt, the board
shall require the submission of additional information from the applicant and
may suspend processing of any application until such time as the applicant has
supplied the requested information and the application is complete. Where the
applicant becomes aware that he omitted one or more relevant facts from an
application, or submitted incorrect information in an application or in any
report to the board, the applicant shall immediately submit such facts or the
correct information. A revised application with new information shall be deemed
a new application for purposes of review but shall not require an additional
permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-690-100. VWP general permit.
VWP GENERAL PERMIT NO. WP4 FOR IMPACTS FROM DEVELOPMENT AND
CERTAIN MINING ACTIVITIES UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE
VIRGINIA STATE WATER CONTROL LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations adopted
pursuant thereto, the board has determined that there is a reasonable assurance
that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of state waters or fish and
wildlife resources. In issuing this VWP general permit, the board has not taken
into consideration the structural stability of any proposed activities.
The permanent or temporary impact of up to two acres of
nontidal wetlands or open water and up to 1,500 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts of up to two acres of nontidal
wetlands or open water and up to 1,500 linear feet of nontidal stream bed.
Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with
9VAC25-690-80. An application or request for modification to coverage or
another VWP permit application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-690-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species which
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless otherwise specifically approved by the
Department of Environmental Quality on a case-by-case basis, and as follows:
The requirement to countersink does not apply to extensions or maintenance of
existing pipes and culverts that are not countersunk, floodplain pipes and
culverts being placed above ordinary high water, pipes and culverts being
placed on bedrock, or pipes and culverts required to be placed on slopes 5.0%
or greater. Bedrock encountered during construction must be identified and
approved in advance of a design change where the countersunk condition cannot
be met. Pipes and culverts 24 inches or less in diameter shall be countersunk
three inches below the natural stream bed elevations, and pipes and culverts
greater than 24 inches shall be countersunk at least six inches below the
natural stream bed elevations. Hydraulic capacity shall be determined based on
the reduced capacity due to the countersunk position. In all stream crossings
appropriate measures shall be implemented to minimize any disruption of aquatic
life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992, or for mining activities covered by this general permit, the
standards issued by the Virginia Department of Mines, Minerals and Energy that
are effective as those in the Virginia Erosion and Sediment Control Handbook,
Third Edition, 1992. These controls shall be placed prior to clearing and
grading and maintained in good working order to minimize impacts to state
waters. These controls shall remain in place until the area is stabilized and
shall then be removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted impact area. All denuded
areas shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with
theproject shall be accomplished in a manner that minimizes construction or
waste materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily-impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude unauthorized disturbances to
these surface waters and compensatory mitigation areas during construction. The
permittee shall notify contractors that no activities are to occur in these
marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary
impact area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their
preconstruction elevations and contours with topsoil from the impact area where
practicable within 30 days following the construction at that stream segment.
Streambanks shall be seeded or planted with the same vegetation cover type
originally present, including any necessary supplemental erosion control
grasses. Invasive species identified on the Department of Conservation and
Recreation's Virginia Invasive Plant Species List shall not be used to the
maximum extent practicable or without prior approval from the Department of
Environmental Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact area where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct activities in accordance with
the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in Department of Environmental Quality VWP general permit
coverage, and shall ensure that all contractors are aware of the time-of-year
restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted stream flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes, and culverts
shall be constructed to minimize the adverse effects on surface waters to the
maximum extent practicable. Access roads constructed above preconstruction
elevations and contours in surface waters must be bridged, piped, or culverted
to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or similar
structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized the Department of Environmental Quality. Restoration shall
be the seeding of planting of the same vegetation cover type originally
present, including any necessary supplemental erosion control grasses. Invasive
specifies identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands not to exceed a total of 90 days, provided
the material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a french drain effect.). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control
Handbook, Third Edition, 1992.
2. Riprap apron for all outfalls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992.
3. For stream bank protection activities, the structure and
backfill shall be placed as close to the stream bank as practicable. No
material shall be placed in excess of the minimum necessary for erosion
protection.
4. All stream bank protection structures shall be located to
eliminate or minimize impacts to vegetated wetlands to the maximum extent
practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
F. Dredging.
1. Dredging depths shall be determined and authorized
according to the proposed use and controlling depths outside the area to be
dredged.
2. Dredging shall be accomplished in a manner that minimizes
disturbance of the bottom and minimizes turbidity levels in the water column.
3. If evidence of impaired water quality, such as a fish kill,
is observed during the dredging, dredging operations shall cease, and the
Department of Environmental Quality shall be notified immediately.
4. Barges used for the transportation of dredge material shall
be filled in such a manner to prevent the overflow of dredged materials.
5. Double handling of dredged material in state waters shall
not be permitted.
6. For navigation channels the following shall apply:
a. A buffer of four times the depth of the dredge cut shall be
maintained between the bottom edge of the design channel and the channelward
limit of wetlands, or a buffer of 15 feet shall be maintained from the dredged
cut and the channelward edge of wetlands, whichever is greater. This landward
limit of buffer shall be flagged and inspected prior to construction.
b. Side slope cuts of the dredging area shall not exceed a
two-horizontal-to-one-vertical slope to prevent slumping of material into the
dredged area.
7. A dredged material management plan for the designated
upland disposal site shall be submitted and approved 30 days prior to initial
dredging activity.
8. Pipeline outfalls and spillways shall be located at
opposite ends of the dewatering area to allow for maximum retention and
settling time. Filter fabric shall be used to line the dewatering area and to
cover the outfall pipe to further reduce sedimentation to state waters.
9. The dredge material dewatering area shall be of adequate
size to contain the dredge material and to allow for adequate dewatering and
settling out of sediment prior to discharge back into state waters.
10. The dredge material dewatering area shall utilize an
earthen berm or straw bales covered with filter fabric along the edge of the
area to contain the dredged material, filter bags, or other similar filtering
practices, any of which shall be properly stabilized prior to placing the
dredged material within the containment area.
11. Overtopping of the dredge material containment berms with
dredge materials shall be strictly prohibited.
G. Stormwater management facilities.
1. Stormwater management facilities shall be installed in accordance
with best management practices and watershed protection techniques (e.g.,
vegetated buffers, siting considerations to minimize adverse effects to aquatic
resources, bioengineering methods incorporated into the facility design to
benefit water quality and minimize adverse effects to aquatic resources) that
provide for long-term aquatic resources protection and enhancement, to the
maximum extent practicable.
2. Compensation for unavoidable impacts shall not be allowed
within maintenance areas of stormwater management facilities.
3. Maintenance activities within stormwater management
facilities shall not require additional permit coverage or compensation
provided that the maintenance activities do not exceed the original contours of
the facility, as approved and constructed, and is accomplished in designated
maintenance areas as indicated in the facility maintenance or design plan or
when unavailable, an alternative plan approved by the Department of
Environmental Quality.
Part II. Construction and Compensation Requirements,
Monitoring, and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit. For all
compensation that requires a protective mechanism, including preservation of
surface waters or buffers, the permittee shall record the approved protective
mechanism in the chain of title to the property, or an equivalent instrument
for government-owned lands, and proof of recordation shall be submitted to the
Department of Environmental Quality prior to commencing impacts in surface
waters.
2. Compensation options that may be considered under this VWP
general permit shall meet the criteria in 9VAC25-210-116 and 9VAC25-690-70.
3. The permittee-responsible compensation site or sites
depicted in the conceptual compensation plan submitted with the application
shall constitute the compensation site. A site change may require a
modification to coverage.
4. For compensation involving the purchase of mitigation bank
credits or the purchase of in-lieu fee program credits, the permittee shall not
initiate work in permitted impact areas until documentation of the mitigation
bank credit purchase or of the in-lieu fee program credit purchase has been
submitted to and received by the Department of Environmental Quality.
5. The final compensation plan shall be submitted to and
approved by the board prior to a construction activity in permitted impact
areas. The board shall review and provide written comments on the final plan
within 30 days of receipt or it shall be deemed approved. The final plan as
approved by the board shall be an enforceable requirement of any coverage under
this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
a. The final permittee-responsible wetlands compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) A summary of the type and acreage of existing wetland
impacts anticipated during the construction of the compensation site and the
proposed compensation for these impacts; a site access plan; a monitoring plan,
including proposed success criteria, monitoring goals, and the location of
photo-monitoring stations, monitoring wells, vegetation sampling points, and
reference wetlands or streams, if available; an abatement and control plan for
undesirable plant species; an erosion and sedimentation control plan; a
construction schedule; and the final protective mechanism for the compensation
site or sites, including all surface waters and buffer areas within its
boundaries.
(3) The approved protective mechanism. The protective mechanism
shall be recorded in the chain of title to the property, or an equivalent
instrument for government-owned lands, and proof of recordation shall be
submitted to the Department of Environmental Quality prior to commencing
impacts in surface waters.
b. The final permittee-responsible stream compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) An evaluation, discussion, and plan drawing or drawings of
existing conditions on the proposed compensation stream, including the
identification of functional and physical deficiencies for which the measures
are proposed, and summary of geomorphologic measurements (e.g., stream width,
entrenchment ratio, width-depth ratio, sinuosity, slope, substrate, etc.); a
site access plan; a monitoring plan, including a monitoring and reporting
schedule, monitoring design and methodologies for success, proposed success
criteria, location of photo-monitoring stations, vegetation sampling points,
survey points, bank pins, scour chains, and reference streams; an abatement and
control plan for undesirable plant species; an erosion and sedimentation
control plan, if appropriate; a construction schedule; a plan-view drawing
depicting the pattern and all compensation measures being employed; a profile
drawing; cross-sectional drawing or drawings of the proposed compensation
stream; and the final protective mechanism for the protection of the
compensation site or sites, including all surface waters and buffer areas within
its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
6. The following criteria shall apply to permittee-responsible
wetland or stream compensation:
a. The vegetation used shall be native species common to the
area, shall be suitable for growth in local wetland or riparian conditions, and
shall be from areas within the same or adjacent U.S. Department of Agriculture
Plant Hardiness Zone or Natural Resources Conservation Service Land Resource
Region as that of the project site. Planting of woody plants shall occur when
vegetation is normally dormant, unless otherwise approved in the final wetlands
or stream compensation plan or plans.
b. All work in permitted impact areas shall cease if
compensation site construction has not commenced within 180 days of
commencement of project construction, unless otherwise authorized by the board.
c. The Department of Environmental Quality shall be notified
in writing prior to the initiation of construction activities at the
compensation site.
d. Point sources of stormwater runoff shall be prohibited from
entering a wetland compensation site prior to treatment by appropriate best
management practices. Appropriate best management practices may include
sediment traps, grassed waterways, vegetated filter strips, debris screens, oil
and grease separators, or forebays.
e. The success of the compensation shall be based on meeting
the success criteria established in the approved final compensation plan.
f. If the wetland or stream compensation area fails to meet
the specified success criteria in a particular monitoring year, other than the
final monitoring year, the reasons for this failure shall be determined, and a
corrective action plan shall be submitted to the Department of Environmental
Quality for approval with or before that year's monitoring report. The
corrective action plan shall contain at minimum the proposed actions, a
schedule for those actions, and a monitoring plan, and shall be implemented by
the permittee in accordance with the approved schedule. Should significant
changes be necessary to ensure success, the required monitoring cycle shall
begin again, with monitoring year one being the year that the changes are
complete, as confirmed by the Department of Environmental Quality. If the wetland
or stream compensation area fails to meet the specified success criteria by the
final monitoring year or if the wetland or stream compensation area has not met
the stated restoration goals, reasons for this failure shall be determined and
a corrective action plan, including proposed actions, a schedule, and a
monitoring plan, shall be submitted with the final year monitoring report for
Department of Environmental Quality approval. Corrective action shall be
implemented by the permittee in accordance with the approved schedule. Annual
monitoring shall be required to continue until two sequential, annual reports
indicate that all criteria have been successfully satisfied and the site has
met the overall restoration goals (e.g., that corrective actions were
successful).
g. The surveyed wetland boundary for the wetlands compensation
site shall be based on the results of the hydrology, soils, and vegetation
monitoring data and shall be shown on the site plan. Calculation of total
wetland acreage shall be based on that boundary at the end of the monitoring
cycle. Data shall be submitted by December 31 of the final monitoring year.
h. Herbicides or algicides shall not be used in or immediately
adjacent to the wetlands or stream compensation site or sites without prior
authorization by the board. All vegetation removal shall be done by manual
means, unless authorized by the Department of Environmental Quality in advance.
B. Impact site construction
monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs shall remain on
the project site and depict the impact area and the nonimpacted surface waters
immediately adjacent to and downgradient of each impact area. Each photograph
shall be labeled to include the following information: permit number, impact
area number, date and time of the photograph, name of the person taking the
photograph, photograph orientation, and photograph subject description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities within
impact areas. Monthly inspections shall be conducted in the following areas:
all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water
areas within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality standards
to the Department of Environmental Quality in accordance with the procedures in
9VAC25-690-100 Part II E. Corrective measures and additional monitoring may be
required if water quality standards are not met. Reporting shall not be
required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each
station.
C. Permittee-responsible wetland compensation site
monitoring.
1. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites including invert elevations for all water elevation
control structures and spot elevations throughout the site or sites. Aerial
surveys shall include the variation from actual ground conditions, such as +/-
0.2 feet. Either type of survey shall be certified by a licensed surveyor or by
a registered professional engineer to conform to the design plans. The survey
shall be submitted within 60 days of completing compensation site construction.
Changes or deviations in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
2. Photographs shall be taken at the compensation site or
sites from the permanent markers identified in the final compensation plan, and
established to ensure that the same locations and view directions at the site
or sites are monitored in each monitoring period. These photographs shall be
taken after the initial planting and at a time specified in the final
compensation plan during every monitoring year.
3. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after wetland compensation
site construction activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1, 2, 3, and 5, unless
otherwise approved by the Department of Environmental Quality. In all cases, if
all success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
4. The establishment of wetland hydrology shall be measured
during the growing season, with the location and number of monitoring wells,
and frequency of monitoring for each site, set forth in the final monitoring
plan. Hydrology monitoring well data shall be accompanied by precipitation
data, including rainfall amounts either from on site or from the closest
weather station. Once the wetland hydrology success criteria have been
satisfied for a particular monitoring year, monitoring may be discontinued for
the remainder of that monitoring year following Department of Environmental
Quality approval. After a period of three monitoring years, the permittee may
request that hydrology monitoring be discontinued, providing that adequate
hydrology has been established and maintained. Hydrology monitoring shall not
be discontinued without written approval from the Department of Environmental
Quality.
5. The presence of hydric soils or soils under hydric
conditions shall be evaluated in accordance with the final compensation plan.
6. The establishment of wetland vegetation shall be in
accordance with the final compensation plan. Monitoring shall take place in
August, September, or October during the growing season of each monitoring
year, unless otherwise authorized in the monitoring plan.
7. The presence of undesirable plant species shall be
documented.
8. All wetland compensation monitoring reports shall be
submitted in accordance with 9VAC25-690-100 Part II E 6.
D. Permittee-responsible stream compensation and monitoring.
1. Riparian buffer restoration activities shall be detailed in
the final compensation plan and shall include, as appropriate, the planting of
a variety of native species currently growing in the site area, including
appropriate seed mixtures and woody species that are bare root, balled, or
burlapped. A minimum buffer width of 50 feet, measured from the top of the
stream bank at bankfull elevation landward on both sides of the stream, shall
be required where practical.
2. The installation of root wads, vanes, and other instream
structures, shaping of the stream banks, and channel relocation shall be
completed in the dry whenever practicable.
3. Livestock access to the stream and designated riparian
buffer shall be limited to the greatest extent practicable.
4. Stream channel restoration activities shall be conducted in
the dry or during low flow conditions. When site conditions prohibit access
from the streambank or upon prior authorization from the Department of
Environmental Quality, heavy equipment may be authorized for use within the
stream channel.
5. Photographs shall be taken at the compensation site from
the vicinity of the permanent photo-monitoring stations identified in the final
compensation plan. The photograph orientation shall remain constant during all
monitoring events. At a minimum, photographs shall be taken from the center of
the stream, facing downstream, with a sufficient number of photographs to view
the entire length of the restoration site. Photographs shall document the
completed restoration conditions. Photographs shall be taken prior to site
activities, during instream and riparian compensation construction activities,
within one week of completion of activities, and during at least one day of
each monitoring year to depict restored conditions.
6. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites. Aerial surveys shall include the variation from
actual ground conditions, such as +/- 0.2 feet. The survey shall be certified by
the licensed surveyor or by a registered, professional engineer to conform to
the design plans. The survey shall be submitted within 60 days of completing
compensation site construction. Changes or deviations from the final
compensation plans in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
7. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after stream compensation
site construction activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1 and 2, unless otherwise
approved by the Department of Environmental Quality. In all cases, if all
success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
8. All stream compensation site monitoring reports shall be
submitted by in accordance with 9VAC25-690-100 Part II E 6.
E. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first permitted
impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all authorized
impact areas.
5. The Department of Environmental Quality shall be notified
in writing prior to the initiation of activities at the permittee-responsible
compensation site. The notification shall include a projected schedule of
activities and construction completion.
6. All permittee-responsible compensation site monitoring
reports shall be submitted annually by December 31, with the exception of the
last year, in which case the report shall be submitted at least 60 days prior
to the expiration of the general permit, unless otherwise approved by the
Department of Environmental Quality.
a. All wetland compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations, vegetative and soil monitoring
stations, monitoring wells, and wetland zones.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Analysis of all hydrology information, including
monitoring well data, precipitation data, and gauging data from streams or
other open water areas, as set forth in the final compensation plan.
(5) Evaluation of hydric soils or soils under hydric
conditions, as appropriate.
(6) Analysis of all vegetative community information,
including woody and herbaceous species, both planted and volunteers, as set
forth in the final compensation plan.
(7) Photographs labeled with the permit number, the name of
the compensation site, the photo-monitoring station number, the photograph
orientation, the date and time of the photograph, the name of the person taking
the photograph, and a brief description of the photograph subject. This information
shall be provided as a separate attachment to each photograph, if necessary.
Photographs taken after the initial planting shall be included in the first
monitoring report after planting is complete.
(8) Discussion of wildlife or signs of wildlife observed at
the compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site.
(10) Discussion of corrective measures or maintenance
activities to control undesirable species, to repair damaged water control devices,
or to replace damaged planted vegetation.
(11) Corrective action plan that includes proposed actions, a
schedule, and monitoring plan.
b. All stream compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations and monitoring stations.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Evaluation and discussion of the monitoring results in
relation to the success criteria and overall goals of compensation.
(5) Photographs shall be labeled with the permit number, the
name of the compensation site, the photo-monitoring station number, the
photograph orientation, the date and time of the photograph, the name of the
person taking the photograph, and a brief description of the photograph
subject. Photographs taken prior to compensation site construction activities,
during instream and riparian restoration activities, and within one week of
completion of activities shall be included in the first monitoring report.
(6) Discussion of alterations, maintenance, or major storm
events resulting in significant change in stream profile or cross section, and
corrective actions conducted at the stream compensation site.
(7) Documentation of undesirable plant species and summary of
abatement and control measures.
(8) Summary of wildlife or signs of wildlife observed at the
compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site, and as-built survey, if applicable.
(10) Corrective action plan that includes proposed actions, a
schedule and monitoring plan.
(11) Additional submittals that were approved by the
Department of Environmental Quality in the final compensation plan.
7. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are encountered
which require debris removal or involve potentially toxic substance. Measures
to remove the obstruction, material, or toxic substance or to change the
location of a structure are prohibited until approved by the Department of
Environmental Quality.
8. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate Department
of Environmental Quality regional office shall be notified; otherwise, the
Department of Emergency Management shall be notified at 1-800-468-8892.
9. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
10. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
11. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are
significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
which may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause for
revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with
this VWP general permit constitutes compliance with the VWP permit requirements
of the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. The issuance of this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credential, the
permittee shall allow the board or any duly authorized agent of the board, at
reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an
emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility, coverage,
or liability, including liability for compliance with the requirements of
enforcement activities related to the authorized activity.
2. The board does not within 15 days notify the current and
new permittees of its intent to modify or revoke and reissue the VWP general
permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-690-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of
the Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of
completing or canceling all authorized activities requiring notification under
9VAC25-690-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The
director may accept this termination of coverage on behalf of the board. The
permittee shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage, nor does it allow me to resume the authorized activities
without reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department
of Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit or coverage, nor
does it allow me to resume the authorized activities without reapplication and
coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been
necessary to halt or reduce the activity for which VWP general permit coverage
has been granted in order to maintain compliance with the conditions of the VWP
general permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board any information
that the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also
furnish to the board, upon request, copies of records required to be kept by
the permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage under the VWP general
permit, for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or
industrial consumption, for recreation, or for other uses; or
4. On and after October 1, 2001, conduct the following
activities in a wetland:
a. New activities to cause draining that significantly alters
or degrades existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-690-27.
VA.R. Doc. No. R21-6473; Filed September 29, 2020, 4:57 a.m.
TITLE 9. ENVIRONMENT
STATE WATER CONTROL BOARD
Final Regulation
REGISTRAR'S NOTICE: The
State Water Control Board is claiming an exemption from Article 2 of 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 or the appropriation act where no agency
discretion is involved. The State Water Control Board will receive, consider,
and respond to petitions by any interested person at any time with respect to
reconsideration or revision.
Titles of Regulations: 9VAC25-210. Virginia Water
Protection Permit Program Regulation (amending 9VAC25-210-10, 9VAC25-210-80,
9VAC25-210-230, 9VAC25-210-320).
9VAC25-660. Virginia Water Protection General Permit for
Impacts Less Than One-Half Acre (amending 9VAC25-660-50, 9VAC25-660-60,
9VAC25-660-100).
9VAC25-670. Virginia Water Protection General Permit for
Facilities and Activities of Utility and Public Service Companies Regulated by
the Federal Energy Regulatory Commission or the State Corporation Commission
and Other Utility Line Activities (amending 9VAC25-670-50, 9VAC25-670-60,
9VAC25-670-100).
9VAC25-680. Virginia Water Protection General Permit for
Linear Transportation Projects (amending 9VAC25-680-50, 9VAC25-680-60, 9VAC25-680-100).
9VAC25-690. Virginia Water Protection General Permit for
Impacts from Development and Certain Mining Activities (amending 9VAC25-690-50, 9VAC25-690-60,
9VAC25-690-100).
Statutory Authority: § 62.1-44.15 of the Code of
Virginia; § 401 of the Clean Water Act (33 USC § 1251 et seq.).
Effective Date: November 25, 2020.
Agency Contact: Dave Davis, Department of Environmental
Quality, 1111 East Main Street, Suite 1400, P.O. Box 1105, Richmond, VA 23218,
telephone (804) 698-4105, or email dave.davis@deq.virginia.gov.
Summary:
The amendments conform the regulations to legislation
adopted during the 2020 Session of the General Assembly. Pursuant to Chapter
622, amendments clarify that when an application for a general permit under the
Virginia Water Protection Permit Program is administratively withdrawn for
being incomplete, the department shall provide (i) notice to the applicant and
(ii) an opportunity for an informal fact-finding proceeding. Pursuant to
Chapter 958, amendments change the name of the Virginia Department of Game and
Inland Fisheries to the Virginia Department of Wildlife Resources.
Part I
VWP Permit Program Definitions, Exclusions, Prohibitions and Requirements
9VAC25-210-10. Definitions.
A. Definitions specific to surface water withdrawals are in
9VAC25-210-300.
B. Unless a different meaning is required by the context, the
following terms as used in this chapter shall have the following meanings:
"Adjacent" means bordering, contiguous, or
neighboring wetlands separated from other surface water by man-made dikes or
barriers, natural river berms, sand dunes, and the like.
"Administratively withdrawn" means a decision by
the board that permanently discontinues the review or processing of a VWP
permit application or request to modify a VWP permit.
"Applicant" means a person applying for a VWP individual
permit or for coverage under a VWP general permit.
"Aquatic environment" means surface waters and the
habitat they provide, including both plant and animal communities.
"Avoidance" means not taking or modifying a
proposed action or parts of an action so that there is no adverse impact to the
aquatic environment.
"Beneficial use" means both instream and offstream
uses. Instream beneficial uses include the protection of fish and wildlife
resources and habitat, maintenance of waste assimilation, recreation,
navigation, and cultural and aesthetic values. The preservation of instream
flows for purposes of the protection of navigation, maintenance of waste
assimilation capacity, the protection of fish and wildlife resources and
habitat, recreation, and cultural and aesthetic values is an instream
beneficial use of Virginia's waters. Offstream beneficial uses include domestic
uses (including public water supply), agricultural uses, electric power
generation, commercial uses, and industrial uses.
"Best management practices" or "BMPs"
means a schedule of activities, prohibition of practices, maintenance
procedures, and other management practices that prevent or reduce the pollution
of surface waters.
"Board" means the State Water Control Board.
"Channelization" means the alteration of a stream
channel by widening, deepening, straightening, cleaning, or paving certain
areas.
"Compensation" or "compensatory
mitigation" means (i) the restoration (reestablishment or rehabilitation),
establishment (creation), enhancement, or in certain circumstances preservation
of aquatic resources or (ii) in certain circumstances an out-of-kind measure
having a water quality, habitat, or other desirable benefit for the purposes of
offsetting unavoidable adverse impacts to aquatic resources that remain after
all appropriate and practicable avoidance and minimization has been achieved.
"Construction site" means any site where
land-disturbing activity is conducted or physically located for the purpose of
erecting buildings, roads, or other discrete structures, including on-site or
off-site areas used for dependent, support facilities, such as quarries, mines,
or temporary stormwater management or erosion control structures.
"Conversion" means those impacts to surface waters
that permanently change an existing wetland or aquatic resource type to a
different wetland or aquatic resource type.
"Coverage" means authorization to conduct a project
in accordance with a VWP general permit.
"Cowardin classification" or "Cowardin
classification method," unless otherwise specified in this chapter, means
the waters classification system in Classification of Wetlands and Deepwater
Habitats of the United States (Cowardin, Lewis M. II, et al., U.S. Fish and
Wildlife Service, December 1979, Reprinted 1992).
"Creation" means the establishment of a wetland or
other aquatic resource where one did not formerly exist.
"Cross-sectional drawing" means a scaled graph or
plot that represents the plane made by cutting across an object at right angles
to its length. Objects may include a surface water body or a portion of it, a
man-made channel, an above-ground structure, a below-ground structure, a
geographical feature, or the ground surface itself.
"Department" or "DEQ" means the
Department of Environmental Quality.
"Director" means the Director of the Department of
Environmental Quality (DEQ) or an authorized representative.
"Discharge" means, when used without qualification,
a discharge of a pollutant, or any addition of any pollutant or combination of
pollutants, to state waters.
"Draft VWP permit" means a document indicating the
board's tentative decision relative to a VWP permit action.
"Draining" means human-induced activities such as
ditching, excavation, installation of tile drains, hydrologic modification by
surface water runoff diversion, pumping water from wells, or similar activities
such that the activities have the effect of artificially dewatering the wetland
or altering its hydroperiod.
"Dredged material" means material that is excavated
or dredged from surface waters.
"Dredging" means a form of excavation in which
material is removed or relocated from beneath surface waters.
"Ecologically and environmentally preferable" means
capable of providing a higher likelihood than alternative proposals of
replacing existing wetland acreage and functions, stream functions, water
quality, and fish and wildlife resources.
"Emergent wetland" means a class of wetlands
dominated by erect, rooted, herbaceous plants growing in water or on a
substrate, excluding mosses and lichens. This vegetation is present for most of
the growing season in most years and is usually dominated by perennial plants.
"Enhancement" means activities conducted in
existing wetlands or other portions of the aquatic environment that increase
one or more aquatic functions.
"Excavate" or "excavation" means
ditching, dredging, or mechanized removal of earth, soil, or rock.
"Fill" means replacing portions of surface water
with upland, or raising the bottom elevation of a surface water for any purpose,
by placement of any pollutant or material including rock, sand, earth, and
man-made materials and debris.
"Fill material" means any pollutant that replaces
portions of surface water with dry land or that raises the bottom elevation of
a surface water for any purpose.
"Forested wetland" means a class of wetlands
dominated by woody vegetation that is approximately 20 feet (six meters) tall
or taller and three inches (7.6 centimeters) or larger in diameter at breast
height (DBH). These areas typically possess an overstory of trees, an
understory of trees or shrubs, and an herbaceous layer.
"Hydrologic regime" means the entire state of water
movement in a given area. It is a function of the climate and includes the
phenomena by which water first occurs as atmospheric water vapor, passes into a
liquid or solid form, falls as precipitation, moves along or into the ground
surface, and returns to the atmosphere as vapor by means of evaporation and
transpiration.
"Impacts" means results caused by those activities
specified in § 62.1-44.15:20 A of the Code of Virginia.
"Impairment" means the damage, loss, or degradation
of the acreage or functions of wetlands or the functions of state waters.
"Independent utility" means a test to determine
what constitutes a single and complete project. A project is considered to have
independent utility if it would be constructed absent the construction of other
projects in the project area. Portions of a phased development project that
depend upon other phases of the project do not have independent utility.
Portions of a phased development project that would be constructed even if the
other phases are not built can be considered as separate single complete
projects with independent public and economic utility.
"In-lieu fee program" means a program operated by a
nonprofit organization or governmental agency that receives moneys from persons
impacting wetlands or streams pursuant to an authorized, permitted activity and
that expends the moneys received to provide consolidated compensatory
mitigation for permitted wetland or stream impacts.
"Isolated wetlands of minimal ecological value"
means those wetlands that (i) do not have a surface water connection to other
state waters, (ii) are less than one-tenth of an acre (0.10 acre or 4,356
square feet) in size, (iii) are not located in a Federal Emergency Management
Agency designated 100-year floodplain, (iv) are not identified by the Virginia
Natural Heritage Program as a rare or state significant natural community, (v)
are not forested, and (vi) do not contain listed federal or state threatened or
endangered species.
"Joint Permit Application" or "JPA" means
an application form that is used to apply for permits from the Norfolk District
Army Corps of Engineers, the Virginia Marine Resources Commission, the Virginia
Department of Environmental Quality, and local wetland boards for work in
waters of the United States and in surface waters of Virginia.
"Law" means the State Water Control Law of
Virginia.
"Legal name" means the full legal name of an
individual, business, or other organization. For an individual, legal name
means the first name, middle initial, last name, and suffix. For an entity
authorized to do business in Virginia, the legal name means the exact name set
forth in the entity's articles of incorporation, organization or trust, or
formation agreement, as applicable.
"Minimization" means lessening impacts by reducing
the degree or magnitude of the proposed action and its implementation.
"Mitigation" means sequentially avoiding and
minimizing impacts to the maximum extent practicable, and then compensating for
remaining unavoidable impacts of a proposed action.
"Mitigation bank" means a site providing off-site,
consolidated compensatory mitigation that is developed and approved in accordance
with all applicable federal and state laws or regulations for the
establishment, use, and operation of mitigation banks and is operating under a
signed banking agreement.
"Mitigation banking" means compensating for
unavoidable wetland or stream losses in advance of development actions through
the sale or purchase of credits from a mitigation bank.
"Nationwide permit" means a general permit issued
by the U.S. Army Corps of Engineers (USACE) under 33 CFR Part 330 and, except
where suspended by individual USACE Corps Districts, applicable nationwide.
"Nontidal wetland" means those wetlands other than
tidal wetlands that are inundated or saturated by surface water or groundwater
at a frequency and duration sufficient to support, and that under normal circumstances
do support, a prevalence of vegetation typically adapted for life in saturated
soil conditions, as defined by the U.S. Environmental Protection Agency
pursuant to § 404 of the federal Clean Water Act in 40 CFR 230.3(t). Wetlands
generally include swamps, marshes, bogs, and similar areas.
"Normal agricultural activities" means those
activities defined as an agricultural operation in § 3.2-300 of the Code
of Virginia and any activity that is conducted as part of or in furtherance of
such agricultural operation but shall not include any activity for which a
permit would have been required as of January 1, 1997, under 33 USC § 1344
or any regulations promulgated pursuant thereto.
"Normal residential gardening and lawn and landscape
maintenance" means ongoing noncommercial residential activities conducted
by or on behalf of an individual occupant, including mowing; planting;
fertilizing; mulching; tilling; vegetation removal by hand or by hand tools;
and placement of decorative stone, fencing, and play equipment. Other
appurtenant noncommercial activities, provided that they do not result in the
conversion of a wetland to upland or to a different wetland type, may also be
included.
"Normal silvicultural activities" means any
silvicultural activity as defined in § 10.1-1181.1 of the Code of
Virginia, and any activity that is conducted as part of or in furtherance of
such silvicultural activity but shall not include any activity for which a
permit would have been required as of January 1, 1997, under 33 USC § 1344
or any regulations promulgated pursuant thereto.
"Notice of project completion" means a statement
submitted by the permittee or authorized agent that the authorized activities
and any required compensatory mitigation have been completed.
"Open water" means an area that, during a year with
normal patterns of precipitation, has standing water for sufficient duration to
establish an ordinary high water mark. The term "open water" includes
lakes and ponds but does not include ephemeral waters, stream beds, or
wetlands.
"Ordinary high water" or "ordinary high water
mark" means that line on the shore established by the fluctuations of
water and indicated by physical characteristics such as a clear, natural line
impressed on the bank; shelving; changes in the character of soil; destruction
of terrestrial vegetation; the presence of litter and debris; or other
appropriate means that consider the characteristics of the surrounding areas.
"Out-of-kind compensatory mitigation" or
"out-of-kind mitigation" means a measure that does not replace the
same type of wetland or surface water as was impacted but does replace lost
wetland or surface water functions or provide a water quality, habitat, or
other desirable benefit.
"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 stream bed 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.
"Permanent flooding or impounding" means a
permanent increase in the duration or depth of standing water on a land
surface, such as from a dam. Permanent increases in duration or depth of
standing water that result from extended-detention basins and enhanced
extended-detention basins, when designed, constructed, and maintained to
function in accordance with Virginia Department of Conservation and Recreation
(DCR) standards for such facilities (Virginia Stormwater Management Handbook,
First Edition, 1999, Volume 1, Chapter 3), or when designed in accordance with
local standards that, at a minimum, meet the DCR standards, are not considered
to be permanent flooding and impounding.
"Permanent impacts" means those impacts to surface
waters, including wetlands, that cause a permanent alteration of the physical,
chemical, or biological properties of the surface waters or of the acreage or
functions of a wetland.
"Permittee" means the person who holds a VWP
individual or general permit.
"Permittee-responsible compensatory mitigation" or
"permittee-responsible mitigation" means compensation or compensatory
mitigation, as defined in this section, that is undertaken by the permittee, or
an authorized agent or contractor, for which the permittee retains full
responsibility.
"Person" means individual, corporation,
partnership, association, governmental body, municipal corporation, or any
other legal entity.
"Phased development" means more than one project
proposed for a single piece of property or an assemblage of contiguous
properties under consideration for development by the same person, or by
related persons, that will begin and be completed at different times. Depending
on the relationship between the projects, a phased development may be
considered a single and complete project or each project may be considered a
single and complete project if each project has independent utility, as defined
in this section.
"Plan view drawing" means a scaled graph or plot
that represents the view of an object as projected onto orthogonal planes.
Objects may include structures, contours, or boundaries.
"Pollutant" means any substance, radioactive
material, or heat that causes or contributes to or may cause or contribute to
pollution.
"Pollution" means such alteration of the physical,
chemical, or biological properties of any state waters as will or is likely to
create a nuisance or render such waters (i) harmful or detrimental or injurious
to the public health, safety, or welfare or to the health of animals, fish, or
aquatic life; (ii) unsuitable with reasonable treatment for use as present or
possible future sources of public water supply; or (iii) unsuitable for
recreational, commercial, industrial, agricultural, or other reasonable uses;
provided that (a) an alteration of the physical, chemical, or biological
property of state waters, or a discharge or deposit of sewage, industrial
wastes or other wastes to state waters by any owner which by itself is not
sufficient to cause pollution, but which, in combination with such alteration
of or discharge or deposit to state waters by other owners is sufficient to
cause pollution; (b) the discharge of untreated sewage by any owner into state
waters; and (c) contributing to the contravention of standards of water quality
duly established by the board, are "pollution" for the terms and
purposes of this chapter.
"Practicable" means available and capable of being
done after taking into consideration cost, existing technology, and logistics
in light of overall project purposes.
"Preservation" means the protection of resources in
perpetuity through the implementation of appropriate legal and physical
mechanisms.
"Profile drawing" means a scaled graph or plot that
represents the side view of an object. Objects may include a surface water body
or a portion of it, a man-made channel, an above-ground structure, a
below-ground structure, a geographical feature, or the ground surface itself.
"Public hearing" means a fact finding proceeding
held to afford interested persons an opportunity to submit factual data, views,
and comments to the board pursuant to § 62.1-44.15:02 of the Code of
Virginia.
"Regional permit" means a general permit issued by
the U.S. Army Corps of Engineers under 33 CFR Part 330 and applicable within a
specified geographic area.
"Restoration" means the reestablishment of a
wetland or other aquatic resource in an area where it previously existed.
Wetland restoration means the reestablishment of wetland hydrology and
vegetation in an area where a wetland previously existed. Stream restoration
means the process of converting an unstable, altered, or degraded stream
corridor, including adjacent areas and floodplains, to its natural conditions.
"Riprap" means a layer of nonerodible material such
as stone or chunks of concrete.
"Section 401" means § 401 of the Clean Water
Act, or 33 USC § 1341, as amended in 1987.
"Scrub-shrub wetland" means a class of wetlands
dominated by woody vegetation, excluding woody vines, approximately three to 20
feet (one to six meters) tall. The species include true shrubs, young trees,
and trees or shrubs that are small or stunted because of environmental
conditions.
"Significant alteration or degradation of existing
wetland acreage or function" means human-induced activities that cause
either a diminution of the areal extent of the existing wetland or cause a
change in wetland community type resulting in the loss or more than minimal
degradation of its existing ecological functions.
"Single and complete project" means the total
project proposed or accomplished by a person, which also has independent
utility as defined in this section. For linear projects, the single and
complete project (e.g., a single and complete crossing) will apply to each
crossing of a separate surface water (e.g., a single water body) and to
multiple crossings of the same water body at separate and distinct locations.
Phases of a project that have independent utility may each be considered single
and complete.
"State waters" means all water, on the surface and
under the ground, wholly or partially within or bordering the Commonwealth or
within its jurisdiction, including wetlands.
"Stream bed" or "stream channel" means
the substrate of a stream, as measured between the ordinary high water mark
along each side of a stream. The substrate may consist of organic matter,
bedrock, or inorganic particles that range in size from clay to boulders, or a
combination of both. Areas contiguous to the stream bed, but outside of the
ordinary high water mark along each side of a stream, are not considered part
of the stream bed.
"Surface water" means all state waters that are not
groundwater as groundwater is defined in § 62.1-255 of the Code of
Virginia.
"Suspend" or "suspension" means a
decision by the board that stops the review or processing of a permit
application or request to modify a permit or permit coverage until such time
that information requested by the board is provided, reviewed, and deemed adequate.
"Temporal loss" means the time lag between the loss
of aquatic resource functions caused by the impacts and the replacement of
aquatic resource functions by compensatory mitigation.
"Temporary impacts" means impacts to wetlands or
other surface waters that do not cause a permanent alteration of the physical,
chemical, or biological properties of surface waters or the permanent
alteration or degradation of existing wetland acreage or functions. Temporary
impacts include activities in which the impact area is restored to its
preconstruction elevations and contours with topsoil from the impact area where
practicable, such that previous wetland acreage and functions or surface water
functions are restored.
"Tidal wetland" means vegetated and nonvegetated
wetlands as defined in § 28.2-1300 of the Code of Virginia.
"Toxic pollutant" means any agent or material
including those listed under § 307(a) of the Water Pollution Prevention
and Control Act (33 USC § 1317(a)), which after discharge will, on the basis of
available information, cause toxicity. Toxicity means the inherent potential or
capacity of a material to cause adverse effects in a living organism, including
acute or chronic effects to aquatic life, detrimental effects on human health,
or other adverse environmental effects.
"Undesirable plant species" means any species that
invades, naturally colonizes, or otherwise dominates a compensatory mitigation
site or mitigation bank, such that it causes or contributes to the failure of
the vegetative success criteria for a particular compensatory mitigation site,
mitigation bank, or in-lieu fee program project, or it otherwise prohibits the
restoration of the same vegetation cover type that was originally present.
"VWP general permit" means the general permit text,
terms, requirements, and conditions set forth in a regulation that constitutes
a VWP permit authorizing a specified category of activities.
"VWP permit" means an individual or general permit
issued by the board under § 62.1-44.15:20 of the Code of Virginia that
authorizes activities otherwise unlawful under § 62.1-44.5 of the Code of
Virginia or otherwise serves as the Commonwealth of Virginia's § 401
certification. For any applicant to the Federal Energy Regulatory Commission
for a certificate of public convenience and necessity pursuant to § 7c of
the federal Natural Gas Act (15 USC § 717f(c)) to construct any natural
gas transmission pipeline greater than 36 inches inside diameter, issuance of
an individual VWP permit pursuant to this chapter and a certification issued
pursuant to Article 2.6 (§ 62.1-44.15:80 et seq.) of the State Water Control
Law shall together constitute the certification required under § 401 of the
federal Clean Water Act.
"Water quality standards" means water quality
standards adopted by the board and approved by the administrator of the U.S.
Environmental Protection Agency under § 303 of the Clean Water Act as defined
in 9VAC25-260-5.
"Watershed approach" means an analytical process
for making compensatory mitigation decisions that support the sustainability or
improvement of aquatic resources in a watershed and that ensures authorized
impacts and mitigation have been considered on a watershed scale.
"Wetlands" means those areas that are inundated or
saturated by surface water or groundwater at a frequency and duration
sufficient to support, and that under normal circumstances do support, a
prevalence of vegetation typically adapted for life in saturated soil
conditions. Wetlands generally include swamps, marshes, bogs, and similar
areas.
9VAC25-210-80. Application for a VWP permit.
A. Application for a VWP Permit. Any person who is required
to obtain a VWP permit, except those persons applying for an emergency VWP
permit for a public water supply emergency, shall submit a complete VWP permit
application to the Department of Environmental Quality through the most current
Joint Permit Application procedures established within each type of Joint
Permit Application. The Virginia Department of Transportation (VDOT) may use
its Interagency Coordination Meeting (IACM) process for submitting JPAs. There
shall be no commencement of any activity subject to this chapter prior to the
issuance of a VWP permit or granting VWP general permit coverage.
B. Informational requirements for all VWP individual permit
applications are identified in this subsection with the exception of
applications for emergency VWP permits to address a public water supply
emergency, for which the information required in 9VAC25-210-340 C shall be
submitted. In addition to the information in this subsection, applications
involving a surface water withdrawal or a Federal Energy Regulatory Commission
(FERC) license or relicense associated with a surface water withdrawal shall
also submit the information required in 9VAC25-210-340 B.
1. A complete application for a VWP individual permit, at a
minimum, consists of the following information, if applicable to the project:
a. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
b. If different from applicant, legal name, mailing address,
telephone number, and if applicable, electronic mail address and fax number of
property owner.
c. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
d. Project name and proposed project schedule. This schedule
will be used to determine the VWP permit term.
e. The following information for the project site location,
and any related permittee-responsible compensatory mitigation site:
(1) The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
(2) Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
(3) The latitude and longitude to the nearest second at the
center of the site or sites.
(4) The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
(5) A detailed map depicting the location of the site or
sites, including the project boundary and existing preservation areas on the
site or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle
map) should be of sufficient detail to easily locate the site or sites for
inspection.
f. A narrative description of the project, including project
purpose and need.
g. An alternatives analysis for the proposed project detailing
the specific on-site and off-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site and off-site
measures taken to reduce the size, scope, configuration, or density of the
proposed project, including review of alternative sites where required for the
project, which would avoid or result in less adverse impact to surface waters,
and documentation demonstrating the reason the applicant determined less
damaging alternatives are not practicable. The analysis shall demonstrate to
the satisfaction of the board that avoidance and minimization opportunities
have been identified and measures have been applied to the proposed activity
such that the proposed activity in terms of impacts to state waters and fish
and wildlife resources is the least environmentally damaging practicable
alternative.
h. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
(1) Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
(2) Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
(3) Open water impacts identified according to type; and for
each type, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
(4) A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
(5) A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 1 h (1), 1
h (2), and 1 h (3) of this subsection; and (iii) quantifies and identifies any
other surface waters according to their Cowardin classification (i.e.,
emergent, scrub-shrub, or forested) or similar terminology.
i. Plan view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
(1) North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
(2) Limits of proposed impacts to surface waters.
(3) Location of all existing and proposed structures.
(4) All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; ordinary high water mark in
nontidal areas; tidal wetlands boundary; and mean low water and mean high water
lines in tidal areas.
(5) The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830).
(6) The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
j. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area includes at a
minimum a graphic scale, existing structures, existing and proposed elevations,
limits of surface water areas, ebb and flood or direction of flow (if
applicable), ordinary high water mark in nontidal areas, tidal wetland boundary,
mean low water and mean high water lines in tidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of the proposed impact.
k. Materials assessment. Upon request by the board, the
applicant shall provide evidence or certification that the material is free
from toxic contaminants prior to disposal or that the dredging activity will
not cause or contribute to a violation of water quality standards during
dredging. The applicant may be required to conduct grain size and composition
analyses, tests for specific parameters or chemical constituents, or elutriate
tests on the dredge material.
l. An assessment of potential impacts to federal and state
listed threatened or endangered species, including any correspondence or
documentation from federal or state resource agencies addressing potential impacts
to listed species.
m. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
(1) If permittee-responsible compensation is proposed for
wetland impacts, a conceptual wetland compensatory mitigation plan shall be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of replacement of wetland
acreage and functions; (ii) a detailed location map including latitude and
longitude to the nearest second and the fourth order subbasin, as defined by
the hydrologic unit boundaries of the National Watershed Boundary Dataset, at
the center of the site; (iii) a description of the surrounding land use; (iv) a
hydrologic analysis including a draft water budget for nontidal areas based on
expected monthly inputs and outputs that will project water level elevations
for a typical year, a dry year, and a wet year; (v) groundwater elevation data,
if available, or the proposed location of groundwater monitoring wells to
collect these data; (vi) wetland delineation confirmation, data sheets, and
maps for existing surface water areas on the proposed site or sites; (vii) a
conceptual grading plan; (viii) a conceptual planting scheme including
suggested plant species and zonation of each vegetation type proposed; (ix) a
description of existing soils including general information on both topsoil and
subsoil conditions, permeability, and the need for soil amendments; (x) a draft
design of water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
(2) If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan shall be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-section drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed
restoration measures to be employed including channel measurements, proposed
design flows, types of instream structures, and conceptual planting scheme;
(viii) reference stream data, if available; (ix) inclusion of buffer areas; (x)
schedule for restoration activities; and (xi) measures for the control of
undesirable species.
(3) For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et
seq. of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700
et seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions (a), (b), and (c) of
this subdivision B 1 m (3) or in lieu thereof shall describe the intended
protective mechanism or mechanisms that contain or contains the information
required as follows:
(a) A provision for access to the site;
(b) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(c) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
(4) Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
bank or in-lieu fee program sponsor of the availability of credits at the time
of application.
n. A written description and a graphical depiction identifying
all upland areas including buffers, wetlands, open water, other surface waters,
and compensatory mitigation areas located within the proposed project boundary
or permittee-responsible compensatory mitigation areas, that are under a deed
restriction, conservation easement, restrictive covenant, or other land use
protective instrument (i.e., protected areas). Such description and a graphical
depiction shall include the nature of the prohibited activities within the
protected areas and the limits of Chesapeake Bay Resource Protection Areas (RPAs)
as field-verified by the applicant, and if available, the limits as approved by
the locality in which the project site is located, unless the proposed use is
exempt from the Chesapeake Bay Preservation Area Designation and Management
Regulations (9VAC25-830), as additional state or local requirements may apply
if the project is located within an RPA.
o. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
p. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20. The board will continue to process the application, but the fee must
be received prior to release of a draft VWP permit.
2. Reserved.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more, and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensatory mitigation, including water quality
enhancements as replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Incomplete application.
1. Where an application for an individual permit or
general permit coverage is not accepted as complete by the board within 15
days of receipt, the board shall require the submission of additional
information from the applicant and may suspend processing of any application
until such time as the applicant has supplied the requested information and the
board considers the application complete. Where the applicant becomes aware
that he omitted one or more relevant facts from a VWP permit application or
submitted incorrect information in a VWP permit application or in any report to
the board, the applicant shall immediately submit such facts or the correct
information. A revised application with new information shall be deemed a new
application for purpose of review but shall not require an additional notice or
an additional permit application fee.
2. An incomplete permit application for an
individual permit or general permit coverage may be administratively
withdrawn from processing by the board for failure to provide the required
information after 60 days from the date of the latest written information
request made by the board. The board shall provide (i) notice to the
applicant and (ii) an opportunity for an informal fact-finding proceeding when
administratively withdrawing an incomplete application. Resubmittal of an
application for the same or similar project, after such time that the original
permit application was administratively withdrawn, shall require submittal of
an additional permit application fee and may be subject to additional noticing
requirements.
3. An applicant may request a suspension of application
review by the board. A submission by the applicant making such a request shall
not preclude the board from administratively withdrawing an incomplete
application. Resubmittal of a permit application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee and may be subject to additional noticing requirements.
9VAC25-210-230. Denial of the VWP permit or variance request.
A. The board shall make a decision to tentatively deny the
VWP permit or variance request if the requirements of this chapter are not met.
Basis for denial include, but are not limited to, the following:
1. The project will result in violations of water quality
standards or will impair the beneficial uses of state waters.
2. As a result of project implementation, shellfish waters
would be condemned in accordance with 9VAC25-260.
3. The project that the applicant proposed fails to adequately
avoid and minimize impacts to state waters to the maximum extent practicable.
4. The proposed compensatory mitigation plan is insufficient
or unsatisfactory for the proposed impacts and fails to achieve no net loss of
existing wetland acreage and function and no net loss of functions in all
surface waters.
5. The Department of Game and Inland Fisheries Wildlife
Resources indicates that natural or stockable trout waters would be
permanently and negatively impacted by the proposed activity.
6. The proposed activity is prohibited by 9VAC25-210-50.
7. The effect of project impacts, together with other existing
or proposed impacts to wetlands, will cause or contribute to a significant
impairment of state waters or fish and wildlife resources.
8. Failure to submit the required permit fee in accordance
with 9VAC25-210-80 B 1 g or 9VAC25-210-340 C 1 g.
9. The board determines that the applicant for an Emergency
Virginia Water Protection Permit has not demonstrated that there is a
substantial threat to public health and safety, and that normal Virginia Water
Protection Permit procedures, including public comment provisions, should be
followed.
B. The applicant shall be notified by letter of the board's
preliminary decision to tentatively deny the VWP permit requested.
C. Should the applicant withdraw his application, no VWP
permit or variance will be issued.
D. Should the applicant elect to proceed as originally
proposed, the board may deny the application and advise the applicant pursuant
to § 62.1-44.15:02 of the Code of Virginia of his right to a public hearing to
consider the denial.
9VAC25-210-320. Preapplication procedures for new or expanded
surface water withdrawals.
A. Preapplication review panel. At the request of a potential
applicant for a surface water withdrawal proposing to the Department of
Environmental Quality to withdraw 90 million gallons a month or greater, a
preapplication review panel shall be convened prior to submission of a VWP
application. The preapplication review panel shall assist potential applicants
that are proposing surface water withdrawals with the early identification of
issues related to the protection of beneficial instream and offstream uses of
state waters and the identification of the affected stream reach. DEQ shall
notify the Virginia Marine Resources Commission, the Virginia Institute of
Marine Science, the Virginia Department of Game and Inland Fisheries Wildlife
Resources, the Virginia Department of Conservation and Recreation, the
Virginia Department of Health, the U.S. Army Corps of Engineers, the U.S. Fish
and Wildlife Service, the U.S. Environmental Protection Agency, and other
appropriate local, state, and federal agencies of the preapplication review
panel request. These agencies shall participate to the extent practicable in
the preapplication review panel by providing information and guidance on the
potential natural resource impacts and regulatory implications of the options being
considered by the applicant and shall provide comments within 60 days of the
initial meeting of the preapplication panel.
B. Preapplication public notice. For new or expanded surface
water withdrawals requiring an individual VWP permit and proposing to withdraw
90 million gallons a month or greater, a potential applicant shall provide
information on the project, shall provide an opportunity for public comment on
the proposed project, and shall assist in identifying public concerns or issues
prior to filing a VWP individual permit application.
1. Except as provided in this subsection, the potential
applicant shall provide for publication of notice once a week for two
consecutive weeks in a newspaper of general circulation serving the locality
where the surface water withdrawal is proposed to be located.
2. If requested by any person, the potential applicant shall
hold at least one public information meeting. Notice of any public information
meeting held pursuant to this subsection shall be provided at least 14 days
prior to the public information meeting date and shall be published in the same
manner as required in subdivision 1 of this subsection. A potential applicant
shall submit the notice to DEQ for posting on the DEQ website. At a minimum,
any notice required by this subsection shall include:
a. A statement of the potential applicant's intent to apply
for a VWP permit for a surface water withdrawal;
b. The proposed location of the surface water withdrawal;
c. Information on how the public may request a public
information meeting or, in the alternative, the date, time, and location of the
public information meeting;
d. The name, address, and telephone number of the potential
applicant, or an authorized representative who can answer questions or receive
comments on the proposed surface water withdrawal; and
e. A statement of how oral or written public comments will be
used.
3. In accordance with the provisions of 9VAC25-780-50 C 11 and
9VAC25-780-150, a potential applicant shall not be required to publish public
notice or provide an opportunity for a public information meeting if a public
meeting has been held within two years prior to the submittal of an application
for a VWP permit on a local or regional water supply plan, which includes the
proposed project.
4. The potential applicant shall maintain a list of persons
making comment and their addresses and shall make a good faith effort to notify
commenters at the address provided by the commenter when the public notice for
the draft VWP individual permit is available.
9VAC25-660-50. Notification.
A. Notification to the board will be required prior to
commencing construction, as follows:
1. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed, permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-660-60 B. Compensatory
mitigation may be required for all permanent impacts.
2. An application for coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 2 a or 2 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such restriction,
easement, covenant, or instrument is the result of a federal or state permit
action and is specific to activities in wetlands and compensatory mitigation
sites, the application shall include all of the information required by
9VAC25-660-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 10, 11, 15, and 16 of
9VAC25-660-60 B and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall include
the information in 9VAC25-660-60 B 12.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services, and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of
federal or state listed threatened and endangered species or designated
critical habitat. Based upon consultation with these agencies, the board may
deny application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-660-60. Application.
A. The applicant shall file a complete application in
accordance with 9VAC25-660-50 and this section for coverage under thisVWP
general permit for impacts to nontidal wetlands or open water of less than
one-half acre and up to 300 linear feet of nontidal stream bed.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
4. The existing VWP general permit tracking number, if
applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas (RPAs)
as field-verified by the applicant, and if available, the limits as approved by
the locality in which the project site is located, unless the proposed use is
exempt from the Chesapeake Bay Preservation Area Designation and Management
Regulations (9VAC25-830).
f. The limits of areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification, and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 10 a, 10 b,
and 10 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
11. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed project,
including review of alternative sites where required for the project, which
would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the
satisfaction of the board that avoidance and minimization opportunities have
been identified and measures have been applied to the proposed activity such
that the proposed activity in terms of impacts to state waters and fish and
wildlife resources is the least environmentally damaging practicable
alternative.
12. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
Any compensatory mitigation plan proposing the purchase of mitigation bank or
in-lieu fee program credits shall include the number and type of credits
proposed to be purchased and documentation from the approved bank or in-lieu
fee program sponsor of the availability of credits at the time of application.
13. A copy of the FEMA flood insurance rate map or
FEMA-approved local floodplain map depicting any 100-year floodplains.
14. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
15. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary that are under a deed restriction, conservation easement,
restrictive covenant, or other land use protective instrument (i.e., protected
areas). Such description and a graphical depiction shall include the nature of
the prohibited activities within the protected areas and the limits of
Chesapeake Bay Resource Protection Areas (RPAs) as field-verified by the
applicant, and if available, the limits as approved by the locality in which
the project site is located, unless the proposed use is exempt from the
Chesapeake Bay Preservation Area Designation and Management Regulations
(9VAC25-830), as additional state or local requirements may apply if the
project is located within an RPA.
16. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. Upon receipt of an application from the Department of
Transportation for a road or highway construction project by the appropriate
DEQ office, the board has 10 business days, pursuant to § 33.2-258 of the
Code of Virginia, to review the application and either determine the
information requested in subsection B of this section is complete or inform the
Department of Transportation that additional information is required to make
the application complete. Upon receipt of an application from other applicants
for any type of project, the board has 15 days to review the application and
either determine that the information requested in subsection B of this section
is complete or inform the applicant that additional information is required to
make the application complete. Pursuant to § 33.2-258 of the Code of Virginia,
coverage under this VWP general permit for Department of Transportation road or
highway construction projects shall be approved or approved with conditions, or
the application shall be denied, within 30 business days of receipt of a
complete application. For all other projects, coverage under this VWP general
permit shall be approved or approved with conditions, or the application shall
be denied, within 45 days of receipt of a complete application. If the board
fails to act within the applicable 30 or 45 days on a complete application,
coverage under this VWP general permit shall be deemed granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under this VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of state waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
D. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within the applicable 10 or 15 days of
receipt, the board shall require the submission of additional information from
the applicant and may suspend processing of any application until such time as
the applicant has supplied the requested information and the application is
complete. Where the applicant becomes aware that he omitted one or more relevant
facts from an application, or submitted incorrect information in an application
or in any report to the board, the applicant shall immediately submit such
facts or the correct information. A revised application with new information
shall be deemed a new application for the purposes of review but shall not
require an additional permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-660-100. VWP general permit.
VWP GENERAL PERMIT NO. WP1 FOR IMPACTS LESS THAN ONE-HALF ACRE
UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE VIRGINIA STATE WATER CONTROL
LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations
adopted pursuant thereto, the board has determined that there is a reasonable
assurance that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of state waters or fish and
wildlife resources. In issuing this VWP general permit, the board has not taken
into consideration the structural stability of any proposed activities.
The permanent or temporary impact of less than one-half acre
of nontidal wetlands or open water and up to 300 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this VWP general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts to less than one-half acre of
nontidal wetlands or open water and up to 300 linear feet of nontidal stream
bed. Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with
9VAC25-660-80. An application or request for modification to coverage or
another VWP permit application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-660-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species that
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless otherwise specifically approved by the
Department of Environmental Quality on a case-by-case basis, and as follows:
The requirement to countersink does not apply to extensions or maintenance of
existing pipes and culverts that are not countersunk, floodplain pipes and
culverts being placed above ordinary high water, pipes and culverts being placed
on bedrock, or pipes and culverts required to be placed on slopes 5.0% or
greater. Bedrock encountered during construction must be identified and
approved in advance of a design change where the countersunk condition cannot
be met. Pipes and culverts 24 inches or less in diameter shall be countersunk
three inches below the natural stream bed elevations, and pipes and culverts
greater than 24 inches shall be countersunk at least six inches below the
natural stream bed elevations. Hydraulic capacity shall be determined based on
the reduced capacity due to the countersunk position. In all stream crossings
appropriate measures shall be implemented to minimize any disruption of aquatic
life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992. These controls shall be placed prior to clearing and grading and
maintained in good working order to minimize impacts to state waters. These
controls shall remain in place until the area is stabilized and shall then be
removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted impact area. All denuded
areas shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with the
project shall be accomplished in a manner that minimizes construction or waste
materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude unauthorized disturbances to
these surface waters and compensatory mitigation areas during construction. The
permittee shall notify contractors that no activities are to occur in these
marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary impact
area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their
preconstruction elevations and contours with topsoil from the impact area where
practicable within 30 days following the construction at that stream segment.
Streambanks shall be seeded or planted with the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact area where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary, supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct his activities in accordance
with the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in a Department of Environmental Quality VWP general permit
coverage letter, and shall ensure that all contractors are aware of the
time-of-year restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted stream flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes, and culverts
shall be constructed to minimize the adverse effects on surface waters to the
maximum extent practicable. Access roads constructed above preconstruction
elevations and contours in surface waters must be bridged, piped, or culverted
to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or other
similar structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized by the Department of Environmental Quality. Restoration
shall be the seeding or planting of the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands not to exceed a total of 90 days, provided
the material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a french drain effect). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control
Handbook, Third Edition, 1992.
2. Riprap apron for all outfalls shall be designed in accordance
with the Virginia Erosion and Sediment Control Handbook, Third Edition, 1992.
3. For stream bank protection activities, the structure and
backfill shall be placed as close to the stream bank as practicable. No
material shall be placed in excess of the minimum necessary for erosion
protection.
4. All stream bank protection control structures shall be
located to eliminate or minimize impacts to vegetated wetlands to the maximum
extent practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
F. Stormwater management facilities.
1. Stormwater management facilities shall be installed in
accordance with best management practices and watershed protection techniques
(e.g., vegetated buffers, siting considerations to minimize adverse effects to
aquatic resources, bioengineering methods incorporated into the facility design
to benefit water quality and minimize adverse effects to aquatic resources)
that provide for long-term aquatic resources protection and enhancement, to the
maximum extent practicable.
2. Compensation for unavoidable impacts shall not be allowed
within maintenance areas of stormwater management facilities.
3. Maintenance activities within stormwater management
facilities shall not require additional permit coverage or compensation,
provided that the maintenance activities do not exceed the original contours of
the facility, as approved and constructed, and are accomplished in designated
maintenance areas as indicated in the facility maintenance or design plan or
when unavailable, an alternative plan approved by the Department of
Environmental Quality.
Part II. Construction and Compensation Requirements,
Monitoring, and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit.
2. The types of compensation options that may be considered
for activities covered under this VWP general permit include the purchase of
mitigation bank credits or the purchase of in-lieu fee program credits in
accordance with 9VAC25-660-70 and the associated provisions of 9VAC25-210-116.
3. The final compensation plan shall be submitted to and
approved by the board prior to a construction activity in permitted impacts
areas. The board shall review and provide written comments on the final plan
within 30 days of receipt or it shall be deemed approved. The final plan as
approved by the board shall be an enforceable requirement of any coverage under
this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
B. Impact site construction monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs remain on the
project site and shall depict the impact area and the nonimpacted surface
waters immediately adjacent to and downgradient of each impact area. Each
photograph shall be labeled to include the following information: permit
number, impact area number, date and time of the photograph, name of the person
taking the photograph, photograph orientation, and photograph subject
description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities
within impact areas. Monthly inspections shall be conducted in the following
areas: all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water
areas within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality
standards to the Department of Environmental Quality in accordance with the
procedures in 9VAC25-660-100 Part II C. Corrective measures and additional
monitoring may be required if water quality standards are not met. Reporting
shall not be required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each
station.
C. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first
authorized impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all
authorized impact areas.
5. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are
encountered that require debris removal or involve a potentially toxic
substance. Measures to remove the obstruction, material, or toxic substance or
to change the location of a structure are prohibited until approved by the
Department of Environmental Quality.
6. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate Department
of Environmental Quality regional office shall be notified; otherwise, the
Department of Emergency Management shall be notified at 1-800-468-8892.
7. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
8. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
9. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are significant
penalties for submitting false information, including the possibility of fine
and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
which may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause
for revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with this
VWP general permit constitutes compliance with the VWP permit requirements of
the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. Coverage under this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credentials,
the permittee shall allow the board or any duly authorized agent of the board,
at reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an
emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility,
coverage, or liability, including liability for compliance with the
requirements of enforcement activities related to the authorized activity.
2. The board does not within 15 days notify the current and
new permittees of its intent to modify or revoke and reissue the VWP general
permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-660-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of the
Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to the VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of completing
or canceling all authorized activities requiring notification under
9VAC25-660-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The
director may accept this termination of coverage on behalf of the board. The
permittee shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in surface
waters in accordance with the VWP general permit and general permit coverage,
and that performing activities in surface waters is unlawful where the activity
is not authorized by the VWP permit or coverage, unless otherwise excluded from
obtaining coverage. I also understand that the submittal of this notice does
not release me from liability for any violations of the VWP general permit or
coverage, nor does it allow me to resume the authorized activities without
reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department
of Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit or coverage, nor
does it allow me to resume the authorized activities without reapplication and
coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been
necessary to halt or reduce the activity for which VWP general permit coverage
has been granted in order to maintain compliance with the conditions of the VWP
general permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board information that
the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also
furnish to the board, upon request, copies of records required to be kept by
the permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage under the VWP general
permit, for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or
industrial consumption, for recreation, or for other uses; or
4. On and after October 1, 2001, conduct the following
activities in a wetland:
a. New activities to cause draining that significantly alter
or degrade existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-660-27.
9VAC25-670-50. Notification.
A. Notification to the board will be required prior to
commencing construction, as follows:
1. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-670-60 B. Compensatory
mitigation may be required for all permanent impacts.
2. An application for the coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 2 a or 2 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such
restriction, easement, covenant, or instrument is the result of a federal or
state permit action and is specific to activities in wetlands and compensatory
mitigation sites, the application shall include all of the information required
by 9VAC25-670-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 10, 11, 14, and 15 of
9VAC25-670-60 B and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall
include the information in 9VAC25-670-60 B 12.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of
federal or state listed threatened and endangered species or designated
critical habitat. Based upon consultation with these agencies, the board may
deny application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-670-60. Application.
A. The applicant shall file a complete application in accordance
with 9VAC25-670-50 and this section for coverage under this VWP general permit
for impacts to surface waters from utility activities.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
4. The existing VWP general permit tracking number, if applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location and
any related permittee-responsible compensatory mitigation site:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for
inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay reservation Area Designation and
Management Regulations (9VAC25-830).
f. The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification, and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination, when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 10 a, 10 b,
and 10 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
11. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed
project, including review of alternative sites where required for the project,
which would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the satisfaction
of the board that avoidance and minimization opportunities have been identified
and measures have been applied to the proposed activity such that the proposed
activity in terms of impacts to state waters and fish and wildlife resources is
the least environmentally damaging practicable alternative.
12. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
a. If permittee-responsible compensation is proposed for wetland
impacts, a conceptual wetland compensatory mitigation plan must be submitted in
order for an application to be deemed complete and shall include at a minimum
(i) the goals and objectives in terms of replacement of wetland acreage and
functions; (ii) a detailed location map including latitude and longitude to the
nearest second and the fourth order subbasin, as defined by the hydrologic unit
boundaries of the National Watershed Boundary Dataset, at the center of the
site; (iii) a description of the surrounding land use; (iv) a hydrologic
analysis including a draft water budget for nontidal areas based on expected
monthly inputs and outputs that will project water level elevations for a
typical year, a dry year, and a wet year; (v) groundwater elevation data, if
available, or the proposed location of groundwater monitoring wells to collect
these data; (vi) wetland delineation confirmation, data sheets, and maps for
existing surface water areas on the proposed site or sites; (vii) a conceptual
grading plan; (viii) a conceptual planting scheme including suggested plant
species and zonation of each vegetation type proposed; (ix) a description of
existing soils including general information on both topsoil and subsoil
conditions, permeability, and the need for soil amendments; (x) a draft design
of any water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
b. If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-sectional drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed
restoration measures to be employed including channel measurements, proposed
design flows, types of instream structures, and conceptual planting scheme;
(viii) reference stream data, if available; (ix) inclusion of buffer areas; (x)
schedule for restoration activities; and (xi) measures for the control of
undesirable species.
c. For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et seq.
of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700 et
seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions c (1), c (2), and c (3)
of this subdivision 12 or in lieu thereof shall describe the intended protective
mechanism or mechanisms that contains the information required below:
(1) A provision for access to the site;
(2) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(3) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
d. Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
mitigation bank or in-lieu fee program sponsor of the availability of credits
at the time of application.
13. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
14. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary or permittee-responsible compensatory mitigation areas that
are under a deed restriction, conservation easement, restrictive covenant, or
other land use protective instrument (i.e., protected areas). Such description
and a graphical depiction shall include the nature of the prohibited activities
within the protected areas and the limits of Chesapeake Bay Resource Protection
Areas (RPAs) as field-verified by the applicant, and if available, the limits
as approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830), as additional state or local
requirements may apply if the project is located within an RPA.
15. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensation, including water quality enhancements as
replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Upon receipt of an application by the appropriate DEQ
office, the board has 15 days to review the application and either determine
the information requested in subsection B of this section is complete or inform
the applicant that additional information is required to make the application
complete. Coverage under the VWP general permit shall be approved or approved
with conditions, or the application shall be denied, within 45 days of receipt
of a complete application. If the board fails to act within 45 days on a
complete application, coverage under the VWP general permit shall be deemed
granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under the VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of surface waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
E. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within 15 days of receipt, the board
shall require the submission of additional information from the applicant and
may suspend processing of any application until such time as the applicant has
supplied the requested information and the application is complete. Where the
applicant becomes aware that he omitted one or more relevant facts from an
application, or submitted incorrect information in an application or any report
to the board, the applicant shall immediately submit such facts or the correct
information. A revised application with new information shall be deemed a new
application for the purposes of review but shall not require an additional
permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit application
fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-670-100. VWP general permit.
VWP GENERAL PERMIT NO. WP2 FOR FACILITIES AND ACTIVITIES OF
UTILITIES AND PUBLIC SERVICE COMPANIES REGULATED BY THE FEDERAL ENERGY
REGULATORY COMMISSION OR THE STATE CORPORATION COMMISSION AND OTHER UTILITY
LINE ACTIVITIES UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE VIRGINIA
STATE WATER CONTROL LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations adopted
pursuant thereto, the board has determined that there is a reasonable assurance
that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of surface waters or fish
and wildlife resources. In issuing this VWP general permit, the board has not
taken into consideration the structural stability of any proposed activities.
The permanent or temporary impact of up to one acre of
nontidal wetlands or open water and up to 1,500 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this VWP general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts of up to one acre of nontidal
wetlands or open water and up to 1,500 linear feet of nontidal stream bed.
Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with
9VAC25-670-80. An application or request for modification to coverage or
another VWP permit application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-670-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species which
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless otherwise specifically approved by the
Department of Environmental Quality on a case-by-case basis, and as follows:
The requirement to countersink does not apply to extensions or maintenance of
existing pipes and culverts that are not countersunk, floodplain pipes and
culverts being placed above ordinary high water, pipes and culverts being
placed on bedrock, or pipes and culverts required to be placed on slopes 5.0%
or greater. Bedrock encountered during construction must be identified and
approved in advance of a design change where the countersunk condition cannot
be met. Pipes and culverts 24 inches or less in diameter shall be countersunk
three inches below the natural stream bed elevations, and pipes and culverts
greater than 24 inches shall be countersunk at least six inches below the
natural stream bed elevations. Hydraulic capacity shall be determined based on
the reduced capacity due to the countersunk position. In all stream crossings
appropriate measures shall be implemented to minimize any disruption of aquatic
life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992. These controls shall be placed prior to clearing and grading and
maintained in good working order to minimize impacts to state waters. These
controls shall remain in place until the area is stabilized and shall then be
removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted area. All denuded areas
shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with the
project shall be accomplished in such a manner that minimizes construction or
waste materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material, to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude any unauthorized
disturbances to these surface waters and compensatory mitigation areas during
construction. The permittee shall notify contractors that no activities are to
occur in these marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary
impact area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their preconstruction
elevations and contours with topsoil from the impact area where practicable
within 30 days following the construction at that stream segment. Streambanks
shall be seeded or planted with the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact areas where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary, supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct his activities in accordance
with the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in a Department of Environmental Quality VWP general permit
coverage letter, and shall ensure that all contractors are aware of the time-of-year
restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted steam flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes,
and culverts shall be constructed to minimize the adverse effects on
surface waters to the maximum extent practicable. Access roads constructed
above preconstruction elevations and contours in surface waters must be
bridged, piped, or culverted to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or similar
structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized by the Department of Environmental Quality. Restoration
shall be the seeding or planting of the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands, not to exceed 90 days, provided the
material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a trench drain effect.). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control Handbook,
Third Edition, 1992.
2. Riprap apron for all outfalls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992.
3. For stream bank protection activities, the structure and
backfill shall be placed as close to the stream bank as practicable. No
material shall be placed in excess of the minimum necessary for erosion
protection.
4. All stream bank protection structures shall be located to
eliminate or minimize impacts to vegetated wetlands to the maximum extent
practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
Part II. Construction and Compensation Requirements,
Monitoring, and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit. For all
compensation that requires a protective mechanism, including preservation of
surface waters or buffers, the permittee shall record the approved protective
mechanism in the chain of title to the property, or an equivalent instrument
for government-owned lands, and proof of recordation shall be submitted to the
Department of Environmental Quality prior to commencing impacts in surface
waters.
2. Compensation options that may be considered under this VWP
general permit shall meet the criteria in 9VAC25-210-116 and 9VAC25-670-70.
3. The permittee-responsible compensation site or sites
depicted in the conceptual compensation plan submitted with the application
shall constitute the compensation site. A site change may require a
modification to coverage.
4. For compensation involving the purchase of mitigation bank
credits or the purchase of in-lieu fee program credits, the permittee shall not
initiate work in permitted impact areas until documentation of the mitigation
bank credit purchase or of the in-lieu fee program credit purchase has been
submitted to and received by the Department of Environmental Quality.
5. The final compensationplan shall be submitted to and
approved by the board prior to a construction activity in permitted impact
areas. The board shall review and provide written comments on the final plan
within 30 days of receipt or it shall be deemed approved. The final plan as
approved by the board shall be an enforceable requirement of any coverage under
this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
a. The final permittee-responsible wetlands compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) A summary of the type and acreage of existing wetland
impacts anticipated during the construction of the compensation site and the
proposed compensation for these impacts; a site access plan; a monitoring plan,
including proposed success criteria, monitoring goals, and the location of
photo-monitoring stations, monitoring wells, vegetation sampling points, and
reference wetlands or streams, if available; an abatement and control plan for
undesirable plant species; an erosion and sedimentation control plan; a
construction schedule; and the final protective mechanism for the protection of
the compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to commencing
impacts in surface waters.
b. The final permittee-responsible stream compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) An evaluation, discussion, and plan drawing or drawings of
existing conditions on the proposed compensation stream, including the
identification of functional and physical deficiencies for which the measures
are proposed, and summary of geomorphologic measurements (e.g., stream width,
entrenchment ratio, width-depth ratio, sinuosity, slope, substrate, etc.); a
site access plan; a monitoring plan, including a monitoring and reporting
schedule, monitoring design and methodologies for success, proposed success
criteria, location of photo-monitoring stations, vegetation sampling points,
survey points, bank pins, scour chains, and reference streams; an abatement and
control plan for undesirable plant species; an erosion and sedimentation
control plan, if appropriate; a construction schedule; a plan-view drawing
depicting the pattern and all compensation measures being employed; a profile
drawing; cross-sectional drawing or drawings of the proposed compensation
stream; and the final protective mechanism for the protection of the
compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
6. The following criteria shall apply to permittee-responsible
wetland or stream compensation:
a. The vegetation used shall be native species common to the
area, shall be suitable for growth in local wetland or riparian conditions, and
shall be from areas within the same or adjacent U.S. Department of Agriculture
Plant Hardiness Zone or Natural Resources Conservation Service Land Resource
Region as that of the project site. Planting of woody plants shall occur when
vegetation is normally dormant, unless otherwise approved in the final wetlands
or stream compensation plan or plans.
b. All work in permitted impact areas shall cease if
compensation site construction has not commenced within 180 days of
commencement of project construction, unless otherwise authorized by the board.
c. The Department of Environmental Quality shall be notified
in writing prior to the initiation of construction activities at the compensation
site.
d. Point sources of stormwater runoff shall be prohibited from
entering a wetland compensation site prior to treatment by appropriate best
management practices. Appropriate best management practices may include
sediment traps, grassed waterways, vegetated filter strips, debris screens, oil
and grease separators, or forebays.
e. The success of the compensation shall be based on meeting
the success criteria established in the approved final compensation plan.
f. If the wetland or stream compensation area fails to meet
the specified success criteria in a particular monitoring year, other than the
final monitoring year, the reasons for this failure shall be determined and a
corrective action plan shall be submitted to the Department of Environmental
Quality for approval with or before that year's monitoring report. The
corrective action plan shall contain at a minimum the proposed actions, a
schedule for those actions, and a monitoring plan, and shall be implemented by
the permittee in accordance with the approved schedule. Should significant
changes be necessary to ensure success, the required monitoring cycle shall
begin again, with monitoring year one being the year that the changes are
complete, as confirmed by the Department of Environmental Quality. If the
wetland or stream compensation area fails to meet the specified success
criteria by the final monitoring year or if the wetland or stream compensation
area has not met the stated restoration goals, reasons for this failure shall
be determined and a corrective action plan, including proposed actions, a
schedule, and a monitoring plan, shall be submitted with the final year
monitoring report for Department of Environmental Quality approval. Corrective
action shall be implemented by the permittee in accordance with the approved
schedule. Annual monitoring shall be required to continue until two sequential,
annual reports indicate that all criteria have been successfully satisfied and
the site has met the overall restoration goals (e.g., that corrective actions
were successful).
g. The surveyed wetland boundary for the compensation site
shall be based on the results of the hydrology, soils, and vegetation
monitoring data and shall be shown on the site plan. Calculation of total
wetland acreage shall be based on that boundary at the end of the monitoring
cycle. Data shall be submitted by December 31 of the final monitoring year.
h. Herbicides or algicides shall not be used in or immediately
adjacent to the compensation site or sites without prior authorization by the
board. All vegetation removal shall be done by manual means, unless authorized
by the Department of Environmental Quality in advance.
B. Impact site construction monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs shall remain on
the project site and depict the impact area and the nonimpacted surface waters
immediately adjacent to and downgradient of each impact area. Each photograph
shall be labeled to include the following information: permit number, impact
area number, date and time of the photograph, name of the person taking the
photograph, photograph orientation, and photograph subject description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities
within impact areas. Monthly inspections shall be conducted in the following
areas: all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water
areas within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality
standards to the Department of Environmental Quality in accordance with the
procedures in 9VAC25-670-100 Part II E. Corrective measures and additional
monitoring may be required if water quality standards are not met. Reporting
shall not be required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each
station.
C. Permittee-responsible wetland compensation site
monitoring.
1. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites including invert elevations for all water elevation
control structures and spot elevations throughout the site or sites. Aerial
surveys shall include the variation from actual ground conditions, such as +/-
0.2 feet. Either type of survey shall be certified by a licensed surveyor or by
a registered professional engineer to conform to the design plans. The survey
shall be submitted within 60 days of completing compensation site construction.
Changes or deviations in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
2. Photographs shall be taken at the compensation site or
sites from the permanent markers identified in the final compensation plan, and
established to ensure that the same locations and view directions at the site
or sites are monitored in each monitoring period. These photographs shall be
taken after the initial planting and at a time specified in the final
compensation plan during every monitoring year.
3. Compensation site monitoring shall begin on the first day
of the first complete growing season (monitoring year 1) after wetland
compensation site construction activities, including planting, have been
completed. Monitoring shall be required for monitoring years 1, 2, 3, and 5,
unless otherwise approved by the Department of Environmental Quality. In all
cases, if all success criteria have not been met in the fifth monitoring year,
then monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
4. The establishment of wetland hydrology shall be measured
during the growing season, with the location and number of monitoring wells,
and frequency of monitoring for each site, set forth in the final monitoring
plan. Hydrology monitoring well data shall be accompanied by precipitation
data, including rainfall amounts, either from on site, or from the closest
weather station. Once the wetland hydrology success criteria have been
satisfied for a particular monitoring year, weekly monitoring may be
discontinued for the remainder of that monitoring year following Department of
Environmental Quality approval. After a period of three monitoring years, the
permittee may request that hydrology monitoring be discontinued, providing that
adequate hydrology has been established and maintained. Hydrology monitoring
shall not be discontinued without written approval from the Department of
Environmental Quality.
5. The presence of hydric soils or soils under hydric
conditions shall be evaluated in accordance with the final compensation plan.
6. The establishment of wetland vegetation shall be in
accordance with the final compensation plan. Monitoring shall take place in
August, September, or October during the growing season of each monitoring
year, unless authorized in the monitoring plan.
7. The presence of undesirable plant species shall be
documented.
8. All wetland compensation monitoring reports shall be
submitted in accordance with 9VAC25-670-100 Part II E 6.
D. Permittee-responsible stream compensation and monitoring.
1. Riparian buffer restoration activities shall be detailed in
the final compensation plan and shall include, as appropriate, the planting of
a variety of native species currently growing in the site area, including
appropriate seed mixtures and woody species that are bare root, balled, or
burlapped. A minimum buffer width of 50 feet, measured from the top of the
stream bank at bankfull elevation landward on both sides of the stream, shall
be required where practical.
2. The installation of root wads, vanes, and other instream
structures, shaping of the stream banks, and channel relocation shall be
completed in the dry whenever practicable.
3. Livestock access to the stream and designated riparian
buffer shall be limited to the greatest extent practicable.
4. Stream channel restoration activities shall be conducted in
the dry or during low flow conditions. When site conditions prohibit access
from the streambank or upon prior authorization from the Department of
Environmental Quality, heavy equipment may be authorized for use within the
stream channel.
5. Photographs shall be taken at the compensation site from
the vicinity of the permanent photo-monitoring stations identified in the final
compensation plan. The photograph orientation shall remain constant during all
monitoring events. At a minimum, photographs shall be taken from the center of
the stream, facing downstream, with a sufficient number of photographs to view
the entire length of the restoration site. Photographs shall document the
completed restoration conditions. Photographs shall be taken prior to site
activities, during instream and riparian compensation construction activities,
within one week of completion of activities, and during at least one day of
each monitoring year to depict restored conditions.
6. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites. Aerial surveys shall include the variation from
actual ground conditions, such as +/- 0.2 feet. The survey shall be certified
by the licensed surveyor or by a registered, professional engineer to conform
to the design plans. The survey shall be submitted within 60 days of completing
compensation site construction. Changes or deviations from the final
compensation plans in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
7. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after stream compensation
site construction activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1 and 2, unless otherwise
approved by the Department of Environmental Quality. In all cases, if all
success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
8. All stream compensation site monitoring reports shall be
submitted in accordance with 9VAC25-670-100 Part II E 6.
E. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first permitted
impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all
authorized impact areas.
5. The Department of Environmental Quality shall be notified
in writing prior to the initiation of activities at the permittee-responsible compensation
site. The notification shall include a projected schedule of activities and
construction completion.
6. All permittee-responsible compensation site monitoring
reports shall be submitted annually by December 31, with the exception of the
last year, in which case the report shall be submitted at least 60 days prior
to the expiration of the general permit, unless otherwise approved by the
Department of Environmental Quality.
a. All wetland compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations, vegetative and soil monitoring
stations, monitoring wells, and wetland zones.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Analysis of all hydrology information, including
monitoring well data, precipitation data, and gauging data from streams or
other open water areas, as set forth in the final compensation plan.
(5) Evaluation of hydric soils or soils under hydric
conditions, as appropriate.
(6) Analysis of all vegetative community information,
including woody and herbaceous species, both planted and volunteers, as set
forth in the final compensation plan.
(7) Photographs labeled with the permit number, the name of
the compensation site, the photo-monitoring station number, the photograph
orientation, the date and time of the photograph, the name of the person taking
the photograph, and a brief description of the photograph subject. This
information shall be provided as a separate attachment to each photograph, if
necessary. Photographs taken after the initial planting shall be included in
the first monitoring report after planting is complete.
(8) Discussion of wildlife or signs of wildlife observed at
the compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site.
(10) Discussion of corrective measures or maintenance
activities to control undesirable species, to repair damaged water control
devices, or to replace damaged planted vegetation.
(11) Corrective action plan that includes proposed actions, a
schedule, and monitoring plan.
b. All stream compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations and monitoring stations.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Evaluation and discussion of the monitoring results in
relation to the success criteria and overall goals of compensation.
(5) Photographs shall be labeled with the permit number, the
name of the compensation site, the photo-monitoring station number, the
photograph orientation, the date and time of the photograph, the name of the
person taking the photograph, and a brief description of the photograph
subject. Photographs taken prior to compensation site construction activities,
during instream and riparian restoration activities, and within one week of
completion of activities shall be included in the first monitoring report.
(6) Discussion of alterations, maintenance, or major storm
events resulting in significant change in stream profile or cross section, and
corrective actions conducted at the stream compensation site.
(7) Documentation of undesirable plant species and summary of
abatement and control measures.
(8) Summary of wildlife or signs of wildlife observed at the
compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site, and as-built survey, if applicable.
(10) Corrective action plan that includes proposed actions, a
schedule and monitoring plan.
(11) Additional submittals that were approved by the
Department of Environmental Quality in the final compensation plan.
7. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are
encountered which require debris removal or involve potentially toxic
substance. Measures to remove the obstruction, material, or toxic substance or
to change the location of a structure are prohibited until approved by the
Department of Environmental Quality.
8. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate Department
of Environmental Quality regional office shall be notified; otherwise, the
Department of Emergency Management shall be notified at 1-800-468-8892.
9. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
10. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
11. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are
significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
which may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause
for revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with
this VWP general permit constitutes compliance with the VWP permit requirements
of the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. The issuance of this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credentials,
the permittee shall allow the board or any duly authorized agent of the board,
at reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an
emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility,
coverage, or liability, including liability for compliance with the
requirements of enforcement activities related to the authorized activity.
2. The board does not within the 15 days notify the current
and new permittees of its intent to modify or revoke and reissue the VWP
general permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-670-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of
the Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to the VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of
completing or canceling all authorized activities requiring notification under
9VAC25-670-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The
director may accept this termination of coverage on behalf of the board. The
permittee shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage, nor does it allow me to resume the authorized activities
without reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department of
Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit or coverage, nor
does it allow me to resume the authorized activities without reapplication and
coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been
necessary to halt or reduce the activity for which VWP general permit coverage
has been granted in order to maintain compliance with the conditions of the VWP
general permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board any information
that the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also
furnish to the board, upon request, copies of records required to be kept by
the permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage underthe VWP general permit,
for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or
industrial consumption, for recreation, or for other uses; or
4. On and after October 1, 2001, conduct the following
activities in a wetland:
a. New activities to cause draining that significantly alters
or degrades existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-670-27.
9VAC25-680-50. Notification.
A. Notification to the board will be required prior to
commencing construction, as follows:
1. When the Virginia Department of Transportation is the
applicant for coverage under this VWP general permit, the notification
requirements shall be in accordance with this section and 9VAC25-680-60, unless
otherwise authorized by the Department of Environmental Quality.
2. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-680-60 B. Compensatory
mitigation may be required for all permanent impacts.
3. An application for coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 3 a or 3 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such
restriction, easement, covenant, or instrument is the result of a federal or
state permit action and is specific to activities in wetlands and compensatory
mitigation sites, the application shall include all of the information required
by 9VAC25-680-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 11, 12, 15, and 16 of
9VAC25-680-60 B and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall
include the information in 9VAC25-680-60 B 13.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services, and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of
federal or state listed threatened and endangered species or designated
critical habitat. Based upon consultation with these agencies, the board may
deny application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-680-60. Application.
A. Applications shall be filed with the board as follows:
1. The applicant shall file a complete application in
accordance with 9VAC25-680-50 and this section for coverage under this VWP
general permit for impacts to surface waters from linear transportation
projects.
2. The VDOT may use its monthly IACM process for submitting
applications.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legalname, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, authorized agent's name, mailing address,
telephone number, and if applicable, fax number and electronic mail address.
4. The existing VWP general permit tracking number, if
applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location,
and any related permittee-responsible compensatory mitigation site:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or receiving
waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for
inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830).
f. The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. Materials assessment. Upon request by the board, the
applicant shall provide evidence or certification that the material is free
from toxic contaminants prior to disposal or that the dredging activity will
not cause or contribute to a violation of water quality standards during
dredging. The applicant may be required to conduct grain size and composition
analyses, tests for specific parameters or chemical constituents, or elutriate
tests on the dredge material.
11. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification; and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 11 a, 11 b,
and 11 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
12. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed
project, including review of alternative sites where required for the project,
which would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the
satisfaction of the board that avoidance and minimization opportunities have
been identified and measures have been applied to the proposed activity such
that the proposed activity in terms of impacts to state waters and fish and wildlife
resources is the least environmentally damaging practicable alternative.
13. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
a. If permittee-responsible compensation is proposed for
wetland impacts, a conceptual wetland compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of replacement of wetland acreage
and functions; (ii) a detailed location map including latitude and longitude to
the nearest second and the fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, at the center of
the site; (iii) a description of the surrounding land use; (iv) a hydrologic
analysis including a draft water budget for nontidal areas based on expected
monthly inputs and outputs that will project water level elevations for a
typical year, a dry year, and a wet year; (v) groundwater elevation data, if
available, or the proposed location of groundwater monitoring wells to collect
these data; (vi) wetland delineation confirmation, data sheets, and maps for
existing surface water areas on the proposed site or sites; (vii) a conceptual
grading plan; (viii) a conceptual planting scheme including suggested plant
species and zonation of each vegetation type proposed; (ix) a description of
existing soils including general information on both topsoil and subsoil
conditions, permeability, and the need for soil amendments; (x) a draft design
of any water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
b. If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-sectional drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed
restoration measures to be employed including channel measurements, proposed
design flows, types of instream structures, and conceptual planting scheme;
(viii) reference stream data, if available; (ix) inclusion of buffer areas; (x)
schedule for restoration activities; and (xi) measures for the control of
undesirable species.
c. For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et seq.
of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700 et
seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions c (1), c (2), and c (3)
of this subdivision 13 or in lieu thereof shall describe the intended
protective mechanism or mechanisms that contains the information required
below:
(1) A provision for access to the site;
(2) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(3) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
d. Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
mitigation bank or in-lieu fee program sponsor of the availability of credits
at the time of application.
14. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
15. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary or permittee-responsible compensatory mitigation areas that
are under a deed restriction, conservation easement, restrictive covenant, or
other land use protective instrument (i.e., protected areas). Such description
and a graphical depiction shall include the nature of the prohibited activities
within the protected areas and the limits of Chesapeake Bay Resource Protection
Areas (RPAs) as field-verified by the applicant, and if available, the limits
as approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830), as additional state or local
requirements may apply if the project is located within an RPA.
16. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual with
the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensation, including water quality enhancements as
replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Upon receipt of an application from the Department of
Transportation for a road or highway construction project by the appropriate
DEQ office, the board has 10 business days, pursuant to § 33.2-258 of the
Code of Virginia, to review the application and either determine the information
requested in subsection B of this section is complete or inform the Department
of Transportation that additional information is required to make the
application complete. Upon receipt of an application from other applicants for
any type of project, the board has 15 days to review the application and either
determine the information requested in subsection B of this section is complete
or inform the applicant that additional information is required to make the
application complete. Pursuant to § 33.2-258 of the Code of Virginia,
coverage under this VWP general permit for Department of Transportation road or
highway construction projects shall be approved or approved with conditions, or
the application shall be denied, within 30 business days of receipt of a
complete application. For all other projects, coverage under this VWP general
permit shall be approved or approved with conditions, or the application shall
be denied, within 45 days of receipt of a complete application. If the board
fails to act within the applicable 30 or 45 days on a complete application,
coverage under this VWP general permit shall be deemed granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under this VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of state waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
E. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within the applicable 10 or 15 days of
receipt, the board shall require the submission of additional information from
the applicant and may suspend processing of any application until such time as
the applicant has supplied the requested information and the application is
complete. Where the applicant becomes aware that he omitted one or more
relevant facts from an application, or submitted incorrect information in an
application or in any report to the board, the applicant shall immediately
submit such facts or the correct information. A revised application with new
information shall be deemed a new application for the purposes of review but
shall not require an additional permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-680-100. VWP general permit.
VWP GENERAL PERMIT NO. WP3 FOR LINEAR TRANSPORTATION PROJECTS
UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE VIRGINIA STATE WATER CONTROL
LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations adopted
pursuant thereto, the board has determined that there is a reasonable assurance
that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of state waters or fish and
wildlife resources. In issuing this VWP general permit, the board has not taken
into consideration the structural stability of any proposed activities.
The permanent or temporary impact of up to two acres of
nontidal wetlands or open water and up to 1,500 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this VWP general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts of up to two acres of nontidal
wetlands or open water and up to 1,500 linear feet of nontidal stream bed.
Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with 9VAC25-680-80.
An application or request for modification to coverage or another VWP permit
application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-680-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species which
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless specifically approved by the Department of
Environmental Quality on a case-by-case basis and as follows: The requirement
to countersink does not apply to extensions or maintenance of existing pipes
and culverts that are not countersunk, floodplain pipe and culverts being
placed above ordinary high water, pipes and culverts being placed on bedrock,
or pipes or culverts required to be placed on slopes 5.0% or greater. Bedrock
encountered during construction must be identified and approved in advance of a
design change where the countersunk condition cannot be met. Pipes and culverts
24 inches or less in diameter shall be countersunk three inches below the
natural stream bed elevations, and pipes and culverts greater than 24 inches shall
be countersunk at least six inches below the natural stream bed elevations.
Hydraulic capacity shall be determined based on the reduced capacity due to the
countersunk position. In all stream crossings appropriate measures shall be
implemented to minimize any disruption of aquatic life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992. These controls shall be placed prior to clearing and grading and
maintained in good working order to minimize impacts to state waters. These
controls shall remain in place until the area is stabilized and shall then be
removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted impact area. All denuded
areas shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with the
project shall be accomplished in a manner that minimizes construction or waste
materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material, to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude unauthorized disturbances to
these surface waters and compensatory mitigation areas during construction. The
permittee shall notify contractors that no activities are to occur in these
marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary
impact area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their
preconstruction elevations and contours with topsoil from the impact area where
practicable within 30 days following the construction at that stream segment.
Streambanks shall be seeded or planted with the same vegetation cover type
originally present, including any necessary, supplemental erosion control
grasses. Invasive species identified on the Department of Conservation and
Recreation's Virginia Invasive Plant Species List shall not be used to the
maximum extent practicable or without prior approval from the Department of
Environmental Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact area where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct his activities in accordance
with the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in Department of Environmental Quality VWP general permit
coverage, and shall ensure that all contractors are aware of the time-of-year
restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted stream flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes, and culverts
shall be constructed to minimize the adverse effects on surface waters to the
maximum extent practicable. Access roads constructed above preconstruction
elevations and contours in surface waters must be bridged, piped, or culverted
to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or similar
structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized by the Department of Environmental Quality. Restoration
shall be the seeding or planting of the same vegetation cover type originally
present, including any necessary supplemental erosion control grasses. Invasive
species identified on the Department of Conservation and Recreation's Virginia
Invasive Plant Species List shall not be used to the maximum extent practicable
or without prior approval from the Department of Environmental Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands not to exceed a total of 90 days, provided
the material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a french drain effect). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control
Handbook, Third Edition, 1992.
2. Riprap aprons for all outfalls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992.
3. For bank protection activities, the structure and backfill
shall be placed as close to the stream bank as practicable. No material shall
be placed in excess of the minimum necessary for erosion protection.
4. All stream bank protection structures shall be located to
eliminate or minimize impacts to vegetated wetlands to the maximum extent
practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
F. Dredging.
1. Dredging depths shall be determined and authorized
according to the proposed use and controlling depths outside the area to be
dredged.
2. Dredging shall be accomplished in a manner that minimizes
disturbance of the bottom and minimizes turbidity levels in the water column.
3. If evidence of impaired water quality, such as a fish kill,
is observed during the dredging, dredging operations shall cease, and the
Department of Environmental Quality shall be notified immediately.
4. Barges used for the transportation of dredge material shall
be filled in such a manner to prevent the overflow of dredged materials.
5. Double handling of dredged material in state waters shall
not be permitted.
6. For navigation channels the following shall apply:
a. A buffer of four times the depth of the dredge cut shall be
maintained between the bottom edge of the design channel and the channelward
limit of wetlands, or a buffer of 15 feet shall be maintained from the dredged
cut and the channelward edge of wetlands, whichever is greater. This landward
limit of buffer shall be flagged and inspected prior to construction.
b. Side slope cuts of the dredging area shall not exceed a
two-horizontal-to-one-vertical slope to prevent slumping of material into the
dredged area.
7. A dredged material management plan for the designated
upland disposal site shall be submitted and approved 30 days prior to initial
dredging activity.
8. Pipeline outfalls and spillways shall be located at
opposite ends of the dewatering area to allow for maximum retention and
settling time. Filter fabric shall be used to line the dewatering area and to
cover the outfall pipe to further reduce sedimentation to state waters.
9. The dredge material dewatering area shall be of adequate
size to contain the dredge material and to allow for adequate dewatering and
settling out of sediment prior to discharge back into state waters.
10. The dredge material dewatering area shall utilize an
earthen berm or straw bales covered with filter fabric along the edge of the
area to contain the dredged material, filter bags, or other similar filtering
practices, any of which shall be properly stabilized prior to placing the
dredged material within the containment area.
11. Overtopping of the dredge material containment berms with
dredge materials shall be strictly prohibited.
G. Stormwater management facilities.
1. Stormwater management facilities shall be installed in
accordance with best management practices and watershed protection techniques
(e.g., vegetated buffers, siting considerations to minimize adverse effects to
aquatic resources, bioengineering methods incorporated into the facility design
to benefit water quality and minimize adverse effects to aquatic resources)
that provide for long-term aquatic resources protection and enhancement, to the
maximum extent practicable.
2. Compensation for unavoidable impacts shall not be allowed
within maintenance areas of stormwater management facilities.
3. Maintenance activities within stormwater management
facilities shall not require additional permit coverage or compensation,
provided that the maintenance activities do not exceed the original contours of
the facility, as approved and constructed, and is accomplished in designated
maintenance areas as indicated in the facility maintenance or design plan or
when unavailable, an alternative plan approved by the Department of
Environmental Quality.
Part II. Construction and Compensation Requirements,
Monitoring and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit. For all
compensation that requires a protective mechanism, including preservation of
surface waters or buffers, the permittee shall record the approved protective
mechanism in the chain of title to the property, or an equivalent instrument for
government-owned lands, and proof of recordation shall be submitted to the
Department of Environmental Quality prior to commencing impacts in surface
waters.
2. Compensation options that may be considered under this VWP
general permit shall meet the criteria in 9VAC25-210-116 and 9VAC25-680-70.
3. The permittee-responsible compensation site or sites
depicted in the conceptual compensation plan submitted with the application
shall constitute the compensation site. A site change may require a modification
to coverage.
4. For compensation involving the purchase of mitigation bank
credits or the purchase of in-lieu fee program credits, the permittee shall not
initiate work in permitted impact areas until documentation of the mitigation
bank credit purchase or of the in-lieu fee program credit purchase has been
submitted to and received by the Department of Environmental Quality.
5. The final compensatory mitigation plan shall be submitted
to and approved by the board prior to a construction activity in permitted
impact areas. The board shall review and provide written comments on the final
plan within 30 days of receipt or it shall be deemed approved. The final plan
as approved by the board shall be an enforceable requirement of any coverage
under this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
a. The final permittee-responsible wetlands compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) A summary of the type and acreage of existing wetland
impacts anticipated during the construction of the compensation site and the
proposed compensation for these impacts; a site access plan; a monitoring plan,
including proposed success criteria, monitoring goals, and the location of
photo-monitoring stations, monitoring wells, vegetation sampling points, and
reference wetlands or streams, if available; an abatement and control plan for
undesirable plant species; an erosion and sedimentation control plan; a
construction schedule; and the final protective mechanism for the protection of
the compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
b. The final permittee-responsible stream compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) An evaluation, discussion, and plan drawing or drawings of
existing conditions on the proposed compensation stream, including the
identification of functional and physical deficiencies for which the measures
are proposed, and summary of geomorphologic measurements (e.g., stream width,
entrenchment ratio, width-depth ratio, sinuosity, slope, substrate, etc.); a
site access plan; a monitoring plan, including a monitoring and reporting
schedule, monitoring design and methodologies for success, proposed success
criteria, location of photo-monitoring stations, vegetation sampling points,
survey points, bank pins, scour chains, and reference streams; an abatement and
control plan for undesirable plant species; an erosion and sedimentation
control plan, if appropriate; a construction schedule; a plan-view drawing
depicting the pattern and all compensation measures being employed; a profile
drawing; cross-sectional drawing or drawings of the proposed compensation
stream; and the final protective mechanism for the protection of the
compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
6. The following criteria shall apply to permittee-responsible
wetland or stream compensation:
a. The vegetation used shall be native species common to the
area, shall be suitable for growth in local wetland or riparian conditions, and
shall be from areas within the same or adjacent U.S. Department of Agriculture
Plant Hardiness Zone or Natural Resources Conservation Service Land Resource
Region as that of the project site. Planting of woody plants shall occur when
vegetation is normally dormant, unless otherwise approved in the final wetlands
or stream compensation plan or plans.
b. All work in permitted impact areas shall cease if
compensation site construction has not commenced within 180 days of
commencement of project construction, unless otherwise authorized by the board.
c. The Department of Environmental Quality shall be notified
in writing prior to the initiation of construction activities at the
compensation site.
d. Point sources of stormwater runoff shall be prohibited from
entering a wetland compensation site prior to treatment by appropriate best
management practices. Appropriate best management practices may include
sediment traps, grassed waterways, vegetated filter strips, debris screens, oil
and grease separators, or forebays.
e. The success of the compensation shall be based on meeting
the success criteria established in the approved final compensation plan.
f. If the wetland or stream compensation area fails to meet
the specified success criteria in a particular monitoring year, other than the
final monitoring year, the reasons for this failure shall be determined and a
corrective action plan shall be submitted to the Department of Environmental
Quality for approval with or before that year's monitoring report. The
corrective action plan shall contain at minimum the proposed actions, a
schedule for those actions, and a monitoring plan, and shall be implemented by
the permittee in accordance with the approved schedule. Should significant
changes be necessary to ensure success, the required monitoring cycle shall
begin again, with monitoring year one being the year that the changes are
complete as confirmed by the Department of Environmental Quality. If the
wetland or stream compensation area fails to meet the specified success
criteria by the final monitoring year or if the wetland or stream compensation
area has not met the stated restoration goals, reasons for this failure shall
be determined and a corrective action plan, including proposed actions, a
schedule, and a monitoring plan, shall be submitted with the final year
monitoring report for the Department of Environmental Quality approval.
Corrective action shall be implemented by the permittee in accordance with the
approved schedule. Annual monitoring shall be required to continue until two
sequential, annual reports indicate that all criteria have been successfully
satisfied and the site has met the overall restoration goals (e.g., that
corrective actions were successful).
g.The surveyed wetland boundary for the compensation site
shall be based on the results of the hydrology, soils, and vegetation
monitoring data and shall be shown on the site plan. Calculation of total
wetland acreage shall be based on that boundary at the end of the monitoring
cycle. Data shall be submitted by December 31 of the final monitoring year.
h. Herbicides or algicides shall not be used in or immediately
adjacent to the compensation site or sites without prior authorization by the
board. All vegetation removal shall be done by manual means only, unless
authorized by the Department of Environmental Quality in advance.
B. Impact site construction monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs shall remain on
the project site and depict the impact area and the nonimpacted surface waters
immediately adjacent to and downgradient of each impact area. Each photograph
shall be labeled to include the following information: permit number, impact
area number, date and time of the photograph, name of the person taking the
photograph, photograph orientation, and photograph subject description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities
within impact areas. Monthly inspections shall be conducted in the following
areas: all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water areas
within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality
standards to the Department of Environmental Quality in accordance with the
procedures in 9VAC25-680-100 Part II E. Corrective measures and additional
monitoring may be required if water quality standards are not met. Reporting
shall not be required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each station.
C. Permittee-responsible wetland compensation site
monitoring.
1. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites, including invert elevations for all water elevation
control structures and spot elevations throughout the site or sites. Aerial
surveys shall include the variation from actual ground conditions, such as +/-
0.2 feet. Either type of survey shall be certified by a licensed surveyor or by
a registered professional engineer to conform to the design plans. The survey
shall be submitted within 60 days of completing compensation site construction.
Changes or deviations in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
2. Photographs shall be taken at the compensation site or
sites from the permanent markers identified in the final compensation plan, and
established to ensure that the same locations and view directions at the site
or sites are monitored in each monitoring period. These photographs shall be
taken after the initial planting and at a time specified in the final
compensation plan during every monitoring year.
3. Compensation site monitoring shall begin on the first day
of the first complete growing season (monitoring year 1) after wetland
compensation site construction activities, including planting, have been
completed. Monitoring shall be required for monitoring years 1, 2, 3, and 5,
unless otherwise approved by the Department of Environmental Quality. In all
cases, if all success criteria have not been met in the final monitoring year,
then monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
4. The establishment of wetland hydrology shall be measured
weekly during the growing season, with the location and number of monitoring
wells, and frequency of monitoring for each site, set forth in the final
monitoring plan. Hydrology monitoring well data shall be accompanied by
precipitation data, including rainfall amounts, either from on site or from the
closest weather station. Once the wetland hydrology success criteria have been
satisfied for a particular monitoring year, monitoring may be discontinued for
the remainder of that monitoring year following Department of Environmental
Quality approval. After a period of three monitoring years, the permittee may
request that hydrology monitoring be discontinued, providing that adequate hydrology
has been established and maintained. Hydrology monitoring shall not be
discontinued without written approval from the Department of Environmental
Quality.
5. The presence of hydric soils or soils under hydric
conditions shall be evaluated in accordance with the final compensation plan.
6. The establishment of wetland vegetation shall be in
accordance with the final compensation plan. Monitoring shall take place in
August, September, or October during the growing season of each monitoring
year, unless otherwise authorized in the monitoring plan.
7. The presence of undesirable plant species shall be
documented.
8. All wetland compensation monitoring reports shall be
submitted in accordance with 9VAC25-680-100 Part II E 6.
D. Permittee-responsible stream compensation and monitoring.
1. Riparian buffer restoration activities shall be detailed in
the final compensation plan and shall include, as appropriate, the planting of
a variety of native species currently growing in the site area, including appropriate
seed mixtures and woody species that are bare root, balled, or burlapped. A
minimum buffer width of 50 feet, measured from the top of the stream bank at
bankfull elevation landward on both sides of the stream, shall be required
where practical.
2. The installation of root wads, vanes, and other instream
structures, shaping of the stream banks and channel relocation shall be
completed in the dry whenever practicable.
3. Livestock access to the stream and designated riparian
buffer shall be limited to the greatest extent practicable.
4. Stream channel restoration activities shall be conducted in
the dry or during low flow conditions. When site conditions prohibit access
from the streambank or upon prior authorization from the Department of
Environmental Quality, heavy equipment may be authorized for use within the
stream channel.
5. Photographs shall be taken at the compensation site from
the vicinity of the permanent photo-monitoring stations identified in the final
compensation plan. The photograph orientation shall remain constant during all
monitoring events. At a minimum, photographs shall be taken from the center of
the stream, facing downstream, with a sufficient number of photographs to view
the entire length of the restoration site. Photographs shall document the
completed restoration conditions. Photographs shall be taken prior to site
activities, during instream and riparian compensation construction activities,
within one week of completion of activities, and during at least one day of each
monitoring year to depict restored conditions.
6. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites. Aerial surveys shall include the variation from
actual ground conditions, such as +/- 0.2 feet. The survey shall be certified
by the licensed surveyor or by a registered, professional engineer to conform
to the design plans. The survey shall be submitted within 60 days of completing
compensation site construction. Changes or deviations from the final
compensation plans in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
7. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after stream compensation
site constructions activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1 and 2, unless otherwise
approved by the Department of Environmental Quality. In all cases, if all
success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
8. All stream compensation site monitoring reports shall be
submitted in accordance with 9VAC25-680-100 Part II E 6.
E. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first permitted
impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all
authorized impact areas.
5. The Department of Environmental Quality shall be notified
in writing prior to the initiation of activities at the permittee-responsible
compensation site. The notification shall include a projected schedule of
activities and construction completion.
6. All permittee-responsible compensation site monitoring
reports shall be submitted annually by December 31, with the exception of the
last year, in which case the report shall be submitted at least 60 days prior
to the expiration of the general permit, unless otherwise approved by the
Department of Environmental Quality.
a. All wetland compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations, vegetative and soil monitoring
stations, monitoring wells, and wetland zones.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Analysis of all hydrology information, including monitoring
well data, precipitation data, and gauging data from streams or other open
water areas, as set forth in the final compensation plan.
(5) Evaluation of hydric soils or soils under hydric
conditions, as appropriate.
(6) Analysis of all vegetative community information,
including woody and herbaceous species, both planted and volunteers, as set
forth in the final compensation plan.
(7) Photographs labeled with the permit number, the name of
the compensation site, the photo-monitoring station number, the photograph
orientation, the date and time of the photograph, the name of the person taking
the photograph, and a brief description of the photograph subject. This
information shall be provided as a separate attachment to each photograph, if
necessary. Photographs taken after the initial planting shall be included in
the first monitoring report after planting is complete.
(8) Discussion of wildlife or signs of wildlife observed at
the compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site.
(10) Discussion of corrective measures or maintenance
activities to control undesirable species, to repair damaged water control
devices, or to replace damaged planted vegetation.
(11) Corrective action plan that includes proposed actions, a
schedule, and monitoring plan.
b. All stream compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations and monitoring stations.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Evaluation and discussion of the monitoring results in
relation to the success criteria and overall goals of compensation.
(5) Photographs shall be labeled with the permit number, the
name of the compensation site, the photo-monitoring station number, the
photograph orientation, the date and time of the photograph, the name of the
person taking the photograph, and a brief description of the photograph
subject. Photographs taken prior to compensation site construction activities,
during instream and riparian restoration activities, and within one week of
completion of activities shall be included in the first monitoring report.
(6) Discussion of alterations, maintenance, or major storm
events resulting in significant change in stream profile or cross section, and
corrective actions conducted at the stream compensation site.
(7) Documentation of undesirable plant species and summary of
abatement and control measures.
(8) Summary of wildlife or signs of wildlife observed at the
compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site, and as-built survey, if applicable.
(10) Corrective action plan that includes proposed actions, a
schedule and monitoring plan.
(11) Additional submittals that were approved by the
Department of Environmental Quality in the final compensation plan.
7. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are
encountered which require debris removal or involve potentially toxic
substance. Measures to remove the obstruction, material, or toxic substance or
to change the location of a structure are prohibited until approved by the
Department of Environmental Quality.
8. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate
Department of Environmental Quality regional office shall be notified; otherwise,
the Department of Emergency Management shall be notified at 1-800-468-8892.
9. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
10. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
11. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are
significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
that may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause
for revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with
this VWP general permit constitutes compliance with the VWP permit requirements
of the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. The issuance of this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credentials,
the permittee shall allow the board or any duly authorized agent of the board,
at reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility,
coverage, or liability, including liability for compliance with the
requirements of enforcement activities related to the authorized activity.
2. The board does not within 15 days notify the current and
new permittees of its intent to modify or revoke and reissue the VWP general
permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-680-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of the
Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of
completing or canceling all authorized activities requiring notification under
9VAC25-680-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The director
may accept this termination of coverage on behalf of the board. The permittee
shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage, nor does it allow me to resume the authorized activities
without reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department
of Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit authorization or
coverage, nor does it allow me to resume the authorized activities without
reapplication and coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been necessary
to halt or reduce the activity for which VWP general permit coverage has been
granted in order to maintain compliance with the conditions of the VWP general
permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board any information
that the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also furnish
to the board, upon request, copies of records required to be kept by the
permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage under the VWP general
permit, for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or industrial
consumption, for recreation, or for other uses; or
4. On and after August 1, 2001, for linear transportation
projects of the Virginia Department of Transportation, or on and after October
1, 2001, for all other projects, conduct the following activities in a wetland:
a. New activities to cause draining that significantly alters
or degrades existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-680-27.
9VAC25-690-50. Notification.
A. Notification to the board will be required prior to
commencing construction as follows:
1. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-690-60 B. Compensatory
mitigation may be required for all permanent impacts.
2. An application for coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 2 a or 2 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such
restriction, easement, covenant, or instrument is the result of a federal or
state permit action and is specific to activities in wetlands and compensatory
mitigation sites, the application shall include all of the information required
by 9VAC25-690-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 11, 12, 15, and 16 of
9VAC25-690-60 B, and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall
include the information in 9VAC25-690-60 B 13.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of federal
or state listed threatened and endangered species or designated critical
habitat. Based upon consultation with these agencies, the board may deny
application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-690-60. Application.
A. The applicant shall file a complete application in
accordance with 9VAC25-690-50 and this section for coverage under this VWP
general permit for impacts to surface waters from development and certain
mining activities.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
4. The existing VWP general permit tracking number, if
applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location,
and any related permittee-responsible compensatory mitigation site:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for
inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830).
f. The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. Materials assessment. Upon request by the board, the
applicant shall provide evidence or certification that the material is free
from toxic contaminants prior to disposal or that the dredging activity will
not cause or contribute to a violation of water quality standards during
dredging. The applicant may be required to conduct grain size and composition
analyses, tests for specific parameters or chemical constituents, or elutriate tests
on the dredge material.
11. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification, and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 11 a, 11 b,
and 11 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
12. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed
project, including review of alternative sites where required for the project,
which would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the
satisfaction of the board that avoidance and minimization opportunities have
been identified and measures have been applied to the proposed activity such
that the proposed activity in terms of impacts to state waters and fish and
wildlife resources is the least environmentally damaging practicable
alternative.
13. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
a. If permittee-responsible compensation is proposed for
wetland impacts, a conceptual wetland compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of replacement of wetland
acreage and functions; (ii) a detailed location map including latitude and
longitude to the nearest second and the fourth order subbasin, as defined by
the hydrologic unit boundaries of the National Watershed Boundary Dataset, at the
center of the site; (iii) a description of the surrounding land use; (iv) a
hydrologic analysis including a draft water budget for nontidal areas based on
expected monthly inputs and outputs that will project water level elevations
for a typical year, a dry year, and a wet year; (v) groundwater elevation data,
if available, or the proposed location of groundwater monitoring wells to
collect these data; (vi) wetland delineation confirmation, data sheets, and
maps for existing surface water areas on the proposed site or sites; (vii) a
conceptual grading plan; (viii) a conceptual planting scheme including
suggested plant species and zonation of each vegetation type proposed; (ix) a
description of existing soils including general information on both topsoil and
subsoil conditions, permeability, and the need for soil amendments; (x) a draft
design of any water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
b. If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-sectional drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed restoration
measures to be employed including channel measurements, proposed design flows,
types of instream structures, and conceptual planting scheme; (viii) reference
stream data, if available; (ix) inclusion of buffer areas; (x) schedule for
restoration activities; and (xi) measures for the control of undesirable
species.
c. For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et seq.
of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700 et
seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions c (1), c (2), and c (3)
of this subdivision 13 or in lieu thereof shall describe the intended
protective mechanism or mechanisms that contains the information required
below:
(1) A provision for access to the site;
(2) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(3) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
d. Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
bank or in-lieu fee program sponsor of the availability of credits at the time
of application.
14. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
15. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary or permittee-responsible compensatory mitigation areas that
are under a deed restriction, conservation easement, restrictive covenant, or
other land use protective instrument (i.e., protected areas). Such description
and a graphical depiction shall include the nature of the prohibited activities
within the protected areas and the limits of Chesapeake Bay Resource Protection
Areas (RPAs) as field-verified by the applicant, and if available, the limits
as approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830), as additional state or local requirements
may apply if the project is located within an RPA.
16. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensation, including water quality enhancements as
replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Upon receipt of an application by the appropriate DEQ
office, the board has 15 days to review the application and either determine
the information requested in subsection B of this section is complete or inform
the applicant that additional information is required to make the application
complete. Coverage under this VWP general permit shall be approved or approved
with conditions, or the application shall be denied, within 45 days of receipt
of a complete application. If the board fails to act within 45 days on a
complete application, coverage under this VWP permit general permit shall be
deemed granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under this VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of state waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
E. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within 15 days of receipt, the board
shall require the submission of additional information from the applicant and
may suspend processing of any application until such time as the applicant has
supplied the requested information and the application is complete. Where the
applicant becomes aware that he omitted one or more relevant facts from an
application, or submitted incorrect information in an application or in any
report to the board, the applicant shall immediately submit such facts or the
correct information. A revised application with new information shall be deemed
a new application for purposes of review but shall not require an additional
permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-690-100. VWP general permit.
VWP GENERAL PERMIT NO. WP4 FOR IMPACTS FROM DEVELOPMENT AND
CERTAIN MINING ACTIVITIES UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE
VIRGINIA STATE WATER CONTROL LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations adopted
pursuant thereto, the board has determined that there is a reasonable assurance
that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of state waters or fish and
wildlife resources. In issuing this VWP general permit, the board has not taken
into consideration the structural stability of any proposed activities.
The permanent or temporary impact of up to two acres of
nontidal wetlands or open water and up to 1,500 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts of up to two acres of nontidal
wetlands or open water and up to 1,500 linear feet of nontidal stream bed.
Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with
9VAC25-690-80. An application or request for modification to coverage or
another VWP permit application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-690-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species which
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless otherwise specifically approved by the
Department of Environmental Quality on a case-by-case basis, and as follows:
The requirement to countersink does not apply to extensions or maintenance of
existing pipes and culverts that are not countersunk, floodplain pipes and
culverts being placed above ordinary high water, pipes and culverts being
placed on bedrock, or pipes and culverts required to be placed on slopes 5.0%
or greater. Bedrock encountered during construction must be identified and
approved in advance of a design change where the countersunk condition cannot
be met. Pipes and culverts 24 inches or less in diameter shall be countersunk
three inches below the natural stream bed elevations, and pipes and culverts
greater than 24 inches shall be countersunk at least six inches below the
natural stream bed elevations. Hydraulic capacity shall be determined based on
the reduced capacity due to the countersunk position. In all stream crossings
appropriate measures shall be implemented to minimize any disruption of aquatic
life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992, or for mining activities covered by this general permit, the
standards issued by the Virginia Department of Mines, Minerals and Energy that
are effective as those in the Virginia Erosion and Sediment Control Handbook,
Third Edition, 1992. These controls shall be placed prior to clearing and
grading and maintained in good working order to minimize impacts to state
waters. These controls shall remain in place until the area is stabilized and
shall then be removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted impact area. All denuded
areas shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with
theproject shall be accomplished in a manner that minimizes construction or
waste materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily-impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude unauthorized disturbances to
these surface waters and compensatory mitigation areas during construction. The
permittee shall notify contractors that no activities are to occur in these
marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary
impact area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their
preconstruction elevations and contours with topsoil from the impact area where
practicable within 30 days following the construction at that stream segment.
Streambanks shall be seeded or planted with the same vegetation cover type
originally present, including any necessary supplemental erosion control
grasses. Invasive species identified on the Department of Conservation and
Recreation's Virginia Invasive Plant Species List shall not be used to the
maximum extent practicable or without prior approval from the Department of
Environmental Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact area where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct activities in accordance with
the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in Department of Environmental Quality VWP general permit
coverage, and shall ensure that all contractors are aware of the time-of-year
restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted stream flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes, and culverts
shall be constructed to minimize the adverse effects on surface waters to the
maximum extent practicable. Access roads constructed above preconstruction
elevations and contours in surface waters must be bridged, piped, or culverted
to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or similar
structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized the Department of Environmental Quality. Restoration shall
be the seeding of planting of the same vegetation cover type originally
present, including any necessary supplemental erosion control grasses. Invasive
specifies identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands not to exceed a total of 90 days, provided
the material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a french drain effect.). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control
Handbook, Third Edition, 1992.
2. Riprap apron for all outfalls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992.
3. For stream bank protection activities, the structure and
backfill shall be placed as close to the stream bank as practicable. No
material shall be placed in excess of the minimum necessary for erosion
protection.
4. All stream bank protection structures shall be located to
eliminate or minimize impacts to vegetated wetlands to the maximum extent
practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
F. Dredging.
1. Dredging depths shall be determined and authorized
according to the proposed use and controlling depths outside the area to be
dredged.
2. Dredging shall be accomplished in a manner that minimizes
disturbance of the bottom and minimizes turbidity levels in the water column.
3. If evidence of impaired water quality, such as a fish kill,
is observed during the dredging, dredging operations shall cease, and the
Department of Environmental Quality shall be notified immediately.
4. Barges used for the transportation of dredge material shall
be filled in such a manner to prevent the overflow of dredged materials.
5. Double handling of dredged material in state waters shall
not be permitted.
6. For navigation channels the following shall apply:
a. A buffer of four times the depth of the dredge cut shall be
maintained between the bottom edge of the design channel and the channelward
limit of wetlands, or a buffer of 15 feet shall be maintained from the dredged
cut and the channelward edge of wetlands, whichever is greater. This landward
limit of buffer shall be flagged and inspected prior to construction.
b. Side slope cuts of the dredging area shall not exceed a
two-horizontal-to-one-vertical slope to prevent slumping of material into the
dredged area.
7. A dredged material management plan for the designated
upland disposal site shall be submitted and approved 30 days prior to initial
dredging activity.
8. Pipeline outfalls and spillways shall be located at
opposite ends of the dewatering area to allow for maximum retention and
settling time. Filter fabric shall be used to line the dewatering area and to
cover the outfall pipe to further reduce sedimentation to state waters.
9. The dredge material dewatering area shall be of adequate
size to contain the dredge material and to allow for adequate dewatering and
settling out of sediment prior to discharge back into state waters.
10. The dredge material dewatering area shall utilize an
earthen berm or straw bales covered with filter fabric along the edge of the
area to contain the dredged material, filter bags, or other similar filtering
practices, any of which shall be properly stabilized prior to placing the
dredged material within the containment area.
11. Overtopping of the dredge material containment berms with
dredge materials shall be strictly prohibited.
G. Stormwater management facilities.
1. Stormwater management facilities shall be installed in accordance
with best management practices and watershed protection techniques (e.g.,
vegetated buffers, siting considerations to minimize adverse effects to aquatic
resources, bioengineering methods incorporated into the facility design to
benefit water quality and minimize adverse effects to aquatic resources) that
provide for long-term aquatic resources protection and enhancement, to the
maximum extent practicable.
2. Compensation for unavoidable impacts shall not be allowed
within maintenance areas of stormwater management facilities.
3. Maintenance activities within stormwater management
facilities shall not require additional permit coverage or compensation
provided that the maintenance activities do not exceed the original contours of
the facility, as approved and constructed, and is accomplished in designated
maintenance areas as indicated in the facility maintenance or design plan or
when unavailable, an alternative plan approved by the Department of
Environmental Quality.
Part II. Construction and Compensation Requirements,
Monitoring, and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit. For all
compensation that requires a protective mechanism, including preservation of
surface waters or buffers, the permittee shall record the approved protective
mechanism in the chain of title to the property, or an equivalent instrument
for government-owned lands, and proof of recordation shall be submitted to the
Department of Environmental Quality prior to commencing impacts in surface
waters.
2. Compensation options that may be considered under this VWP
general permit shall meet the criteria in 9VAC25-210-116 and 9VAC25-690-70.
3. The permittee-responsible compensation site or sites
depicted in the conceptual compensation plan submitted with the application
shall constitute the compensation site. A site change may require a
modification to coverage.
4. For compensation involving the purchase of mitigation bank
credits or the purchase of in-lieu fee program credits, the permittee shall not
initiate work in permitted impact areas until documentation of the mitigation
bank credit purchase or of the in-lieu fee program credit purchase has been
submitted to and received by the Department of Environmental Quality.
5. The final compensation plan shall be submitted to and
approved by the board prior to a construction activity in permitted impact
areas. The board shall review and provide written comments on the final plan
within 30 days of receipt or it shall be deemed approved. The final plan as
approved by the board shall be an enforceable requirement of any coverage under
this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
a. The final permittee-responsible wetlands compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) A summary of the type and acreage of existing wetland
impacts anticipated during the construction of the compensation site and the
proposed compensation for these impacts; a site access plan; a monitoring plan,
including proposed success criteria, monitoring goals, and the location of
photo-monitoring stations, monitoring wells, vegetation sampling points, and
reference wetlands or streams, if available; an abatement and control plan for
undesirable plant species; an erosion and sedimentation control plan; a
construction schedule; and the final protective mechanism for the compensation
site or sites, including all surface waters and buffer areas within its
boundaries.
(3) The approved protective mechanism. The protective mechanism
shall be recorded in the chain of title to the property, or an equivalent
instrument for government-owned lands, and proof of recordation shall be
submitted to the Department of Environmental Quality prior to commencing
impacts in surface waters.
b. The final permittee-responsible stream compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) An evaluation, discussion, and plan drawing or drawings of
existing conditions on the proposed compensation stream, including the
identification of functional and physical deficiencies for which the measures
are proposed, and summary of geomorphologic measurements (e.g., stream width,
entrenchment ratio, width-depth ratio, sinuosity, slope, substrate, etc.); a
site access plan; a monitoring plan, including a monitoring and reporting
schedule, monitoring design and methodologies for success, proposed success
criteria, location of photo-monitoring stations, vegetation sampling points,
survey points, bank pins, scour chains, and reference streams; an abatement and
control plan for undesirable plant species; an erosion and sedimentation
control plan, if appropriate; a construction schedule; a plan-view drawing
depicting the pattern and all compensation measures being employed; a profile
drawing; cross-sectional drawing or drawings of the proposed compensation
stream; and the final protective mechanism for the protection of the
compensation site or sites, including all surface waters and buffer areas within
its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
6. The following criteria shall apply to permittee-responsible
wetland or stream compensation:
a. The vegetation used shall be native species common to the
area, shall be suitable for growth in local wetland or riparian conditions, and
shall be from areas within the same or adjacent U.S. Department of Agriculture
Plant Hardiness Zone or Natural Resources Conservation Service Land Resource
Region as that of the project site. Planting of woody plants shall occur when
vegetation is normally dormant, unless otherwise approved in the final wetlands
or stream compensation plan or plans.
b. All work in permitted impact areas shall cease if
compensation site construction has not commenced within 180 days of
commencement of project construction, unless otherwise authorized by the board.
c. The Department of Environmental Quality shall be notified
in writing prior to the initiation of construction activities at the
compensation site.
d. Point sources of stormwater runoff shall be prohibited from
entering a wetland compensation site prior to treatment by appropriate best
management practices. Appropriate best management practices may include
sediment traps, grassed waterways, vegetated filter strips, debris screens, oil
and grease separators, or forebays.
e. The success of the compensation shall be based on meeting
the success criteria established in the approved final compensation plan.
f. If the wetland or stream compensation area fails to meet
the specified success criteria in a particular monitoring year, other than the
final monitoring year, the reasons for this failure shall be determined, and a
corrective action plan shall be submitted to the Department of Environmental
Quality for approval with or before that year's monitoring report. The
corrective action plan shall contain at minimum the proposed actions, a
schedule for those actions, and a monitoring plan, and shall be implemented by
the permittee in accordance with the approved schedule. Should significant
changes be necessary to ensure success, the required monitoring cycle shall
begin again, with monitoring year one being the year that the changes are
complete, as confirmed by the Department of Environmental Quality. If the wetland
or stream compensation area fails to meet the specified success criteria by the
final monitoring year or if the wetland or stream compensation area has not met
the stated restoration goals, reasons for this failure shall be determined and
a corrective action plan, including proposed actions, a schedule, and a
monitoring plan, shall be submitted with the final year monitoring report for
Department of Environmental Quality approval. Corrective action shall be
implemented by the permittee in accordance with the approved schedule. Annual
monitoring shall be required to continue until two sequential, annual reports
indicate that all criteria have been successfully satisfied and the site has
met the overall restoration goals (e.g., that corrective actions were
successful).
g. The surveyed wetland boundary for the wetlands compensation
site shall be based on the results of the hydrology, soils, and vegetation
monitoring data and shall be shown on the site plan. Calculation of total
wetland acreage shall be based on that boundary at the end of the monitoring
cycle. Data shall be submitted by December 31 of the final monitoring year.
h. Herbicides or algicides shall not be used in or immediately
adjacent to the wetlands or stream compensation site or sites without prior
authorization by the board. All vegetation removal shall be done by manual
means, unless authorized by the Department of Environmental Quality in advance.
B. Impact site construction
monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs shall remain on
the project site and depict the impact area and the nonimpacted surface waters
immediately adjacent to and downgradient of each impact area. Each photograph
shall be labeled to include the following information: permit number, impact
area number, date and time of the photograph, name of the person taking the
photograph, photograph orientation, and photograph subject description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities within
impact areas. Monthly inspections shall be conducted in the following areas:
all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water
areas within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality standards
to the Department of Environmental Quality in accordance with the procedures in
9VAC25-690-100 Part II E. Corrective measures and additional monitoring may be
required if water quality standards are not met. Reporting shall not be
required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each
station.
C. Permittee-responsible wetland compensation site
monitoring.
1. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites including invert elevations for all water elevation
control structures and spot elevations throughout the site or sites. Aerial
surveys shall include the variation from actual ground conditions, such as +/-
0.2 feet. Either type of survey shall be certified by a licensed surveyor or by
a registered professional engineer to conform to the design plans. The survey
shall be submitted within 60 days of completing compensation site construction.
Changes or deviations in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
2. Photographs shall be taken at the compensation site or
sites from the permanent markers identified in the final compensation plan, and
established to ensure that the same locations and view directions at the site
or sites are monitored in each monitoring period. These photographs shall be
taken after the initial planting and at a time specified in the final
compensation plan during every monitoring year.
3. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after wetland compensation
site construction activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1, 2, 3, and 5, unless
otherwise approved by the Department of Environmental Quality. In all cases, if
all success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
4. The establishment of wetland hydrology shall be measured
during the growing season, with the location and number of monitoring wells,
and frequency of monitoring for each site, set forth in the final monitoring
plan. Hydrology monitoring well data shall be accompanied by precipitation
data, including rainfall amounts either from on site or from the closest
weather station. Once the wetland hydrology success criteria have been
satisfied for a particular monitoring year, monitoring may be discontinued for
the remainder of that monitoring year following Department of Environmental
Quality approval. After a period of three monitoring years, the permittee may
request that hydrology monitoring be discontinued, providing that adequate
hydrology has been established and maintained. Hydrology monitoring shall not
be discontinued without written approval from the Department of Environmental
Quality.
5. The presence of hydric soils or soils under hydric
conditions shall be evaluated in accordance with the final compensation plan.
6. The establishment of wetland vegetation shall be in
accordance with the final compensation plan. Monitoring shall take place in
August, September, or October during the growing season of each monitoring
year, unless otherwise authorized in the monitoring plan.
7. The presence of undesirable plant species shall be
documented.
8. All wetland compensation monitoring reports shall be
submitted in accordance with 9VAC25-690-100 Part II E 6.
D. Permittee-responsible stream compensation and monitoring.
1. Riparian buffer restoration activities shall be detailed in
the final compensation plan and shall include, as appropriate, the planting of
a variety of native species currently growing in the site area, including
appropriate seed mixtures and woody species that are bare root, balled, or
burlapped. A minimum buffer width of 50 feet, measured from the top of the
stream bank at bankfull elevation landward on both sides of the stream, shall
be required where practical.
2. The installation of root wads, vanes, and other instream
structures, shaping of the stream banks, and channel relocation shall be
completed in the dry whenever practicable.
3. Livestock access to the stream and designated riparian
buffer shall be limited to the greatest extent practicable.
4. Stream channel restoration activities shall be conducted in
the dry or during low flow conditions. When site conditions prohibit access
from the streambank or upon prior authorization from the Department of
Environmental Quality, heavy equipment may be authorized for use within the
stream channel.
5. Photographs shall be taken at the compensation site from
the vicinity of the permanent photo-monitoring stations identified in the final
compensation plan. The photograph orientation shall remain constant during all
monitoring events. At a minimum, photographs shall be taken from the center of
the stream, facing downstream, with a sufficient number of photographs to view
the entire length of the restoration site. Photographs shall document the
completed restoration conditions. Photographs shall be taken prior to site
activities, during instream and riparian compensation construction activities,
within one week of completion of activities, and during at least one day of
each monitoring year to depict restored conditions.
6. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites. Aerial surveys shall include the variation from
actual ground conditions, such as +/- 0.2 feet. The survey shall be certified by
the licensed surveyor or by a registered, professional engineer to conform to
the design plans. The survey shall be submitted within 60 days of completing
compensation site construction. Changes or deviations from the final
compensation plans in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
7. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after stream compensation
site construction activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1 and 2, unless otherwise
approved by the Department of Environmental Quality. In all cases, if all
success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
8. All stream compensation site monitoring reports shall be
submitted by in accordance with 9VAC25-690-100 Part II E 6.
E. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first permitted
impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all authorized
impact areas.
5. The Department of Environmental Quality shall be notified
in writing prior to the initiation of activities at the permittee-responsible
compensation site. The notification shall include a projected schedule of
activities and construction completion.
6. All permittee-responsible compensation site monitoring
reports shall be submitted annually by December 31, with the exception of the
last year, in which case the report shall be submitted at least 60 days prior
to the expiration of the general permit, unless otherwise approved by the
Department of Environmental Quality.
a. All wetland compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations, vegetative and soil monitoring
stations, monitoring wells, and wetland zones.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Analysis of all hydrology information, including
monitoring well data, precipitation data, and gauging data from streams or
other open water areas, as set forth in the final compensation plan.
(5) Evaluation of hydric soils or soils under hydric
conditions, as appropriate.
(6) Analysis of all vegetative community information,
including woody and herbaceous species, both planted and volunteers, as set
forth in the final compensation plan.
(7) Photographs labeled with the permit number, the name of
the compensation site, the photo-monitoring station number, the photograph
orientation, the date and time of the photograph, the name of the person taking
the photograph, and a brief description of the photograph subject. This information
shall be provided as a separate attachment to each photograph, if necessary.
Photographs taken after the initial planting shall be included in the first
monitoring report after planting is complete.
(8) Discussion of wildlife or signs of wildlife observed at
the compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site.
(10) Discussion of corrective measures or maintenance
activities to control undesirable species, to repair damaged water control devices,
or to replace damaged planted vegetation.
(11) Corrective action plan that includes proposed actions, a
schedule, and monitoring plan.
b. All stream compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations and monitoring stations.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Evaluation and discussion of the monitoring results in
relation to the success criteria and overall goals of compensation.
(5) Photographs shall be labeled with the permit number, the
name of the compensation site, the photo-monitoring station number, the
photograph orientation, the date and time of the photograph, the name of the
person taking the photograph, and a brief description of the photograph
subject. Photographs taken prior to compensation site construction activities,
during instream and riparian restoration activities, and within one week of
completion of activities shall be included in the first monitoring report.
(6) Discussion of alterations, maintenance, or major storm
events resulting in significant change in stream profile or cross section, and
corrective actions conducted at the stream compensation site.
(7) Documentation of undesirable plant species and summary of
abatement and control measures.
(8) Summary of wildlife or signs of wildlife observed at the
compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site, and as-built survey, if applicable.
(10) Corrective action plan that includes proposed actions, a
schedule and monitoring plan.
(11) Additional submittals that were approved by the
Department of Environmental Quality in the final compensation plan.
7. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are encountered
which require debris removal or involve potentially toxic substance. Measures
to remove the obstruction, material, or toxic substance or to change the
location of a structure are prohibited until approved by the Department of
Environmental Quality.
8. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate Department
of Environmental Quality regional office shall be notified; otherwise, the
Department of Emergency Management shall be notified at 1-800-468-8892.
9. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
10. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
11. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are
significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
which may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause for
revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with
this VWP general permit constitutes compliance with the VWP permit requirements
of the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. The issuance of this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credential, the
permittee shall allow the board or any duly authorized agent of the board, at
reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an
emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility, coverage,
or liability, including liability for compliance with the requirements of
enforcement activities related to the authorized activity.
2. The board does not within 15 days notify the current and
new permittees of its intent to modify or revoke and reissue the VWP general
permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-690-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of
the Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of
completing or canceling all authorized activities requiring notification under
9VAC25-690-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The
director may accept this termination of coverage on behalf of the board. The
permittee shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage, nor does it allow me to resume the authorized activities
without reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department
of Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit or coverage, nor
does it allow me to resume the authorized activities without reapplication and
coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been
necessary to halt or reduce the activity for which VWP general permit coverage
has been granted in order to maintain compliance with the conditions of the VWP
general permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board any information
that the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also
furnish to the board, upon request, copies of records required to be kept by
the permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage under the VWP general
permit, for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or
industrial consumption, for recreation, or for other uses; or
4. On and after October 1, 2001, conduct the following
activities in a wetland:
a. New activities to cause draining that significantly alters
or degrades existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-690-27.
VA.R. Doc. No. R21-6473; Filed September 29, 2020, 4:57 a.m.
TITLE 9. ENVIRONMENT
STATE WATER CONTROL BOARD
Final Regulation
REGISTRAR'S NOTICE: The
State Water Control Board is claiming an exemption from Article 2 of 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 or the appropriation act where no agency
discretion is involved. The State Water Control Board will receive, consider,
and respond to petitions by any interested person at any time with respect to
reconsideration or revision.
Titles of Regulations: 9VAC25-210. Virginia Water
Protection Permit Program Regulation (amending 9VAC25-210-10, 9VAC25-210-80,
9VAC25-210-230, 9VAC25-210-320).
9VAC25-660. Virginia Water Protection General Permit for
Impacts Less Than One-Half Acre (amending 9VAC25-660-50, 9VAC25-660-60,
9VAC25-660-100).
9VAC25-670. Virginia Water Protection General Permit for
Facilities and Activities of Utility and Public Service Companies Regulated by
the Federal Energy Regulatory Commission or the State Corporation Commission
and Other Utility Line Activities (amending 9VAC25-670-50, 9VAC25-670-60,
9VAC25-670-100).
9VAC25-680. Virginia Water Protection General Permit for
Linear Transportation Projects (amending 9VAC25-680-50, 9VAC25-680-60, 9VAC25-680-100).
9VAC25-690. Virginia Water Protection General Permit for
Impacts from Development and Certain Mining Activities (amending 9VAC25-690-50, 9VAC25-690-60,
9VAC25-690-100).
Statutory Authority: § 62.1-44.15 of the Code of
Virginia; § 401 of the Clean Water Act (33 USC § 1251 et seq.).
Effective Date: November 25, 2020.
Agency Contact: Dave Davis, Department of Environmental
Quality, 1111 East Main Street, Suite 1400, P.O. Box 1105, Richmond, VA 23218,
telephone (804) 698-4105, or email dave.davis@deq.virginia.gov.
Summary:
The amendments conform the regulations to legislation
adopted during the 2020 Session of the General Assembly. Pursuant to Chapter
622, amendments clarify that when an application for a general permit under the
Virginia Water Protection Permit Program is administratively withdrawn for
being incomplete, the department shall provide (i) notice to the applicant and
(ii) an opportunity for an informal fact-finding proceeding. Pursuant to
Chapter 958, amendments change the name of the Virginia Department of Game and
Inland Fisheries to the Virginia Department of Wildlife Resources.
Part I
VWP Permit Program Definitions, Exclusions, Prohibitions and Requirements
9VAC25-210-10. Definitions.
A. Definitions specific to surface water withdrawals are in
9VAC25-210-300.
B. Unless a different meaning is required by the context, the
following terms as used in this chapter shall have the following meanings:
"Adjacent" means bordering, contiguous, or
neighboring wetlands separated from other surface water by man-made dikes or
barriers, natural river berms, sand dunes, and the like.
"Administratively withdrawn" means a decision by
the board that permanently discontinues the review or processing of a VWP
permit application or request to modify a VWP permit.
"Applicant" means a person applying for a VWP individual
permit or for coverage under a VWP general permit.
"Aquatic environment" means surface waters and the
habitat they provide, including both plant and animal communities.
"Avoidance" means not taking or modifying a
proposed action or parts of an action so that there is no adverse impact to the
aquatic environment.
"Beneficial use" means both instream and offstream
uses. Instream beneficial uses include the protection of fish and wildlife
resources and habitat, maintenance of waste assimilation, recreation,
navigation, and cultural and aesthetic values. The preservation of instream
flows for purposes of the protection of navigation, maintenance of waste
assimilation capacity, the protection of fish and wildlife resources and
habitat, recreation, and cultural and aesthetic values is an instream
beneficial use of Virginia's waters. Offstream beneficial uses include domestic
uses (including public water supply), agricultural uses, electric power
generation, commercial uses, and industrial uses.
"Best management practices" or "BMPs"
means a schedule of activities, prohibition of practices, maintenance
procedures, and other management practices that prevent or reduce the pollution
of surface waters.
"Board" means the State Water Control Board.
"Channelization" means the alteration of a stream
channel by widening, deepening, straightening, cleaning, or paving certain
areas.
"Compensation" or "compensatory
mitigation" means (i) the restoration (reestablishment or rehabilitation),
establishment (creation), enhancement, or in certain circumstances preservation
of aquatic resources or (ii) in certain circumstances an out-of-kind measure
having a water quality, habitat, or other desirable benefit for the purposes of
offsetting unavoidable adverse impacts to aquatic resources that remain after
all appropriate and practicable avoidance and minimization has been achieved.
"Construction site" means any site where
land-disturbing activity is conducted or physically located for the purpose of
erecting buildings, roads, or other discrete structures, including on-site or
off-site areas used for dependent, support facilities, such as quarries, mines,
or temporary stormwater management or erosion control structures.
"Conversion" means those impacts to surface waters
that permanently change an existing wetland or aquatic resource type to a
different wetland or aquatic resource type.
"Coverage" means authorization to conduct a project
in accordance with a VWP general permit.
"Cowardin classification" or "Cowardin
classification method," unless otherwise specified in this chapter, means
the waters classification system in Classification of Wetlands and Deepwater
Habitats of the United States (Cowardin, Lewis M. II, et al., U.S. Fish and
Wildlife Service, December 1979, Reprinted 1992).
"Creation" means the establishment of a wetland or
other aquatic resource where one did not formerly exist.
"Cross-sectional drawing" means a scaled graph or
plot that represents the plane made by cutting across an object at right angles
to its length. Objects may include a surface water body or a portion of it, a
man-made channel, an above-ground structure, a below-ground structure, a
geographical feature, or the ground surface itself.
"Department" or "DEQ" means the
Department of Environmental Quality.
"Director" means the Director of the Department of
Environmental Quality (DEQ) or an authorized representative.
"Discharge" means, when used without qualification,
a discharge of a pollutant, or any addition of any pollutant or combination of
pollutants, to state waters.
"Draft VWP permit" means a document indicating the
board's tentative decision relative to a VWP permit action.
"Draining" means human-induced activities such as
ditching, excavation, installation of tile drains, hydrologic modification by
surface water runoff diversion, pumping water from wells, or similar activities
such that the activities have the effect of artificially dewatering the wetland
or altering its hydroperiod.
"Dredged material" means material that is excavated
or dredged from surface waters.
"Dredging" means a form of excavation in which
material is removed or relocated from beneath surface waters.
"Ecologically and environmentally preferable" means
capable of providing a higher likelihood than alternative proposals of
replacing existing wetland acreage and functions, stream functions, water
quality, and fish and wildlife resources.
"Emergent wetland" means a class of wetlands
dominated by erect, rooted, herbaceous plants growing in water or on a
substrate, excluding mosses and lichens. This vegetation is present for most of
the growing season in most years and is usually dominated by perennial plants.
"Enhancement" means activities conducted in
existing wetlands or other portions of the aquatic environment that increase
one or more aquatic functions.
"Excavate" or "excavation" means
ditching, dredging, or mechanized removal of earth, soil, or rock.
"Fill" means replacing portions of surface water
with upland, or raising the bottom elevation of a surface water for any purpose,
by placement of any pollutant or material including rock, sand, earth, and
man-made materials and debris.
"Fill material" means any pollutant that replaces
portions of surface water with dry land or that raises the bottom elevation of
a surface water for any purpose.
"Forested wetland" means a class of wetlands
dominated by woody vegetation that is approximately 20 feet (six meters) tall
or taller and three inches (7.6 centimeters) or larger in diameter at breast
height (DBH). These areas typically possess an overstory of trees, an
understory of trees or shrubs, and an herbaceous layer.
"Hydrologic regime" means the entire state of water
movement in a given area. It is a function of the climate and includes the
phenomena by which water first occurs as atmospheric water vapor, passes into a
liquid or solid form, falls as precipitation, moves along or into the ground
surface, and returns to the atmosphere as vapor by means of evaporation and
transpiration.
"Impacts" means results caused by those activities
specified in § 62.1-44.15:20 A of the Code of Virginia.
"Impairment" means the damage, loss, or degradation
of the acreage or functions of wetlands or the functions of state waters.
"Independent utility" means a test to determine
what constitutes a single and complete project. A project is considered to have
independent utility if it would be constructed absent the construction of other
projects in the project area. Portions of a phased development project that
depend upon other phases of the project do not have independent utility.
Portions of a phased development project that would be constructed even if the
other phases are not built can be considered as separate single complete
projects with independent public and economic utility.
"In-lieu fee program" means a program operated by a
nonprofit organization or governmental agency that receives moneys from persons
impacting wetlands or streams pursuant to an authorized, permitted activity and
that expends the moneys received to provide consolidated compensatory
mitigation for permitted wetland or stream impacts.
"Isolated wetlands of minimal ecological value"
means those wetlands that (i) do not have a surface water connection to other
state waters, (ii) are less than one-tenth of an acre (0.10 acre or 4,356
square feet) in size, (iii) are not located in a Federal Emergency Management
Agency designated 100-year floodplain, (iv) are not identified by the Virginia
Natural Heritage Program as a rare or state significant natural community, (v)
are not forested, and (vi) do not contain listed federal or state threatened or
endangered species.
"Joint Permit Application" or "JPA" means
an application form that is used to apply for permits from the Norfolk District
Army Corps of Engineers, the Virginia Marine Resources Commission, the Virginia
Department of Environmental Quality, and local wetland boards for work in
waters of the United States and in surface waters of Virginia.
"Law" means the State Water Control Law of
Virginia.
"Legal name" means the full legal name of an
individual, business, or other organization. For an individual, legal name
means the first name, middle initial, last name, and suffix. For an entity
authorized to do business in Virginia, the legal name means the exact name set
forth in the entity's articles of incorporation, organization or trust, or
formation agreement, as applicable.
"Minimization" means lessening impacts by reducing
the degree or magnitude of the proposed action and its implementation.
"Mitigation" means sequentially avoiding and
minimizing impacts to the maximum extent practicable, and then compensating for
remaining unavoidable impacts of a proposed action.
"Mitigation bank" means a site providing off-site,
consolidated compensatory mitigation that is developed and approved in accordance
with all applicable federal and state laws or regulations for the
establishment, use, and operation of mitigation banks and is operating under a
signed banking agreement.
"Mitigation banking" means compensating for
unavoidable wetland or stream losses in advance of development actions through
the sale or purchase of credits from a mitigation bank.
"Nationwide permit" means a general permit issued
by the U.S. Army Corps of Engineers (USACE) under 33 CFR Part 330 and, except
where suspended by individual USACE Corps Districts, applicable nationwide.
"Nontidal wetland" means those wetlands other than
tidal wetlands that are inundated or saturated by surface water or groundwater
at a frequency and duration sufficient to support, and that under normal circumstances
do support, a prevalence of vegetation typically adapted for life in saturated
soil conditions, as defined by the U.S. Environmental Protection Agency
pursuant to § 404 of the federal Clean Water Act in 40 CFR 230.3(t). Wetlands
generally include swamps, marshes, bogs, and similar areas.
"Normal agricultural activities" means those
activities defined as an agricultural operation in § 3.2-300 of the Code
of Virginia and any activity that is conducted as part of or in furtherance of
such agricultural operation but shall not include any activity for which a
permit would have been required as of January 1, 1997, under 33 USC § 1344
or any regulations promulgated pursuant thereto.
"Normal residential gardening and lawn and landscape
maintenance" means ongoing noncommercial residential activities conducted
by or on behalf of an individual occupant, including mowing; planting;
fertilizing; mulching; tilling; vegetation removal by hand or by hand tools;
and placement of decorative stone, fencing, and play equipment. Other
appurtenant noncommercial activities, provided that they do not result in the
conversion of a wetland to upland or to a different wetland type, may also be
included.
"Normal silvicultural activities" means any
silvicultural activity as defined in § 10.1-1181.1 of the Code of
Virginia, and any activity that is conducted as part of or in furtherance of
such silvicultural activity but shall not include any activity for which a
permit would have been required as of January 1, 1997, under 33 USC § 1344
or any regulations promulgated pursuant thereto.
"Notice of project completion" means a statement
submitted by the permittee or authorized agent that the authorized activities
and any required compensatory mitigation have been completed.
"Open water" means an area that, during a year with
normal patterns of precipitation, has standing water for sufficient duration to
establish an ordinary high water mark. The term "open water" includes
lakes and ponds but does not include ephemeral waters, stream beds, or
wetlands.
"Ordinary high water" or "ordinary high water
mark" means that line on the shore established by the fluctuations of
water and indicated by physical characteristics such as a clear, natural line
impressed on the bank; shelving; changes in the character of soil; destruction
of terrestrial vegetation; the presence of litter and debris; or other
appropriate means that consider the characteristics of the surrounding areas.
"Out-of-kind compensatory mitigation" or
"out-of-kind mitigation" means a measure that does not replace the
same type of wetland or surface water as was impacted but does replace lost
wetland or surface water functions or provide a water quality, habitat, or
other desirable benefit.
"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 stream bed 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.
"Permanent flooding or impounding" means a
permanent increase in the duration or depth of standing water on a land
surface, such as from a dam. Permanent increases in duration or depth of
standing water that result from extended-detention basins and enhanced
extended-detention basins, when designed, constructed, and maintained to
function in accordance with Virginia Department of Conservation and Recreation
(DCR) standards for such facilities (Virginia Stormwater Management Handbook,
First Edition, 1999, Volume 1, Chapter 3), or when designed in accordance with
local standards that, at a minimum, meet the DCR standards, are not considered
to be permanent flooding and impounding.
"Permanent impacts" means those impacts to surface
waters, including wetlands, that cause a permanent alteration of the physical,
chemical, or biological properties of the surface waters or of the acreage or
functions of a wetland.
"Permittee" means the person who holds a VWP
individual or general permit.
"Permittee-responsible compensatory mitigation" or
"permittee-responsible mitigation" means compensation or compensatory
mitigation, as defined in this section, that is undertaken by the permittee, or
an authorized agent or contractor, for which the permittee retains full
responsibility.
"Person" means individual, corporation,
partnership, association, governmental body, municipal corporation, or any
other legal entity.
"Phased development" means more than one project
proposed for a single piece of property or an assemblage of contiguous
properties under consideration for development by the same person, or by
related persons, that will begin and be completed at different times. Depending
on the relationship between the projects, a phased development may be
considered a single and complete project or each project may be considered a
single and complete project if each project has independent utility, as defined
in this section.
"Plan view drawing" means a scaled graph or plot
that represents the view of an object as projected onto orthogonal planes.
Objects may include structures, contours, or boundaries.
"Pollutant" means any substance, radioactive
material, or heat that causes or contributes to or may cause or contribute to
pollution.
"Pollution" means such alteration of the physical,
chemical, or biological properties of any state waters as will or is likely to
create a nuisance or render such waters (i) harmful or detrimental or injurious
to the public health, safety, or welfare or to the health of animals, fish, or
aquatic life; (ii) unsuitable with reasonable treatment for use as present or
possible future sources of public water supply; or (iii) unsuitable for
recreational, commercial, industrial, agricultural, or other reasonable uses;
provided that (a) an alteration of the physical, chemical, or biological
property of state waters, or a discharge or deposit of sewage, industrial
wastes or other wastes to state waters by any owner which by itself is not
sufficient to cause pollution, but which, in combination with such alteration
of or discharge or deposit to state waters by other owners is sufficient to
cause pollution; (b) the discharge of untreated sewage by any owner into state
waters; and (c) contributing to the contravention of standards of water quality
duly established by the board, are "pollution" for the terms and
purposes of this chapter.
"Practicable" means available and capable of being
done after taking into consideration cost, existing technology, and logistics
in light of overall project purposes.
"Preservation" means the protection of resources in
perpetuity through the implementation of appropriate legal and physical
mechanisms.
"Profile drawing" means a scaled graph or plot that
represents the side view of an object. Objects may include a surface water body
or a portion of it, a man-made channel, an above-ground structure, a
below-ground structure, a geographical feature, or the ground surface itself.
"Public hearing" means a fact finding proceeding
held to afford interested persons an opportunity to submit factual data, views,
and comments to the board pursuant to § 62.1-44.15:02 of the Code of
Virginia.
"Regional permit" means a general permit issued by
the U.S. Army Corps of Engineers under 33 CFR Part 330 and applicable within a
specified geographic area.
"Restoration" means the reestablishment of a
wetland or other aquatic resource in an area where it previously existed.
Wetland restoration means the reestablishment of wetland hydrology and
vegetation in an area where a wetland previously existed. Stream restoration
means the process of converting an unstable, altered, or degraded stream
corridor, including adjacent areas and floodplains, to its natural conditions.
"Riprap" means a layer of nonerodible material such
as stone or chunks of concrete.
"Section 401" means § 401 of the Clean Water
Act, or 33 USC § 1341, as amended in 1987.
"Scrub-shrub wetland" means a class of wetlands
dominated by woody vegetation, excluding woody vines, approximately three to 20
feet (one to six meters) tall. The species include true shrubs, young trees,
and trees or shrubs that are small or stunted because of environmental
conditions.
"Significant alteration or degradation of existing
wetland acreage or function" means human-induced activities that cause
either a diminution of the areal extent of the existing wetland or cause a
change in wetland community type resulting in the loss or more than minimal
degradation of its existing ecological functions.
"Single and complete project" means the total
project proposed or accomplished by a person, which also has independent
utility as defined in this section. For linear projects, the single and
complete project (e.g., a single and complete crossing) will apply to each
crossing of a separate surface water (e.g., a single water body) and to
multiple crossings of the same water body at separate and distinct locations.
Phases of a project that have independent utility may each be considered single
and complete.
"State waters" means all water, on the surface and
under the ground, wholly or partially within or bordering the Commonwealth or
within its jurisdiction, including wetlands.
"Stream bed" or "stream channel" means
the substrate of a stream, as measured between the ordinary high water mark
along each side of a stream. The substrate may consist of organic matter,
bedrock, or inorganic particles that range in size from clay to boulders, or a
combination of both. Areas contiguous to the stream bed, but outside of the
ordinary high water mark along each side of a stream, are not considered part
of the stream bed.
"Surface water" means all state waters that are not
groundwater as groundwater is defined in § 62.1-255 of the Code of
Virginia.
"Suspend" or "suspension" means a
decision by the board that stops the review or processing of a permit
application or request to modify a permit or permit coverage until such time
that information requested by the board is provided, reviewed, and deemed adequate.
"Temporal loss" means the time lag between the loss
of aquatic resource functions caused by the impacts and the replacement of
aquatic resource functions by compensatory mitigation.
"Temporary impacts" means impacts to wetlands or
other surface waters that do not cause a permanent alteration of the physical,
chemical, or biological properties of surface waters or the permanent
alteration or degradation of existing wetland acreage or functions. Temporary
impacts include activities in which the impact area is restored to its
preconstruction elevations and contours with topsoil from the impact area where
practicable, such that previous wetland acreage and functions or surface water
functions are restored.
"Tidal wetland" means vegetated and nonvegetated
wetlands as defined in § 28.2-1300 of the Code of Virginia.
"Toxic pollutant" means any agent or material
including those listed under § 307(a) of the Water Pollution Prevention
and Control Act (33 USC § 1317(a)), which after discharge will, on the basis of
available information, cause toxicity. Toxicity means the inherent potential or
capacity of a material to cause adverse effects in a living organism, including
acute or chronic effects to aquatic life, detrimental effects on human health,
or other adverse environmental effects.
"Undesirable plant species" means any species that
invades, naturally colonizes, or otherwise dominates a compensatory mitigation
site or mitigation bank, such that it causes or contributes to the failure of
the vegetative success criteria for a particular compensatory mitigation site,
mitigation bank, or in-lieu fee program project, or it otherwise prohibits the
restoration of the same vegetation cover type that was originally present.
"VWP general permit" means the general permit text,
terms, requirements, and conditions set forth in a regulation that constitutes
a VWP permit authorizing a specified category of activities.
"VWP permit" means an individual or general permit
issued by the board under § 62.1-44.15:20 of the Code of Virginia that
authorizes activities otherwise unlawful under § 62.1-44.5 of the Code of
Virginia or otherwise serves as the Commonwealth of Virginia's § 401
certification. For any applicant to the Federal Energy Regulatory Commission
for a certificate of public convenience and necessity pursuant to § 7c of
the federal Natural Gas Act (15 USC § 717f(c)) to construct any natural
gas transmission pipeline greater than 36 inches inside diameter, issuance of
an individual VWP permit pursuant to this chapter and a certification issued
pursuant to Article 2.6 (§ 62.1-44.15:80 et seq.) of the State Water Control
Law shall together constitute the certification required under § 401 of the
federal Clean Water Act.
"Water quality standards" means water quality
standards adopted by the board and approved by the administrator of the U.S.
Environmental Protection Agency under § 303 of the Clean Water Act as defined
in 9VAC25-260-5.
"Watershed approach" means an analytical process
for making compensatory mitigation decisions that support the sustainability or
improvement of aquatic resources in a watershed and that ensures authorized
impacts and mitigation have been considered on a watershed scale.
"Wetlands" means those areas that are inundated or
saturated by surface water or groundwater at a frequency and duration
sufficient to support, and that under normal circumstances do support, a
prevalence of vegetation typically adapted for life in saturated soil
conditions. Wetlands generally include swamps, marshes, bogs, and similar
areas.
9VAC25-210-80. Application for a VWP permit.
A. Application for a VWP Permit. Any person who is required
to obtain a VWP permit, except those persons applying for an emergency VWP
permit for a public water supply emergency, shall submit a complete VWP permit
application to the Department of Environmental Quality through the most current
Joint Permit Application procedures established within each type of Joint
Permit Application. The Virginia Department of Transportation (VDOT) may use
its Interagency Coordination Meeting (IACM) process for submitting JPAs. There
shall be no commencement of any activity subject to this chapter prior to the
issuance of a VWP permit or granting VWP general permit coverage.
B. Informational requirements for all VWP individual permit
applications are identified in this subsection with the exception of
applications for emergency VWP permits to address a public water supply
emergency, for which the information required in 9VAC25-210-340 C shall be
submitted. In addition to the information in this subsection, applications
involving a surface water withdrawal or a Federal Energy Regulatory Commission
(FERC) license or relicense associated with a surface water withdrawal shall
also submit the information required in 9VAC25-210-340 B.
1. A complete application for a VWP individual permit, at a
minimum, consists of the following information, if applicable to the project:
a. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
b. If different from applicant, legal name, mailing address,
telephone number, and if applicable, electronic mail address and fax number of
property owner.
c. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
d. Project name and proposed project schedule. This schedule
will be used to determine the VWP permit term.
e. The following information for the project site location,
and any related permittee-responsible compensatory mitigation site:
(1) The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
(2) Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
(3) The latitude and longitude to the nearest second at the
center of the site or sites.
(4) The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
(5) A detailed map depicting the location of the site or
sites, including the project boundary and existing preservation areas on the
site or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle
map) should be of sufficient detail to easily locate the site or sites for
inspection.
f. A narrative description of the project, including project
purpose and need.
g. An alternatives analysis for the proposed project detailing
the specific on-site and off-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site and off-site
measures taken to reduce the size, scope, configuration, or density of the
proposed project, including review of alternative sites where required for the
project, which would avoid or result in less adverse impact to surface waters,
and documentation demonstrating the reason the applicant determined less
damaging alternatives are not practicable. The analysis shall demonstrate to
the satisfaction of the board that avoidance and minimization opportunities
have been identified and measures have been applied to the proposed activity
such that the proposed activity in terms of impacts to state waters and fish
and wildlife resources is the least environmentally damaging practicable
alternative.
h. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
(1) Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
(2) Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
(3) Open water impacts identified according to type; and for
each type, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
(4) A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
(5) A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 1 h (1), 1
h (2), and 1 h (3) of this subsection; and (iii) quantifies and identifies any
other surface waters according to their Cowardin classification (i.e.,
emergent, scrub-shrub, or forested) or similar terminology.
i. Plan view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
(1) North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
(2) Limits of proposed impacts to surface waters.
(3) Location of all existing and proposed structures.
(4) All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; ordinary high water mark in
nontidal areas; tidal wetlands boundary; and mean low water and mean high water
lines in tidal areas.
(5) The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830).
(6) The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
j. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area includes at a
minimum a graphic scale, existing structures, existing and proposed elevations,
limits of surface water areas, ebb and flood or direction of flow (if
applicable), ordinary high water mark in nontidal areas, tidal wetland boundary,
mean low water and mean high water lines in tidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of the proposed impact.
k. Materials assessment. Upon request by the board, the
applicant shall provide evidence or certification that the material is free
from toxic contaminants prior to disposal or that the dredging activity will
not cause or contribute to a violation of water quality standards during
dredging. The applicant may be required to conduct grain size and composition
analyses, tests for specific parameters or chemical constituents, or elutriate
tests on the dredge material.
l. An assessment of potential impacts to federal and state
listed threatened or endangered species, including any correspondence or
documentation from federal or state resource agencies addressing potential impacts
to listed species.
m. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
(1) If permittee-responsible compensation is proposed for
wetland impacts, a conceptual wetland compensatory mitigation plan shall be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of replacement of wetland
acreage and functions; (ii) a detailed location map including latitude and
longitude to the nearest second and the fourth order subbasin, as defined by
the hydrologic unit boundaries of the National Watershed Boundary Dataset, at
the center of the site; (iii) a description of the surrounding land use; (iv) a
hydrologic analysis including a draft water budget for nontidal areas based on
expected monthly inputs and outputs that will project water level elevations
for a typical year, a dry year, and a wet year; (v) groundwater elevation data,
if available, or the proposed location of groundwater monitoring wells to
collect these data; (vi) wetland delineation confirmation, data sheets, and
maps for existing surface water areas on the proposed site or sites; (vii) a
conceptual grading plan; (viii) a conceptual planting scheme including
suggested plant species and zonation of each vegetation type proposed; (ix) a
description of existing soils including general information on both topsoil and
subsoil conditions, permeability, and the need for soil amendments; (x) a draft
design of water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
(2) If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan shall be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-section drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed
restoration measures to be employed including channel measurements, proposed
design flows, types of instream structures, and conceptual planting scheme;
(viii) reference stream data, if available; (ix) inclusion of buffer areas; (x)
schedule for restoration activities; and (xi) measures for the control of
undesirable species.
(3) For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et
seq. of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700
et seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions (a), (b), and (c) of
this subdivision B 1 m (3) or in lieu thereof shall describe the intended
protective mechanism or mechanisms that contain or contains the information
required as follows:
(a) A provision for access to the site;
(b) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(c) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
(4) Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
bank or in-lieu fee program sponsor of the availability of credits at the time
of application.
n. A written description and a graphical depiction identifying
all upland areas including buffers, wetlands, open water, other surface waters,
and compensatory mitigation areas located within the proposed project boundary
or permittee-responsible compensatory mitigation areas, that are under a deed
restriction, conservation easement, restrictive covenant, or other land use
protective instrument (i.e., protected areas). Such description and a graphical
depiction shall include the nature of the prohibited activities within the
protected areas and the limits of Chesapeake Bay Resource Protection Areas (RPAs)
as field-verified by the applicant, and if available, the limits as approved by
the locality in which the project site is located, unless the proposed use is
exempt from the Chesapeake Bay Preservation Area Designation and Management
Regulations (9VAC25-830), as additional state or local requirements may apply
if the project is located within an RPA.
o. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
p. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20. The board will continue to process the application, but the fee must
be received prior to release of a draft VWP permit.
2. Reserved.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more, and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensatory mitigation, including water quality
enhancements as replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Incomplete application.
1. Where an application for an individual permit or
general permit coverage is not accepted as complete by the board within 15
days of receipt, the board shall require the submission of additional
information from the applicant and may suspend processing of any application
until such time as the applicant has supplied the requested information and the
board considers the application complete. Where the applicant becomes aware
that he omitted one or more relevant facts from a VWP permit application or
submitted incorrect information in a VWP permit application or in any report to
the board, the applicant shall immediately submit such facts or the correct
information. A revised application with new information shall be deemed a new
application for purpose of review but shall not require an additional notice or
an additional permit application fee.
2. An incomplete permit application for an
individual permit or general permit coverage may be administratively
withdrawn from processing by the board for failure to provide the required
information after 60 days from the date of the latest written information
request made by the board. The board shall provide (i) notice to the
applicant and (ii) an opportunity for an informal fact-finding proceeding when
administratively withdrawing an incomplete application. Resubmittal of an
application for the same or similar project, after such time that the original
permit application was administratively withdrawn, shall require submittal of
an additional permit application fee and may be subject to additional noticing
requirements.
3. An applicant may request a suspension of application
review by the board. A submission by the applicant making such a request shall
not preclude the board from administratively withdrawing an incomplete
application. Resubmittal of a permit application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee and may be subject to additional noticing requirements.
9VAC25-210-230. Denial of the VWP permit or variance request.
A. The board shall make a decision to tentatively deny the
VWP permit or variance request if the requirements of this chapter are not met.
Basis for denial include, but are not limited to, the following:
1. The project will result in violations of water quality
standards or will impair the beneficial uses of state waters.
2. As a result of project implementation, shellfish waters
would be condemned in accordance with 9VAC25-260.
3. The project that the applicant proposed fails to adequately
avoid and minimize impacts to state waters to the maximum extent practicable.
4. The proposed compensatory mitigation plan is insufficient
or unsatisfactory for the proposed impacts and fails to achieve no net loss of
existing wetland acreage and function and no net loss of functions in all
surface waters.
5. The Department of Game and Inland Fisheries Wildlife
Resources indicates that natural or stockable trout waters would be
permanently and negatively impacted by the proposed activity.
6. The proposed activity is prohibited by 9VAC25-210-50.
7. The effect of project impacts, together with other existing
or proposed impacts to wetlands, will cause or contribute to a significant
impairment of state waters or fish and wildlife resources.
8. Failure to submit the required permit fee in accordance
with 9VAC25-210-80 B 1 g or 9VAC25-210-340 C 1 g.
9. The board determines that the applicant for an Emergency
Virginia Water Protection Permit has not demonstrated that there is a
substantial threat to public health and safety, and that normal Virginia Water
Protection Permit procedures, including public comment provisions, should be
followed.
B. The applicant shall be notified by letter of the board's
preliminary decision to tentatively deny the VWP permit requested.
C. Should the applicant withdraw his application, no VWP
permit or variance will be issued.
D. Should the applicant elect to proceed as originally
proposed, the board may deny the application and advise the applicant pursuant
to § 62.1-44.15:02 of the Code of Virginia of his right to a public hearing to
consider the denial.
9VAC25-210-320. Preapplication procedures for new or expanded
surface water withdrawals.
A. Preapplication review panel. At the request of a potential
applicant for a surface water withdrawal proposing to the Department of
Environmental Quality to withdraw 90 million gallons a month or greater, a
preapplication review panel shall be convened prior to submission of a VWP
application. The preapplication review panel shall assist potential applicants
that are proposing surface water withdrawals with the early identification of
issues related to the protection of beneficial instream and offstream uses of
state waters and the identification of the affected stream reach. DEQ shall
notify the Virginia Marine Resources Commission, the Virginia Institute of
Marine Science, the Virginia Department of Game and Inland Fisheries Wildlife
Resources, the Virginia Department of Conservation and Recreation, the
Virginia Department of Health, the U.S. Army Corps of Engineers, the U.S. Fish
and Wildlife Service, the U.S. Environmental Protection Agency, and other
appropriate local, state, and federal agencies of the preapplication review
panel request. These agencies shall participate to the extent practicable in
the preapplication review panel by providing information and guidance on the
potential natural resource impacts and regulatory implications of the options being
considered by the applicant and shall provide comments within 60 days of the
initial meeting of the preapplication panel.
B. Preapplication public notice. For new or expanded surface
water withdrawals requiring an individual VWP permit and proposing to withdraw
90 million gallons a month or greater, a potential applicant shall provide
information on the project, shall provide an opportunity for public comment on
the proposed project, and shall assist in identifying public concerns or issues
prior to filing a VWP individual permit application.
1. Except as provided in this subsection, the potential
applicant shall provide for publication of notice once a week for two
consecutive weeks in a newspaper of general circulation serving the locality
where the surface water withdrawal is proposed to be located.
2. If requested by any person, the potential applicant shall
hold at least one public information meeting. Notice of any public information
meeting held pursuant to this subsection shall be provided at least 14 days
prior to the public information meeting date and shall be published in the same
manner as required in subdivision 1 of this subsection. A potential applicant
shall submit the notice to DEQ for posting on the DEQ website. At a minimum,
any notice required by this subsection shall include:
a. A statement of the potential applicant's intent to apply
for a VWP permit for a surface water withdrawal;
b. The proposed location of the surface water withdrawal;
c. Information on how the public may request a public
information meeting or, in the alternative, the date, time, and location of the
public information meeting;
d. The name, address, and telephone number of the potential
applicant, or an authorized representative who can answer questions or receive
comments on the proposed surface water withdrawal; and
e. A statement of how oral or written public comments will be
used.
3. In accordance with the provisions of 9VAC25-780-50 C 11 and
9VAC25-780-150, a potential applicant shall not be required to publish public
notice or provide an opportunity for a public information meeting if a public
meeting has been held within two years prior to the submittal of an application
for a VWP permit on a local or regional water supply plan, which includes the
proposed project.
4. The potential applicant shall maintain a list of persons
making comment and their addresses and shall make a good faith effort to notify
commenters at the address provided by the commenter when the public notice for
the draft VWP individual permit is available.
9VAC25-660-50. Notification.
A. Notification to the board will be required prior to
commencing construction, as follows:
1. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed, permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-660-60 B. Compensatory
mitigation may be required for all permanent impacts.
2. An application for coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 2 a or 2 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such restriction,
easement, covenant, or instrument is the result of a federal or state permit
action and is specific to activities in wetlands and compensatory mitigation
sites, the application shall include all of the information required by
9VAC25-660-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 10, 11, 15, and 16 of
9VAC25-660-60 B and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall include
the information in 9VAC25-660-60 B 12.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services, and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of
federal or state listed threatened and endangered species or designated
critical habitat. Based upon consultation with these agencies, the board may
deny application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-660-60. Application.
A. The applicant shall file a complete application in
accordance with 9VAC25-660-50 and this section for coverage under thisVWP
general permit for impacts to nontidal wetlands or open water of less than
one-half acre and up to 300 linear feet of nontidal stream bed.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
4. The existing VWP general permit tracking number, if
applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas (RPAs)
as field-verified by the applicant, and if available, the limits as approved by
the locality in which the project site is located, unless the proposed use is
exempt from the Chesapeake Bay Preservation Area Designation and Management
Regulations (9VAC25-830).
f. The limits of areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification, and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 10 a, 10 b,
and 10 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
11. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed project,
including review of alternative sites where required for the project, which
would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the
satisfaction of the board that avoidance and minimization opportunities have
been identified and measures have been applied to the proposed activity such
that the proposed activity in terms of impacts to state waters and fish and
wildlife resources is the least environmentally damaging practicable
alternative.
12. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
Any compensatory mitigation plan proposing the purchase of mitigation bank or
in-lieu fee program credits shall include the number and type of credits
proposed to be purchased and documentation from the approved bank or in-lieu
fee program sponsor of the availability of credits at the time of application.
13. A copy of the FEMA flood insurance rate map or
FEMA-approved local floodplain map depicting any 100-year floodplains.
14. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
15. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary that are under a deed restriction, conservation easement,
restrictive covenant, or other land use protective instrument (i.e., protected
areas). Such description and a graphical depiction shall include the nature of
the prohibited activities within the protected areas and the limits of
Chesapeake Bay Resource Protection Areas (RPAs) as field-verified by the
applicant, and if available, the limits as approved by the locality in which
the project site is located, unless the proposed use is exempt from the
Chesapeake Bay Preservation Area Designation and Management Regulations
(9VAC25-830), as additional state or local requirements may apply if the
project is located within an RPA.
16. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. Upon receipt of an application from the Department of
Transportation for a road or highway construction project by the appropriate
DEQ office, the board has 10 business days, pursuant to § 33.2-258 of the
Code of Virginia, to review the application and either determine the
information requested in subsection B of this section is complete or inform the
Department of Transportation that additional information is required to make
the application complete. Upon receipt of an application from other applicants
for any type of project, the board has 15 days to review the application and
either determine that the information requested in subsection B of this section
is complete or inform the applicant that additional information is required to
make the application complete. Pursuant to § 33.2-258 of the Code of Virginia,
coverage under this VWP general permit for Department of Transportation road or
highway construction projects shall be approved or approved with conditions, or
the application shall be denied, within 30 business days of receipt of a
complete application. For all other projects, coverage under this VWP general
permit shall be approved or approved with conditions, or the application shall
be denied, within 45 days of receipt of a complete application. If the board
fails to act within the applicable 30 or 45 days on a complete application,
coverage under this VWP general permit shall be deemed granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under this VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of state waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
D. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within the applicable 10 or 15 days of
receipt, the board shall require the submission of additional information from
the applicant and may suspend processing of any application until such time as
the applicant has supplied the requested information and the application is
complete. Where the applicant becomes aware that he omitted one or more relevant
facts from an application, or submitted incorrect information in an application
or in any report to the board, the applicant shall immediately submit such
facts or the correct information. A revised application with new information
shall be deemed a new application for the purposes of review but shall not
require an additional permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-660-100. VWP general permit.
VWP GENERAL PERMIT NO. WP1 FOR IMPACTS LESS THAN ONE-HALF ACRE
UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE VIRGINIA STATE WATER CONTROL
LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations
adopted pursuant thereto, the board has determined that there is a reasonable
assurance that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of state waters or fish and
wildlife resources. In issuing this VWP general permit, the board has not taken
into consideration the structural stability of any proposed activities.
The permanent or temporary impact of less than one-half acre
of nontidal wetlands or open water and up to 300 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this VWP general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts to less than one-half acre of
nontidal wetlands or open water and up to 300 linear feet of nontidal stream
bed. Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with
9VAC25-660-80. An application or request for modification to coverage or
another VWP permit application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-660-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species that
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless otherwise specifically approved by the
Department of Environmental Quality on a case-by-case basis, and as follows:
The requirement to countersink does not apply to extensions or maintenance of
existing pipes and culverts that are not countersunk, floodplain pipes and
culverts being placed above ordinary high water, pipes and culverts being placed
on bedrock, or pipes and culverts required to be placed on slopes 5.0% or
greater. Bedrock encountered during construction must be identified and
approved in advance of a design change where the countersunk condition cannot
be met. Pipes and culverts 24 inches or less in diameter shall be countersunk
three inches below the natural stream bed elevations, and pipes and culverts
greater than 24 inches shall be countersunk at least six inches below the
natural stream bed elevations. Hydraulic capacity shall be determined based on
the reduced capacity due to the countersunk position. In all stream crossings
appropriate measures shall be implemented to minimize any disruption of aquatic
life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992. These controls shall be placed prior to clearing and grading and
maintained in good working order to minimize impacts to state waters. These
controls shall remain in place until the area is stabilized and shall then be
removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted impact area. All denuded
areas shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with the
project shall be accomplished in a manner that minimizes construction or waste
materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude unauthorized disturbances to
these surface waters and compensatory mitigation areas during construction. The
permittee shall notify contractors that no activities are to occur in these
marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary impact
area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their
preconstruction elevations and contours with topsoil from the impact area where
practicable within 30 days following the construction at that stream segment.
Streambanks shall be seeded or planted with the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact area where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary, supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct his activities in accordance
with the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in a Department of Environmental Quality VWP general permit
coverage letter, and shall ensure that all contractors are aware of the
time-of-year restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted stream flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes, and culverts
shall be constructed to minimize the adverse effects on surface waters to the
maximum extent practicable. Access roads constructed above preconstruction
elevations and contours in surface waters must be bridged, piped, or culverted
to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or other
similar structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized by the Department of Environmental Quality. Restoration
shall be the seeding or planting of the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands not to exceed a total of 90 days, provided
the material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a french drain effect). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control
Handbook, Third Edition, 1992.
2. Riprap apron for all outfalls shall be designed in accordance
with the Virginia Erosion and Sediment Control Handbook, Third Edition, 1992.
3. For stream bank protection activities, the structure and
backfill shall be placed as close to the stream bank as practicable. No
material shall be placed in excess of the minimum necessary for erosion
protection.
4. All stream bank protection control structures shall be
located to eliminate or minimize impacts to vegetated wetlands to the maximum
extent practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
F. Stormwater management facilities.
1. Stormwater management facilities shall be installed in
accordance with best management practices and watershed protection techniques
(e.g., vegetated buffers, siting considerations to minimize adverse effects to
aquatic resources, bioengineering methods incorporated into the facility design
to benefit water quality and minimize adverse effects to aquatic resources)
that provide for long-term aquatic resources protection and enhancement, to the
maximum extent practicable.
2. Compensation for unavoidable impacts shall not be allowed
within maintenance areas of stormwater management facilities.
3. Maintenance activities within stormwater management
facilities shall not require additional permit coverage or compensation,
provided that the maintenance activities do not exceed the original contours of
the facility, as approved and constructed, and are accomplished in designated
maintenance areas as indicated in the facility maintenance or design plan or
when unavailable, an alternative plan approved by the Department of
Environmental Quality.
Part II. Construction and Compensation Requirements,
Monitoring, and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit.
2. The types of compensation options that may be considered
for activities covered under this VWP general permit include the purchase of
mitigation bank credits or the purchase of in-lieu fee program credits in
accordance with 9VAC25-660-70 and the associated provisions of 9VAC25-210-116.
3. The final compensation plan shall be submitted to and
approved by the board prior to a construction activity in permitted impacts
areas. The board shall review and provide written comments on the final plan
within 30 days of receipt or it shall be deemed approved. The final plan as
approved by the board shall be an enforceable requirement of any coverage under
this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
B. Impact site construction monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs remain on the
project site and shall depict the impact area and the nonimpacted surface
waters immediately adjacent to and downgradient of each impact area. Each
photograph shall be labeled to include the following information: permit
number, impact area number, date and time of the photograph, name of the person
taking the photograph, photograph orientation, and photograph subject
description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities
within impact areas. Monthly inspections shall be conducted in the following
areas: all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water
areas within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality
standards to the Department of Environmental Quality in accordance with the
procedures in 9VAC25-660-100 Part II C. Corrective measures and additional
monitoring may be required if water quality standards are not met. Reporting
shall not be required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each
station.
C. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first
authorized impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all
authorized impact areas.
5. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are
encountered that require debris removal or involve a potentially toxic
substance. Measures to remove the obstruction, material, or toxic substance or
to change the location of a structure are prohibited until approved by the
Department of Environmental Quality.
6. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate Department
of Environmental Quality regional office shall be notified; otherwise, the
Department of Emergency Management shall be notified at 1-800-468-8892.
7. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
8. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
9. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are significant
penalties for submitting false information, including the possibility of fine
and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
which may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause
for revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with this
VWP general permit constitutes compliance with the VWP permit requirements of
the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. Coverage under this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credentials,
the permittee shall allow the board or any duly authorized agent of the board,
at reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an
emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility,
coverage, or liability, including liability for compliance with the
requirements of enforcement activities related to the authorized activity.
2. The board does not within 15 days notify the current and
new permittees of its intent to modify or revoke and reissue the VWP general
permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-660-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of the
Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to the VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of completing
or canceling all authorized activities requiring notification under
9VAC25-660-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The
director may accept this termination of coverage on behalf of the board. The
permittee shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in surface
waters in accordance with the VWP general permit and general permit coverage,
and that performing activities in surface waters is unlawful where the activity
is not authorized by the VWP permit or coverage, unless otherwise excluded from
obtaining coverage. I also understand that the submittal of this notice does
not release me from liability for any violations of the VWP general permit or
coverage, nor does it allow me to resume the authorized activities without
reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department
of Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit or coverage, nor
does it allow me to resume the authorized activities without reapplication and
coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been
necessary to halt or reduce the activity for which VWP general permit coverage
has been granted in order to maintain compliance with the conditions of the VWP
general permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board information that
the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also
furnish to the board, upon request, copies of records required to be kept by
the permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage under the VWP general
permit, for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or
industrial consumption, for recreation, or for other uses; or
4. On and after October 1, 2001, conduct the following
activities in a wetland:
a. New activities to cause draining that significantly alter
or degrade existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-660-27.
9VAC25-670-50. Notification.
A. Notification to the board will be required prior to
commencing construction, as follows:
1. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-670-60 B. Compensatory
mitigation may be required for all permanent impacts.
2. An application for the coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 2 a or 2 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such
restriction, easement, covenant, or instrument is the result of a federal or
state permit action and is specific to activities in wetlands and compensatory
mitigation sites, the application shall include all of the information required
by 9VAC25-670-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 10, 11, 14, and 15 of
9VAC25-670-60 B and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall
include the information in 9VAC25-670-60 B 12.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of
federal or state listed threatened and endangered species or designated
critical habitat. Based upon consultation with these agencies, the board may
deny application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-670-60. Application.
A. The applicant shall file a complete application in accordance
with 9VAC25-670-50 and this section for coverage under this VWP general permit
for impacts to surface waters from utility activities.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
4. The existing VWP general permit tracking number, if applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location and
any related permittee-responsible compensatory mitigation site:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for
inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay reservation Area Designation and
Management Regulations (9VAC25-830).
f. The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification, and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination, when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 10 a, 10 b,
and 10 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
11. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed
project, including review of alternative sites where required for the project,
which would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the satisfaction
of the board that avoidance and minimization opportunities have been identified
and measures have been applied to the proposed activity such that the proposed
activity in terms of impacts to state waters and fish and wildlife resources is
the least environmentally damaging practicable alternative.
12. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
a. If permittee-responsible compensation is proposed for wetland
impacts, a conceptual wetland compensatory mitigation plan must be submitted in
order for an application to be deemed complete and shall include at a minimum
(i) the goals and objectives in terms of replacement of wetland acreage and
functions; (ii) a detailed location map including latitude and longitude to the
nearest second and the fourth order subbasin, as defined by the hydrologic unit
boundaries of the National Watershed Boundary Dataset, at the center of the
site; (iii) a description of the surrounding land use; (iv) a hydrologic
analysis including a draft water budget for nontidal areas based on expected
monthly inputs and outputs that will project water level elevations for a
typical year, a dry year, and a wet year; (v) groundwater elevation data, if
available, or the proposed location of groundwater monitoring wells to collect
these data; (vi) wetland delineation confirmation, data sheets, and maps for
existing surface water areas on the proposed site or sites; (vii) a conceptual
grading plan; (viii) a conceptual planting scheme including suggested plant
species and zonation of each vegetation type proposed; (ix) a description of
existing soils including general information on both topsoil and subsoil
conditions, permeability, and the need for soil amendments; (x) a draft design
of any water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
b. If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-sectional drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed
restoration measures to be employed including channel measurements, proposed
design flows, types of instream structures, and conceptual planting scheme;
(viii) reference stream data, if available; (ix) inclusion of buffer areas; (x)
schedule for restoration activities; and (xi) measures for the control of
undesirable species.
c. For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et seq.
of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700 et
seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions c (1), c (2), and c (3)
of this subdivision 12 or in lieu thereof shall describe the intended protective
mechanism or mechanisms that contains the information required below:
(1) A provision for access to the site;
(2) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(3) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
d. Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
mitigation bank or in-lieu fee program sponsor of the availability of credits
at the time of application.
13. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
14. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary or permittee-responsible compensatory mitigation areas that
are under a deed restriction, conservation easement, restrictive covenant, or
other land use protective instrument (i.e., protected areas). Such description
and a graphical depiction shall include the nature of the prohibited activities
within the protected areas and the limits of Chesapeake Bay Resource Protection
Areas (RPAs) as field-verified by the applicant, and if available, the limits
as approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830), as additional state or local
requirements may apply if the project is located within an RPA.
15. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensation, including water quality enhancements as
replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Upon receipt of an application by the appropriate DEQ
office, the board has 15 days to review the application and either determine
the information requested in subsection B of this section is complete or inform
the applicant that additional information is required to make the application
complete. Coverage under the VWP general permit shall be approved or approved
with conditions, or the application shall be denied, within 45 days of receipt
of a complete application. If the board fails to act within 45 days on a
complete application, coverage under the VWP general permit shall be deemed
granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under the VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of surface waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
E. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within 15 days of receipt, the board
shall require the submission of additional information from the applicant and
may suspend processing of any application until such time as the applicant has
supplied the requested information and the application is complete. Where the
applicant becomes aware that he omitted one or more relevant facts from an
application, or submitted incorrect information in an application or any report
to the board, the applicant shall immediately submit such facts or the correct
information. A revised application with new information shall be deemed a new
application for the purposes of review but shall not require an additional
permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit application
fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-670-100. VWP general permit.
VWP GENERAL PERMIT NO. WP2 FOR FACILITIES AND ACTIVITIES OF
UTILITIES AND PUBLIC SERVICE COMPANIES REGULATED BY THE FEDERAL ENERGY
REGULATORY COMMISSION OR THE STATE CORPORATION COMMISSION AND OTHER UTILITY
LINE ACTIVITIES UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE VIRGINIA
STATE WATER CONTROL LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations adopted
pursuant thereto, the board has determined that there is a reasonable assurance
that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of surface waters or fish
and wildlife resources. In issuing this VWP general permit, the board has not
taken into consideration the structural stability of any proposed activities.
The permanent or temporary impact of up to one acre of
nontidal wetlands or open water and up to 1,500 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this VWP general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts of up to one acre of nontidal
wetlands or open water and up to 1,500 linear feet of nontidal stream bed.
Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with
9VAC25-670-80. An application or request for modification to coverage or
another VWP permit application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-670-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species which
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless otherwise specifically approved by the
Department of Environmental Quality on a case-by-case basis, and as follows:
The requirement to countersink does not apply to extensions or maintenance of
existing pipes and culverts that are not countersunk, floodplain pipes and
culverts being placed above ordinary high water, pipes and culverts being
placed on bedrock, or pipes and culverts required to be placed on slopes 5.0%
or greater. Bedrock encountered during construction must be identified and
approved in advance of a design change where the countersunk condition cannot
be met. Pipes and culverts 24 inches or less in diameter shall be countersunk
three inches below the natural stream bed elevations, and pipes and culverts
greater than 24 inches shall be countersunk at least six inches below the
natural stream bed elevations. Hydraulic capacity shall be determined based on
the reduced capacity due to the countersunk position. In all stream crossings
appropriate measures shall be implemented to minimize any disruption of aquatic
life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992. These controls shall be placed prior to clearing and grading and
maintained in good working order to minimize impacts to state waters. These
controls shall remain in place until the area is stabilized and shall then be
removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted area. All denuded areas
shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with the
project shall be accomplished in such a manner that minimizes construction or
waste materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material, to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude any unauthorized
disturbances to these surface waters and compensatory mitigation areas during
construction. The permittee shall notify contractors that no activities are to
occur in these marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary
impact area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their preconstruction
elevations and contours with topsoil from the impact area where practicable
within 30 days following the construction at that stream segment. Streambanks
shall be seeded or planted with the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact areas where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary, supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct his activities in accordance
with the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in a Department of Environmental Quality VWP general permit
coverage letter, and shall ensure that all contractors are aware of the time-of-year
restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted steam flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes,
and culverts shall be constructed to minimize the adverse effects on
surface waters to the maximum extent practicable. Access roads constructed
above preconstruction elevations and contours in surface waters must be
bridged, piped, or culverted to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or similar
structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized by the Department of Environmental Quality. Restoration
shall be the seeding or planting of the same vegetation cover type originally
present, including any necessary, supplemental erosion control grasses.
Invasive species identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands, not to exceed 90 days, provided the
material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a trench drain effect.). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control Handbook,
Third Edition, 1992.
2. Riprap apron for all outfalls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992.
3. For stream bank protection activities, the structure and
backfill shall be placed as close to the stream bank as practicable. No
material shall be placed in excess of the minimum necessary for erosion
protection.
4. All stream bank protection structures shall be located to
eliminate or minimize impacts to vegetated wetlands to the maximum extent
practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
Part II. Construction and Compensation Requirements,
Monitoring, and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit. For all
compensation that requires a protective mechanism, including preservation of
surface waters or buffers, the permittee shall record the approved protective
mechanism in the chain of title to the property, or an equivalent instrument
for government-owned lands, and proof of recordation shall be submitted to the
Department of Environmental Quality prior to commencing impacts in surface
waters.
2. Compensation options that may be considered under this VWP
general permit shall meet the criteria in 9VAC25-210-116 and 9VAC25-670-70.
3. The permittee-responsible compensation site or sites
depicted in the conceptual compensation plan submitted with the application
shall constitute the compensation site. A site change may require a
modification to coverage.
4. For compensation involving the purchase of mitigation bank
credits or the purchase of in-lieu fee program credits, the permittee shall not
initiate work in permitted impact areas until documentation of the mitigation
bank credit purchase or of the in-lieu fee program credit purchase has been
submitted to and received by the Department of Environmental Quality.
5. The final compensationplan shall be submitted to and
approved by the board prior to a construction activity in permitted impact
areas. The board shall review and provide written comments on the final plan
within 30 days of receipt or it shall be deemed approved. The final plan as
approved by the board shall be an enforceable requirement of any coverage under
this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
a. The final permittee-responsible wetlands compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) A summary of the type and acreage of existing wetland
impacts anticipated during the construction of the compensation site and the
proposed compensation for these impacts; a site access plan; a monitoring plan,
including proposed success criteria, monitoring goals, and the location of
photo-monitoring stations, monitoring wells, vegetation sampling points, and
reference wetlands or streams, if available; an abatement and control plan for
undesirable plant species; an erosion and sedimentation control plan; a
construction schedule; and the final protective mechanism for the protection of
the compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to commencing
impacts in surface waters.
b. The final permittee-responsible stream compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) An evaluation, discussion, and plan drawing or drawings of
existing conditions on the proposed compensation stream, including the
identification of functional and physical deficiencies for which the measures
are proposed, and summary of geomorphologic measurements (e.g., stream width,
entrenchment ratio, width-depth ratio, sinuosity, slope, substrate, etc.); a
site access plan; a monitoring plan, including a monitoring and reporting
schedule, monitoring design and methodologies for success, proposed success
criteria, location of photo-monitoring stations, vegetation sampling points,
survey points, bank pins, scour chains, and reference streams; an abatement and
control plan for undesirable plant species; an erosion and sedimentation
control plan, if appropriate; a construction schedule; a plan-view drawing
depicting the pattern and all compensation measures being employed; a profile
drawing; cross-sectional drawing or drawings of the proposed compensation
stream; and the final protective mechanism for the protection of the
compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
6. The following criteria shall apply to permittee-responsible
wetland or stream compensation:
a. The vegetation used shall be native species common to the
area, shall be suitable for growth in local wetland or riparian conditions, and
shall be from areas within the same or adjacent U.S. Department of Agriculture
Plant Hardiness Zone or Natural Resources Conservation Service Land Resource
Region as that of the project site. Planting of woody plants shall occur when
vegetation is normally dormant, unless otherwise approved in the final wetlands
or stream compensation plan or plans.
b. All work in permitted impact areas shall cease if
compensation site construction has not commenced within 180 days of
commencement of project construction, unless otherwise authorized by the board.
c. The Department of Environmental Quality shall be notified
in writing prior to the initiation of construction activities at the compensation
site.
d. Point sources of stormwater runoff shall be prohibited from
entering a wetland compensation site prior to treatment by appropriate best
management practices. Appropriate best management practices may include
sediment traps, grassed waterways, vegetated filter strips, debris screens, oil
and grease separators, or forebays.
e. The success of the compensation shall be based on meeting
the success criteria established in the approved final compensation plan.
f. If the wetland or stream compensation area fails to meet
the specified success criteria in a particular monitoring year, other than the
final monitoring year, the reasons for this failure shall be determined and a
corrective action plan shall be submitted to the Department of Environmental
Quality for approval with or before that year's monitoring report. The
corrective action plan shall contain at a minimum the proposed actions, a
schedule for those actions, and a monitoring plan, and shall be implemented by
the permittee in accordance with the approved schedule. Should significant
changes be necessary to ensure success, the required monitoring cycle shall
begin again, with monitoring year one being the year that the changes are
complete, as confirmed by the Department of Environmental Quality. If the
wetland or stream compensation area fails to meet the specified success
criteria by the final monitoring year or if the wetland or stream compensation
area has not met the stated restoration goals, reasons for this failure shall
be determined and a corrective action plan, including proposed actions, a
schedule, and a monitoring plan, shall be submitted with the final year
monitoring report for Department of Environmental Quality approval. Corrective
action shall be implemented by the permittee in accordance with the approved
schedule. Annual monitoring shall be required to continue until two sequential,
annual reports indicate that all criteria have been successfully satisfied and
the site has met the overall restoration goals (e.g., that corrective actions
were successful).
g. The surveyed wetland boundary for the compensation site
shall be based on the results of the hydrology, soils, and vegetation
monitoring data and shall be shown on the site plan. Calculation of total
wetland acreage shall be based on that boundary at the end of the monitoring
cycle. Data shall be submitted by December 31 of the final monitoring year.
h. Herbicides or algicides shall not be used in or immediately
adjacent to the compensation site or sites without prior authorization by the
board. All vegetation removal shall be done by manual means, unless authorized
by the Department of Environmental Quality in advance.
B. Impact site construction monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs shall remain on
the project site and depict the impact area and the nonimpacted surface waters
immediately adjacent to and downgradient of each impact area. Each photograph
shall be labeled to include the following information: permit number, impact
area number, date and time of the photograph, name of the person taking the
photograph, photograph orientation, and photograph subject description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities
within impact areas. Monthly inspections shall be conducted in the following
areas: all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water
areas within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality
standards to the Department of Environmental Quality in accordance with the
procedures in 9VAC25-670-100 Part II E. Corrective measures and additional
monitoring may be required if water quality standards are not met. Reporting
shall not be required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each
station.
C. Permittee-responsible wetland compensation site
monitoring.
1. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites including invert elevations for all water elevation
control structures and spot elevations throughout the site or sites. Aerial
surveys shall include the variation from actual ground conditions, such as +/-
0.2 feet. Either type of survey shall be certified by a licensed surveyor or by
a registered professional engineer to conform to the design plans. The survey
shall be submitted within 60 days of completing compensation site construction.
Changes or deviations in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
2. Photographs shall be taken at the compensation site or
sites from the permanent markers identified in the final compensation plan, and
established to ensure that the same locations and view directions at the site
or sites are monitored in each monitoring period. These photographs shall be
taken after the initial planting and at a time specified in the final
compensation plan during every monitoring year.
3. Compensation site monitoring shall begin on the first day
of the first complete growing season (monitoring year 1) after wetland
compensation site construction activities, including planting, have been
completed. Monitoring shall be required for monitoring years 1, 2, 3, and 5,
unless otherwise approved by the Department of Environmental Quality. In all
cases, if all success criteria have not been met in the fifth monitoring year,
then monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
4. The establishment of wetland hydrology shall be measured
during the growing season, with the location and number of monitoring wells,
and frequency of monitoring for each site, set forth in the final monitoring
plan. Hydrology monitoring well data shall be accompanied by precipitation
data, including rainfall amounts, either from on site, or from the closest
weather station. Once the wetland hydrology success criteria have been
satisfied for a particular monitoring year, weekly monitoring may be
discontinued for the remainder of that monitoring year following Department of
Environmental Quality approval. After a period of three monitoring years, the
permittee may request that hydrology monitoring be discontinued, providing that
adequate hydrology has been established and maintained. Hydrology monitoring
shall not be discontinued without written approval from the Department of
Environmental Quality.
5. The presence of hydric soils or soils under hydric
conditions shall be evaluated in accordance with the final compensation plan.
6. The establishment of wetland vegetation shall be in
accordance with the final compensation plan. Monitoring shall take place in
August, September, or October during the growing season of each monitoring
year, unless authorized in the monitoring plan.
7. The presence of undesirable plant species shall be
documented.
8. All wetland compensation monitoring reports shall be
submitted in accordance with 9VAC25-670-100 Part II E 6.
D. Permittee-responsible stream compensation and monitoring.
1. Riparian buffer restoration activities shall be detailed in
the final compensation plan and shall include, as appropriate, the planting of
a variety of native species currently growing in the site area, including
appropriate seed mixtures and woody species that are bare root, balled, or
burlapped. A minimum buffer width of 50 feet, measured from the top of the
stream bank at bankfull elevation landward on both sides of the stream, shall
be required where practical.
2. The installation of root wads, vanes, and other instream
structures, shaping of the stream banks, and channel relocation shall be
completed in the dry whenever practicable.
3. Livestock access to the stream and designated riparian
buffer shall be limited to the greatest extent practicable.
4. Stream channel restoration activities shall be conducted in
the dry or during low flow conditions. When site conditions prohibit access
from the streambank or upon prior authorization from the Department of
Environmental Quality, heavy equipment may be authorized for use within the
stream channel.
5. Photographs shall be taken at the compensation site from
the vicinity of the permanent photo-monitoring stations identified in the final
compensation plan. The photograph orientation shall remain constant during all
monitoring events. At a minimum, photographs shall be taken from the center of
the stream, facing downstream, with a sufficient number of photographs to view
the entire length of the restoration site. Photographs shall document the
completed restoration conditions. Photographs shall be taken prior to site
activities, during instream and riparian compensation construction activities,
within one week of completion of activities, and during at least one day of
each monitoring year to depict restored conditions.
6. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites. Aerial surveys shall include the variation from
actual ground conditions, such as +/- 0.2 feet. The survey shall be certified
by the licensed surveyor or by a registered, professional engineer to conform
to the design plans. The survey shall be submitted within 60 days of completing
compensation site construction. Changes or deviations from the final
compensation plans in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
7. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after stream compensation
site construction activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1 and 2, unless otherwise
approved by the Department of Environmental Quality. In all cases, if all
success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
8. All stream compensation site monitoring reports shall be
submitted in accordance with 9VAC25-670-100 Part II E 6.
E. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first permitted
impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all
authorized impact areas.
5. The Department of Environmental Quality shall be notified
in writing prior to the initiation of activities at the permittee-responsible compensation
site. The notification shall include a projected schedule of activities and
construction completion.
6. All permittee-responsible compensation site monitoring
reports shall be submitted annually by December 31, with the exception of the
last year, in which case the report shall be submitted at least 60 days prior
to the expiration of the general permit, unless otherwise approved by the
Department of Environmental Quality.
a. All wetland compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations, vegetative and soil monitoring
stations, monitoring wells, and wetland zones.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Analysis of all hydrology information, including
monitoring well data, precipitation data, and gauging data from streams or
other open water areas, as set forth in the final compensation plan.
(5) Evaluation of hydric soils or soils under hydric
conditions, as appropriate.
(6) Analysis of all vegetative community information,
including woody and herbaceous species, both planted and volunteers, as set
forth in the final compensation plan.
(7) Photographs labeled with the permit number, the name of
the compensation site, the photo-monitoring station number, the photograph
orientation, the date and time of the photograph, the name of the person taking
the photograph, and a brief description of the photograph subject. This
information shall be provided as a separate attachment to each photograph, if
necessary. Photographs taken after the initial planting shall be included in
the first monitoring report after planting is complete.
(8) Discussion of wildlife or signs of wildlife observed at
the compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site.
(10) Discussion of corrective measures or maintenance
activities to control undesirable species, to repair damaged water control
devices, or to replace damaged planted vegetation.
(11) Corrective action plan that includes proposed actions, a
schedule, and monitoring plan.
b. All stream compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations and monitoring stations.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Evaluation and discussion of the monitoring results in
relation to the success criteria and overall goals of compensation.
(5) Photographs shall be labeled with the permit number, the
name of the compensation site, the photo-monitoring station number, the
photograph orientation, the date and time of the photograph, the name of the
person taking the photograph, and a brief description of the photograph
subject. Photographs taken prior to compensation site construction activities,
during instream and riparian restoration activities, and within one week of
completion of activities shall be included in the first monitoring report.
(6) Discussion of alterations, maintenance, or major storm
events resulting in significant change in stream profile or cross section, and
corrective actions conducted at the stream compensation site.
(7) Documentation of undesirable plant species and summary of
abatement and control measures.
(8) Summary of wildlife or signs of wildlife observed at the
compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site, and as-built survey, if applicable.
(10) Corrective action plan that includes proposed actions, a
schedule and monitoring plan.
(11) Additional submittals that were approved by the
Department of Environmental Quality in the final compensation plan.
7. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are
encountered which require debris removal or involve potentially toxic
substance. Measures to remove the obstruction, material, or toxic substance or
to change the location of a structure are prohibited until approved by the
Department of Environmental Quality.
8. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate Department
of Environmental Quality regional office shall be notified; otherwise, the
Department of Emergency Management shall be notified at 1-800-468-8892.
9. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
10. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
11. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are
significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
which may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause
for revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with
this VWP general permit constitutes compliance with the VWP permit requirements
of the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. The issuance of this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credentials,
the permittee shall allow the board or any duly authorized agent of the board,
at reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an
emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility,
coverage, or liability, including liability for compliance with the
requirements of enforcement activities related to the authorized activity.
2. The board does not within the 15 days notify the current
and new permittees of its intent to modify or revoke and reissue the VWP
general permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-670-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of
the Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to the VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of
completing or canceling all authorized activities requiring notification under
9VAC25-670-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The
director may accept this termination of coverage on behalf of the board. The
permittee shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage, nor does it allow me to resume the authorized activities
without reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department of
Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit or coverage, nor
does it allow me to resume the authorized activities without reapplication and
coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been
necessary to halt or reduce the activity for which VWP general permit coverage
has been granted in order to maintain compliance with the conditions of the VWP
general permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board any information
that the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also
furnish to the board, upon request, copies of records required to be kept by
the permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage underthe VWP general permit,
for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or
industrial consumption, for recreation, or for other uses; or
4. On and after October 1, 2001, conduct the following
activities in a wetland:
a. New activities to cause draining that significantly alters
or degrades existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-670-27.
9VAC25-680-50. Notification.
A. Notification to the board will be required prior to
commencing construction, as follows:
1. When the Virginia Department of Transportation is the
applicant for coverage under this VWP general permit, the notification
requirements shall be in accordance with this section and 9VAC25-680-60, unless
otherwise authorized by the Department of Environmental Quality.
2. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-680-60 B. Compensatory
mitigation may be required for all permanent impacts.
3. An application for coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 3 a or 3 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such
restriction, easement, covenant, or instrument is the result of a federal or
state permit action and is specific to activities in wetlands and compensatory
mitigation sites, the application shall include all of the information required
by 9VAC25-680-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 11, 12, 15, and 16 of
9VAC25-680-60 B and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall
include the information in 9VAC25-680-60 B 13.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services, and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of
federal or state listed threatened and endangered species or designated
critical habitat. Based upon consultation with these agencies, the board may
deny application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-680-60. Application.
A. Applications shall be filed with the board as follows:
1. The applicant shall file a complete application in
accordance with 9VAC25-680-50 and this section for coverage under this VWP
general permit for impacts to surface waters from linear transportation
projects.
2. The VDOT may use its monthly IACM process for submitting
applications.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legalname, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, authorized agent's name, mailing address,
telephone number, and if applicable, fax number and electronic mail address.
4. The existing VWP general permit tracking number, if
applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location,
and any related permittee-responsible compensatory mitigation site:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or receiving
waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for
inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830).
f. The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. Materials assessment. Upon request by the board, the
applicant shall provide evidence or certification that the material is free
from toxic contaminants prior to disposal or that the dredging activity will
not cause or contribute to a violation of water quality standards during
dredging. The applicant may be required to conduct grain size and composition
analyses, tests for specific parameters or chemical constituents, or elutriate
tests on the dredge material.
11. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification; and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 11 a, 11 b,
and 11 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
12. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed
project, including review of alternative sites where required for the project,
which would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the
satisfaction of the board that avoidance and minimization opportunities have
been identified and measures have been applied to the proposed activity such
that the proposed activity in terms of impacts to state waters and fish and wildlife
resources is the least environmentally damaging practicable alternative.
13. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
a. If permittee-responsible compensation is proposed for
wetland impacts, a conceptual wetland compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of replacement of wetland acreage
and functions; (ii) a detailed location map including latitude and longitude to
the nearest second and the fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, at the center of
the site; (iii) a description of the surrounding land use; (iv) a hydrologic
analysis including a draft water budget for nontidal areas based on expected
monthly inputs and outputs that will project water level elevations for a
typical year, a dry year, and a wet year; (v) groundwater elevation data, if
available, or the proposed location of groundwater monitoring wells to collect
these data; (vi) wetland delineation confirmation, data sheets, and maps for
existing surface water areas on the proposed site or sites; (vii) a conceptual
grading plan; (viii) a conceptual planting scheme including suggested plant
species and zonation of each vegetation type proposed; (ix) a description of
existing soils including general information on both topsoil and subsoil
conditions, permeability, and the need for soil amendments; (x) a draft design
of any water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
b. If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-sectional drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed
restoration measures to be employed including channel measurements, proposed
design flows, types of instream structures, and conceptual planting scheme;
(viii) reference stream data, if available; (ix) inclusion of buffer areas; (x)
schedule for restoration activities; and (xi) measures for the control of
undesirable species.
c. For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et seq.
of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700 et
seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions c (1), c (2), and c (3)
of this subdivision 13 or in lieu thereof shall describe the intended
protective mechanism or mechanisms that contains the information required
below:
(1) A provision for access to the site;
(2) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(3) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
d. Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
mitigation bank or in-lieu fee program sponsor of the availability of credits
at the time of application.
14. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
15. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary or permittee-responsible compensatory mitigation areas that
are under a deed restriction, conservation easement, restrictive covenant, or
other land use protective instrument (i.e., protected areas). Such description
and a graphical depiction shall include the nature of the prohibited activities
within the protected areas and the limits of Chesapeake Bay Resource Protection
Areas (RPAs) as field-verified by the applicant, and if available, the limits
as approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830), as additional state or local
requirements may apply if the project is located within an RPA.
16. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual with
the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensation, including water quality enhancements as
replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Upon receipt of an application from the Department of
Transportation for a road or highway construction project by the appropriate
DEQ office, the board has 10 business days, pursuant to § 33.2-258 of the
Code of Virginia, to review the application and either determine the information
requested in subsection B of this section is complete or inform the Department
of Transportation that additional information is required to make the
application complete. Upon receipt of an application from other applicants for
any type of project, the board has 15 days to review the application and either
determine the information requested in subsection B of this section is complete
or inform the applicant that additional information is required to make the
application complete. Pursuant to § 33.2-258 of the Code of Virginia,
coverage under this VWP general permit for Department of Transportation road or
highway construction projects shall be approved or approved with conditions, or
the application shall be denied, within 30 business days of receipt of a
complete application. For all other projects, coverage under this VWP general
permit shall be approved or approved with conditions, or the application shall
be denied, within 45 days of receipt of a complete application. If the board
fails to act within the applicable 30 or 45 days on a complete application,
coverage under this VWP general permit shall be deemed granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under this VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of state waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
E. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within the applicable 10 or 15 days of
receipt, the board shall require the submission of additional information from
the applicant and may suspend processing of any application until such time as
the applicant has supplied the requested information and the application is
complete. Where the applicant becomes aware that he omitted one or more
relevant facts from an application, or submitted incorrect information in an
application or in any report to the board, the applicant shall immediately
submit such facts or the correct information. A revised application with new
information shall be deemed a new application for the purposes of review but
shall not require an additional permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-680-100. VWP general permit.
VWP GENERAL PERMIT NO. WP3 FOR LINEAR TRANSPORTATION PROJECTS
UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE VIRGINIA STATE WATER CONTROL
LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations adopted
pursuant thereto, the board has determined that there is a reasonable assurance
that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of state waters or fish and
wildlife resources. In issuing this VWP general permit, the board has not taken
into consideration the structural stability of any proposed activities.
The permanent or temporary impact of up to two acres of
nontidal wetlands or open water and up to 1,500 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this VWP general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts of up to two acres of nontidal
wetlands or open water and up to 1,500 linear feet of nontidal stream bed.
Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with 9VAC25-680-80.
An application or request for modification to coverage or another VWP permit
application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-680-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species which
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless specifically approved by the Department of
Environmental Quality on a case-by-case basis and as follows: The requirement
to countersink does not apply to extensions or maintenance of existing pipes
and culverts that are not countersunk, floodplain pipe and culverts being
placed above ordinary high water, pipes and culverts being placed on bedrock,
or pipes or culverts required to be placed on slopes 5.0% or greater. Bedrock
encountered during construction must be identified and approved in advance of a
design change where the countersunk condition cannot be met. Pipes and culverts
24 inches or less in diameter shall be countersunk three inches below the
natural stream bed elevations, and pipes and culverts greater than 24 inches shall
be countersunk at least six inches below the natural stream bed elevations.
Hydraulic capacity shall be determined based on the reduced capacity due to the
countersunk position. In all stream crossings appropriate measures shall be
implemented to minimize any disruption of aquatic life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992. These controls shall be placed prior to clearing and grading and
maintained in good working order to minimize impacts to state waters. These
controls shall remain in place until the area is stabilized and shall then be
removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted impact area. All denuded
areas shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with the
project shall be accomplished in a manner that minimizes construction or waste
materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material, to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude unauthorized disturbances to
these surface waters and compensatory mitigation areas during construction. The
permittee shall notify contractors that no activities are to occur in these
marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary
impact area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their
preconstruction elevations and contours with topsoil from the impact area where
practicable within 30 days following the construction at that stream segment.
Streambanks shall be seeded or planted with the same vegetation cover type
originally present, including any necessary, supplemental erosion control
grasses. Invasive species identified on the Department of Conservation and
Recreation's Virginia Invasive Plant Species List shall not be used to the
maximum extent practicable or without prior approval from the Department of
Environmental Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact area where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct his activities in accordance
with the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in Department of Environmental Quality VWP general permit
coverage, and shall ensure that all contractors are aware of the time-of-year
restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted stream flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes, and culverts
shall be constructed to minimize the adverse effects on surface waters to the
maximum extent practicable. Access roads constructed above preconstruction
elevations and contours in surface waters must be bridged, piped, or culverted
to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or similar
structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized by the Department of Environmental Quality. Restoration
shall be the seeding or planting of the same vegetation cover type originally
present, including any necessary supplemental erosion control grasses. Invasive
species identified on the Department of Conservation and Recreation's Virginia
Invasive Plant Species List shall not be used to the maximum extent practicable
or without prior approval from the Department of Environmental Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands not to exceed a total of 90 days, provided
the material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a french drain effect). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control
Handbook, Third Edition, 1992.
2. Riprap aprons for all outfalls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992.
3. For bank protection activities, the structure and backfill
shall be placed as close to the stream bank as practicable. No material shall
be placed in excess of the minimum necessary for erosion protection.
4. All stream bank protection structures shall be located to
eliminate or minimize impacts to vegetated wetlands to the maximum extent
practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
F. Dredging.
1. Dredging depths shall be determined and authorized
according to the proposed use and controlling depths outside the area to be
dredged.
2. Dredging shall be accomplished in a manner that minimizes
disturbance of the bottom and minimizes turbidity levels in the water column.
3. If evidence of impaired water quality, such as a fish kill,
is observed during the dredging, dredging operations shall cease, and the
Department of Environmental Quality shall be notified immediately.
4. Barges used for the transportation of dredge material shall
be filled in such a manner to prevent the overflow of dredged materials.
5. Double handling of dredged material in state waters shall
not be permitted.
6. For navigation channels the following shall apply:
a. A buffer of four times the depth of the dredge cut shall be
maintained between the bottom edge of the design channel and the channelward
limit of wetlands, or a buffer of 15 feet shall be maintained from the dredged
cut and the channelward edge of wetlands, whichever is greater. This landward
limit of buffer shall be flagged and inspected prior to construction.
b. Side slope cuts of the dredging area shall not exceed a
two-horizontal-to-one-vertical slope to prevent slumping of material into the
dredged area.
7. A dredged material management plan for the designated
upland disposal site shall be submitted and approved 30 days prior to initial
dredging activity.
8. Pipeline outfalls and spillways shall be located at
opposite ends of the dewatering area to allow for maximum retention and
settling time. Filter fabric shall be used to line the dewatering area and to
cover the outfall pipe to further reduce sedimentation to state waters.
9. The dredge material dewatering area shall be of adequate
size to contain the dredge material and to allow for adequate dewatering and
settling out of sediment prior to discharge back into state waters.
10. The dredge material dewatering area shall utilize an
earthen berm or straw bales covered with filter fabric along the edge of the
area to contain the dredged material, filter bags, or other similar filtering
practices, any of which shall be properly stabilized prior to placing the
dredged material within the containment area.
11. Overtopping of the dredge material containment berms with
dredge materials shall be strictly prohibited.
G. Stormwater management facilities.
1. Stormwater management facilities shall be installed in
accordance with best management practices and watershed protection techniques
(e.g., vegetated buffers, siting considerations to minimize adverse effects to
aquatic resources, bioengineering methods incorporated into the facility design
to benefit water quality and minimize adverse effects to aquatic resources)
that provide for long-term aquatic resources protection and enhancement, to the
maximum extent practicable.
2. Compensation for unavoidable impacts shall not be allowed
within maintenance areas of stormwater management facilities.
3. Maintenance activities within stormwater management
facilities shall not require additional permit coverage or compensation,
provided that the maintenance activities do not exceed the original contours of
the facility, as approved and constructed, and is accomplished in designated
maintenance areas as indicated in the facility maintenance or design plan or
when unavailable, an alternative plan approved by the Department of
Environmental Quality.
Part II. Construction and Compensation Requirements,
Monitoring and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit. For all
compensation that requires a protective mechanism, including preservation of
surface waters or buffers, the permittee shall record the approved protective
mechanism in the chain of title to the property, or an equivalent instrument for
government-owned lands, and proof of recordation shall be submitted to the
Department of Environmental Quality prior to commencing impacts in surface
waters.
2. Compensation options that may be considered under this VWP
general permit shall meet the criteria in 9VAC25-210-116 and 9VAC25-680-70.
3. The permittee-responsible compensation site or sites
depicted in the conceptual compensation plan submitted with the application
shall constitute the compensation site. A site change may require a modification
to coverage.
4. For compensation involving the purchase of mitigation bank
credits or the purchase of in-lieu fee program credits, the permittee shall not
initiate work in permitted impact areas until documentation of the mitigation
bank credit purchase or of the in-lieu fee program credit purchase has been
submitted to and received by the Department of Environmental Quality.
5. The final compensatory mitigation plan shall be submitted
to and approved by the board prior to a construction activity in permitted
impact areas. The board shall review and provide written comments on the final
plan within 30 days of receipt or it shall be deemed approved. The final plan
as approved by the board shall be an enforceable requirement of any coverage
under this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
a. The final permittee-responsible wetlands compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) A summary of the type and acreage of existing wetland
impacts anticipated during the construction of the compensation site and the
proposed compensation for these impacts; a site access plan; a monitoring plan,
including proposed success criteria, monitoring goals, and the location of
photo-monitoring stations, monitoring wells, vegetation sampling points, and
reference wetlands or streams, if available; an abatement and control plan for
undesirable plant species; an erosion and sedimentation control plan; a
construction schedule; and the final protective mechanism for the protection of
the compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
b. The final permittee-responsible stream compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) An evaluation, discussion, and plan drawing or drawings of
existing conditions on the proposed compensation stream, including the
identification of functional and physical deficiencies for which the measures
are proposed, and summary of geomorphologic measurements (e.g., stream width,
entrenchment ratio, width-depth ratio, sinuosity, slope, substrate, etc.); a
site access plan; a monitoring plan, including a monitoring and reporting
schedule, monitoring design and methodologies for success, proposed success
criteria, location of photo-monitoring stations, vegetation sampling points,
survey points, bank pins, scour chains, and reference streams; an abatement and
control plan for undesirable plant species; an erosion and sedimentation
control plan, if appropriate; a construction schedule; a plan-view drawing
depicting the pattern and all compensation measures being employed; a profile
drawing; cross-sectional drawing or drawings of the proposed compensation
stream; and the final protective mechanism for the protection of the
compensation site or sites, including all surface waters and buffer areas
within its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
6. The following criteria shall apply to permittee-responsible
wetland or stream compensation:
a. The vegetation used shall be native species common to the
area, shall be suitable for growth in local wetland or riparian conditions, and
shall be from areas within the same or adjacent U.S. Department of Agriculture
Plant Hardiness Zone or Natural Resources Conservation Service Land Resource
Region as that of the project site. Planting of woody plants shall occur when
vegetation is normally dormant, unless otherwise approved in the final wetlands
or stream compensation plan or plans.
b. All work in permitted impact areas shall cease if
compensation site construction has not commenced within 180 days of
commencement of project construction, unless otherwise authorized by the board.
c. The Department of Environmental Quality shall be notified
in writing prior to the initiation of construction activities at the
compensation site.
d. Point sources of stormwater runoff shall be prohibited from
entering a wetland compensation site prior to treatment by appropriate best
management practices. Appropriate best management practices may include
sediment traps, grassed waterways, vegetated filter strips, debris screens, oil
and grease separators, or forebays.
e. The success of the compensation shall be based on meeting
the success criteria established in the approved final compensation plan.
f. If the wetland or stream compensation area fails to meet
the specified success criteria in a particular monitoring year, other than the
final monitoring year, the reasons for this failure shall be determined and a
corrective action plan shall be submitted to the Department of Environmental
Quality for approval with or before that year's monitoring report. The
corrective action plan shall contain at minimum the proposed actions, a
schedule for those actions, and a monitoring plan, and shall be implemented by
the permittee in accordance with the approved schedule. Should significant
changes be necessary to ensure success, the required monitoring cycle shall
begin again, with monitoring year one being the year that the changes are
complete as confirmed by the Department of Environmental Quality. If the
wetland or stream compensation area fails to meet the specified success
criteria by the final monitoring year or if the wetland or stream compensation
area has not met the stated restoration goals, reasons for this failure shall
be determined and a corrective action plan, including proposed actions, a
schedule, and a monitoring plan, shall be submitted with the final year
monitoring report for the Department of Environmental Quality approval.
Corrective action shall be implemented by the permittee in accordance with the
approved schedule. Annual monitoring shall be required to continue until two
sequential, annual reports indicate that all criteria have been successfully
satisfied and the site has met the overall restoration goals (e.g., that
corrective actions were successful).
g.The surveyed wetland boundary for the compensation site
shall be based on the results of the hydrology, soils, and vegetation
monitoring data and shall be shown on the site plan. Calculation of total
wetland acreage shall be based on that boundary at the end of the monitoring
cycle. Data shall be submitted by December 31 of the final monitoring year.
h. Herbicides or algicides shall not be used in or immediately
adjacent to the compensation site or sites without prior authorization by the
board. All vegetation removal shall be done by manual means only, unless
authorized by the Department of Environmental Quality in advance.
B. Impact site construction monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs shall remain on
the project site and depict the impact area and the nonimpacted surface waters
immediately adjacent to and downgradient of each impact area. Each photograph
shall be labeled to include the following information: permit number, impact
area number, date and time of the photograph, name of the person taking the
photograph, photograph orientation, and photograph subject description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities
within impact areas. Monthly inspections shall be conducted in the following
areas: all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water areas
within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality
standards to the Department of Environmental Quality in accordance with the
procedures in 9VAC25-680-100 Part II E. Corrective measures and additional
monitoring may be required if water quality standards are not met. Reporting
shall not be required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each station.
C. Permittee-responsible wetland compensation site
monitoring.
1. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites, including invert elevations for all water elevation
control structures and spot elevations throughout the site or sites. Aerial
surveys shall include the variation from actual ground conditions, such as +/-
0.2 feet. Either type of survey shall be certified by a licensed surveyor or by
a registered professional engineer to conform to the design plans. The survey
shall be submitted within 60 days of completing compensation site construction.
Changes or deviations in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
2. Photographs shall be taken at the compensation site or
sites from the permanent markers identified in the final compensation plan, and
established to ensure that the same locations and view directions at the site
or sites are monitored in each monitoring period. These photographs shall be
taken after the initial planting and at a time specified in the final
compensation plan during every monitoring year.
3. Compensation site monitoring shall begin on the first day
of the first complete growing season (monitoring year 1) after wetland
compensation site construction activities, including planting, have been
completed. Monitoring shall be required for monitoring years 1, 2, 3, and 5,
unless otherwise approved by the Department of Environmental Quality. In all
cases, if all success criteria have not been met in the final monitoring year,
then monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
4. The establishment of wetland hydrology shall be measured
weekly during the growing season, with the location and number of monitoring
wells, and frequency of monitoring for each site, set forth in the final
monitoring plan. Hydrology monitoring well data shall be accompanied by
precipitation data, including rainfall amounts, either from on site or from the
closest weather station. Once the wetland hydrology success criteria have been
satisfied for a particular monitoring year, monitoring may be discontinued for
the remainder of that monitoring year following Department of Environmental
Quality approval. After a period of three monitoring years, the permittee may
request that hydrology monitoring be discontinued, providing that adequate hydrology
has been established and maintained. Hydrology monitoring shall not be
discontinued without written approval from the Department of Environmental
Quality.
5. The presence of hydric soils or soils under hydric
conditions shall be evaluated in accordance with the final compensation plan.
6. The establishment of wetland vegetation shall be in
accordance with the final compensation plan. Monitoring shall take place in
August, September, or October during the growing season of each monitoring
year, unless otherwise authorized in the monitoring plan.
7. The presence of undesirable plant species shall be
documented.
8. All wetland compensation monitoring reports shall be
submitted in accordance with 9VAC25-680-100 Part II E 6.
D. Permittee-responsible stream compensation and monitoring.
1. Riparian buffer restoration activities shall be detailed in
the final compensation plan and shall include, as appropriate, the planting of
a variety of native species currently growing in the site area, including appropriate
seed mixtures and woody species that are bare root, balled, or burlapped. A
minimum buffer width of 50 feet, measured from the top of the stream bank at
bankfull elevation landward on both sides of the stream, shall be required
where practical.
2. The installation of root wads, vanes, and other instream
structures, shaping of the stream banks and channel relocation shall be
completed in the dry whenever practicable.
3. Livestock access to the stream and designated riparian
buffer shall be limited to the greatest extent practicable.
4. Stream channel restoration activities shall be conducted in
the dry or during low flow conditions. When site conditions prohibit access
from the streambank or upon prior authorization from the Department of
Environmental Quality, heavy equipment may be authorized for use within the
stream channel.
5. Photographs shall be taken at the compensation site from
the vicinity of the permanent photo-monitoring stations identified in the final
compensation plan. The photograph orientation shall remain constant during all
monitoring events. At a minimum, photographs shall be taken from the center of
the stream, facing downstream, with a sufficient number of photographs to view
the entire length of the restoration site. Photographs shall document the
completed restoration conditions. Photographs shall be taken prior to site
activities, during instream and riparian compensation construction activities,
within one week of completion of activities, and during at least one day of each
monitoring year to depict restored conditions.
6. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites. Aerial surveys shall include the variation from
actual ground conditions, such as +/- 0.2 feet. The survey shall be certified
by the licensed surveyor or by a registered, professional engineer to conform
to the design plans. The survey shall be submitted within 60 days of completing
compensation site construction. Changes or deviations from the final
compensation plans in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
7. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after stream compensation
site constructions activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1 and 2, unless otherwise
approved by the Department of Environmental Quality. In all cases, if all
success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
8. All stream compensation site monitoring reports shall be
submitted in accordance with 9VAC25-680-100 Part II E 6.
E. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first permitted
impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all
authorized impact areas.
5. The Department of Environmental Quality shall be notified
in writing prior to the initiation of activities at the permittee-responsible
compensation site. The notification shall include a projected schedule of
activities and construction completion.
6. All permittee-responsible compensation site monitoring
reports shall be submitted annually by December 31, with the exception of the
last year, in which case the report shall be submitted at least 60 days prior
to the expiration of the general permit, unless otherwise approved by the
Department of Environmental Quality.
a. All wetland compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations, vegetative and soil monitoring
stations, monitoring wells, and wetland zones.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Analysis of all hydrology information, including monitoring
well data, precipitation data, and gauging data from streams or other open
water areas, as set forth in the final compensation plan.
(5) Evaluation of hydric soils or soils under hydric
conditions, as appropriate.
(6) Analysis of all vegetative community information,
including woody and herbaceous species, both planted and volunteers, as set
forth in the final compensation plan.
(7) Photographs labeled with the permit number, the name of
the compensation site, the photo-monitoring station number, the photograph
orientation, the date and time of the photograph, the name of the person taking
the photograph, and a brief description of the photograph subject. This
information shall be provided as a separate attachment to each photograph, if
necessary. Photographs taken after the initial planting shall be included in
the first monitoring report after planting is complete.
(8) Discussion of wildlife or signs of wildlife observed at
the compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site.
(10) Discussion of corrective measures or maintenance
activities to control undesirable species, to repair damaged water control
devices, or to replace damaged planted vegetation.
(11) Corrective action plan that includes proposed actions, a
schedule, and monitoring plan.
b. All stream compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations and monitoring stations.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Evaluation and discussion of the monitoring results in
relation to the success criteria and overall goals of compensation.
(5) Photographs shall be labeled with the permit number, the
name of the compensation site, the photo-monitoring station number, the
photograph orientation, the date and time of the photograph, the name of the
person taking the photograph, and a brief description of the photograph
subject. Photographs taken prior to compensation site construction activities,
during instream and riparian restoration activities, and within one week of
completion of activities shall be included in the first monitoring report.
(6) Discussion of alterations, maintenance, or major storm
events resulting in significant change in stream profile or cross section, and
corrective actions conducted at the stream compensation site.
(7) Documentation of undesirable plant species and summary of
abatement and control measures.
(8) Summary of wildlife or signs of wildlife observed at the
compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site, and as-built survey, if applicable.
(10) Corrective action plan that includes proposed actions, a
schedule and monitoring plan.
(11) Additional submittals that were approved by the
Department of Environmental Quality in the final compensation plan.
7. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are
encountered which require debris removal or involve potentially toxic
substance. Measures to remove the obstruction, material, or toxic substance or
to change the location of a structure are prohibited until approved by the
Department of Environmental Quality.
8. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate
Department of Environmental Quality regional office shall be notified; otherwise,
the Department of Emergency Management shall be notified at 1-800-468-8892.
9. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
10. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
11. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are
significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
that may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause
for revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with
this VWP general permit constitutes compliance with the VWP permit requirements
of the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. The issuance of this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credentials,
the permittee shall allow the board or any duly authorized agent of the board,
at reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility,
coverage, or liability, including liability for compliance with the
requirements of enforcement activities related to the authorized activity.
2. The board does not within 15 days notify the current and
new permittees of its intent to modify or revoke and reissue the VWP general
permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-680-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of the
Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of
completing or canceling all authorized activities requiring notification under
9VAC25-680-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The director
may accept this termination of coverage on behalf of the board. The permittee
shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage, nor does it allow me to resume the authorized activities
without reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department
of Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit authorization or
coverage, nor does it allow me to resume the authorized activities without
reapplication and coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been necessary
to halt or reduce the activity for which VWP general permit coverage has been
granted in order to maintain compliance with the conditions of the VWP general
permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board any information
that the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also furnish
to the board, upon request, copies of records required to be kept by the
permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage under the VWP general
permit, for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or industrial
consumption, for recreation, or for other uses; or
4. On and after August 1, 2001, for linear transportation
projects of the Virginia Department of Transportation, or on and after October
1, 2001, for all other projects, conduct the following activities in a wetland:
a. New activities to cause draining that significantly alters
or degrades existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-680-27.
9VAC25-690-50. Notification.
A. Notification to the board will be required prior to
commencing construction as follows:
1. An application for coverage for proposed, permanent
nontidal wetland or open water impacts greater than one-tenth acre or for
proposed permanent nontidal stream bed impacts greater than 300 linear feet
shall include all information pursuant to 9VAC25-690-60 B. Compensatory
mitigation may be required for all permanent impacts.
2. An application for coverage for proposed, permanent
nontidal wetland or open water impacts up to one-tenth acre or for proposed,
permanent nontidal stream bed impacts up to 300 linear feet shall be submitted
in accordance with either subdivision 2 a or 2 b of this subsection:
a. For any proposed project in wetlands, open water, streams,
or compensatory mitigation sites that are under a deed restriction,
conservation easement, declaration of restrictive covenant, or other land use
protective instrument (hereafter "protected areas"), when such
restriction, easement, covenant, or instrument is the result of a federal or
state permit action and is specific to activities in wetlands and compensatory
mitigation sites, the application shall include all of the information required
by 9VAC25-690-60 B. Compensatory mitigation may be required for all permanent
impacts.
b. For all other projects, the application shall include the
information required by subdivisions 1 through 7, 11, 12, 15, and 16 of
9VAC25-690-60 B, and documentation that verifies the quantity and type of
impacts. Compensatory mitigation may be required for all permanent impacts once
the notification limits of one-tenth acre wetlands or open water, or 300 linear
feet of stream bed, are exceeded, and if required, the application shall
include the information in 9VAC25-690-60 B 13.
B. The Department of Environmental Quality-approved
application forms shall serve as an application for a VWP permit or VWP general
permit coverage.
C. The board will determine whether the proposed activity
requires coordination with the U.S. Fish and Wildlife Service, the Virginia
Department of Conservation and Recreation, the Virginia Department of
Agriculture and Consumer Services and the Virginia Department of Game and
Inland Fisheries Wildlife Resources regarding the presence of federal
or state listed threatened and endangered species or designated critical
habitat. Based upon consultation with these agencies, the board may deny
application for coverage under this general permit. The applicant may also
consult with these agencies prior to submitting an application. Species or
habitat information that the applicant provides will assist the Department of
Environmental Quality in reviewing and processing the application.
9VAC25-690-60. Application.
A. The applicant shall file a complete application in
accordance with 9VAC25-690-50 and this section for coverage under this VWP
general permit for impacts to surface waters from development and certain
mining activities.
B. A complete application for VWP general permit coverage, at
a minimum, consists of the following information, if applicable to the project:
1. The applicant's legal name, mailing address, telephone
number, and if applicable, electronic mail address and fax number.
2. If different from the applicant, legal name, mailing
address, telephone number, and if applicable, electronic mail address and fax
number of property owner.
3. If applicable, the authorized agent's name, mailing
address, telephone number, and if applicable, fax number and electronic mail
address.
4. The existing VWP general permit tracking number, if
applicable.
5. Project name and proposed project schedule.
6. The following information for the project site location,
and any related permittee-responsible compensatory mitigation site:
a. The physical street address, nearest street, or nearest
route number; city or county; zip code; and if applicable, parcel number of the
site or sites.
b. Name of the impacted water body or water bodies, or
receiving waters, as applicable, at the site or sites.
c. The latitude and longitude to the nearest second at the
center of the site or sites.
d. The fourth order subbasin, as defined by the hydrologic
unit boundaries of the National Watershed Boundary Dataset, for the site or
sites.
e. A detailed map depicting the location of the site or sites,
including the project boundary and all existing preservation areas on the site
or sites. The map (e.g., a U.S. Geologic Survey topographic quadrangle map)
should be of sufficient detail to easily locate the site or sites for
inspection.
7. A narrative description of the project, including project
purpose and need.
8. Plan-view drawing or drawings of the project site
sufficient to assess the project, including at a minimum the following:
a. North arrow, graphic scale, and existing and proposed
topographic or bathymetric contours.
b. Limits of proposed impacts to surface waters.
c. Location of all existing and proposed structures.
d. All delineated wetlands and all jurisdictional surface
waters on the site, including the Cowardin classification (i.e., emergent,
scrub-shrub, or forested) for those surface waters and waterway name, if
designated; ebb and flood or direction of flow; and ordinary high water mark in
nontidal areas.
e. The limits of Chesapeake Bay Resource Protection Areas
(RPAs) as field-verified by the applicant, and if available, the limits as
approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830).
f. The limits of any areas that are under a deed restriction,
conservation easement, restrictive covenant, or other land use protective
instrument (i.e., protected areas).
9. Cross-sectional and profile drawing or drawings.
Cross-sectional drawing or drawings of each proposed impact area shall include
at a minimum a graphic scale, existing structures, existing and proposed
elevations, limits of surface water areas, ebb and flood or direction of flow
(if applicable), ordinary high water mark in nontidal areas, impact limits, and
location of all existing and proposed structures. Profile drawing or drawings
with this information may be required on a case-by-case basis to demonstrate
minimization of impacts. Any application that proposes piping or culverting
stream flows shall provide a longitudinal profile of the pipe or culvert
position and stream bed thalweg, or shall provide spot elevations of the stream
thalweg at the beginning and end of the pipe or culvert, extending to a minimum
of 10 feet beyond the limits of proposed impact.
10. Materials assessment. Upon request by the board, the
applicant shall provide evidence or certification that the material is free
from toxic contaminants prior to disposal or that the dredging activity will
not cause or contribute to a violation of water quality standards during
dredging. The applicant may be required to conduct grain size and composition
analyses, tests for specific parameters or chemical constituents, or elutriate tests
on the dredge material.
11. A narrative description of all impacts proposed to surface
waters, including the type of activity to be conducted in surface waters and
any physical alteration to surface waters. Surface water impacts shall be
identified as follows:
a. Wetland impacts identified according to their Cowardin
classification (i.e., emergent, scrub-shrub, or forested); and for each
classification, the individual impacts quantified in square feet to the nearest
whole number, cumulatively summed in square feet, and then the sum converted to
acres and rounded to two decimal places using commonly accepted arithmetic
principles of rounding.
b. Individual stream impacts (i) quantified by length in
linear feet to the nearest whole number and by average width in feet to the
nearest whole number; (ii) quantified in square feet to the nearest whole
number; and (iii) when compensatory mitigation is required, the impacts
identified according to the assessed type using the Unified Stream Methodology.
c. Open water impacts identified according to their Cowardin
classification, and for each type, the individual impacts quantified in square
feet to the nearest whole number, cumulatively summed in square feet, and then
the sum converted to acres and rounded to two decimal places using commonly
accepted arithmetic principles of rounding.
d. A copy of the approved jurisdictional determination when
available, or when unavailable, (i) the preliminary jurisdictional
determination from the U.S. Army Corps of Engineers (USACE), U.S. Department of
Agriculture Natural Resources Conservation Service (NRCS), or DEQ or (ii) other
correspondence from the USACE, NRCS, or DEQ indicating approval of the boundary
of applicable jurisdictional surface waters, including wetlands data sheets if
applicable.
e. A delineation map that (i) depicts the geographic area or
areas of all surface water boundaries delineated in accordance with
9VAC25-210-45 and confirmed in accordance with the jurisdictional determination
process; (ii) identifies such areas in accordance with subdivisions 11 a, 11 b,
and 11 c of this subsection; and (iii) quantifies and identifies any other
surface waters according to their Cowardin classification (i.e., emergent,
scrub-shrub, or forested) or similar terminology.
12. An alternatives analysis for the proposed project
detailing the specific on-site measures taken during project design and
development to first avoid and then minimize impacts to surface waters to the
maximum extent practicable in accordance with the Guidelines for Specification
of Disposal Sites for Dredged or Fill Material, 40 CFR Part 230. Avoidance and
minimization includes, but is not limited to, the specific on-site measures
taken to reduce the size, scope, configuration, or density of the proposed
project, including review of alternative sites where required for the project,
which would avoid or result in less adverse impact to surface waters, and
documentation demonstrating the reason the applicant determined less damaging
alternatives are not practicable. The analysis shall demonstrate to the
satisfaction of the board that avoidance and minimization opportunities have
been identified and measures have been applied to the proposed activity such
that the proposed activity in terms of impacts to state waters and fish and
wildlife resources is the least environmentally damaging practicable
alternative.
13. A compensatory mitigation plan to achieve no net loss of
wetland acreage and functions or stream functions and water quality benefits.
a. If permittee-responsible compensation is proposed for
wetland impacts, a conceptual wetland compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of replacement of wetland
acreage and functions; (ii) a detailed location map including latitude and
longitude to the nearest second and the fourth order subbasin, as defined by
the hydrologic unit boundaries of the National Watershed Boundary Dataset, at the
center of the site; (iii) a description of the surrounding land use; (iv) a
hydrologic analysis including a draft water budget for nontidal areas based on
expected monthly inputs and outputs that will project water level elevations
for a typical year, a dry year, and a wet year; (v) groundwater elevation data,
if available, or the proposed location of groundwater monitoring wells to
collect these data; (vi) wetland delineation confirmation, data sheets, and
maps for existing surface water areas on the proposed site or sites; (vii) a
conceptual grading plan; (viii) a conceptual planting scheme including
suggested plant species and zonation of each vegetation type proposed; (ix) a
description of existing soils including general information on both topsoil and
subsoil conditions, permeability, and the need for soil amendments; (x) a draft
design of any water control structures; (xi) inclusion of buffer areas; (xii) a
description of any structures and features necessary for the success of the
site; (xiii) the schedule for compensatory mitigation site construction; and
(xiv) measures for the control of undesirable species.
b. If permittee-responsible compensation is proposed for
stream impacts, a conceptual stream compensatory mitigation plan must be
submitted in order for an application to be deemed complete and shall include
at a minimum (i) the goals and objectives in terms of water quality benefits
and replacement of stream functions; (ii) a detailed location map including the
latitude and longitude to the nearest second and the fourth order subbasin, as
defined by the hydrologic unit boundaries of the National Watershed Boundary
Dataset, at the center of the site; (iii) a description of the surrounding land
use; (iv) the proposed stream segment restoration locations including plan view
and cross-sectional drawings; (v) the stream deficiencies that need to be
addressed; (vi) data obtained from a DEQ-approved, stream impact assessment
methodology such as the Unified Stream Methodology; (vii) the proposed restoration
measures to be employed including channel measurements, proposed design flows,
types of instream structures, and conceptual planting scheme; (viii) reference
stream data, if available; (ix) inclusion of buffer areas; (x) schedule for
restoration activities; and (xi) measures for the control of undesirable
species.
c. For any permittee-responsible compensatory mitigation, the
conceptual compensatory mitigation plan shall also include a draft of the
intended protective mechanism or mechanisms, in accordance with 9VAC25-210-116
B 2, such as, but not limited to, a conservation easement held by a third party
in accordance with the Virginia Conservation Easement Act (§ 10.1-1009 et seq.
of the Code of Virginia) or the Virginia Open-Space Land Act (§ 10.1-1700 et
seq. of the Code of Virginia), a duly recorded declaration of restrictive
covenants, or other protective instrument. The draft intended protective
mechanism shall contain the information in subdivisions c (1), c (2), and c (3)
of this subdivision 13 or in lieu thereof shall describe the intended
protective mechanism or mechanisms that contains the information required
below:
(1) A provision for access to the site;
(2) The following minimum restrictions: no ditching, land
clearing, or discharge of dredge or fill material, and no activity in the area
designated as compensatory mitigation area with the exception of maintenance;
corrective action measures; or DEQ-approved activities described in the
approved final compensatory mitigation plan or long-term management plan; and
(3) A long-term management plan that identifies a long-term
steward and adequate financial assurances for long-term management in
accordance with the current standard for mitigation banks and in-lieu fee
program sites, except that financial assurances will not be necessary for
permittee-responsible compensation provided by government agencies on
government property. If approved by DEQ, permittee-responsible compensation on
government property and long-term protection may be provided through federal
facility management plans, integrated natural resources management plans, or
other alternate management plans submitted by a government agency or public
authority.
d. Any compensatory mitigation plan proposing the purchase of
mitigation bank or in-lieu fee program credits shall include the number and
type of credits proposed to be purchased and documentation from the approved
bank or in-lieu fee program sponsor of the availability of credits at the time
of application.
14. Permit application fee. The applicant will be notified by
the board as to the appropriate fee for the project in accordance with
9VAC25-20.
15. A written description and a graphical depiction
identifying all upland areas including buffers, wetlands, open water, other
surface waters, and compensatory mitigation areas located within the proposed
project boundary or permittee-responsible compensatory mitigation areas that
are under a deed restriction, conservation easement, restrictive covenant, or
other land use protective instrument (i.e., protected areas). Such description
and a graphical depiction shall include the nature of the prohibited activities
within the protected areas and the limits of Chesapeake Bay Resource Protection
Areas (RPAs) as field-verified by the applicant, and if available, the limits
as approved by the locality in which the project site is located, unless the
proposed use is exempt from the Chesapeake Bay Preservation Area Designation
and Management Regulations (9VAC25-830), as additional state or local requirements
may apply if the project is located within an RPA.
16. Signature page that has been signed, dated, and certified
by the applicant in accordance with 9VAC25-210-100. If the applicant is a
business or other organization, the signature must be made by an individual
with the authority to bind the business or organization, and the title of the
signatory must be provided. The application signature page, either on the copy
submitted to the Virginia Marine Resources Commission or to DEQ, must have an
original signature. Electronic submittals containing the original signature
page, such as that contained in a scanned document file, are acceptable.
C. An analysis of the functions of wetlands proposed to be
impacted may be required by DEQ. When required, the method selected for the
analysis shall assess water quality or habitat metrics and shall be coordinated
with DEQ in advance of conducting the analysis.
1. No analysis shall be required when:
a. Wetland impacts per each single and complete project total
1.00 acre or less; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at standard mitigation ratios of
2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for emergent, or higher.
2. Analysis shall be required when wetland impacts per each
single and complete project total 1.01 acres or more and when any of the
following applies:
a. The proposed compensatory mitigation consists of
permittee-responsible compensation, including water quality enhancements as
replacement for wetlands; or
b. The proposed compensatory mitigation consists of purchasing
mitigation bank or in-lieu fee program credits at less than the standard
mitigation ratios of 2:1 for forest, 1.5:1 for scrub-shrub, and 1:1 for
emergent.
D. Upon receipt of an application by the appropriate DEQ
office, the board has 15 days to review the application and either determine
the information requested in subsection B of this section is complete or inform
the applicant that additional information is required to make the application
complete. Coverage under this VWP general permit shall be approved or approved
with conditions, or the application shall be denied, within 45 days of receipt
of a complete application. If the board fails to act within 45 days on a
complete application, coverage under this VWP permit general permit shall be
deemed granted.
1. In evaluating the application, the board shall make an
assessment of the impacts associated with the project in combination with other
existing or proposed impacts. Application for coverage under this VWP general
permit shall be denied if the cumulative impacts will cause or contribute to a
significant impairment of state waters or fish and wildlife resources.
2. The board may place additional requirements on a project in
order to grant coverage under this VWP general permit. However, the
requirements must be consistent with this chapter.
E. Incomplete application.
1. Where an application for general permit coverage
is not accepted as complete by the board within 15 days of receipt, the board
shall require the submission of additional information from the applicant and
may suspend processing of any application until such time as the applicant has
supplied the requested information and the application is complete. Where the
applicant becomes aware that he omitted one or more relevant facts from an
application, or submitted incorrect information in an application or in any
report to the board, the applicant shall immediately submit such facts or the
correct information. A revised application with new information shall be deemed
a new application for purposes of review but shall not require an additional
permit application fee.
2. An incomplete permit application for
general permit coverage may be administratively withdrawn from processing
by the board for failure to provide the required information after 60 days from
the date of the latest written information request made by the board. The
board shall provide (i) notice to the applicant and (ii) an opportunity for an
informal fact-finding proceeding when administratively withdrawing an
incomplete application. Resubmittal of an application for the same or similar
project, after such time that the original permit application was
administratively withdrawn, shall require submittal of an additional permit
application fee.
3. An applicant may request a suspension of application
review by the board, but requesting a suspension shall not preclude the board
from administratively withdrawing an incomplete application. Resubmittal of
a permit application for the same or similar project, after such time that the
original permit application was administratively withdrawn, shall require
submittal of an additional permit application fee.
9VAC25-690-100. VWP general permit.
VWP GENERAL PERMIT NO. WP4 FOR IMPACTS FROM DEVELOPMENT AND
CERTAIN MINING ACTIVITIES UNDER THE VIRGINIA WATER PROTECTION PERMIT AND THE
VIRGINIA STATE WATER CONTROL LAW
Effective date: August 2, 2016
Expiration date: August 1, 2026
In compliance with § 401 of the Clean Water Act, as
amended (33 USC § 1341) and the State Water Control Law and regulations adopted
pursuant thereto, the board has determined that there is a reasonable assurance
that this VWP general permit, if complied with, will protect instream
beneficial uses, will not violate applicable water quality standards, and will
not cause or contribute to a significant impairment of state waters or fish and
wildlife resources. In issuing this VWP general permit, the board has not taken
into consideration the structural stability of any proposed activities.
The permanent or temporary impact of up to two acres of
nontidal wetlands or open water and up to 1,500 linear feet of nontidal stream
bed shall be subject to the provisions of the VWP general permit set forth
herein; any requirements in coverage granted under this general permit; the
Clean Water Act, as amended; and the State Water Control Law and regulations
adopted pursuant to it.
Part I. Special Conditions.
A. Authorized activities.
1. The activities authorized by this chapter shall not cause
more than the permanent or temporary impacts of up to two acres of nontidal
wetlands or open water and up to 1,500 linear feet of nontidal stream bed.
Additional permit requirements as stipulated by the board in the coverage
letter, if any, shall be enforceable conditions of this permit.
2. Any changes to the authorized permanent impacts to surface
waters shall require a notice of planned change in accordance with
9VAC25-690-80. An application or request for modification to coverage or
another VWP permit application may be required.
3. Any changes to the authorized temporary impacts to surface
waters shall require written notification to and approval from the Department
of Environmental Quality in accordance with 9VAC25-690-80 prior to initiating
the impacts and restoration to preexisting conditions in accordance with the
conditions of this permit.
4. Modification to compensation requirements may be approved
at the request of the permittee when a decrease in the amount of authorized
surface waters impacts occurs, provided that the adjusted compensation meets
the initial compensation goals.
B. Overall conditions.
1. The activities authorized by this VWP general permit shall
be executed in a manner so as to minimize adverse impacts on instream
beneficial uses as defined in § 62.1-10 (b) of the Code of Virginia.
2. No activity may substantially disrupt the movement of
aquatic life indigenous to the water body, including those species which
normally migrate through the area, unless the primary purpose of the activity
is to impound water. Pipes and culverts placed in streams must be installed to
maintain low flow conditions and shall be countersunk at both inlet and outlet
ends of the pipe or culvert, unless otherwise specifically approved by the
Department of Environmental Quality on a case-by-case basis, and as follows:
The requirement to countersink does not apply to extensions or maintenance of
existing pipes and culverts that are not countersunk, floodplain pipes and
culverts being placed above ordinary high water, pipes and culverts being
placed on bedrock, or pipes and culverts required to be placed on slopes 5.0%
or greater. Bedrock encountered during construction must be identified and
approved in advance of a design change where the countersunk condition cannot
be met. Pipes and culverts 24 inches or less in diameter shall be countersunk
three inches below the natural stream bed elevations, and pipes and culverts
greater than 24 inches shall be countersunk at least six inches below the
natural stream bed elevations. Hydraulic capacity shall be determined based on
the reduced capacity due to the countersunk position. In all stream crossings
appropriate measures shall be implemented to minimize any disruption of aquatic
life movement.
3. Wet or uncured concrete shall be prohibited from entry into
flowing surface waters, unless the area is contained within a cofferdam and the
work is performed in the dry or unless otherwise approved by the Department of
Environmental Quality. Excess or waste concrete shall not be disposed of in
flowing surface waters or washed into flowing surface waters.
4. All fill material shall be clean and free of contaminants
in toxic concentrations or amounts in accordance with all applicable laws and
regulations.
5. Erosion and sedimentation controls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992, or for mining activities covered by this general permit, the
standards issued by the Virginia Department of Mines, Minerals and Energy that
are effective as those in the Virginia Erosion and Sediment Control Handbook,
Third Edition, 1992. These controls shall be placed prior to clearing and
grading and maintained in good working order to minimize impacts to state
waters. These controls shall remain in place until the area is stabilized and
shall then be removed.
6. Exposed slopes and streambanks shall be stabilized
immediately upon completion of work in each permitted impact area. All denuded
areas shall be properly stabilized in accordance with the Virginia Erosion and
Sediment Control Handbook, Third Edition, 1992.
7. All construction, construction access (e.g., cofferdams,
sheetpiling, and causeways) and demolition activities associated with
theproject shall be accomplished in a manner that minimizes construction or
waste materials from entering surface waters to the maximum extent practicable,
unless authorized by this VWP general permit.
8. No machinery may enter flowing waters, unless authorized by
this VWP general permit or approved prior to entry by the Department of
Environmental Quality.
9. Heavy equipment in temporarily-impacted wetland areas shall
be placed on mats, geotextile fabric, or other suitable material to minimize
soil disturbance to the maximum extent practicable. Equipment and materials
shall be removed immediately upon completion of work.
10. All nonimpacted surface waters and compensatory mitigation
areas within 50 feet of authorized activities and within the project or
right-of-way limits shall be clearly flagged or marked for the life of the
construction activity at that location to preclude unauthorized disturbances to
these surface waters and compensatory mitigation areas during construction. The
permittee shall notify contractors that no activities are to occur in these
marked surface waters.
11. Temporary disturbances to surface waters during
construction shall be avoided and minimized to the maximum extent practicable.
All temporarily disturbed wetland areas shall be restored to preexisting
conditions within 30 days of completing work at each respective temporary
impact area, which shall include reestablishing preconstruction elevations and
contours with topsoil from the impact area where practicable and planting or
seeding with appropriate wetland vegetation according to cover type (i.e.,
emergent, scrub-shrub, or forested). The permittee shall take all appropriate
measures to promote and maintain revegetation of temporarily disturbed wetland
areas with wetland vegetation through the second year post-disturbance. All
temporarily impacted streams and streambanks shall be restored to their
preconstruction elevations and contours with topsoil from the impact area where
practicable within 30 days following the construction at that stream segment.
Streambanks shall be seeded or planted with the same vegetation cover type
originally present, including any necessary supplemental erosion control
grasses. Invasive species identified on the Department of Conservation and
Recreation's Virginia Invasive Plant Species List shall not be used to the
maximum extent practicable or without prior approval from the Department of
Environmental Quality.
12. Materials (including fill, construction debris, and
excavated and woody materials) temporarily stockpiled in wetlands shall be
placed on mats or geotextile fabric, immediately stabilized to prevent entry
into state waters, managed such that leachate does not enter state waters, and
completely removed within 30 days following completion of that construction
activity. Disturbed areas shall be returned to preconstruction elevations and
contours with topsoil from the impact area where practicable; restored within
30 days following removal of the stockpile; and restored with the same
vegetation cover type originally present, including any necessary supplemental
erosion control grasses. Invasive species identified on the Department of
Conservation and Recreation's Virginia Invasive Plant Species List shall not be
used to the maximum extent practicable or without prior approval from the
Department of Environmental Quality.
13. Continuous flow of perennial springs shall be maintained
by the installation of spring boxes, french drains, or other similar
structures.
14. The permittee shall employ measures to prevent spills of
fuels or lubricants into state waters.
15. The permittee shall conduct activities in accordance with
the time-of-year restrictions recommended by the Virginia Department of Game
and Inland Fisheries Wildlife Resources, the Virginia Marine
Resources Commission, or other interested and affected agencies, as contained,
when applicable, in Department of Environmental Quality VWP general permit
coverage, and shall ensure that all contractors are aware of the time-of-year
restrictions imposed.
16. Water quality standards shall not be violated as a result
of the construction activities.
17. If stream channelization or relocation is required, all
work in surface waters shall be done in the dry, unless otherwise authorized by
the Department of Environmental Quality, and all flows shall be diverted around
the channelization or relocation area until the new channel is stabilized. This
work shall be accomplished by leaving a plug at the inlet and outlet ends of
the new channel during excavation. Once the new channel has been stabilized,
flow shall be routed into the new channel by first removing the downstream plug
and then the upstream plug. The rerouted stream flow must be fully established
before construction activities in the old stream channel can begin.
C. Road crossings.
1. Access roads and associated bridges, pipes, and culverts
shall be constructed to minimize the adverse effects on surface waters to the
maximum extent practicable. Access roads constructed above preconstruction
elevations and contours in surface waters must be bridged, piped, or culverted
to maintain surface flows.
2. Installation of road crossings shall occur in the dry via
the implementation of cofferdams, sheetpiling, stream diversions, or similar
structures.
D. Utility lines.
1. All utility line work in surface waters shall be performed
in a manner that minimizes disturbance, and the area must be returned to its
preconstruction elevations and contours with topsoil from the impact area where
practicable and restored within 30 days of completing work in the area, unless
otherwise authorized the Department of Environmental Quality. Restoration shall
be the seeding of planting of the same vegetation cover type originally
present, including any necessary supplemental erosion control grasses. Invasive
specifies identified on the Department of Conservation and Recreation's
Virginia Invasive Plant Species List shall not be used to the maximum extent
practicable or without prior approval from the Department of Environmental
Quality.
2. Material resulting from trench excavation may be
temporarily sidecast into wetlands not to exceed a total of 90 days, provided
the material is not placed in a manner such that it is dispersed by currents or
other forces.
3. The trench for a utility line cannot be constructed in a
manner that drains wetlands (e.g., backfilling with extensive gravel layers
creating a french drain effect.). For example, utility lines may be backfilled
with clay blocks to ensure that the trench does not drain surface waters
through which the utility line is installed.
E. Stream modification and stream bank protection.
1. Riprap bank stabilization shall be of an appropriate size
and design in accordance with the Virginia Erosion and Sediment Control
Handbook, Third Edition, 1992.
2. Riprap apron for all outfalls shall be designed in
accordance with the Virginia Erosion and Sediment Control Handbook, Third
Edition, 1992.
3. For stream bank protection activities, the structure and
backfill shall be placed as close to the stream bank as practicable. No
material shall be placed in excess of the minimum necessary for erosion
protection.
4. All stream bank protection structures shall be located to
eliminate or minimize impacts to vegetated wetlands to the maximum extent
practicable.
5. Asphalt and materials containing asphalt or other toxic
substances shall not be used in the construction of submerged sills or
breakwaters.
6. Redistribution of existing stream substrate for the purpose
of erosion control is prohibited.
7. No material removed from the stream bottom shall be
disposed of in surface waters, unless otherwise authorized by this VWP general
permit.
F. Dredging.
1. Dredging depths shall be determined and authorized
according to the proposed use and controlling depths outside the area to be
dredged.
2. Dredging shall be accomplished in a manner that minimizes
disturbance of the bottom and minimizes turbidity levels in the water column.
3. If evidence of impaired water quality, such as a fish kill,
is observed during the dredging, dredging operations shall cease, and the
Department of Environmental Quality shall be notified immediately.
4. Barges used for the transportation of dredge material shall
be filled in such a manner to prevent the overflow of dredged materials.
5. Double handling of dredged material in state waters shall
not be permitted.
6. For navigation channels the following shall apply:
a. A buffer of four times the depth of the dredge cut shall be
maintained between the bottom edge of the design channel and the channelward
limit of wetlands, or a buffer of 15 feet shall be maintained from the dredged
cut and the channelward edge of wetlands, whichever is greater. This landward
limit of buffer shall be flagged and inspected prior to construction.
b. Side slope cuts of the dredging area shall not exceed a
two-horizontal-to-one-vertical slope to prevent slumping of material into the
dredged area.
7. A dredged material management plan for the designated
upland disposal site shall be submitted and approved 30 days prior to initial
dredging activity.
8. Pipeline outfalls and spillways shall be located at
opposite ends of the dewatering area to allow for maximum retention and
settling time. Filter fabric shall be used to line the dewatering area and to
cover the outfall pipe to further reduce sedimentation to state waters.
9. The dredge material dewatering area shall be of adequate
size to contain the dredge material and to allow for adequate dewatering and
settling out of sediment prior to discharge back into state waters.
10. The dredge material dewatering area shall utilize an
earthen berm or straw bales covered with filter fabric along the edge of the
area to contain the dredged material, filter bags, or other similar filtering
practices, any of which shall be properly stabilized prior to placing the
dredged material within the containment area.
11. Overtopping of the dredge material containment berms with
dredge materials shall be strictly prohibited.
G. Stormwater management facilities.
1. Stormwater management facilities shall be installed in accordance
with best management practices and watershed protection techniques (e.g.,
vegetated buffers, siting considerations to minimize adverse effects to aquatic
resources, bioengineering methods incorporated into the facility design to
benefit water quality and minimize adverse effects to aquatic resources) that
provide for long-term aquatic resources protection and enhancement, to the
maximum extent practicable.
2. Compensation for unavoidable impacts shall not be allowed
within maintenance areas of stormwater management facilities.
3. Maintenance activities within stormwater management
facilities shall not require additional permit coverage or compensation
provided that the maintenance activities do not exceed the original contours of
the facility, as approved and constructed, and is accomplished in designated
maintenance areas as indicated in the facility maintenance or design plan or
when unavailable, an alternative plan approved by the Department of
Environmental Quality.
Part II. Construction and Compensation Requirements,
Monitoring, and Reporting.
A. Minimum compensation requirements.
1. The permittee shall provide any required compensation for
impacts in accordance with the conditions in this VWP general permit, the
coverage letter, and the chapter promulgating the general permit. For all
compensation that requires a protective mechanism, including preservation of
surface waters or buffers, the permittee shall record the approved protective
mechanism in the chain of title to the property, or an equivalent instrument
for government-owned lands, and proof of recordation shall be submitted to the
Department of Environmental Quality prior to commencing impacts in surface
waters.
2. Compensation options that may be considered under this VWP
general permit shall meet the criteria in 9VAC25-210-116 and 9VAC25-690-70.
3. The permittee-responsible compensation site or sites
depicted in the conceptual compensation plan submitted with the application
shall constitute the compensation site. A site change may require a
modification to coverage.
4. For compensation involving the purchase of mitigation bank
credits or the purchase of in-lieu fee program credits, the permittee shall not
initiate work in permitted impact areas until documentation of the mitigation
bank credit purchase or of the in-lieu fee program credit purchase has been
submitted to and received by the Department of Environmental Quality.
5. The final compensation plan shall be submitted to and
approved by the board prior to a construction activity in permitted impact
areas. The board shall review and provide written comments on the final plan
within 30 days of receipt or it shall be deemed approved. The final plan as
approved by the board shall be an enforceable requirement of any coverage under
this VWP general permit. Deviations from the approved final plan shall be
submitted and approved in advance by the board.
a. The final permittee-responsible wetlands compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) A summary of the type and acreage of existing wetland
impacts anticipated during the construction of the compensation site and the
proposed compensation for these impacts; a site access plan; a monitoring plan,
including proposed success criteria, monitoring goals, and the location of
photo-monitoring stations, monitoring wells, vegetation sampling points, and
reference wetlands or streams, if available; an abatement and control plan for
undesirable plant species; an erosion and sedimentation control plan; a
construction schedule; and the final protective mechanism for the compensation
site or sites, including all surface waters and buffer areas within its
boundaries.
(3) The approved protective mechanism. The protective mechanism
shall be recorded in the chain of title to the property, or an equivalent
instrument for government-owned lands, and proof of recordation shall be
submitted to the Department of Environmental Quality prior to commencing
impacts in surface waters.
b. The final permittee-responsible stream compensation plan
shall include:
(1) The complete information on all components of the
conceptual compensation plan.
(2) An evaluation, discussion, and plan drawing or drawings of
existing conditions on the proposed compensation stream, including the
identification of functional and physical deficiencies for which the measures
are proposed, and summary of geomorphologic measurements (e.g., stream width,
entrenchment ratio, width-depth ratio, sinuosity, slope, substrate, etc.); a
site access plan; a monitoring plan, including a monitoring and reporting
schedule, monitoring design and methodologies for success, proposed success
criteria, location of photo-monitoring stations, vegetation sampling points,
survey points, bank pins, scour chains, and reference streams; an abatement and
control plan for undesirable plant species; an erosion and sedimentation
control plan, if appropriate; a construction schedule; a plan-view drawing
depicting the pattern and all compensation measures being employed; a profile
drawing; cross-sectional drawing or drawings of the proposed compensation
stream; and the final protective mechanism for the protection of the
compensation site or sites, including all surface waters and buffer areas within
its boundaries.
(3) The approved protective mechanism. The protective
mechanism shall be recorded in the chain of title to the property, or an
equivalent instrument for government-owned lands, and proof of recordation
shall be submitted to the Department of Environmental Quality prior to
commencing impacts in surface waters.
6. The following criteria shall apply to permittee-responsible
wetland or stream compensation:
a. The vegetation used shall be native species common to the
area, shall be suitable for growth in local wetland or riparian conditions, and
shall be from areas within the same or adjacent U.S. Department of Agriculture
Plant Hardiness Zone or Natural Resources Conservation Service Land Resource
Region as that of the project site. Planting of woody plants shall occur when
vegetation is normally dormant, unless otherwise approved in the final wetlands
or stream compensation plan or plans.
b. All work in permitted impact areas shall cease if
compensation site construction has not commenced within 180 days of
commencement of project construction, unless otherwise authorized by the board.
c. The Department of Environmental Quality shall be notified
in writing prior to the initiation of construction activities at the
compensation site.
d. Point sources of stormwater runoff shall be prohibited from
entering a wetland compensation site prior to treatment by appropriate best
management practices. Appropriate best management practices may include
sediment traps, grassed waterways, vegetated filter strips, debris screens, oil
and grease separators, or forebays.
e. The success of the compensation shall be based on meeting
the success criteria established in the approved final compensation plan.
f. If the wetland or stream compensation area fails to meet
the specified success criteria in a particular monitoring year, other than the
final monitoring year, the reasons for this failure shall be determined, and a
corrective action plan shall be submitted to the Department of Environmental
Quality for approval with or before that year's monitoring report. The
corrective action plan shall contain at minimum the proposed actions, a
schedule for those actions, and a monitoring plan, and shall be implemented by
the permittee in accordance with the approved schedule. Should significant
changes be necessary to ensure success, the required monitoring cycle shall
begin again, with monitoring year one being the year that the changes are
complete, as confirmed by the Department of Environmental Quality. If the wetland
or stream compensation area fails to meet the specified success criteria by the
final monitoring year or if the wetland or stream compensation area has not met
the stated restoration goals, reasons for this failure shall be determined and
a corrective action plan, including proposed actions, a schedule, and a
monitoring plan, shall be submitted with the final year monitoring report for
Department of Environmental Quality approval. Corrective action shall be
implemented by the permittee in accordance with the approved schedule. Annual
monitoring shall be required to continue until two sequential, annual reports
indicate that all criteria have been successfully satisfied and the site has
met the overall restoration goals (e.g., that corrective actions were
successful).
g. The surveyed wetland boundary for the wetlands compensation
site shall be based on the results of the hydrology, soils, and vegetation
monitoring data and shall be shown on the site plan. Calculation of total
wetland acreage shall be based on that boundary at the end of the monitoring
cycle. Data shall be submitted by December 31 of the final monitoring year.
h. Herbicides or algicides shall not be used in or immediately
adjacent to the wetlands or stream compensation site or sites without prior
authorization by the board. All vegetation removal shall be done by manual
means, unless authorized by the Department of Environmental Quality in advance.
B. Impact site construction
monitoring.
1. Construction activities authorized by this permit that are
within impact areas shall be monitored and documented. The monitoring shall
consist of:
a. Preconstruction photographs taken at each impact area prior
to initiation of activities within impact areas. Photographs shall remain on
the project site and depict the impact area and the nonimpacted surface waters
immediately adjacent to and downgradient of each impact area. Each photograph
shall be labeled to include the following information: permit number, impact
area number, date and time of the photograph, name of the person taking the
photograph, photograph orientation, and photograph subject description.
b. Site inspections shall be conducted by the permittee or the
permittee's qualified designee once every calendar month during activities within
impact areas. Monthly inspections shall be conducted in the following areas:
all authorized permanent and temporary impact areas; all avoided surface
waters, including wetlands, stream channels, and open water; surface water
areas within 50 feet of any land disturbing activity and within the project or
right-of-way limits; and all on-site permanent preservation areas required
under this permit. Observations shall be recorded on the inspection form
provided by the Department of Environmental Quality. The form shall be
completed in its entirety for each monthly inspection and shall be kept on site
and made available for review by the Department of Environmental Quality staff
upon request during normal business hours. Inspections are not required during
periods of no activity within impact areas.
2. Monitoring of water quality parameters shall be conducted
during permanent relocation of perennial streams through new channels in the
manner noted below. The permittee shall report violations of water quality standards
to the Department of Environmental Quality in accordance with the procedures in
9VAC25-690-100 Part II E. Corrective measures and additional monitoring may be
required if water quality standards are not met. Reporting shall not be
required if water quality standards are not violated.
a. A sampling station shall be located upstream and
immediately downstream of the relocated channel.
b. Temperature, pH, and dissolved oxygen (D.O.) measurements
shall be taken every 30 minutes for at least two hours at each station prior to
opening the new channels and immediately before opening new channels.
c. Temperature, pH, and D.O. readings shall be taken after
opening the channels and every 30 minutes for at least three hours at each
station.
C. Permittee-responsible wetland compensation site
monitoring.
1. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites including invert elevations for all water elevation
control structures and spot elevations throughout the site or sites. Aerial
surveys shall include the variation from actual ground conditions, such as +/-
0.2 feet. Either type of survey shall be certified by a licensed surveyor or by
a registered professional engineer to conform to the design plans. The survey
shall be submitted within 60 days of completing compensation site construction.
Changes or deviations in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
2. Photographs shall be taken at the compensation site or
sites from the permanent markers identified in the final compensation plan, and
established to ensure that the same locations and view directions at the site
or sites are monitored in each monitoring period. These photographs shall be
taken after the initial planting and at a time specified in the final
compensation plan during every monitoring year.
3. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after wetland compensation
site construction activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1, 2, 3, and 5, unless
otherwise approved by the Department of Environmental Quality. In all cases, if
all success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
4. The establishment of wetland hydrology shall be measured
during the growing season, with the location and number of monitoring wells,
and frequency of monitoring for each site, set forth in the final monitoring
plan. Hydrology monitoring well data shall be accompanied by precipitation
data, including rainfall amounts either from on site or from the closest
weather station. Once the wetland hydrology success criteria have been
satisfied for a particular monitoring year, monitoring may be discontinued for
the remainder of that monitoring year following Department of Environmental
Quality approval. After a period of three monitoring years, the permittee may
request that hydrology monitoring be discontinued, providing that adequate
hydrology has been established and maintained. Hydrology monitoring shall not
be discontinued without written approval from the Department of Environmental
Quality.
5. The presence of hydric soils or soils under hydric
conditions shall be evaluated in accordance with the final compensation plan.
6. The establishment of wetland vegetation shall be in
accordance with the final compensation plan. Monitoring shall take place in
August, September, or October during the growing season of each monitoring
year, unless otherwise authorized in the monitoring plan.
7. The presence of undesirable plant species shall be
documented.
8. All wetland compensation monitoring reports shall be
submitted in accordance with 9VAC25-690-100 Part II E 6.
D. Permittee-responsible stream compensation and monitoring.
1. Riparian buffer restoration activities shall be detailed in
the final compensation plan and shall include, as appropriate, the planting of
a variety of native species currently growing in the site area, including
appropriate seed mixtures and woody species that are bare root, balled, or
burlapped. A minimum buffer width of 50 feet, measured from the top of the
stream bank at bankfull elevation landward on both sides of the stream, shall
be required where practical.
2. The installation of root wads, vanes, and other instream
structures, shaping of the stream banks, and channel relocation shall be
completed in the dry whenever practicable.
3. Livestock access to the stream and designated riparian
buffer shall be limited to the greatest extent practicable.
4. Stream channel restoration activities shall be conducted in
the dry or during low flow conditions. When site conditions prohibit access
from the streambank or upon prior authorization from the Department of
Environmental Quality, heavy equipment may be authorized for use within the
stream channel.
5. Photographs shall be taken at the compensation site from
the vicinity of the permanent photo-monitoring stations identified in the final
compensation plan. The photograph orientation shall remain constant during all
monitoring events. At a minimum, photographs shall be taken from the center of
the stream, facing downstream, with a sufficient number of photographs to view
the entire length of the restoration site. Photographs shall document the
completed restoration conditions. Photographs shall be taken prior to site
activities, during instream and riparian compensation construction activities,
within one week of completion of activities, and during at least one day of
each monitoring year to depict restored conditions.
6. An as-built ground survey, or an aerial survey provided by
a firm specializing in aerial surveys, shall be conducted for the entire
compensation site or sites. Aerial surveys shall include the variation from
actual ground conditions, such as +/- 0.2 feet. The survey shall be certified by
the licensed surveyor or by a registered, professional engineer to conform to
the design plans. The survey shall be submitted within 60 days of completing
compensation site construction. Changes or deviations from the final
compensation plans in the as-built survey or aerial survey shall be shown on
the survey and explained in writing.
7. Compensation site monitoring shall begin on day one of the
first complete growing season (monitoring year 1) after stream compensation
site construction activities, including planting, have been completed.
Monitoring shall be required for monitoring years 1 and 2, unless otherwise
approved by the Department of Environmental Quality. In all cases, if all
success criteria have not been met in the final monitoring year, then
monitoring shall be required for each consecutive year until two annual
sequential reports indicate that all criteria have been successfully satisfied.
8. All stream compensation site monitoring reports shall be
submitted by in accordance with 9VAC25-690-100 Part II E 6.
E. Reporting.
1. Written communications required by this VWP general permit
shall be submitted to the appropriate Department of Environmental Quality
office. The VWP general permit tracking number shall be included on all
correspondence.
2. The Department of Environmental Quality shall be notified
in writing prior to the start of construction activities at the first permitted
impact area.
3. A construction status update form provided by the
Department of Environmental Quality shall be completed and submitted to the
Department of Environmental Quality twice per year for the duration of coverage
under a VWP general permit. Forms completed in June shall be submitted by or on
July 10, and forms completed in December shall be submitted by or on January
10. The form shall include reference to the VWP permit tracking number and one
of the following statements for each authorized surface water impact location:
a. Construction activities have not yet started;
b. Construction activities have started;
c. Construction activities have started but are currently
inactive; or
d. Construction activities are complete.
4. The Department of Environmental Quality shall be notified
in writing within 30 days following the completion of all activities in all authorized
impact areas.
5. The Department of Environmental Quality shall be notified
in writing prior to the initiation of activities at the permittee-responsible
compensation site. The notification shall include a projected schedule of
activities and construction completion.
6. All permittee-responsible compensation site monitoring
reports shall be submitted annually by December 31, with the exception of the
last year, in which case the report shall be submitted at least 60 days prior
to the expiration of the general permit, unless otherwise approved by the
Department of Environmental Quality.
a. All wetland compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations, vegetative and soil monitoring
stations, monitoring wells, and wetland zones.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Analysis of all hydrology information, including
monitoring well data, precipitation data, and gauging data from streams or
other open water areas, as set forth in the final compensation plan.
(5) Evaluation of hydric soils or soils under hydric
conditions, as appropriate.
(6) Analysis of all vegetative community information,
including woody and herbaceous species, both planted and volunteers, as set
forth in the final compensation plan.
(7) Photographs labeled with the permit number, the name of
the compensation site, the photo-monitoring station number, the photograph
orientation, the date and time of the photograph, the name of the person taking
the photograph, and a brief description of the photograph subject. This information
shall be provided as a separate attachment to each photograph, if necessary.
Photographs taken after the initial planting shall be included in the first
monitoring report after planting is complete.
(8) Discussion of wildlife or signs of wildlife observed at
the compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site.
(10) Discussion of corrective measures or maintenance
activities to control undesirable species, to repair damaged water control devices,
or to replace damaged planted vegetation.
(11) Corrective action plan that includes proposed actions, a
schedule, and monitoring plan.
b. All stream compensation site monitoring reports shall
include, as applicable, the following:
(1) General description of the site including a site location
map identifying photo-monitoring stations and monitoring stations.
(2) Summary of activities completed during the monitoring
year, including alterations or maintenance conducted at the site.
(3) Description of monitoring methods.
(4) Evaluation and discussion of the monitoring results in
relation to the success criteria and overall goals of compensation.
(5) Photographs shall be labeled with the permit number, the
name of the compensation site, the photo-monitoring station number, the
photograph orientation, the date and time of the photograph, the name of the
person taking the photograph, and a brief description of the photograph
subject. Photographs taken prior to compensation site construction activities,
during instream and riparian restoration activities, and within one week of
completion of activities shall be included in the first monitoring report.
(6) Discussion of alterations, maintenance, or major storm
events resulting in significant change in stream profile or cross section, and
corrective actions conducted at the stream compensation site.
(7) Documentation of undesirable plant species and summary of
abatement and control measures.
(8) Summary of wildlife or signs of wildlife observed at the
compensation site.
(9) Comparison of site conditions from the previous monitoring
year and reference site, and as-built survey, if applicable.
(10) Corrective action plan that includes proposed actions, a
schedule and monitoring plan.
(11) Additional submittals that were approved by the
Department of Environmental Quality in the final compensation plan.
7. The permittee shall notify the Department of Environmental
Quality in writing when unusual or potentially complex conditions are encountered
which require debris removal or involve potentially toxic substance. Measures
to remove the obstruction, material, or toxic substance or to change the
location of a structure are prohibited until approved by the Department of
Environmental Quality.
8. The permittee shall report fish kills or spills of oil or
fuel immediately upon discovery. If spills or fish kills occur between the
hours of 8:15 a.m. to 5 p.m., Monday through Friday, the appropriate Department
of Environmental Quality regional office shall be notified; otherwise, the
Department of Emergency Management shall be notified at 1-800-468-8892.
9. Violations of state water quality standards shall be
reported to the appropriate Department of Environmental Quality office no later
than the end of the business day following discovery.
10. The permittee shall notify the Department of Environmental
Quality no later than the end of the third business day following the discovery
of additional impacts to surface waters including wetlands, stream channels,
and open water that are not authorized by the Department of Environmental
Quality or to any required preservation areas. The notification shall include
photographs, estimated acreage or linear footage of impacts, and a description
of the impacts.
11. Submittals required by this VWP general permit shall
contain the following signed certification statement:
"I certify under penalty of law that this document and
all attachments were prepared under my direction or supervision in accordance
with a system designed to assure that qualified personnel properly gather and
evaluate the information submitted. Based on my inquiry of the person or
persons who manage the system, or those persons directly responsible for
gathering the information, the information submitted is, to the best of my
knowledge and belief, true, accurate, and complete. I am aware that there are
significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violation."
Part III. Conditions Applicable to All VWP General Permits.
A. Duty to comply. The permittee shall comply with all
conditions, limitations, and other requirements of the VWP general permit; any
requirements in coverage granted under this VWP general permit; the Clean Water
Act, as amended; and the State Water Control Law and regulations adopted
pursuant to it. Any VWP general permit violation or noncompliance is a
violation of the Clean Water Act and State Water Control Law and is grounds for
(i) enforcement action, (ii) VWP general permit coverage termination for cause,
(iii) VWP general permit coverage revocation, (iv) denial of application for
coverage, or (v) denial of an application for a modification to VWP general
permit coverage. Nothing in this VWP general permit shall be construed to
relieve the permittee of the duty to comply with all applicable federal and
state statutes, regulations, and toxic standards and prohibitions.
B. Duty to mitigate. The permittee shall take all reasonable
steps to minimize or prevent impacts in violation of the VWP general permit
which may have a reasonable likelihood of adversely affecting human health or
the environment.
C. Reopener. This VWP general permit may be reopened to
modify its conditions when the circumstances on which the previous VWP general
permit was based have materially and substantially changed, or special studies
conducted by the board or the permittee show material and substantial change
since the time the VWP general permit was issued and thereby constitute cause for
revoking and reissuing the VWP general permit.
D. Compliance with state and federal law. Compliance with
this VWP general permit constitutes compliance with the VWP permit requirements
of the State Water Control Law. Nothing in this VWP general permit shall be
construed to preclude the institution of any legal action under or relieve the
permittee from any responsibilities, liabilities, or other penalties
established pursuant to any other state law or regulation or under the
authority preserved by § 510 of the Clean Water Act.
E. Property rights. The issuance of this VWP general permit
does not convey property rights in either real or personal property or any
exclusive privileges, nor does it authorize injury to private property, any
invasion of personal property rights, or any infringement of federal, state, or
local laws or regulations.
F. Severability. The provisions of this VWP general permit
are severable.
G. Inspection and entry. Upon presentation of credential, the
permittee shall allow the board or any duly authorized agent of the board, at
reasonable times and under reasonable circumstances, to enter upon the
permittee's property, public or private, and have access to inspect and copy
any records that must be kept as part of the VWP general permit conditions; to
inspect any facilities, operations, or practices (including monitoring and
control equipment) regulated or required under the VWP general permit; and to
sample or monitor any substance, parameter, or activity for the purpose of
assuring compliance with the conditions of the VWP general permit or as
otherwise authorized by law. For the purpose of this section, the time for
inspection shall be deemed reasonable during regular business hours. Nothing
contained herein shall make an inspection time unreasonable during an
emergency.
H. Transferability of VWP general permit coverage. VWP
general permit coverage may be transferred to another permittee when all of the
criteria listed in this subsection are met. On the date of the VWP general
permit coverage transfer, the transferred VWP general permit coverage shall be
as fully effective as if it had been granted directly to the new permittee.
1. The current permittee notifies the board of the proposed
transfer of the general permit coverage and provides a written agreement
between the current and new permittees containing a specific date of transfer
of VWP general permit responsibility, coverage, and liability to the new
permittee, or that the current permittee will retain such responsibility, coverage,
or liability, including liability for compliance with the requirements of
enforcement activities related to the authorized activity.
2. The board does not within 15 days notify the current and
new permittees of its intent to modify or revoke and reissue the VWP general
permit.
I. Notice of planned change. VWP general permit coverage may
be modified subsequent to issuance in accordance with 9VAC25-690-80.
J. VWP general permit coverage termination for cause. VWP
general permit coverage is subject to termination for cause by the board after
public notice and opportunity for a hearing pursuant to § 62.1-44.15:02 of
the Code of Virginia. Reasons for termination for cause are as follows:
1. Noncompliance by the permittee with any provision of this
chapter, any condition of the VWP general permit, or any requirement in general
permit coverage;
2. The permittee's failure in the application or during the
process of granting VWP general permit coverage to disclose fully all relevant
facts or the permittee's misrepresentation of any relevant facts at any time;
3. The permittee's violation of a special or judicial order;
4. A determination by the board that the authorized activity
endangers human health or the environment and can be regulated to acceptable
levels by a modification to VWP general permit coverage or a termination;
5. A change in any condition that requires either a temporary
or permanent reduction or elimination of any activity controlled by the VWP
general permit; or
6. A determination that the authorized activity has ceased and
that the compensation for unavoidable adverse impacts has been successfully
completed.
K. The board may terminate VWP general permit coverage
without cause when the permittee is no longer a legal entity due to death or
dissolution or when a company is no longer authorized to conduct business in
the Commonwealth. The termination shall be effective 30 days after notice of
the proposed termination is sent to the last known address of the permittee or
registered agent, unless the permittee objects within that time. If the
permittee does object during that period, the board shall follow the applicable
procedures for termination under §§ 62.1-44.15:02 and 62.1-44.15:25 of the Code
of Virginia.
L. VWP general permit coverage termination by consent. The
permittee shall submit a request for termination by consent within 30 days of
completing or canceling all authorized activities requiring notification under
9VAC25-690-50 A and all compensatory mitigation requirements. When submitted
for project completion, the request for termination by consent shall constitute
a notice of project completion in accordance with 9VAC25-210-130 F. The
director may accept this termination of coverage on behalf of the board. The
permittee shall submit the following information:
1. Name, mailing address, and telephone number;
2. Name and location of the activity;
3. The VWP general permit tracking number; and
4. One of the following certifications:
a. For project completion:
"I certify under penalty of law that all activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage have been completed. I understand that by submitting
this notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage."
b. For project cancellation:
"I certify under penalty of law that the activities and
any required compensatory mitigation authorized by the VWP general permit and
general permit coverage will not occur. I understand that by submitting this
notice of termination I am no longer authorized to perform activities in
surface waters in accordance with the VWP general permit and general permit
coverage, and that performing activities in surface waters is unlawful where
the activity is not authorized by the VWP permit or coverage, unless otherwise
excluded from obtaining coverage. I also understand that the submittal of this
notice does not release me from liability for any violations of the VWP general
permit or coverage, nor does it allow me to resume the authorized activities
without reapplication and coverage."
c. For events beyond permittee control, the permittee shall
provide a detailed explanation of the events, to be approved by the Department
of Environmental Quality, and the following certification statement:
"I certify under penalty of law that the activities or
the required compensatory mitigation authorized by the VWP general permit and
general permit coverage have changed as the result of events beyond my control
(see attached). I understand that by submitting this notice of termination I am
no longer authorized to perform activities in surface waters in accordance with
the VWP general permit and general permit coverage, and that performing
activities in surface waters is unlawful where the activity is not authorized
by the VWP permit or coverage, unless otherwise excluded from obtaining
coverage. I also understand that the submittal of this notice does not release
me from liability for any violations of the VWP general permit or coverage, nor
does it allow me to resume the authorized activities without reapplication and
coverage."
M. Civil and criminal liability. Nothing in this VWP general
permit shall be construed to relieve the permittee from civil and criminal
penalties for noncompliance.
N. Oil and hazardous substance liability. Nothing in this VWP
general permit shall be construed to preclude the institution of legal action
or relieve the permittee from any responsibilities, liabilities, or penalties
to which the permittee is or may be subject under § 311 of the Clean Water Act
or §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
O. Duty to cease or confine activity. It shall not be a
defense for a permittee in an enforcement action that it would have been
necessary to halt or reduce the activity for which VWP general permit coverage
has been granted in order to maintain compliance with the conditions of the VWP
general permit or coverage.
P. Duty to provide information.
1. The permittee shall furnish to the board any information
that the board may request to determine whether cause exists for modifying,
revoking, or terminating VWP permit coverage or to determine compliance with
the VWP general permit or general permit coverage. The permittee shall also
furnish to the board, upon request, copies of records required to be kept by
the permittee.
2. Plans, maps, conceptual reports, and other relevant
information shall be submitted as required by the board prior to commencing
construction.
Q. Monitoring and records requirements.
1. Monitoring of parameters, other than pollutants, shall be
conducted according to approved analytical methods as specified in the VWP
general permit. Analysis of pollutants will be conducted according to 40 CFR
Part 136 (2000), Guidelines Establishing Test Procedures for the Analysis of
Pollutants.
2. Samples and measurements taken for the purpose of
monitoring shall be representative of the monitored activity.
3. The permittee shall retain records of all monitoring
information, including all calibration and maintenance records and all original
strip chart or electronic recordings for continuous monitoring instrumentation,
copies of all reports required by the VWP general permit, and records of all
data used to complete the application for coverage under the VWP general
permit, for a period of at least three years from the date of general permit
expiration. This period may be extended by request of the board at any time.
4. Records of monitoring information shall include, as
appropriate:
a. The date, exact place, and time of sampling or
measurements;
b. The name of the individuals who performed the sampling or
measurements;
c. The date and time the analyses were performed;
d. The name of the individuals who performed the analyses;
e. The analytical techniques or methods supporting the
information such as observations, readings, calculations, and bench data used;
f. The results of such analyses; and
g. Chain of custody documentation.
R. Unauthorized discharge of pollutants. Except in compliance
with this VWP general permit, it shall be unlawful for the permittee to:
1. Discharge into state waters sewage, industrial wastes,
other wastes, or any noxious or deleterious substances;
2. Excavate in a wetland;
3. Otherwise alter the physical, chemical, or biological
properties of state waters and make them detrimental to the public health, to
animal or aquatic life, or to the uses of such waters for domestic or
industrial consumption, for recreation, or for other uses; or
4. On and after October 1, 2001, conduct the following
activities in a wetland:
a. New activities to cause draining that significantly alters
or degrades existing wetland acreage or functions;
b. Filling or dumping;
c. Permanent flooding or impounding; or
d. New activities that cause significant alteration or
degradation of existing wetland acreage or functions.
S. Duty to reapply. Any permittee desiring to continue a
previously authorized activity after the expiration date of the VWP general
permit shall comply with the provisions in 9VAC25-690-27.
VA.R. Doc. No. R21-6473; Filed September 29, 2020, 4:57 a.m.
TITLE 9. ENVIRONMENT
STATE WATER CONTROL BOARD
Final Regulation
REGISTRAR'S NOTICE: The
State Water Control Board is claiming an exemption from Article 2 of 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 or the appropriation act where no agency
discretion is involved. The State Water Control Board will receive, consider,
and respond to petitions by any interested person at any time with respect to
reconsideration or revision.
Title of Regulation: 9VAC25-870. Virginia Stormwater
Management Program (VSMP) Regulation (amending 9VAC25-870-10, 9VAC25-870-65,
9VAC25-870-112).
Statutory Authority: §§ 62.1-44.15:25 and
62.1-44.15:28 of the Code of Virginia.
Effective Date: November 25, 2020.
Agency Contact: Erin Belt, Department of Environmental
Quality, 1111 East Main Street, Suite 1400, P.O. Box 1105, Richmond, VA 23218,
telephone (757) 374-4621, or email erin.belt@deq.virginia.gov.
Summary:
The amendments conform the regulation to legislation
adopted during the 2020 Session of the General Assembly. Chapter 313 requires
the board to adopt regulations stipulating that the owner of property that is
zoned for residential use and on which is located a privately owned stormwater
management facility serving one or more residential properties record the
long-term maintenance and inspection requirements for such facility with the
deed for the owner's property. Chapter 667 directs the board to adopt
regulations that provide for the (i) use of a proprietary best management
practice only if another state, regional, or national certification program has
verified and certified its nutrient or sediment removal effectiveness and (ii)
evaluation and potential inclusion of emerging or innovative nonproprietary
stormwater control technologies that may prove effective in reducing nonpoint
source pollution. Chapters 1102 and 1103 establish that any publicly owned
treatment works that is permitted under the Watershed General Virginia
Pollutant Discharge Elimination System (VPDES) Permit and is constructing or
expanding the treatment works, wastewater collection system, or other facility
used for public wastewater utility operations may, as an alternative to
acquiring and using certain perpetual nutrient credits pursuant to subsection B
of § 62.1-44.19:21, permanently retire a portion of its wasteload allocation if
(i) notice is given by such applicant to the Department of Environmental
Quality, (ii) a ratio of 10 pounds of nitrogen allocation for each pound of
phosphorous allocation retired is also permanently retired and applied toward
the land-disturbing project, and (iii) the general permit registration list is
modified to reflect the permanent retirement of the wasteload allocation, but,
except for a water reclamation and reuse project at a treatment works, no more
than 10 pounds per year of phosphorous allocation may be applied toward
postconstruction phosphorus control requirement for a single project.
Part I
Definitions, Purpose, and Applicability
9VAC25-870-10. Definitions.
The following words and terms used in this chapter have the
following meanings unless the context clearly indicates otherwise.
"Act" means the Virginia Stormwater Management Act,
Article 2.3 (§ 62.1-44.15:24 et seq.) of Chapter 3.1 of Title 62.1 of the
Code of Virginia.
"Administrator" means the Administrator of the
United States Environmental Protection Agency or an authorized representative.
"Agreement in lieu of a stormwater management plan"
means a contract between the VSMP authority and the owner or permittee that
specifies methods that shall be implemented to comply with the requirements of
a VSMP for the construction of a single-family residence; such contract may be
executed by the VSMP authority in lieu of a stormwater management plan.
"Applicable standards and limitations" means all
state, interstate, and federal standards and limitations to which a discharge
or a related activity is subject under the Clean Water Act (CWA) (33 USC
§ 1251 et seq.) and the Act, including effluent limitations, water quality
standards, standards of performance, toxic effluent standards or prohibitions,
best management practices, and standards for sewage sludge use or disposal
under §§ 301, 302, 303, 304, 306, 307, 308, 403, and 405 of CWA.
"Approval authority" means the State Water Control
Board or its designee.
"Approved program" or "approved state"
means a state or interstate program that has been approved or authorized by EPA
under 40 CFR Part 123.
"Average monthly discharge limitation" means the
highest allowable average of daily discharges over a calendar month, calculated
as the sum of all daily discharges measured during a calendar month divided by
the number of daily discharges measured during that month.
"Average weekly discharge limitation" means the
highest allowable average of daily discharges over a calendar week, calculated
as the sum of all daily discharges measured during a calendar week divided by
the number of daily discharges measured during that week.
"Best management practice" or "BMP" means
schedules of activities, prohibitions of practices, maintenance procedures, and
other management practices, including both structural and nonstructural
practices, to prevent or reduce the pollution of surface waters and groundwater
systems. This includes:
1. "Nonproprietary best management practice"
means both structural and nonstructural practices to prevent or reduce the
pollution of surface waters and groundwater systems that are in the public
domain and are not protected by trademark or patent or copyright.
2. "Proprietary best management practice" means
both structural and nonstructural practices to prevent or reduce the pollution
of surface waters and groundwater systems that are privately owned and
controlled and may be protected by trademark or patent or copyright.
"Board" means the State Water Control Board.
"Bypass" means the intentional diversion of waste
streams from any portion of a treatment facility.
"Channel" means a natural or manmade waterway.
"Chesapeake Bay Preservation Act" means Article 2.5
(§ 62.1-44.15:67 et seq.) of Chapter 3.1 of Title 62.1 of the Code of
Virginia.
"Chesapeake Bay Preservation Act land-disturbing
activity" means a land-disturbing activity including clearing, grading, or
excavation that results in a land disturbance equal to or greater than 2,500
square feet and less than one acre in all areas of jurisdictions designated as
subject to the Chesapeake Bay Preservation Area Designation and Management
Regulations (9VAC25-830) adopted pursuant to the Chesapeake Bay Preservation
Act.
"Chesapeake Bay Preservation Area" means any land
designated by a local government pursuant to Part III (9VAC25-830-70 et seq.)
of the Chesapeake Bay Preservation Area Designation and Management Regulations
and § 62.1-44.15:74 of the Chesapeake Bay Preservation Act. A Chesapeake
Bay Preservation Area shall consist of a Resource Protection Area and a
Resource Management Area as defined in the Chesapeake Bay Preservation Area
Designation and Management Regulations (9VAC25-830).
"Chesapeake Bay watershed" means all land areas
draining to the following Virginia river basins: Potomac River Basin, James River
Basin, Rappahannock River Basin, Chesapeake Bay and its small coastal basins,
and York River Basin.
"Common plan of development or sale" means a
contiguous area where separate and distinct construction activities may be
taking place at different times on different schedules.
"Comprehensive stormwater management plan" means a
plan, which may be integrated with other land use plans or regulations, that
specifies how the water quality components, quantity components, or both of
stormwater are to be managed on the basis of an entire watershed or a portion
thereof. The plan may also provide for the remediation of erosion, flooding,
and water quality and quantity problems caused by prior development.
"Construction activity" means any clearing,
grading, or excavation associated with large construction activity or
associated with small construction activity.
"Contiguous zone" means the entire zone established
by the United States under Article 24 of the Convention on the Territorial Sea
and the Contiguous Zone (37 FR 11906 June 15, 1972).
"Continuous discharge" means a discharge which
occurs without interruption throughout the operating hours of the facility,
except for infrequent shutdowns for maintenance, process changes, or other
similar activities.
"Control measure" means any BMP, stormwater
facility, or other method used to minimize the discharge of pollutants to state
waters.
"Co-operator" means an operator of a state permit
that is only responsible for state permit conditions relating to the discharge
for which it is the operator.
"Clean Water Act" or "CWA" means the
federal Clean Water Act (33 USC § 1251 et seq.), formerly referred to as
the Federal Water Pollution Control Act or Federal Water Pollution Control Act
Amendments of 1972, Public Law 92-500, as amended by Public Law 95-217, Public
Law 95-576, Public Law 96-483, and Public Law 97-117, or any subsequent
revisions thereto.
"CWA and regulations" means the Clean Water Act
(CWA) and applicable regulations published in the Code of Federal Regulations
promulgated thereunder. For the purposes of this chapter, it includes state
program requirements.
"Daily discharge" means the discharge of a
pollutant measured during a calendar day or any 24-hour period that reasonably
represents the calendar day for purposes of sampling. For pollutants with
limitations expressed in units of mass, the daily discharge is calculated as
the total mass of the pollutant discharged over the day. For pollutants with
limitations expressed in other units of measurement, the daily discharge is
calculated as the average measurement of the pollutant over the day.
"Department" means the Department of Environmental
Quality.
"Development" means land disturbance and the
resulting landform associated with the construction of residential, commercial,
industrial, institutional, recreation, transportation, or utility facilities or
structures or the clearing of land for nonagricultural or nonsilvicultural
purposes. The regulation of discharges from development, for purposes of this
chapter, does not include the exemptions found in 9VAC25-870-300.
"Direct discharge" means the discharge of a
pollutant.
"Director" means the Director of the Department of
Environmental Quality or his designee.
"Discharge," when used without qualification, means
the discharge of a pollutant.
"Discharge of a pollutant" means:
1. Any addition of any pollutant or combination of pollutants
to state waters from any point source; or
2. Any addition of any pollutant or combination of pollutants
to the waters of the contiguous zone or the ocean from any point source other
than a vessel or other floating craft which is being used as a means of
transportation.
This definition includes additions of pollutants into surface
waters from: surface runoff that is collected or channeled by man; discharges
through pipes, sewers, or other conveyances owned by a state, municipality, or
other person that do not lead to a treatment works; and discharges through
pipes, sewers, or other conveyances, leading into privately owned treatment
works. This term does not include an addition of pollutants by any indirect
discharger.
"Discharge Monitoring Report" or "DMR"
means the form supplied by the department, or an equivalent form developed by
the operator and approved by the board, for the reporting of self-monitoring
results by operators.
"Draft state permit" means a document indicating
the board's tentative decision to issue or deny, modify, revoke and reissue,
terminate, or reissue a state individual or general permit. A notice of intent
to deny a state individual or general permit is a type of draft state permit. A
denial of a request for modification, revocation and reissuance, or termination
is not a draft state permit.
"Drainage area" means a land area, water area, or
both from which runoff flows to a common point.
"Effluent limitation" means any restriction imposed
by the board on quantities, discharge rates, and concentrations of pollutants
which are discharged from point sources into surface waters, the waters of the
contiguous zone, or the ocean.
"Effluent limitations guidelines" means a
regulation published by the administrator under § 304(b) of the CWA to adopt or
revise effluent limitations.
"Environmental Protection Agency" or
"EPA" means the United States Environmental Protection Agency.
"Erosion and Sediment Control Law" means Article
2.4 (§ 62.1-44.15:51 et seq.) of Chapter 3.1 of Title 62.1 of the Code of
Virginia.
"ESC" means erosion and sediment control.
"Existing state permit" means for the purposes of
this chapter a state permit issued by the board and currently held by a state
permit applicant.
"Existing source" means any source that is not a
new source or a new discharger.
"Facilities or equipment" means buildings,
structures, process or production equipment or machinery that form a permanent
part of a new source and that will be used in its operation, if these
facilities or equipment are of such value as to represent a substantial
commitment to construct. It excludes facilities or equipment used in connection
with feasibility, engineering, and design studies regarding the new source or
water pollution treatment for the new source.
"Facility or activity" means any point source or
treatment works treating domestic sewage or any other facility or activity
(including land or appurtenances thereto) that is subject to regulation under
the VSMP.
"Flood fringe" means the portion of the floodplain
outside the floodway that is usually covered with water from the 100-year flood
or storm event. This includes the flood or floodway fringe designated by the
Federal Emergency Management Agency.
"Flooding" means a volume of water that is too
great to be confined within the banks or walls of the stream, water body or
conveyance system and that overflows onto adjacent lands, thereby causing or
threatening damage.
"Floodplain" means the area adjacent to a channel,
river, stream, or other water body that is susceptible to being inundated by
water normally associated with the 100-year flood or storm event. This includes
the floodplain designated by the Federal Emergency Management Agency.
"Flood-prone area" means the component of a natural
or restored stormwater conveyance system that is outside the main channel.
Flood-prone areas may include the floodplain, the floodway, the flood fringe,
wetlands, riparian buffers, or other areas adjacent to the main channel.
"Floodway" means the channel of a river or other
watercourse and the adjacent land areas, usually associated with flowing water,
that must be reserved in order to discharge the 100-year flood or storm event
without cumulatively increasing the water surface elevation more than one foot.
This includes the floodway designated by the Federal Emergency Management
Agency.
"General permit" means a state permit authorizing a
category of discharges under the CWA and the Act within a geographical area.
"Hazardous substance" means any substance
designated under the Code of Virginia or 40 CFR Part 116 pursuant to § 311
of the CWA.
"Hydrologic Unit Code" or "HUC" means a
watershed unit established in the most recent version of Virginia's 6th Order
National Watershed Boundary Dataset unless specifically identified as another
order.
"Illicit discharge" means any discharge to a
municipal separate storm sewer that is not composed entirely of stormwater,
except discharges pursuant to a separate VPDES or state permit (other than the
state permit for discharges from the municipal separate storm sewer),
discharges resulting from firefighting activities, and discharges identified by
and in compliance with 9VAC25-870-400 D 2 c (3).
"Impervious cover" means a surface composed of
material that significantly impedes or prevents natural infiltration of water
into soil.
"Incorporated place" means a city, town, township,
or village that is incorporated under the Code of Virginia.
"Indian country" means (i) all land within the
limits of any Indian reservation under the jurisdiction of the United States
government, notwithstanding the issuance of any patent, and including
rights-of-way running through the reservation; (ii) all dependent Indian
communities with the borders of the United States whether within the originally
or subsequently acquired territory thereof, and whether within or without the
limits of a state; and (iii) all Indian allotments, the Indian titles to which
have not been extinguished, including rights-of-way running through the same.
"Indirect discharger" means a nondomestic
discharger introducing "pollutants" to a "publicly owned
treatment works (POTW)."
"Inspection" means an on-site review of the
project's compliance with the permit or the state permit, the VSMP, and any
applicable design criteria, or an on-site review to obtain information or
conduct surveys or investigations necessary in the implementation or
enforcement of the Act and this chapter.
"Interstate agency" means an agency of two or more
states established by or under an agreement or compact approved by Congress, or
any other agency of two or more states having substantial powers or duties
pertaining to the control of pollution as determined and approved by the
administrator under the CWA and regulations.
"Karst area" means any land area predominantly
underlain at the surface or shallow subsurface by limestone, dolomite, or other
soluble bedrock regardless of any obvious surface karst features.
"Karst features" means sinkholes, sinking and
losing streams, caves, large flow springs, and other such landscape features
found in karst areas.
"Land disturbance" or "land-disturbing
activity" means a manmade change to the land surface that potentially
changes its runoff characteristics including clearing, grading, or excavation,
except that the term shall not include those exemptions specified in
§ 62.1-44.15:34 of the Code of Virginia.
"Large construction activity" means construction
activity including clearing, grading, and excavation, except operations that
result in the disturbance of less than five acres of total land area. Large
construction activity also includes the disturbance of less than five acres of
total land area that is a part of a larger common plan of development or sale
if the larger common plan will ultimately disturb five acres or more. Large
construction activity does not include routine maintenance that is performed to
maintain the original line and grade, hydraulic capacity, or original purpose of
the facility.
"Large municipal separate storm sewer system" means
all municipal separate storm sewers that are either:
1. Located in an incorporated place with a population of
250,000 or more as determined by the 1990 decennial census by the Bureau of Census
(40 CFR Part 122 Appendix F);
2. Located in the counties listed in 40 CFR Part 122
Appendix H, except municipal separate storm sewers that are located in the
incorporated places, townships or towns within such counties;
3. Owned or operated by a municipality other than those
described in subdivision 1 or 2 of this definition and that are designated by
the board as part of the large or medium municipal separate storm sewer system
due to the interrelationship between the discharges of the designated storm
sewer and the discharges from municipal separate storm sewers described under
subdivision 1 or 2 of this definition. In making this determination the board
may consider the following factors:
a. Physical interconnections between the municipal separate storm
sewers;
b. The location of discharges from the designated municipal
separate storm sewer relative to discharges from municipal separate storm
sewers described in subdivision 1 of this definition;
c. The quantity and nature of pollutants discharged to surface
waters;
d. The nature of the receiving surface waters; and
e. Other relevant factors;
4. The board may, upon petition, designate as a large
municipal separate storm sewer system, municipal separate storm sewers located
within the boundaries of a region defined by a stormwater management regional
authority based on a jurisdictional, watershed, or other appropriate basis that
includes one or more of the systems described in this definition.
"Layout" means a conceptual drawing sufficient to
provide for the specified stormwater management facilities required at the time
of approval.
"Linear development project" means a
land-disturbing activity that is linear in nature such as, but not limited to,
(i) the construction of electric and telephone utility lines, and natural gas
pipelines; (ii) construction of tracks, rights-of-way, bridges, communication
facilities and other related structures of a railroad company; (iii) highway
construction projects; (iv) construction of stormwater channels and stream restoration
activities; and (v) water and sewer lines. Private subdivision roads or streets
shall not be considered linear development projects.
"Locality" means a county, city, or town.
"Localized flooding" means smaller scale flooding
that may occur outside of a stormwater conveyance system. This may include high
water, ponding, or standing water from stormwater runoff, which is likely to
cause property damage or unsafe conditions.
"Main channel" means the portion of the stormwater
conveyance system that contains the base flow and small frequent storm events.
"Major facility" means any facility or activity
classified as such by the regional administrator in conjunction with the board.
"Major modification" means, for the purposes of
this chapter, the modification or amendment of an existing state permit before
its expiration that is not a minor modification as defined in this regulation.
"Major municipal separate storm sewer outfall" or
"major outfall" means a municipal separate storm sewer outfall that
discharges from a single pipe with an inside diameter of 36 inches or more or
its equivalent (discharge from a single conveyance other than circular pipe
which is associated with a drainage area of more than 50 acres); or for
municipal separate storm sewers that receive stormwater from lands zoned for
industrial activity (based on comprehensive zoning plans or the equivalent),
with an outfall that discharges from a single pipe with an inside diameter of
12 inches or more or from its equivalent (discharge from other than a circular
pipe associated with a drainage area of two acres or more).
"Manmade" means constructed by man.
"Maximum daily discharge limitation" means the
highest allowable daily discharge.
"Maximum extent practicable" or "MEP"
means the technology-based discharge standard for municipal separate storm
sewer systems established by CWA § 402(p). MEP is achieved, in part, by
selecting and implementing effective structural and nonstructural best
management practices (BMPs) and rejecting ineffective BMPs and replacing them
with effective best management practices (BMPs). MEP is an iterative standard,
which evolves over time as urban runoff management knowledge increases. As
such, the operator's MS4 program must continually be assessed and modified to
incorporate improved programs, control measures, BMPs, etc., to attain
compliance with water quality standards.
"Medium municipal separate storm sewer system"
means all municipal separate storm sewers that are either:
1. Located in an incorporated place with a population of
100,000 or more but less than 250,000 as determined by the 1990 decennial
census by the Bureau of Census (40 CFR Part 122 Appendix G);
2. Located in the counties listed in 40 CFR Part 122
Appendix I, except municipal separate storm sewers that are located in the
incorporated places, townships or towns within such counties;
3. Owned or operated by a municipality other than those
described in subdivision 1 or 2 of this definition and that are designated by
the board as part of the large or medium municipal separate storm sewer system
due to the interrelationship between the discharges of the designated storm
sewer and the discharges from municipal separate storm sewers described under
subdivision 1 or 2 of this definition. In making this determination the board
may consider the following factors:
a. Physical interconnections between the municipal separate
storm sewers;
b. The location of discharges from the designated municipal
separate storm sewer relative to discharges from municipal separate storm
sewers described in subdivision 1 of this definition;
c. The quantity and nature of pollutants discharged to surface
waters;
d. The nature of the receiving surface waters; or
e. Other relevant factors;
4. The board may, upon petition, designate as a medium
municipal separate storm sewer system, municipal separate storm sewers located
within the boundaries of a region defined by a stormwater management regional
authority based on a jurisdictional, watershed, or other appropriate basis that
includes one or more of the systems described in subdivisions 1, 2, and 3 of
this definition.
"Minimize" means to reduce or eliminate the
discharge of pollutants to the extent achievable using stormwater controls that
are technologically available and economically practicable.
"Minor modification" means, for the purposes of
this chapter, minor modification or amendment of an existing state permit
before its expiration for the reasons listed at 40 CFR 122.63 and as
specified in 9VAC25-870-640. Minor modification for the purposes of this
chapter also means other modifications and amendments not requiring extensive
review and evaluation including changes in EPA promulgated test protocols,
increasing monitoring frequency requirements, changes in sampling locations,
and changes to compliance dates within the overall compliance schedules. A
minor state permit modification or amendment does not substantially alter state
permit conditions, substantially increase or decrease the amount of surface
water impacts, increase the size of the operation, or reduce the capacity of
the facility to protect human health or the environment.
"Municipal separate storm sewer" means a conveyance
or system of conveyances otherwise known as a municipal separate storm sewer
system, including roads with drainage systems, municipal streets, catch basins,
curbs, gutters, ditches, manmade channels, or storm drains:
1. Owned or operated by a federal, state, city, town, county,
district, association, or other public body, created by or pursuant to state
law, having jurisdiction or delegated authority for erosion and sediment
control and stormwater management, or a designated and approved management
agency under § 208 of the CWA that discharges to surface waters;
2. Designed or used for collecting or conveying stormwater;
3. That is not a combined sewer; and
4. That is not part of a publicly owned treatment works.
"Municipal separate storm sewer system" or
"MS4" means all separate storm sewers that are defined as
"large" or "medium" or "small" municipal separate
storm sewer systems or designated under 9VAC25-870-380 A 1.
"Municipal Separate Storm Sewer System Management
Program" or "MS4 Program" means a management program covering
the duration of a state permit for a municipal separate storm sewer system that
includes a comprehensive planning process that involves public participation
and intergovernmental coordination, to reduce the discharge of pollutants to
the maximum extent practicable, to protect water quality, and to satisfy the
appropriate water quality requirements of the CWA and regulations and the Act
and attendant regulations, using management practices, control techniques, and
system, design and engineering methods, and such other provisions that are
appropriate.
"Municipality" means a city, town, county,
district, association, or other public body created by or under state law and
having jurisdiction over disposal of sewage, industrial wastes, or other
wastes, or an Indian tribe or an authorized Indian tribal organization, or a
designated and approved management agency under § 208 of the CWA.
"National Pollutant Discharge Elimination System"
or "NPDES" means the national program for issuing, modifying,
revoking and reissuing, terminating, monitoring and enforcing state permits,
and imposing and enforcing pretreatment requirements under §§ 307, 402,
318, and 405 of the CWA. The term includes an approved program.
"Natural channel design concepts" means the
utilization of engineering analysis based on fluvial geomorphic processes to
create, rehabilitate, restore, or stabilize an open conveyance system for the
purpose of creating or recreating a stream that conveys its bankfull storm
event within its banks and allows larger flows to access its floodplain.
"Natural stream" means a tidal or nontidal
watercourse that is part of the natural topography. It usually maintains a
continuous or seasonal flow during the year and is characterized as being
irregular in cross-section with a meandering course. Constructed channels such
as drainage ditches or swales shall not be considered natural streams; however,
channels designed utilizing natural channel design concepts may be considered
natural streams.
"New discharger" means any building, structure,
facility, or installation:
1. From which there is or may be a discharge of pollutants;
2. That did not commence the discharge of pollutants at a
particular site prior to August 13, 1979;
3. Which is not a new source; and
4. Which has never received a finally effective separate VPDES
or state permit for discharges at that site.
This definition includes an indirect discharger that
commences discharging into surface waters after August 13, 1979. It also
includes any existing mobile point source (other than an offshore or coastal
oil and gas exploratory drilling rig or a coastal oil and gas developmental
drilling rig) such as a seafood processing rig, seafood processing vessel, or
aggregate plant, that begins discharging at a site for which it does not have a
separate VPDES or state permit; and any offshore or coastal mobile oil and gas
exploratory drilling rig or coastal mobile oil and gas developmental drilling
rig that commences the discharge of pollutants after August 13, 1979.
"New permit" means, for the purposes of this
chapter, a state permit issued by the board to a state permit applicant that
does not currently hold and has never held a state permit of that type, for
that activity, at that location. An application for a new permit issued
pursuant to this chapter, 9VAC25-880, or 9VAC25-890 shall not be subject to
§§ 62.1-44.15:3 A and 62.1-44.15:4 D of the Code of Virginia.
"New source," means any building, structure,
facility, or installation from which there is or may be a discharge of
pollutants, the construction of which commenced:
1. After promulgation of standards of performance under
§ 306 of the CWA that are applicable to such source; or
2. After proposal of standards of performance in accordance
with § 306 of the CWA that are applicable to such source, but only if the
standards are promulgated in accordance with § 306 of the CWA within 120
days of their proposal.
"Nonpoint source pollution" means pollution such as
sediment, nitrogen, phosphorous, hydrocarbons, heavy metals, and toxics whose
sources cannot be pinpointed but rather are washed from the land surface in a diffuse
manner by stormwater runoff.
"Oil and gas exploration, production, processing, or
treatment operations or transmission facilities" means all field
activities or operations associated with exploration, production, or treatment
operations, or transmission facilities, including activities necessary to
prepare a site for drilling and for the movement and placement of drilling
equipment, whether or not such field activities or operations may be considered
to be construction activity. (33 USC § 1362(24))
"Operator" means the owner or operator of any
facility or activity subject to the Act and this chapter. In the context of
stormwater associated with a large or small construction activity, operator
means any person associated with a construction project that meets either of
the following two criteria: (i) the person has direct operational control over
construction plans and specifications, including the ability to make
modifications to those plans and specifications or (ii) the person has
day-to-day operational control of those activities at a project that are
necessary to ensure compliance with a stormwater pollution prevention plan for
the site or other state permit or VSMP authority permit conditions (i.e., they
are authorized to direct workers at a site to carry out activities required by
the stormwater pollution prevention plan or comply with other permit
conditions). In the context of stormwater discharges from Municipal Separate
Storm Sewer Systems (MS4s), operator means the operator of the regulated MS4
system.
"Outfall" means, when used in reference to
municipal separate storm sewers, a point source at the point where a municipal
separate storm sewer discharges to surface waters and does not include open
conveyances connecting two municipal separate storm sewers, or pipes, tunnels
or other conveyances which connect segments of the same stream or other surface
waters and are used to convey surface waters.
"Overburden" means any material of any nature,
consolidated or unconsolidated, that overlies a mineral deposit, excluding
topsoil or similar naturally occurring surface materials that are not disturbed
by mining operations.
"Owner" means the Commonwealth or any of its
political subdivisions including sanitation district commissions and
authorities, and any public or private institution, corporation, association,
firm or company organized or existing under the laws of this or any other state
or country, or any officer or agency of the United States, or any person or
group of persons acting individually or as a group that owns, operates,
charters, rents, or otherwise exercises control over or is responsible for any
actual or potential discharge of sewage, industrial wastes, or other wastes or
pollutants to state waters, or any facility or operation that has the
capability to alter the physical, chemical, or biological properties of state
waters in contravention of § 62.1-44.5 of the Code of Virginia, the Act
and this chapter.
"Peak flow rate" means the maximum instantaneous
flow from a prescribed design storm at a particular location.
"Percent impervious" means the impervious area
within the site divided by the area of the site multiplied by 100.
"Permit" or "VSMP authority permit" means
an approval to conduct a land-disturbing activity issued by the VSMP authority
for the initiation of a land-disturbing activity after evidence of general
permit coverage has been provided where applicable.
"Permittee" means the person to whom the state
permit or VSMP authority permit is issued, including any owner or operator
whose construction site is covered under a state construction general permit.
"Person" means any individual, corporation,
partnership, association, state, municipality, commission, or political
subdivision of a state, governmental body, including a federal, state, or local
entity as applicable, any interstate body or any other legal entity.
"Point of discharge" means a location at which
concentrated stormwater runoff is released.
"Point source" means any discernible, confined, and
discrete conveyance including any pipe, ditch, channel, tunnel, conduit, well,
discrete fissure, container, rolling stock, concentrated animal feeding
operation, landfill leachate collection system, vessel, or other floating craft
from which pollutants are or may be discharged. This term does not include
return flows from irrigated agriculture or agricultural stormwater runoff.
"Pollutant" means dredged spoil, solid waste,
incinerator residue, filter backwash, sewage, garbage, sewage sludge,
munitions, chemical wastes, biological materials, radioactive materials (except
those regulated under the Atomic Energy Act of 1954, as amended (42 USC
§ 2011 et seq.)), heat, wrecked or discarded equipment, rock, sand, cellar
dirt and industrial, municipal, and agricultural waste discharged into water.
It does not mean:
1. Sewage from vessels; or
2. Water, gas, or other material that is injected into a well
to facilitate production of oil or gas, or water derived in association with
oil and gas production and disposed of in a well if the well used either to
facilitate production or for disposal purposes is approved by the board and if
the board determines that the injection or disposal will not result in the
degradation of groundwater or surface water resources.
"Pollutant discharge" means the average amount of a
particular pollutant measured in pounds per year or other standard reportable
unit as appropriate, delivered by stormwater runoff.
"Pollution" means such alteration of the physical,
chemical, or biological properties of any state waters as will or is likely to
create a nuisance or render such waters (a) harmful or detrimental or injurious
to the public health, safety, or welfare, or to the health of animals, fish or
aquatic life; (b) unsuitable with reasonable treatment for use as present or
possible future sources of public water supply; or (c) unsuitable for
recreational, commercial, industrial, agricultural, or other reasonable uses,
provided that (i) an alteration of the physical, chemical, or biological
property of state waters, or a discharge or deposit of sewage, industrial
wastes or other wastes to state waters by any owner which by itself is not
sufficient to cause pollution, but which, in combination with such alteration
of or discharge or deposit to state waters by other owners, is sufficient to
cause pollution; (ii) the discharge of untreated sewage by any owner into state
waters; and (iii) contributing to the contravention of standards of water
quality duly established by the State Water Control Board, are "pollution"
for the terms and purposes of this chapter.
"Postdevelopment" refers to conditions that
reasonably may be expected or anticipated to exist after completion of the land
development activity on a specific site.
"Predevelopment" refers to the conditions that
exist at the time that plans for the land development of a tract of land are
submitted to the VSMP authority. Where phased development or plan approval
occurs (preliminary grading, demolition of existing structures, roads and
utilities, etc.), the existing conditions at the time prior to the first item
being submitted shall establish predevelopment conditions.
"Prior developed lands" means land that has been
previously utilized for residential, commercial, industrial, institutional,
recreation, transportation, or utility facilities or structures, and that will
have the impervious areas associated with those uses altered during a
land-disturbing activity.
"Privately owned treatment works" or
"PVOTW" means any device or system that is (i) used to treat wastes
from any facility whose operator is not the operator of the treatment works and
(ii) not a POTW.
"Publicly owned treatment works" or
"POTW" means a treatment works as defined by § 212 of the CWA
that is owned by a state or municipality (as defined by § 502(4) of the
CWA). This definition includes any devices and systems used in the storage,
treatment, recycling, and reclamation of municipal sewage or industrial wastes
of a liquid nature. It also includes sewers, pipes, and other conveyances only
if they convey wastewater to a POTW treatment plant. The term also means the
municipality as defined in § 502(4) of the CWA, that has jurisdiction over
the indirect discharges to and the discharges from such a treatment works.
"Qualified personnel" means a person knowledgeable
in the principles and practices of erosion and sediment and stormwater
management controls who possesses the skills to assess conditions at the
construction site for the operator that could impact stormwater quality and
quantity and to assess the effectiveness of any sediment and erosion control
measures or stormwater management facilities selected to control the quality
and quantity of stormwater discharges from the construction activity. For VSMP
authorities this requires the use of a person who holds a certificate of
competency from the board in the area of project inspection for ESC and project
inspection for SWM or combined administrator for ESC and combined administrator
for SWM as defined in 9VAC25-850-10 or a combination of ESC and SWM qualifications
from these two areas.
"Recommencing discharger" means a source that
recommences discharge after terminating operations.
"Regional administrator" means the Regional
Administrator of Region III of the Environmental Protection Agency or the
authorized representative of the regional administrator.
"Revoked state permit" means, for the purposes of
this chapter, an existing state permit that is terminated by the board before
its expiration.
"Runoff coefficient" means the fraction of total
rainfall that will appear at a conveyance as runoff.
"Runoff" or "stormwater runoff" means
that portion of precipitation that is discharged across the land surface or
through conveyances to one or more waterways.
"Runoff characteristics" includes maximum velocity,
peak flow rate, volume, and flow duration.
"Runoff volume" means the volume of water that runs
off the site from a prescribed design storm.
"Rural Tidewater locality" means any locality that
is (i) subject to the provisions of the Chesapeake Bay Preservation Act (§ 62.1-44.15:67
et seq. of the Code of Virginia) and (ii) eligible to join the Rural Coastal
Virginia Community Enhancement Authority established by Chapter 76 (§ 15.2-7600
et seq.) of Title 15.2 of the Code of Virginia.
"Schedule of compliance" means a schedule of
remedial measures included in a state permit, including an enforceable sequence
of interim requirements (for example, actions, operations, or milestone events)
leading to compliance with the Act, the CWA, and regulations.
"Secretary" means the Secretary of the Army, acting
through the Chief of Engineers.
"Severe property damage" means substantial physical
damage to property, damage to the treatment facilities that causes them to
become inoperable, or substantial and permanent loss of natural resources that
can reasonably be expected to occur in the absence of a bypass. Severe property
damage does not mean economic loss caused by delays in production.
"Significant materials" means, but is not limited
to: raw materials; fuels; materials such as solvents, detergents, and plastic
pellets; finished materials such as metallic products; raw materials used in
food processing or production; hazardous substances designated under
§ 101(14) of CERCLA (42 USC § 9601(14)); any chemical the facility is
required to report pursuant to § 313 of Title III of SARA (42 USC
§ 11023); fertilizers; pesticides; and waste products such as ashes, slag,
and sludge that have the potential to be released with stormwater discharges.
"Single jurisdiction" means, for the purposes of this
chapter, a single county or city. The term county includes incorporated towns
which are part of the county.
"Site" means the land or water area where any
facility or land-disturbing activity is physically located or conducted,
including adjacent land used or preserved in connection with the facility or
land-disturbing activity. Areas channelward of mean low water in tidal Virginia
shall not be considered part of a site.
"Site hydrology" means the movement of water on,
across, through, and off the site as determined by parameters including soil
types, soil permeability, vegetative cover, seasonal water tables, slopes, land
cover, and impervious cover.
"Small construction activity" means:
1. Construction activities including clearing, grading, and
excavating that results in land disturbance of equal to or greater than one
acre and less than five acres. Small construction activity also includes the
disturbance of less than one acre of total land area that is part of a larger
common plan of development or sale if the larger common plan will ultimately
disturb equal to or greater than one and less than five acres. Small
construction activity does not include routine maintenance that is performed to
maintain the original line and grade, hydraulic capacity, or original purpose
of the facility. The board may waive the otherwise applicable requirements in a
general permit for a stormwater discharge from construction activities that
disturb less than five acres where stormwater controls are not needed based on
an approved "total maximum daily load" (TMDL) that addresses the
pollutants of concern or, for nonimpaired waters that do not require TMDLs, an
equivalent analysis that determines allocations for small construction sites
for the pollutants of concern or that determines that such allocations are not
needed to protect water quality based on consideration of existing in-stream
concentrations, expected growth in pollutant contributions from all sources,
and a margin of safety. For the purpose of this subdivision, the pollutants of
concern include sediment or a parameter that addresses sediment (such as total
suspended solids, turbidity, or siltation) and any other pollutant that has
been identified as a cause of impairment of any water body that will receive a
discharge from the construction activity. The operator must certify to the
board that the construction activity will take place, and stormwater discharges
will occur, within the drainage area addressed by the TMDL or equivalent
analysis. As of the start date in Table 1 of 9VAC25-31-1020, all certifications
submitted in support of the waiver shall be submitted electronically by the
owner or operator to the department in compliance with this subdivision and 40
CFR Part 3 (including, in all cases, 40 CFR Part 3 Subpart D), 9VAC25-870-370,
and Part XI (9VAC25-31-950 et seq.) of the Virginia Pollutant Discharge
Elimination System (VPDES) Permit Regulation. Part XI of 9VAC25-31 is not
intended to undo existing requirements for electronic reporting. Prior to this
date, and independent of Part XI of 9VAC25-31, permittees may be required to
report electronically if specified by a particular permit.
2. Any other construction activity designated by either the
board or the EPA regional administrator, based on the potential for contribution
to a violation of a water quality standard or for significant contribution of
pollutants to surface waters.
"Small municipal separate storm sewer system" or
"small MS4" means all separate storm sewers that are (i) owned or
operated by the United States, a state, city, town, borough, county, parish,
district, association, or other public body (created by or pursuant to state
law) having jurisdiction over disposal of sewage, industrial wastes,
stormwater, or other wastes, including special districts under state law such
as a sewer district, flood control district or drainage district, or similar
entity, or an Indian tribe or an authorized Indian tribal organization, or a
designated and approved management agency under § 208 of the CWA that discharges
to surface waters and (ii) not defined as "large" or
"medium" municipal separate storm sewer systems or designated under
9VAC25-870-380 A 1. This term includes systems similar to separate storm sewer
systems in municipalities, such as systems at military bases, large hospital or
prison complexes, and highway and other thoroughfares. The term does not
include separate storm sewers in very discrete areas, such as individual
buildings.
"Source" means any building, structure, facility,
or installation from which there is or may be a discharge of pollutants.
"State" means the Commonwealth of Virginia.
"State application" or "application"
means the standard form or forms, including any additions, revisions, or
modifications to the forms, approved by the administrator and the board for
applying for a state permit.
"State/EPA agreement" means an agreement between
the EPA regional administrator and the state that coordinates EPA and state
activities, responsibilities, and programs including those under the CWA and
the Act.
"State permit" means an approval to conduct a
land-disturbing activity issued by the board in the form of a state stormwater
individual permit or coverage issued under a state general permit or an
approval issued by the board for stormwater discharges from an MS4. Under these
state permits, the Commonwealth imposes and enforces requirements pursuant to
the federal Clean Water Act and regulations, the Act, and this chapter. As the
mechanism that imposes and enforces requirements pursuant to the federal Clean
Water Act and regulations, a state permit for stormwater discharges from an MS4
and, after June 30, 2014, a state permit for conducting a land-disturbing
activity issued pursuant to the Act, are also types of Virginia Pollutant
Discharge Elimination System (VPDES) Permits. State permit does not include any
state permit that has not yet been the subject of final board action, such as a
draft state permit. Approvals issued pursuant to this chapter, 9VAC25-880, and
9VAC25-890 are not issuances of a permit under § 62.1-44.15.01 of the Code
of Virginia.
"State project" means any land development project
that is undertaken by any state agency, board, commission, authority, or any
branch of state government, including state-supported institutions of higher
learning.
"State Water Control Law" means Chapter 3.1
(§ 62.1-44.2 et seq.) of Title 62.1 of the Code of Virginia.
"State waters" means all water, on the surface and
under the ground, wholly or partially within or bordering the Commonwealth or
within its jurisdiction, including wetlands.
"Stormwater" means precipitation that is discharged
across the land surface or through conveyances to one or more waterways and
that may include stormwater runoff, snow melt runoff, and surface runoff and
drainage.
"Stormwater conveyance system" means a combination
of drainage components that are used to convey stormwater discharge, either
within or downstream of the land-disturbing activity. This includes:
1. "Manmade stormwater conveyance system" means a
pipe, ditch, vegetated swale, or other stormwater conveyance system constructed
by man except for restored stormwater conveyance systems;
2. "Natural stormwater conveyance system" means the
main channel of a natural stream and the flood-prone area adjacent to the main
channel; or
3. "Restored stormwater conveyance system" means a
stormwater conveyance system that has been designed and constructed using
natural channel design concepts. Restored stormwater conveyance systems include
the main channel and the flood-prone area adjacent to the main channel.
"Stormwater discharge associated with construction
activity" means a discharge of stormwater runoff from areas where
land-disturbing activities (e.g., clearing, grading, or excavation);
construction materials or equipment storage or maintenance (e.g., fill piles,
borrow area, concrete truck washout, fueling); or other industrial stormwater
directly related to the construction process (e.g., concrete or asphalt batch
plants) are located.
"Stormwater discharge associated with large construction
activity" means the discharge of stormwater from large construction
activities.
"Stormwater discharge associated with small construction
activity" means the discharge of stormwater from small construction
activities.
"Stormwater management facility" means a control
measure that controls stormwater runoff and changes the characteristics of that
runoff including the quantity and quality, the period of release or the
velocity of flow.
"Stormwater management plan" means a document containing
material for describing methods for complying with the requirements of the VSMP
or this chapter. An agreement in lieu of a stormwater management plan as
defined in this chapter shall be considered to meet the requirements of a
stormwater management plan.
"Stormwater Pollution Prevention Plan" or
"SWPPP" means a document that is prepared in accordance with good
engineering practices and that identifies potential sources of pollutants that
may reasonably be expected to affect the quality of stormwater discharges. A
SWPPP required under a VSMP for construction activities shall identify and
require the implementation of control measures and shall include or incorporate
by reference an approved erosion and sediment control plan, an approved
stormwater management plan, and a pollution prevention plan.
"Subdivision" means the same as defined in
§ 15.2-2201 of the Code of Virginia.
"Surface waters" 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), mudflats, sandflats, 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 any such waters:
a. That are or could be used by interstate or foreign
travelers for recreational or other purposes;
b. From which fish or shellfish are or could be taken and sold
in interstate or foreign commerce; or
c. That are used or could be used for industrial purposes by
industries in interstate commerce;
4. All impoundments of waters otherwise defined as surface
waters under this definition;
5. Tributaries of waters identified in subdivisions 1 through
4 of this definition;
6. The territorial sea; and
7. Wetlands adjacent to waters (other than waters that are
themselves wetlands) identified in subdivisions 1 through 6 of this definition.
Waste treatment systems, including treatment ponds or lagoons
designed to meet the requirements of the CWA and the law, are not surface
waters. Surface waters do not include prior converted cropland. Notwithstanding
the determination of an area's status as prior converted cropland by any other
agency, for the purposes of the CWA, the final authority regarding the CWA
jurisdiction remains with the EPA.
"SWM" means stormwater management.
"Total dissolved solids" means the total dissolved
(filterable) solids as determined by use of the method specified in 40 CFR
Part 136.
"Total maximum daily load" or "TMDL"
means the sum of the individual wasteload allocations for point sources, load
allocations (LAs) for nonpoint sources, natural background loading, and a
margin of safety. TMDLs can be expressed in terms of either mass per time,
toxicity, or other appropriate measure. The TMDL process provides for point
versus nonpoint source trade-offs.
"TMDL Action Plan" means the scheduled steps of
activities that the MS4 operator will take to address the assumptions and
requirements of the TMDL wasteload allocation. TMDL action plans may be
implemented in multiple phases over more than one state permit cycle.
"Toxic pollutant" means any pollutant listed as
toxic under § 307(a)(1) of the CWA or, in the case of sludge use or
disposal practices, any pollutant identified in regulations implementing
§ 405(d) of the CWA.
"Upset" means an exceptional incident in which
there is unintentional and temporary noncompliance with technology based state
permit effluent limitations because of factors beyond the reasonable control of
the operator. An upset does not include noncompliance to the extent caused by
operational error, improperly designed treatment facilities, inadequate
treatment facilities, lack of preventive maintenance, or careless or improper
operation.
"Variance" means any mechanism or provision under
§ 301 or § 316 of the CWA or under 40 CFR Part 125, or in the
applicable federal effluent limitations guidelines that allows modification to
or waiver of the generally applicable effluent limitation requirements or time
deadlines of the CWA. This includes provisions that allow the establishment of
alternative limitations based on fundamentally different factors or on
§ 301(c), § 301(g), § 301(h), § 301(i), or § 316(a) of
the CWA.
"Virginia Erosion and Sediment Control Program" or
"VESCP" means a program approved by the board that has been established
by a VESCP authority for the effective control of soil erosion, sediment
deposition, and nonagricultural runoff associated with a land-disturbing
activity to prevent the unreasonable degradation of properties, stream
channels, waters, and other natural resources and shall include such items
where applicable as local ordinances, rules, permit requirements, annual
standards and specifications, policies and guidelines, technical materials, and
requirements for plan review, inspection, enforcement where authorized in the
Erosion and Sediment Control Act and its attendant regulations, and evaluation
consistent with the requirements of the Erosion and Sediment Control Act and
its attendant regulations.
"Virginia Erosion and Sediment Control Program authority"
or "VESCP authority" means an authority approved by the board to
operate a Virginia Erosion and Sediment Control Program. An authority may
include a state entity, including the department; a federal entity; a district,
county, city, or town; or for linear projects subject to annual standards and
specifications, electric, natural gas and telephone utility companies,
interstate and intrastate natural gas pipeline companies, railroad companies,
or authorities created pursuant to § 15.2-5102 of the Code of Virginia.
"Virginia Pollutant Discharge Elimination System (VPDES)
permit" or "VPDES permit" means a document issued by the State
Water Control Board pursuant to the State Water Control Law authorizing, under
prescribed conditions, the potential or actual discharge of pollutants from a
point source to surface waters.
"Virginia Stormwater Management Act" means Article
2.3 (§ 62.1-44.15:24 et seq.) of Chapter 3.1 of Title 62.1 of the Code of
Virginia.
"Virginia Stormwater BMP Clearinghouse Website"
means a website that contains detailed design standards and specifications for
control measures that may be used in Virginia to comply with the requirements
of the Virginia Stormwater Management Act and associated regulations.
"Virginia Stormwater Management Handbook" means a
collection of pertinent information that provides general guidance for
compliance with the Act and associated regulations and is developed by the
department with advice from a stakeholder advisory committee.
"Virginia Stormwater Management Program" or
"VSMP" means a program approved by the board after September 13,
2011, that has been established by a VSMP authority to manage the quality and
quantity of runoff resulting from land-disturbing activities and shall include
such items as local ordinances, rules, permit requirements, annual standards
and specifications, policies and guidelines, technical materials, and
requirements for plan review, inspection, enforcement, where authorized in the
Act and associated regulations, and evaluation consistent with the requirements
of the SWM Act and associated regulations.
"VSMP authority" means an authority approved by the
board after September 13, 2011, to operate a Virginia Stormwater Management
Program or the department. An authority may include a locality as set forth in
§ 62.1-44.15:27 of the Code of Virginia; state entity, including the
department; federal entity; or, for linear projects subject to annual standards
and specifications in accordance with subsection B of § 62.1-44.15:31 of
the Code of Virginia, electric, natural gas, and telephone utility companies,
interstate and intrastate natural gas pipeline companies, railroad companies,
or authorities created pursuant to § 15.2-5102 of the Code of Virginia.
Prior to approval, the board must find that the ordinances adopted by the
locality's VSMP authority are consistent with the Act and this chapter
including the General Permit for Discharges of Stormwater from Construction
Activities (9VAC25-880).
"Wasteload allocation" or "wasteload" or
"WLA" means the portion of a receiving surface water's loading or
assimilative capacity allocated to one of its existing or future point sources
of pollution. WLAs are a type of water quality-based effluent limitation.
"Water quality standards" or "WQS" means
provisions of state or federal law that consist of a designated use or uses for
the waters of the Commonwealth and water quality criteria for such waters based
on such uses. Water quality standards are to protect the public health or
welfare, enhance the quality of water, and serve the purposes of the State
Water Control Law (§ 62.1-44.2 et seq. of the Code of Virginia), the Act
(§ 62.1-44.15:24 et seq. of the Code of Virginia), and the CWA (33 USC
§ 1251 et seq.).
"Water quantity technical criteria" means standards
that establish minimum design criteria for measures to control localized
flooding and stream channel erosion.
"Watershed" means a defined land area drained by a
river or stream, karst system, or system of connecting rivers or streams such
that all surface water within the area flows through a single outlet. In karst
areas, the karst feature to which the water drains may be considered the single
outlet for the watershed.
"Wetlands" means those areas that are inundated or
saturated by surface water or groundwater at a frequency and duration
sufficient to support, and that under normal circumstances do support, a
prevalence of vegetation typically adapted for life in saturated soil
conditions. Wetlands generally include swamps, marshes, bogs, and similar areas.
"Whole effluent toxicity" means the aggregate toxic
effect of an effluent measured directly by a toxicity test.
9VAC25-870-65. Water quality compliance.
A. Compliance with the water quality design criteria set out
in subdivisions A 1 and A 2 of 9VAC25-870-63 shall be determined by utilizing
the Virginia Runoff Reduction Method or another equivalent methodology that is
approved by the board.
B. The nonproprietary BMPs listed in this subsection
are approved for use as necessary to effectively reduce the phosphorus load
and runoff volume in accordance with the Virginia Runoff Reduction Method.
Other approved nonproprietary BMPs found on the Virginia Stormwater BMP
Clearinghouse Website may also be utilized. Design specifications and the
pollutant removal efficiencies for all approved nonproprietary BMPs are
found on the Virginia Stormwater BMP Clearinghouse Website.
1. Vegetated Roof (Version 2.3, March 1, 2011);
2. Rooftop Disconnection (Version 1.9, March 1, 2011);
3. Rainwater Harvesting (Version 1.9.5, March 1, 2011);
4. Soil Amendments (Version 1.8, March 1, 2011);
5. Permeable Pavement (Version 1.8, March 1, 2011);
6. Grass Channel (Version 1.9, March 1, 2011);
7. Bioretention (Version 1.9, March 1, 2011);
8. Infiltration (Version 1.9, March 1, 2011);
9. Dry Swale (Version 1.9, March 1, 2011);
10. Wet Swale (Version 1.9, March 1, 2011);
11. Sheet Flow to Filter/Open Space (Version 1.9, March 1,
2011);
12. Extended Detention Pond (Version 1.9, March 1, 2011);
13. Filtering Practice (Version 1.8, March 1, 2011);
14. Constructed Wetland (Version 1.9, March 1, 2011); and
15. Wet Pond (Version 1.9, March 1, 2011).
C. Nonproprietary BMPs differing from those listed in
subsection B of this section or proprietary BMPs certified in other states
shall be reviewed and approved by the director in accordance with procedures
established by the department.
D. Proprietary BMPs listed on the Virginia Stormwater BMP
Clearinghouse Website are approved for use in accordance with the Virginia
Runoff Reduction Method.
1. Any proprietary BMP listed on the Virginia Stormwater
BMP Clearinghouse Website prior to July 1, 2020, shall by December 31, 2021,
provide documentation to the department showing that another state, regional,
or national certification program has verified and certified its nutrient or
sediment removal effectiveness. Any proprietary BMP that fails to provide the
department with the documentation required by December 31, 2021, shall not be
approved for use in any stormwater management plan submitted on or after
January 1, 2022, until such proprietary BMP provides the department with such
required documentation.
2. Any proprietary BMP approved for use after July 1, 2020,
must meet the requirements of § 62.1-44.15:28 A 9 of the Code of Virginia.
E. A VSMP authority may establish limitations on the
use of specific BMPs in accordance with § 62.1-44.15:33 of the Code of
Virginia.
E. F. The VSMP authority shall have the
discretion to allow for application of the design criteria to each drainage
area of the site. However, where a site drains to more than one HUC, the
pollutant load reduction requirements shall be applied independently within
each HUC unless reductions are achieved in accordance with a comprehensive
watershed stormwater management plan in accordance with 9VAC25-870-92.
F. G. Offsite alternatives where allowed in
accordance with 9VAC25-870-69 may be utilized to meet the design criteria of
subsection A of 9VAC25-870-63.
H. Any publicly owned treatment works that is permitted
under the watershed general VPDES permit pursuant to § 62.1-44.19:14 of
the Code of Virginia and is constructing or expanding the treatment works,
wastewater collection system, or other facility used for public wastewater
utility operations may, in accordance with § 62.1-44.19:21.2 C of the Code of
Virginia, permanently retire a portion of its wasteload allocation to meet the
design criteria of subsection A of 9VAC25-870-63. Notice shall be given by such
applicant to the VSMP authority and to the department.
9VAC25-870-112. Long-term maintenance of permanent stormwater
management facilities.
A. The VSMP authority shall require the provision of
long-term responsibility for and maintenance of stormwater management
facilities and other techniques specified to manage the quality and quantity of
runoff. Such requirements shall be set forth in an instrument recorded in the
local land records prior to state permit termination or earlier as required by
the VSMP authority and shall at a minimum:
1. Be submitted to the VSMP authority for review and approval
prior to the approval of the stormwater management plan;
2. Be stated to run with the land;
3. Provide for all necessary access to the property for
purposes of maintenance and regulatory inspections;
4. Provide for inspections and maintenance and the submission
of inspection and maintenance reports to the VSMP authority; and
5. Be enforceable by all appropriate governmental parties.
B. At the discretion of the VSMP authority, such recorded
instruments need not be required for stormwater management facilities designed
to treat stormwater runoff primarily from an individual residential lot on
which they are located, provided it is demonstrated to the satisfaction of the
VSMP authority that future maintenance of such facilities will be addressed
through an enforceable mechanism at the discretion of the VSMP authority.
C. In addition to the requirements of subsection A of this
section, any owner of property that is zoned for residential use and on which
is located a privately owned stormwater management facility serving one or more
residential properties shall record the long-term maintenance and inspection
requirements for such facility with the deed for the property.
VA.R. Doc. No. R21-6489; Filed September 29, 2020, 5:06 a.m.
TITLE 9. ENVIRONMENT
STATE WATER CONTROL BOARD
Final Regulation
Final Regulation
REGISTRAR'S NOTICE: The
State Water Control Board is claiming an exemption from Article 2 of 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 or the appropriation act where no agency
discretion is involved. The State Water Control Board will receive, consider,
and respond to petitions by any interested person at any time with respect to
reconsideration or revision.
Title of Regulation: 9VAC25-880. General VPDES Permit
for Discharges of Stormwater from Construction Activities (amending 9VAC25-880-50).
Statutory Authority: § 62.1-44.15:25 of the Code of
Virginia.
Effective Date: November 25, 2020.
Agency Contact: Erin Belt, Department of Environmental
Quality, 1111 East Main Street, Suite 1400, P.O. Box 1105, Richmond, VA 23218,
telephone (757) 374-4621, or email erin.belt@deq.virginia.gov.
Summary:
Pursuant to Chapter 565 of the 2020 Acts of Assembly, the
amendments clarify the process whereby any person that receives coverage under
the General Virginia Pollutant Discharge Elimination System (VPDES) Permit for
Discharges of Stormwater from Construction Activities that will be transporting
fill from a project site for disposal off site as part of its land-disturbing
activities discloses to the department as part of its registration statement
(i) the source of the fill to be disposed of, (ii) the contents of the fill,
and (iii) the off-site location of the disposal.
9VAC25-880-50. Registration statement.
A. Deadlines for submitting registration statement. Any
operator seeking coverage under this general permit, and that is required to
submit a registration statement, shall submit a complete and accurate general
VPDES permit registration statement in accordance with this section, which
shall serve as a notice of intent for coverage under the general VPDES permit
for discharges of stormwater from construction activities.
1. New construction activities.
a. Any operator proposing a new stormwater discharge from
construction activities shall submit a complete and accurate registration statement
to the VSMP authority prior to the commencement of land disturbance.
b. Any operator proposing a new stormwater discharge from
construction activities in response to a public emergency where the related
work requires immediate authorization to avoid imminent endangerment to human
health or the environment is authorized to discharge under this general permit,
provided that:
(1) The operator submits a complete and accurate registration
statement to the VSMP authority no later than 30 days after commencing land
disturbance; and
(2) Documentation to substantiate the occurrence of the public
emergency is provided with the registration statement.
c. Any operator proposing a new stormwater discharge
associated with the construction of a single-family detached residential
structure, within or outside a common plan of development or sale, is
authorized to discharge under this general permit and is not required to submit
a registration statement or the department portion of the permit fee.
2. Existing construction activities.
a. Any operator who was authorized to discharge under the
expiring or expired general permit and who intends to continue coverage under
this general permit shall:
(1) Submit a complete and accurate registration statement to
the VSMP authority at least 60 days prior to the expiration date of the
existing permit or a later submittal date established by the board; and
(2) Update its stormwater pollution prevention plan to comply
with the requirements of this general permit no later than 60 days after the
date of coverage under this general permit.
b. Any operator with an existing stormwater discharge
associated with the construction of a single-family detached residential
structure, within or outside a common plan of development or sale that intends
to continue coverage under this general permit, is authorized to discharge
under this general permit and is not required to submit a registration
statement or the department portion of the permit fee, provided that the
operator updates its stormwater pollution prevention plan to comply with the
requirements of this general permit no later than 60 days after the date of
coverage under this general permit.
3. For stormwater discharges from construction activities
where the operator changes, the new operator shall submit a complete and
accurate registration statement or transfer agreement form and any other
documents deemed necessary by the VSMP authority to the VSMP authority to
demonstrate transfer of ownership and long-term maintenance responsibilities
for stormwater management facilities, as required, has occurred prior to
assuming operational control over site specifications or commencing work
on-site.
4. Late notifications. Operators are not prohibited from
submitting registration statements after commencing land disturbance. When a
late registration statement is submitted, authorization for discharges shall
not occur until coverage under the general permit is issued. The VSMP
authority, department, board, and the EPA reserve the right to take enforcement
action for any unpermitted discharges that occur between the commencement of
land disturbance and discharge authorization.
5. Late registration statements. Registration statements for
existing facilities covered under subdivision A 2 a of this section will be
accepted after the expiration date of this permit, but authorization to
discharge will not be retroactive. The VSMP authority, department, board, and
the EPA reserve the right to take enforcement action for any unpermitted
discharges that occur after existing permit coverage expires and prior to
coverage under this permit is approved.
B. Registration statement. The operator shall submit a
registration statement to the VSMP authority that contains the following
information:
1. Name, contact, mailing address, telephone number, and email
address if available of the construction activity operator. No more than one
operator may receive coverage under each registration statement;
NOTE: General permit coverage will be issued to this operator,
and the certification in subdivision 17 of this subsection shall be signed by
the appropriate person associated with this operator as described in Part III K
of 9VAC25-880-70.
2. Name and physical location address of the construction
activity, when available, to be covered under this general permit, including
city or county, and latitude and longitude in decimal degrees (six digits -
ten-thousandths place);
3. A site map (in an 8.5 inch by 11 inch format) showing the
location of the existing or proposed land-disturbing activities for which the
operator is seeking permit coverage, the limits of land disturbance,
construction entrances, on-site support activities, and all water bodies
receiving stormwater discharges from the site;
4. If offsite off-site support activities will
be used, the name and physical location address, when available, of those
offsite all off-site support activities, including city or county;
latitude and longitude in decimal degrees (six digits - ten-thousandths place);
and whether or not the offsite off-site support activity will be
covered under this general permit or a separate VPDES permit;
5. If excavated material (i.e., fill) will be transported
off site for disposal, the name and physical location address, when available,
of all off-site excavated material disposal areas, including city or county;
latitude and longitude in decimal degrees (six digits – ten-thousandths place);
and the contents of the excavated material;
6. Status of the construction activity: federal, state,
public, or private;
6. 7. Nature of the construction activity (e.g.,
commercial, industrial, residential, agricultural, oil and gas, etc.);
7. 8. If stormwater management plans for the
construction activity have been approved by an entity with department approved
annual standards and specifications, the name of the entity with the department
approved annual standards and specifications. A copy of the annual standard and
specification entity form shall be submitted with the registration statement;
8. 9. If the construction activity was
previously authorized to discharge under the general permit effective July 1,
2014, the date of erosion and sediment control plan approval for the estimated
area to be disturbed by the construction activity during this permit term;
9. 10. If the construction activity was
previously authorized to discharge under the general permit effective July 1,
2014, whether land disturbance has commenced;
10. 11. Name of the receiving waters and sixth
order Hydrologic Unit Code (HUC);
11. 12. If the discharge is through a municipal
separate storm sewer system (MS4), the name of the MS4 operator;
12. 13. Estimated project start date and
completion date;
13. 14. Total land area of development and
estimated area to be disturbed by the construction activity during this permit
term (to the nearest one-hundredth of an acre);
14. 15. Whether the area to be disturbed by the
construction activity is part of a larger common plan of development or sale;
15. 16. If nutrient credits are to be used to
demonstrate compliance with the water quality technical criteria as allowed in
9VAC25-870-65 F, a letter of availability from an appropriate nutrient bank
that nonpoint source nutrient credits are available;
16. 17. A stormwater pollution prevention plan
(SWPPP) shall be prepared in accordance with the requirements of the General
VPDES Permit for Stormwater Discharges from Construction Activities prior to
submitting the registration statement. By signing the registration statement,
the operator certifies that the SWPPP has been prepared; and
17. 18. The following certification: "I
certify under penalty of law that I have read and understand this registration
statement and that this document and all attachments were prepared in
accordance with a system designed to assure that qualified personnel properly
gathered and evaluated the information submitted. Based on my inquiry of the
person or persons who manage the system or those persons directly responsible
for gathering the information, the information submitted is to the best of my
knowledge and belief true, accurate, and complete. I am aware that there are
significant penalties for submitting false information including the
possibility of fine and imprisonment for knowing violations."
C. The registration statement shall be signed in accordance
with 9VAC25-880-70, Part III K.
VA.R. Doc. No. R21-6490; Filed September 29, 2020, 5:11 a.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF PHARMACY
Final Regulation
REGISTRAR'S NOTICE: The
Board of Pharmacy is claiming an exemption from Article 2 of the Administrative
Process Act in accordance with § 2.2-4006 A 13 of the Code of Virginia,
which exempts amendments to regulations of the board to schedule a substance in
Schedule I or II pursuant to subsection D of § 54.1-3443 of the Code of
Virginia. The board will receive, consider, and respond to petitions by any
interested person at any time with respect to reconsideration or revision.
Title of Regulation: 18VAC110-20. Regulations
Governing the Practice of Pharmacy (amending 18VAC110-20-322).
Statutory Authority: §§ 54.1-2400 and 54.1-3443 of the
Code of Virginia.
Effective Date: November 25, 2020.
Agency Contact: Caroline Juran, RPh, Executive Director,
Board of Pharmacy, 9960 Mayland Drive, Suite 300, Richmond, VA 23233-1463,
telephone (804) 367-4456, FAX (804) 527-4472, or email caroline.juran@dhp.virginia.gov.
Summary:
The amendments add 13 compounds into Schedule I of the Drug
Control Act as recommended by the Department of Forensic Science pursuant to §
54.1-3443 of the Code of Virginia. These compounds added by regulatory action
will remain in effect for 18 months or until the compounds are placed in
Schedule I by legislative action of the General Assembly.
18VAC110-20-322. Placement of chemicals in Schedule I.
A. Pursuant to subsection D of § 54.1-3443 of the Code of
Virginia, the Board of Pharmacy places the following in Schedule I of the Drug
Control Act:
1. Synthetic opioids.
a. N-[2-(dimethylamino)cyclohexyl]-N-phenylfuran-2-carboxamide
(other name: Furanyl UF-17), its isomers, esters, ethers, salts, and salts of
isomers, esters, and ethers, unless specifically excepted, whenever the
existence of these isomers, esters, ethers, and salts is possible within the
specific chemical designation.
b.
N-[2-(dimethylamino)cyclohexyl]-N-phenylpropionamide (other name: UF-17), its
isomers, esters, ethers, salts, and salts of isomers, esters, and ethers,
unless specifically excepted, whenever the existence of these isomers, esters,
ethers, and salts is possible within the specific chemical designation.
2. Research chemicals.
a. 5-methoxy-N,N-dibutyltryptamine (other name:
5-methoxy-DBT), its optical, position, and geometric isomers, salts, and salts
of isomers whenever the existence of such salts, isomers, and salts of isomers
is possible within the specific chemical designation.
b. 1-(1,3-benzodioxol-5-yl)-2-(ethylamino)-1-butanone (other
name: Eutylone, bk-EBDB), its optical, position, and geometric isomers, salts,
and salts of isomers whenever the existence of such salts, isomers, and salts
of isomers is possible within the specific chemical designation.
c. 1-(1,3-benzodioxol-5-yl)-2-(butylamino)-1-pentanone (other
name: N-butylpentylone), its optical, position, and geometric isomers, salts,
and salts of isomers whenever the existence of such salts, isomers, and salts
of isomers is possible within the specific chemical designation.
d. N-benzyl-3,4-dimethoxyamphetamine (other name:
N-benzyl-3,4-DMA), its optical, position, and geometric isomers, salts, and
salts of isomers whenever the existence of such salts, isomers, and salts of
isomers is possible within the specific chemical designation.
e. 3,4-methylenedioxy-N-benzylcathinone (other name: BMDP),
its optical, position, and geometric isomers, salts, and salts of isomers
whenever the existence of such salts, isomers, and salts of isomers is possible
within the specific chemical designation.
3. Cannabimimetic agents.
a. Ethyl
2-({1-[(4-fluorophenyl)methyl]-1H-indazole-3-carbonyl}amino)-3-methylbutanoate
(other name: EMB-FUBINACA), its salts, isomers, and salts of isomers whenever
the existence of such salts, isomers, and salts of isomers is possible within
the specific chemical designation.
b. Methyl
2-[1-4-fluorobutyl)-1H-indazole-3-carboxamido]-3,3-dimethylbutanoate (other
name: 4-fluoro-MDMB-BUTINACA), its salts, isomers, and salts of isomers
whenever the existence of such salts, isomers, and salts of isomers is possible
within the specific chemical designation.
The placement of drugs listed in this subsection shall remain
in effect until June 10, 2021, unless enacted into law in the Drug Control Act.
B. Pursuant to subsection D of § 54.1-3443 of the Code of
Virginia, the Board of Pharmacy places the following in Schedule I of the Drug
Control Act:
1. Synthetic opioids.
a.
N-phenyl-N-[1-(2-phenylmethyl)-4-piperidinyl]-2-furancarboxamide (other name:
N-benzyl Furanyl norfentanyl), its isomers, esters, ethers, salts, and salts of
isomers, esters, and ethers, unless specifically excepted, whenever the
existence of these isomers, esters, ethers, and salts is possible within the
specific chemical designation.
b.
1-[2-methyl-4-(3-phenyl-2-propen-1-yl)-1-piperazinyl]-1-butanone (other name:
2-methyl AP-237), its isomers, esters, ethers, salts, and salts of isomers,
esters, and ethers, unless specifically excepted, whenever the existence of
these isomers, esters, ethers, and salts is possible within the specific
chemical designation.
2. Research chemicals.
a. N-hexyl-3,4-dimethoxyamphetamine (other names:
N-hexyl-3.4-DMA), its optical, position, and geometric isomers, salts, and
salts of isomers whenever the existence of such salts, isomers, and salts of
isomers is possible within the specific chemical designation.
b. N-heptyl-3,4-dimethoxyamphetamine (other names:
N-heptyl-3.4-DMA), its optical, position, and geometric isomers, salts, and
salts of isomers whenever the existence of such salts, isomers, and salts of
isomers is possible within the specific chemical designation.
c. 2-(isobutylamino)-1-phenylhexan-1-one (other names:
N-Isobutyl Hexedrone, a-isobutylaminohexanphenone), its optical, position,
and geometric isomers, salts, and salts of isomers whenever the existence of
such salts, isomers, and salts of isomers is possible within the specific
chemical designation.
d.
1-(benzo[d][1,3]dioxol-5-yl)-2-(sec-butylamino)pentan-1-one (other name:
N-sec-butyl Pentylone), its optical, position, and geometric isomers, salts,
and salts of isomers whenever the existence of such salts, isomers, and salts
of isomers is possible within the specific chemical designation.
e. 2-fluoro-Deschloroketamine (other name:
2-(2-fluorophenyl)-2-(methylamino)-cyclohexanone), its optical, position, and
geometric isomers, salts, and salts of isomers whenever the existence of such
salts, isomers, and salts of isomers is possible within the specific chemical
designation.
3. Cannabimimetic agents.
a. Methyl 2-[1-(5-fluoropentyl)-1H-indole-3-carboxamido]-3-methylbutanoate
(other name: MMB 2201), its salts, isomers, and salts of isomers whenever the
existence of such salts, isomers, and salts of isomers is possible within the
specific chemical designation.
b. Methyl 2-[1-(4-penten-1-yl)-1H-indole-3-carboxamido]-3-methylbutanoate
(other names: MMB022, MMB-4en-PICA), its salts, isomers, and salts of isomers
whenever the existence of such salts, isomers, and salts of isomers is possible
within the specific chemical designation.
c. Methyl 2-[1-(5-fluoropentyl)-1H-indole-3-carboxamido]-3-phenylpropanoate
(other name: 5-fluoro-MPP-PICA), its salts, isomers, and salts of isomers
whenever the existence of such salts, isomers, and salts of isomers is possible
within the specific chemical designation.
d.
1-(5-fluoropentyl)-N-(1-methyl-1-phenylethyl)-1H-indole-3-carboxamide (other
name: 5-fluoro CUMYL-PICA), its salts, isomers, and salts of isomers whenever
the existence of such salts, isomers, and salts of isomers is possible within
the specific chemical designation.
The placement of drugs listed in this subsection shall remain
in effect until February 4, 2022, unless enacted into law in the Drug Control
Act.
C. Pursuant to subsection D of § 54.1-3443 of the Code of
Virginia, the Board of Pharmacy places the following in Schedule I of the Drug
Control Act:
1. Synthetic opioids.
a. N-phenyl-N-(4-piperidinyl)-propanamide (other name:
Norfentanyl), its isomers, esters, ethers, salts, and salts of isomers, esters,
and ethers, unless specifically excepted, whenever the existence of these
isomers, esters, ethers, and salts is possible within the specific chemical
designation.
b.
N,N-diethyl-2-(2-(4-isopropoxybenzyl)-5-nitro-1H-benzimidazol-1-yl)ethan-1-amine
(other name: Isotonitazene), its isomers, esters, ethers, salts, and salts of
isomers, esters, and ethers, unless specifically excepted, whenever the
existence of these isomers, esters, ethers, and salts is possible within the
specific chemical designation.
2. Research chemicals.
a. (2-ethylaminopropyl)benzofuran (other name: EAPB), its
optical, position, and geometric isomers, salts, and salts of isomers whenever
the existence of such salts, isomers, and salts of isomers is possible within
the specific chemical designation.
b. 2-(ethylamino)-1-phenylheptan-1-one (other name:
N-ethylheptedrone), its optical, position, and geometric isomers, salts, and
salts of isomers whenever the existence of such salts, isomers, and salts of
isomers is possible within the specific chemical designation.
c. 4-ethyl-2,5-dimethoxy-N-[(2-hydroxyphenyl)methyl]-benzeneethanamine
(other name: 25E-NBOH), its optical, position, and geometric isomers, salts,
and salts of isomers whenever the existence of such salts, isomers, and salts
of isomers is possible within the specific chemical designation.
d. 4-hydroxy-N-ethyl-N-propyltryptamine (other name:
4-hydroxy-EPT), its optical, position, and geometric isomers, salts, and salts
of isomers whenever the existence of such salts, isomers, and salts of isomers
is possible within the specific chemical designation.
e. N-ethyl-1-(3-hydroxyphenyl)cyclohexylamine (other name:
3-hydroxy-PCE), its optical, position, and geometric isomers, salts, and salts
of isomers whenever the existence of such salts, isomers, and salts of isomers
is possible within the specific chemical designation.
f. 1-cyclopropionyl lysergic acid diethylamide (other name:
1cP-LSD), its optical, position, and geometric isomers, salts, and salts of
isomers whenever the existence of such salts, isomers, and salts of isomers is
possible within the specific chemical designation.
g. 1-(4-methoxyphenyl)-N-methylpropan-2-amine (other names:
para-Methoxymethamphetamine, PMMA), its optical, position, and geometric
isomers, salts, and salts of isomers whenever the existence of such salts,
isomers, and salts of isomers is possible within the specific chemical
designation.
3. Cannabimimetic agents.
a. Methyl
2-[1-(pent-4-enyl)-1H-indazole-3-carboxamindo]-3,3-dimethylbutanoate (other
name: MDMB-4en-PINACA), its salts, isomers, and salts of isomers whenever the
existence of such salts, isomers, and salts of isomers is possible within the
specific chemical designation.
b.
N-(1-amino-3,3-dimethyl-1-oxobutan-2-yl)-1-butylindazole-3-carboxamide (other
name: ADB-BUTINACA), its salts, isomers, and salts of isomers whenever the
existence of such salts, isomers, and salts of isomers is possible within the
specific chemical designation.
c.
N-(1-amino-3-methyl-1-oxobutan-2-yl)-1-(5-chloropentyl)indazole-3-carboxamide
(other name: 5-chloro-AB-PINACA), its salts, isomers, and salts of isomers
whenever the existence of such salts, isomers, and salts of isomers is possible
within the specific chemical designation.
d. Methyl
2-({1-[(4-fluorophenyl)methyl]-1H-indole-3-carbonyl}amino)-3-methylbutanoate
(other names: MMB-FUBICA, AMB-FUBICA), its salts, isomers, and salts of isomers
whenever the existence of such salts, isomers, and salts of isomers is possible
within the specific chemical designation.
The placement of drugs listed in this subsection shall
remain in effect until May 24, 2022, unless enacted into law in the Drug
Control Act.
VA.R. Doc. No. R21-6502; Filed October 5, 2020, 2:47 p.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF PHARMACY
Final Regulation
REGISTRAR'S NOTICE: The
Board of Pharmacy is claiming an exemption from Article 2 of 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 or the appropriation act where no agency discretion is involved.
The Board of Pharmacy will receive, consider, and respond to petitions by any
interested person at any time with respect to reconsideration or revision.
Title of Regulation: 18VAC110-40. Regulations
Governing Collaborative Practice Agreements (amending 18VAC110-40-20).
Statutory Authority: §§ 54.1-2400, 54.1-3300, and
54.1-3300.1 of the Code of Virginia.
Effective Date: November 25, 2020.
Agency Contact: Caroline Juran, RPh, Executive Director,
Board of Pharmacy, 9960 Mayland Drive, Suite 300, Richmond, VA 23233-1463,
telephone (804) 367-4456, FAX (804) 527-4472, or email
caroline.juran@dhp.virginia.gov.
Summary:
Pursuant to Chapter 731 of the 2020 Acts of the Assembly,
the amendment provides that a patient must sign a document to opt out of
participation in a procedure using a collaborative agreement rather than
signing a document consenting to the procedure.
18VAC110-40-20. Signed authorization for an agreement.
A. The signatories to an agreement shall be a practitioner
involved directly in patient care and a pharmacist involved directly in patient
care. Within the agreement, the pharmacist may designate alternate pharmacists,
provided the alternates are involved directly in patient care at a single
physical location where patients receive services.
B. An agreement shall only be implemented for an individual
patient pursuant to an order from the practitioner for that patient. Documented
informed consent from the patient shall be obtained by the practitioner who
authorizes the patient to participate in the agreement or by the pharmacist who
is also a party to the agreement. A patient who meets the criteria for inclusion
in the category of patients whose care is subject to a collaborative agreement
and who chooses to not participate in a collaborative procedure shall notify
the prescriber of the patient's refusal to participate in such collaborative
procedure.
1. The patient may decline to participate or withdraw from
participation at any time.
2. Prior to giving consent to participate, the The
patient shall be informed by the practitioner or the pharmacist of the cooperative
collaborative procedures that will be used pursuant to an agreement, and
such discussion shall be documented in the patient record.
3. As part of the informed consent, the The
practitioner and the pharmacist shall provide written disclosure to the patient
of any contractual arrangement with any other party or any financial incentive
that may impact one of the party's decisions to participate in the agreement.
VA.R. Doc. No. R21-6506; Filed October 5, 2020, 2:48 p.m.
TITLE 20. PUBLIC UTILITIES AND TELECOMMUNICATIONS
STATE CORPORATION COMMISSION
Proposed Regulation
REGISTRAR'S NOTICE: The
State Corporation Commission is claiming an exemption from the Administrative
Process Act in accordance with § 2.2-4002 A 2 of the Code of Virginia,
which exempts courts, any agency of the Supreme Court, and any agency that by
the Constitution is expressly granted any of the powers of a court of record.
Title of Regulation: 20VAC5-350. Rules Governing
Exemptions for Large General Service Customers (adding 20VAC5-350-10 through 20VAC5-350-50).
Statutory Authority: §§ 12.1-13 and 56-585.1 of the Code
of Virginia.
Public Hearing Information: A public hearing will be
held upon request.
Public Comment Deadline: November 17, 2020.
Agency Contact: Allison Samuel, Principal Utilities
Analyst, Division of Public Utility Regulation, State Corporation Commission,
P.O. Box 1197, Richmond, VA 23218, telephone (804) 225-3177, FAX (804)
371-9350, or email allison.samuel@scc.virginia.gov.
Summary:
The proposed action implements certain provisions of
Chapters 1193 and 1194 of the 2020 Acts of Assembly that amend § 56-585.1 A 5 c
of the Code of Virginia and require the State Corporation Commission to
establish rules under which eligible large general service customers may be
exempted from participation in energy efficiency programs. The proposed new
regulation, Rules Governing Exemption for Large General Service Customers
(20VAC5-350), defines the applicability and scope of the exemption and provides
for notice requirements, dispute resolution, waiver, and enforcement.
AT RICHMOND, SEPTEMBER 30, 2020
COMMONWEALTH OF VIRGINIA, ex rel.
STATE CORPORATION COMMISSION
CASE NO. PUR-2020-00172
Ex Parte: In the matter of adopting new
rules of the State Corporation Commission
governing exemptions for large general
services customers under § 56-585-1 A 5 c
of the Code of Virginia
ORDER FOR NOTICE AND COMMENT
During its 2020 Session, the Virginia General Assembly
enacted Chapters 1193 (HB 1526) and 1194 (SB 851) of the 2020 Virginia
Acts of Assembly. These duplicate Acts of Assembly, known as the Virginia Clean
Economy Act ("VCEA"), became effective on July 1, 2020. The
VCEA, inter alia, amended § 56-585.1 A 5 c of the Code of Virginia
("Statute") to require the State Corporation Commission
("Commission") to establish rules by which large general services
customers may be exempted from participation in energy efficiency programs. The
Statute directs that the new rules are to be effective by June 30, 2021.
Under the Statute, a large general service customer
("LGS customer") is defined as a customer that has a "verifiable
history" of having used more than one megawatt of demand from a single
site. Further, an LGS customer is exempt from participating in energy
efficiency programs if the Commission finds that the LGS customer has, at the
customer's own expense, implemented energy efficiency programs that have or
will produce measured and verified results.
The Statute requires the Commission to adopt rules (a)
establishing the process for large general service customers to apply for such
an exemption, (b) establishing the administrative procedures by which eligible
customers will notify the utility, and (c) defining the standard criteria that
must be satisfied by an applicant in order to notify the utility, including
means of evaluating measurement and verification, as well as confidentiality
requirements. Each exempted LGS customer must certify to the utility and
Commission that its implemented energy efficiency programs have delivered
measured and verified savings within the prior five years.
The Statute further requires the rules concerning this
exemption to specify the timing as to when a utility must accept and act on
exemption notices, taking into consideration, among other things, the utility's
integrated resource planning process and its administration of energy
efficiency programs that have been approved for cost recovery by the
Commission. Energy savings from LGS customers are required to be accounted for
in utility reporting in accordance with Code § 56-596.2. The Statute mandates
that a notice of nonparticipation by an LGS customer shall be for the duration
of the service life of the customer's energy efficiency measures and provides
for Commission verification of such nonparticipant's energy efficiency
achievements if the Commission has evidence of the nonparticipant's having knowingly
misrepresented such savings.
NOW THE COMMISSION, upon consideration of the foregoing, is
of the opinion and finds that a proceeding should be established to promulgate
rules governing LGS customer exemptions from utility Rate Adjustment Clause
charges for energy efficiency. To initiate this proceeding, the Commission's
Staff ("Staff") has prepared proposed rules which are appended to
this Order ("Proposed Rules"). We will direct that notice of the
Proposed Rules be given to the public and that interested persons be provided
an opportunity to file written comments on, propose modifications or
supplements to, or request a hearing on the Proposed Rules. We further find
that a copy of the Proposed Rules should be sent to the Registrar of
Regulations for publication in the Virginia Register of Regulations.
The Commission further takes judicial notice of the ongoing public health emergency related to the spread of
the coronavirus, or COVID-19, and the declarations of emergency issued at both the
state and federal levels.1 The Commission has
taken certain actions, and may take additional actions going forward, which
could impact the procedures in this proceeding.2
Consistent with these actions, in regard to the terms of the procedural
framework established below, the Commission will, among other things, direct
the electronic filing of comments.
Accordingly, IT IS ORDERED THAT:
(1) This matter is docketed as Case No. PUR-2020-00172.
(2) All filings in this matter shall be submitted
electronically to the extent authorized by Rule 5 VAC 5-20-150, Copies and
Format, of the Commission's Rules of Practice and Procedure ("Rules of
Practice").3 For the duration of the
COVID-19 emergency, any person seeking to hand deliver and physically file or
submit any pleading or other document shall contact the Clerk's Office Document
Control Center at (804) 371-9838 to arrange the delivery.4
(3) The Commission's Division of Information Resources shall
forward a copy of this Order for Notice and Comment ("Order"),
including a copy of the Proposed Rules, to the Registrar of Regulations for
publication in the Virginia Register of Regulations.
(4) Within five (5) business days of the date of this Order,
Staff shall transmit electronically copies of this Order to those persons and
entities identified by Staff as potentially having an interest in this matter.
(5) Within ten (10) business days of the date of this Order,
Virginia Electric and Power Company and Appalachian Power Company shall
transmit, to each of their Large General Service customers, by separate first
class mailing, by electronic mail, or by bill insert, the notice in the
Attachment to this Order.
(6) Within thirty (30) days of the date of this Order,
Virginia Electric and Power Company and Appalachian Power Company shall file an
affidavit of compliance with the requirement of Ordering Paragraph (5) with the Clerk, State Corporation Commission, c/o
Document Control Center, P.O. Box 2118, Richmond, Virginia 23218-2118, or by
filing electronically at scc.virginia.gov/clk/efiling/. The
affidavit shall not include the names or other identifying information of the
notified customers, but each utility shall maintain a record of such
information.
(7) An
electronic copy of these rules may be obtained by submitting a request to
Allison Samuel in the Commission's Division of Public Utility Regulation at the
following e-mail address: Allison.Samuel@scc.virginia.gov. An
electronic copy of the Proposed Rules can also be found at the Division of
Public Utility Regulation's website: scc.virginia.gov/pages/Rulemaking. Additionally, interested
persons may download unofficial copies of the Order and the Proposed Rules from
the Commission's website: scc.virginia.gov/pages/Case-Information.
(8) On or before November 17, 2020, any interested person may
file comments on the Proposed Rules by following the instructions found on the
Commission's website: scc.virginia.gov/casecomments/Submit-Public-Comments.
Such comments may also include proposed modifications and hearing requests. All filings shall refer to Case No. PUR-2020-00172. Any
request for hearing shall state with specificity why the issues raised in the
request for hearing cannot be addressed adequately in written comments. If a
sufficient request for hearing is not received, the Commission may consider the
matter and enter an order based upon the papers filed herein.
(9) On or before December 17, 2020, the Staff may file with
the Clerk of the Commission a report on or a response to any comments,
proposals, or requests for hearing submitted to the Commission on the Proposed
Rules.
(10) This matter is continued.
A COPY hereof shall be sent electronically by the Clerk of
the Commission to all persons on the official Service List in this matter. The
Service List is available from the Clerk of the Commission. A copy hereof also
shall be sent to the Commission's Office of General Counsel and Divisions of
Public Utility Regulation and Utility Accounting and Finance.
_______________________________
1See, e.g., Executive Order No. 51, Declaration of a
State of Emergency Due to Novel Coronavirus, COVID-19, issued March 12, 2020,
by Gov. Ralph S. Northam. See also Executive Order No. 53, Temporary
Restrictions on Restaurants, Recreational, Entertainment, Gatherings,
Non-Essential Retail Businesses, and Closure of K-12 Schools Due to Novel
Coronavirus (COVID-19), issued March 23, 2020, by Governor Ralph S. Northam,
and Executive Order No. 55, Temporary Stay at Home Order Due to Novel
Coronavirus (COVID-19), issued March 30, 2020, by Governor Ralph S.
Northam. These and subsequent Executive Orders related to COVID-19 may be found
at: https://www.governor.virginia.gov/executive-actions/.
2See, e.g., Commonwealth of Virginia, ex rel. State
Corporation Commission, Ex Parte: Electronic Service of Commission Orders, Case
No. CLK-2020-00004, Doc. Con. Cen. No. 200330035, Order Concerning Electronic
Service of Commission Orders (Mar. 19, 2020), extended by Doc. Con. Cen. No.
200520105, Order Regarding the State Corporation Commission’s Revised Operating
Procedures During COVID-19 Emergency (May 11, 2020); Commonwealth of Virginia,
ex rel., State Corporation Commission, Ex Parte: Revised Operating Procedures
During COVID-19 Emergency, Case No. CLK-2020-00005, Doc. Con. Cen. No.
200330042, Order Regarding the State Corporation Commission's Revised Operating
Procedures During COVID-19 Emergency (Mar. 19, 2020) ("Revised Operating
Procedures Order"), extended by Doc. Con. Cen. No.
200520105, Order Regarding the State Corporation Commission’s Revised Operating
Procedures During COVID-19 Emergency (May 11, 2020); Commonwealth of
Virginia, ex rel. State Corporation Commission, Ex Parte: Electronic service
among parties during COVID-19 emergency, Case No. CLK-2020-00007, Doc. Con.
Cen. No. 200410009, Order Requiring Electronic Service (Apr. 1, 2020).
35 VAC 5-20-10 et seq.
4As noted in the Revised Operating Procedures Order,
submissions to the Commission’s Clerk’s Office via U.S. mail or commercial mail
equivalents may not be processed for an indefinite period of time due to the
COVID-19 emergency.
CHAPTER 350
RULES GOVERNING EXEMPTIONS FOR LARGE GENERAL SERVICE CUSTOMERS
20VAC5-350-10. Applicability and scope.
This chapter is promulgated pursuant to the provisions of
§ 56-585.1 A 5 c of the Virginia Electric Utility Regulation Act, Chapter
23 (§ 56-576 et seq.) of Title 56 of the Code of Virginia. This chapter is
specifically applicable to the large general service customers of Virginia's
electric utilities subject to the provisions of § 56-585.1 A 5 c that have
verifiable histories of using more than one megawatt of demand from a single
site. As used in this chapter, a customer comprises all of the individual electric
utility accounts owned by a single entity, located on a single site, and that
are engaged in the same business. This chapter is also applicable to customers
with highest measured demands from a single site of more than one megawatt in
any single month if such customers do not have three calendar years of history.
A customer is eligible for an exemption from any rate adjustment clause
approved for a utility by the State Corporation Commission pursuant to §
56-585.1 A 5 c, if any customer can demonstrate that it has implemented an
energy efficiency program, at the customer's expense, that has produced
measured and verified results within the prior five years.
20VAC5-350-20. Administrative procedures for notice to
utility and commission.
A. Any customer seeking to establish its exemption from a
rate adjustment clause authorized by the commission pursuant to § 56-585.1 A 5
c of the Code of Virginia shall provide a notice of nonparticipation concerning
the rate adjustment clause to its utility on or before March 1 of the year in
which an exemption is sought. The notice of nonparticipation shall be
concurrently filed by the customer with the commission's Division of Public
Utility Regulation.
B. Upon receipt of the notice of nonparticipation, a
utility shall, within 60 days thereof, verify the customer's highest measured
demand in the three prior calendar years preceding the receipt of such notice.
The utility shall accept the exemption request if the customer has a highest
measured usage in excess of one megawatt and has submitted the information
required by 20VAC5-350-30. In the event the utility fails to notify
the customer of any deficiency in its notice of nonparticipation within the
60-day period, the exemption shall be deemed accepted by the utility. The
utility's acceptance or denial of any exemption request shall concurrently be
sent to the customer and filed by the utility with the commission's Division of
Public Utility Regulation.
C. Once a utility has accepted a customer's exemption
request, that customer shall be exempt from any rate adjustment clause approved
for the utility by the commission pursuant to § 56-585.1 A 5 c of the Code
of Virginia, beginning with the billing month following the date of acceptance
of the exemption request and continuing throughout the life of the customer's
energy efficiency improvements described in the customer's notice of
nonparticipation. A customer shall notify the utility and the commission if the
conditions of the customer's notice of nonparticipation change in any material
respect.
D. Each notice of nonparticipation that contains
confidential information shall be treated in accordance with 5VAC5-20-170 of
State Corporation Commission Rules of Practice and Procedure (5VAC5-20).
20VAC5-350-30. Standard criteria for notice to utility.
A. Each notice of nonparticipation shall identify the
customer, the customer's billing address and utility account number, and the
location of the specific facility and metering point for which any such
exemption is being sought.
B. The notice of nonparticipation shall also contain an
affidavit signed by the customer's president, corporate secretary, or other
officer of the customer concerning each energy efficiency program. Such
affidavit shall attest to the validity of information submitted in support of
the customer's notice of nonparticipation.
C. The notice of nonparticipation shall describe the
energy efficiency savings achieved in the prior five years from its investment
in its energy efficiency program and the specific measures undertaken to
achieve those savings.
D. The notice of nonparticipation shall include
information concerning any anticipated change in operations that may affect
achieved or expected energy efficiency savings, including the life expectancy
of the energy efficiency measures undertaken.
E. To qualify for the exemption, each customer shall have
measurable and verifiable energy efficiency savings in the prior five years
consistent with § 56-585.1 A 5 c of the Code of Virginia. Additionally, each
customer providing a notice of nonparticipation to its utility pursuant to this
chapter shall subsequently furnish yearly reports to the commission's Division
of Public Utility Regulation describing the energy efficiency savings achieved
by the customer during each 12-month period in which such notice of
nonparticipation is in effect. Such reports shall be filed on or about March 1
of the year following such customer's filing of its notice of nonparticipation,
with such March 1 filings continuing thereafter throughout the life of the
customer's energy efficiency improvements described in the customer's notice of
nonparticipation.
F. Each notice of nonparticipation shall also include a
measurement and verification plan conforming to the protocol set forth in the
definition of "measured and verified" as provided in § 56-576 of the
Code of Virginia.
G. Not later than December 31 of each year, each utility
shall notify its customers of the percentage energy efficiency reductions
expected to be achieved by the utility's energy efficiency programs for which
the commission has approved rate adjustment clauses pursuant to § 56-585.1
A 5 c of the Code of Virginia.
20VAC5-350-40. Dispute resolution.
A. Customers and utilities shall seek to resolve all
disputes arising out of the exemption process established under this chapter
pursuant to the provisions of this section.
B. In the event of any such dispute, either party shall
furnish the other a written notice of dispute. The notice shall describe in
detail the nature of the dispute. The parties shall make good faith efforts to
resolve the dispute informally within 10 business days of the receipt of such
notice.
C. If any such dispute has not been resolved within 10
business days following receipt of the notice, either party may seek resolution
assistance from the commission's Division of Public Utility Regulation where
such matter will be treated as an informal complaint under State Corporation
Commission Rules of Practice and Procedure (5VAC5-20).
Alternatively, the parties may, upon mutual agreement,
seek resolution through the assistance of a dispute resolution service for the
purpose of assisting the parties in (i) resolving the dispute or (ii) selecting
an appropriate dispute resolution method or mechanism (e.g., mediation,
settlement judge, early neutral evaluation, or technical expert) to assist the
parties in resolving their dispute. In any such dispute resolution proceeding,
each party shall conduct all negotiations in good faith and shall be
responsible for one half of any charges for the dispute resolution provider,
but each party shall bear its own legal fees and other costs incurred as a
result of the dispute resolution process.
D. If any such dispute remains unresolved following the
parties' good faith exercise of the dispute resolution alternatives set forth
in this section, either party may file a formal complaint with the commission
pursuant to State Corporation Commission Rules of Practice and Procedure
(5VAC5-20).
20VAC5-350-50. Waiver and enforcement.
A. The commission may waive any or all parts of this
chapter for good cause shown.
B. The commission on its own motion may initiate steps
necessary to verify a nonparticipating customer's achievement of energy
efficiency if the commission has a body of evidence that the nonparticipating
customer has knowingly misrepresented its energy efficiency achievement. Such
proceedings shall be governed by State Corporation Commission Rules of Practice
and Procedure (5VAC5-20).
VA.R. Doc. No. R21-6100; Filed September 30, 2020, 4:11 p.m.