96-16576. National Emission Standards for Hazardous Air Pollutants: Off- Site Waste and Recovery Operations  

  • [Federal Register Volume 61, Number 127 (Monday, July 1, 1996)]
    [Rules and Regulations]
    [Pages 34140-34200]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 96-16576]
    
    
    
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    Part III
    
    
    
    
    
    Environmental Protection Agency
    
    
    
    
    
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    40 CFR Part 63
    
    
    
    National Emission Standards for Hazardous Air Pollutants: Off-Site 
    Waste and Recovery Operations; Final Rule
    
    Federal Register / Vol. 61, No. 127 / Monday, July 1, 1996 / Rules 
    and Regulations
    
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    ENVIRONMENTAL PROTECTION AGENCY
    
    40 CFR Part 63
    
    [AD-FRL-5516-7]
    RIN 2060-AE05
    
    
    National Emission Standards for Hazardous Air Pollutants: Off-
    Site Waste and Recovery Operations
    
    AGENCY: Environmental Protection Agency (EPA).
    
    ACTION: Final rule.
    
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    SUMMARY: This action promulgates National Emission Standards for 
    Hazardous Air Pollutants (NESHAP) under the authority of Section 112 of 
    the Clean Air Act for off-site waste and recovery operations that emit 
    hazardous air pollutants (HAP). The NESHAP applies to specific types of 
    facilities that are determined to be major sources of HAP emissions and 
    receive certain wastes, used oil, and used solvents from off-site 
    locations for storage, treatment, recovery, or disposal at the 
    facility. The rule requires use of maximum achievable control 
    technology (MACT) to reduce HAP emissions from tanks, surface 
    impoundments, containers, oil-water separators, individual drain 
    systems and other material conveyance systems, process vents, and 
    equipment leaks.
        The final rule is estimated to reduce HAP emissions from the source 
    category by approximately 82 percent or 43,000 megagrams per year 
    (47,000 tons per year). In addition, application of MACT required by 
    this rule will achieve similar levels of reduction in volatile organic 
    compounds (VOC) emissions from the source category. The human health 
    effects associated with exposure to the HAP emissions can range from 
    mild to severe and may include reduction of lung function, respiratory 
    irritation, and neurotoxic effects. Similarly, emissions of VOC are 
    associated with a variety of adverse health and welfare impacts.
        The HAP and VOC emissions reductions achieved by implementing this 
    rule in combination with similar rules will achieve the primary Clean 
    Air Act goal to ``enhance the quality of the Nation's air resources so 
    as to promote the public health and welfare and productive capacity of 
    its population.'' The intent of this final rule is to protect public 
    health by requiring the maximum degree of reduction of HAP emissions 
    from new and existing sources, taking into consideration the cost of 
    achieving such emission reduction; any non air quality, health, and 
    environmental impacts; and energy requirements.
    
    EFFECTIVE DATE: July 1, 1996. See the Supplementary Information section 
    concerning judicial review.
    
    ADDRESSES: Docket. The docket for this rulemaking containing the 
    information considered by the EPA in development of the final rule is 
    Docket No. A-92-16. This docket is available for public inspection 
    between 8:00 a.m. and 4:00 p.m., Monday through Friday except for 
    Federal holidays, at the following address: U.S. Environmental 
    Protection Agency, Air and Radiation Docket and Information Center (MC-
    6102), 401 M Street SW, Washington, D.C. 20460; telephone: (202) 260-
    7548. The docket is located at the above address in Room M-1500, 
    Waterside Mall (ground floor). A reasonable fee may be charged for 
    copying.
        Basis and Support Document. A basis and support document, titled 
    ``National Emission Standards for Hazardous Air Pollutants, Off-Site 
    Waste and Recovery Operations--Basis and Support for Final Standards,'' 
    has been prepared summarizing the significant public comments made on 
    the proposed rule and the Administrator's response to those comments. 
    This document is available in the docket for this rulemaking, and also 
    is available for downloading from the Technology Transfer Network (see 
    below) under the Clean Air Act Amendments, Recently Signed Rules.
        Technology Transfer Network. The Technology Transfer Network is one 
    of the EPA's electronic bulletin boards. The Technology Transfer 
    Network provides information and technology exchange in various areas 
    of air pollution control. The service is free except for the cost of a 
    phone call. Dial (919) 541-5472 for up to a 14,400 bps modem. If more 
    information on the Technology Transfer Network is needed call the HELP 
    line at (919) 541-5384.
    
    FOR FURTHER INFORMATION CONTACT: For information concerning 
    applicability and rule determinations, contact the appropriate regional 
    representative:
    
    Region I: Greg Rosco, Air Programs Compliance Branch Chief, U.S. EPA, 
    Region I, ASO, JFK Federal Building, Boston, MA 02203, (617) 565-3221
    Region II: Kenneth Eng, Air Compliance Branch Chief, U.S. EPA, Region 
    II, 290 Broadway, New York, NY 10007-1866, (212) 637-4000
    Region III: Bernard Turlinski, Air Enforcement Branch Chief, U.S. EPA, 
    Region III, 3AT10, 841 Chestnut Building, Philadelphia, PA 19107, (215) 
    597-3989
    Region IV: Jewell A. Harper, Air Enforcement Branch, U.S. EPA, Region 
    IV, 345 Courtland Street, N.E., Atlanta, GA 30365, (404) 347-2904
    Region V: George T. Czerniak, Jr., Air Enforcement Branch Chief, U.S. 
    EPA, Region V, 5AE-26, 77 West Jackson Street, Chicago, IL 60604, (312) 
    353-2088
    Region VI: John R. Hepola, Air Enforcement Branch Chief, U.S. EPA, 
    Region VI, 1445 Ross Avenue, Suite 1200, Dallas, TX 75202-2733, (214) 
    655-7220
    Region VII: Royan Teeter, Air Planning and Development Branch, U.S. 
    EPA, Region VII, 726 Minnesota Avenue, Kansas City, KS 66101, (913) 
    551-7609
    Region VIII: Douglas M. Skie, Air and Technical Operations Branch 
    Chief, U.S. EPA, Region VIII, 999 18th Street, Suite 500, Denver, CO 
    80202-2466, (303) 312-6432
    Region IX: Colleen W. McKaughan, Air Compliance Branch Chief, U.S. EPA, 
    Region IX, 75 Hawthorne Street, San Francisco, CA, (415) 744-1198
    Region X: Chris Hall, Air and Radiation Branch, U.S. EPA, Region X, 
    OAQ-107, 1200 Sixth Avenue, Seattle, WA 98101, (206) 553-1949
    
        For information concerning the analyses performed in developing 
    this rule, contact Ms. Michele Aston, Waste and Chemical Processes 
    Group, Emission Standards Division (MD-13), U.S. Environmental 
    Protection Agency, Research Triangle Park, North Carolina, 27711, 
    telephone number (919) 541-2363.
    
    SUPPLEMENTARY INFORMATION:
    
    Regulated Entities
    
        Entities potentially regulated by this action include the following 
    types of facilities if the facility receives off-site material, as 
    defined in the rule, and the facility is determined to be a major 
    source of HAP emissions as defined in 40 CFR 63.2.
    
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                    Category                                      Examples of regulated entities                    
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    Industry...............................  Businesses that operate any of the following: hazardous waste          
                                              treatment, storage, and disposal facilities (TSDF); RCRA exempt       
                                              hazardous wastewater treatment facilities; nonhazardous wastewater    
                                              treatment facilities other than publicly-owned treatment works; used  
                                              solvent recovery plants; RCRA exempt hazardous waste recycling        
                                              operations; used oil re-refineries.                                   
    Federal Government.....................  Federal agency facilities that operate any of the waste management or  
                                              recovery operations that meet the description of the entities listed  
                                              under the ``Industry'' category in this table.                        
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        This table is not intended to be exhaustive, but rather provides a 
    guide for readers regarding entities likely to be regulated by this 
    action. This table lists the types of entities that the EPA is now 
    aware could potentially be regulated by this action. Other types of 
    entities not listed in the table could also be regulated. To determine 
    whether your facility is regulated by the action, you should carefully 
    examine the applicability criteria in Sec. 63.680 of the rule. If you 
    have questions regarding the applicability of this action to a 
    particular entity, consult the person listed in the preceding FOR 
    FURTHER INFORMATION CONTACT section.
    
    Judicial Review
    
        The NESHAP for off-site waste and recovery operations was proposed 
    in the Federal Register on October 13, 1994 (59 FR 51913). This Federal 
    Register action announces the EPA's final decisions on the rule. Under 
    section 307(b)(1) of the Act, judicial review of the NESHAP is 
    available only by the petition for review in the U.S. Court of Appeals 
    for the District of Columbia Circuit within 60 days of today's 
    publication of this final rule. Under section 307(b)(2) of the Act, the 
    requirements that are the subject of today's notice may not be 
    challenged later in civil or criminal proceedings brought by the EPA to 
    enforce these requirements.
        The following outline is provided to aid in reading this preamble 
    to the final rule.
    
    I. Background
        A. Section 112  Statutory Requirements
        B. Listing of Source Category
        C. Public Participation in Rule Development
        D. Relationship of Rule to Other EPA Regulatory Actions
    II. Basis and Purpose
        A. Purpose of Regulation
        B. Source Category Description
        C. Definition of Affected Sources
        D. MACT Floor Determination
        E. Format of Standards
        F. Unit-Specific Subparts
        G. Alternative Test Validation Method
    III. Summary of Impacts
    IV. Summary of Responses to Major Comments
    V. Summary of Changes Since Proposal
    VI. Administrative Requirements
        A. Docket
        B. Paperwork Reduction Act
        C. Executive Order 12866
        D. Regulatory Flexibility Act
        E. Unfunded Mandates
        F. Review
    VII. Statutory Authority
    
    I. Background
    
    A. Section 112  Statutory Requirements
    
        Section 112 of the Clean Air Act (Act) regulates stationary sources 
    of hazardous air pollutants (HAP). This section of the Act was 
    comprehensively amended under Title III of the 1990 Amendments to the 
    Clean Air Act (1990 Amendments). In the 1990 Amendments, Congress 
    listed 189 chemicals, compounds, or groups of chemicals as HAP. The EPA 
    is directed by the 1990 Amendments to regulate the emission of these 
    HAP from stationary sources by establishing national emission standards 
    (i.e., National Emission Standards for Hazardous Air Pollutants or 
    NESHAP).
        Each NESHAP for a specific source category is technology-based and 
    is developed based on application of Maximum Achievable Control 
    Technology (MACT). Section 112(d)(2) of the 1990 Amendments defines 
    MACT as ``* * * the maximum degree of reduction in emissions of the HAP 
    * * * that the Administrator, taking into consideration the cost of 
    achieving such emission reduction, and any nonair quality health and 
    environmental impacts and energy requirements, determines is achievable 
    for new or existing sources in the category or subcategory to which 
    such emission standard applies * * *.''
    
    B. Listing of Source Category
    
        Section 112(c) of the 1990 Amendments required the EPA to develop 
    and publish a list of source categories that emit HAP for which NESHAP 
    will be developed. This list is required under Section 112 to include 
    all known categories and subcategories of ``major sources.'' The term 
    ``major source'' is defined by the Act to mean ``any stationary source 
    or group of stationary sources located within a contiguous area and 
    under common control that emits or has the potential to emit, 
    considering controls, in the aggregate 10 tons per year (ton/yr) or 
    more of any HAP or 25 ton/yr or more of any combination of HAP.''
        The EPA published its initial list of HAP emission source 
    categories in the Federal Register on July 16, 1992 (57 FR 31576). On 
    this list, the EPA included one source category which the Agency 
    intended to represent those waste management and recovery operations 
    that would not be subject to air standards under other listed NESHAP 
    source categories. This source category was titled on the initial list 
    as ``solid waste treatment, storage, and disposal facilities.'' After 
    publication of the initial source category list, the EPA decided that 
    it was appropriate to change the title of the NESHAP source category to 
    better reflect the types of operations for which the EPA intended to 
    establish air standards under a NESHAP for the source category. 
    Therefore at proposal, the EPA changed the title of the source category 
    subject to ``off-site waste and recovery operations'' (see 59 FR 51918, 
    October 13, 1994).
        For the purpose of developing the rules for this source category, 
    the term ``off-site'' is used in the context that the source category 
    represents those waste management and recovery operations which receive 
    material delivered, transferred, or otherwise moved to the plant or 
    facility where the operation is located from a separate site. In other 
    words, the material placed in the waste management or recovery 
    operation is not produced or generated at the same site where the 
    operation is located.
    
    C. Summary of Public Participation in Rule Development
    
        The EPA published an advance notice of proposed rulemaking (ANPR) 
    in the Federal Register on December 20, 1993 (58 FR 66336) to inform 
    owners and operators of the potentially affected waste management and 
    recovery operations and the general public of the planned scope of this 
    NESHAP rulemaking. In the ANPR, the EPA requested information that 
    would aid the Agency in the development of the rule. A 30-day comment 
    period, from December 20, 1993 to January 19, 1994 was provided for 
    interested parties to submit comments on the ANPR. The comments 
    received by the EPA were
    
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    considered in developing the proposed rule.
        The EPA proposed the Off-Site Waste and Recovery Operations NESHAP 
    on October 13, 1994 (refer to 59 FR 51913). A proposed regulatory text 
    for the rule and the background information document (BID) (EPA-453/R-
    94-070a) that presented information used in the development of the 
    proposed rule was made available to the public for review and comment. 
    A 90-day comment period from October 13, 1994 to January 11, 1995 (an 
    initial 60 days plus a 30-day extension) was provided to accept written 
    comments from the public on the proposed rule. The opportunity for a 
    public hearing was provided to allow interested persons to present oral 
    comments to the EPA on the rulemaking. However, the EPA did not receive 
    a request for a public hearing, so a public hearing was not held.
        A total of 89 comment letters regarding the proposed Off-Site Waste 
    and Recovery Operations NESHAP were received by the EPA. A copy of each 
    comment letter is available for public inspection in the docket for the 
    rulemaking (Docket No. A-92-16; see the ADDRESSES section of this 
    notice for information on inspecting the docket). The EPA received 70 
    letters containing specific comments on the proposed Off-Site Waste and 
    Recovery Operations NESHAP. The other 19 letters were regarding 
    extension of the public comment period and requests for copies of the 
    regulatory text. The EPA has had extensive follow-up discussions with 
    various commenters regarding specific issues initially raised in their 
    written comments that were submitted to the Agency during the comment 
    period. Copies of correspondence and other information exchanged 
    between the EPA and the commenters during the post-comment period are 
    available for public inspection in the docket for the rulemaking.
        All of the comments received by the EPA were reviewed and carefully 
    considered by the Agency. Changes to the rule were made when the EPA 
    determined it to be appropriate. A summary of the EPA's responses to 
    selected major comments on the proposed rule is presented in Section IV 
    of this notice. Additional responses to comments are presented in the 
    basis and support document described in the ADDRESSES section of this 
    notice.
    
    D. Relationship of Rule to Other EPA Regulatory Actions
    
    1. Clean Air Act
        Owners and operators of sites at which are located waste management 
    and recovery operations that are subject to Off-Site Waste and Recovery 
    Operations NESHAP may also be subject to another NESHAP because of 
    other operations conducted at the site. For example, a waste management 
    or recovery operation receiving materials from off-site may be located 
    at a synthetic organic chemical manufacturing plant that is subject to 
    40 CFR 63 subparts F, G, and H--National Emission Standards for Organic 
    Hazardous Air Pollutants from the Synthetic Organic Chemical 
    Manufacturing Industry (referred to hereafter in this notice as the 
    ``HON'') or at a petroleum refinery that is subject to 40 CFR 63 
    subpart CC--National Emission Standards for Organic Hazardous Air 
    Pollutants from Petroleum Refineries. At plants subject to both the 
    Off-Site Waste and Recovery Operations NESHAP and another NESHAP, the 
    Off-Site Waste and Recovery Operations NESHAP applies only to those 
    specific waste management or recovery operations listed in the rule 
    that receive off-site material. The Off-Site Waste and Recovery 
    Operations NESHAP does not apply to other units or equipment components 
    at the site that are not part of the waste management and recovery 
    operations specified in the rule.
        Some NESHAP already regulate air emissions from the off-site 
    management of certain wastes containing HAP. To avoid duplication of 
    requirements in these cases, the Off-Site Waste and Recovery Operations 
    NESHAP does not apply to waste management units that either receive 
    waste from units complying with all applicable regulations under the 
    HON, or receive waste from units complying with all applicable 
    requirements specified by Sec. 61.342(b) under 40 CFR 61 subpart FF--
    National Emission Standards for Benzene Waste Operations for a plant at 
    which the total annual benzene quantity is greater than or equal to 10 
    Mg/yr.
    2. Resource Conservation and Recovery Act
        The EPA establishes rules for the management of solid wastes under 
    authority of the Resource Conservation and Recovery Act (RCRA). Under 
    authority of subtitle C of RCRA, the EPA has established rules in 40 
    CFR parts 260 through 271 regulating the management of solid wastes 
    determined to be hazardous waste. Municipal solid wastes and other 
    types of nonhazardous solid wastes are regulated by rules established 
    under authority of subtitle D of RCRA in 40 CFR Parts 257 and 258.
        The Clean Air Act requires that the requirements of rules developed 
    under the Act be consistent, but avoid duplication, with requirements 
    of rules developed under RCRA. The final Off-Site Waste and Recovery 
    Operations NESHAP includes several provisions to ensure that this 
    directive of the Act is met. First, certain types of wastes regulated 
    under RCRA are excluded outright from the definition of ``off-site 
    material'' used to determine the applicability of the Off-Site Waste 
    and Recovery Operation NESHAP. These wastes include household waste as 
    defined in 40 CFR 258.2; waste that is generated by remedial activities 
    required under the RCRA corrective action authorities (RCRA section 
    3004(u), 3004(v), or 3008(h)), CERCLA authorities, or similar Federal 
    or State authorities; and radioactive mixed waste.
        The EPA also is fully aware that at some sites managing hazardous 
    wastes not generated onsite, the owner and operator of a hazardous 
    waste treatment, storage, and disposal facility (TSDF) could be subject 
    to both the Off-Site Waste and Recovery Operations NESHAP and RCRA air 
    rules under subparts AA, BB, and CC of 40 CFR parts 264 and 265. At a 
    particular TSDF, some waste management units may be required to use air 
    emission controls under one or the other, but not both, the Off-Site 
    Waste and Recovery Operations NESHAP and the RCRA rules. However, some 
    other waste management units could be subject to using air emission 
    controls to comply with both sets of rules. It is unnecessary for 
    owners and operators of those waste management units subject to air 
    standards under both sets of rules to perform duplicative testing and 
    monitoring, keep duplicate sets of records, or perform other 
    duplicative actions. The EPA has decided that the best way to eliminate 
    any regulatory overlap is to amend the RCRA rules to exempt units that 
    are using air emission controls in accordance with the requirements of 
    Off-Site Waste and Recovery Operations NESHAP or any other applicable 
    NESHAP. The EPA therefore plans to amend the RCRA rules this summer and 
    expects that these revisions will be finalized prior to the effective 
    dates of both rules.
    3. Pollution Prevention Act
        The Pollution Prevention Act of 1990 (42 U.S.C. 13101 et seq., Pub. 
    L. 101-508, November 5, 1990) establishes the national policy of the 
    United States for pollution prevention. This act declares that: (1) 
    Pollution should be prevented or reduced whenever feasible; (2) 
    pollution that cannot be prevented or reduced should be recycled or 
    reused in
    
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    an environmentally-safe manner wherever feasible; (3) pollution that 
    cannot be recycled or reused should be treated; and (4) disposal or 
    release into the atmosphere should be chosen only as a last resort.
        Opportunities for applying pollution prevention to the Off-Site 
    Waste and Recovery Operations NESHAP are basically limited to treatment 
    to remove HAP (e.g., treatment of waste prior to its disposal). The 
    off-site waste and recovery operations source category consists only of 
    operations used to manage certain materials that have already been 
    generated at other locations such as a manufacturing plant. Thus, there 
    are no pollution prevention practices such as modifying the 
    manufacturing process to reduce the quantity of HAP contained in 
    materials or to recycle the materials back to the process which can be 
    implemented once the material arrives at a site at which waste 
    management and recovery operations subject to the NESHAP are located. 
    The EPA has incorporated the pollution prevention policy into the 
    NESHAP by requiring off-site materials be treated to remove or destroy 
    HAP prior to management in units open directly to the environment. 
    Thus, to the extent possible, pollution prevention has been considered 
    in the development of this rulemaking. The Off-Site Waste and Recovery 
    Operations NESHAP is consistent with the pollution prevention policy.
    
    II. Basis and Purpose
    
    A. Purpose of Regulation
    
        The Clean Air Act was created in part ``to protect and enhance the 
    quality of the Nation's air resources so as to promote the public 
    health and welfare and the productive capacity of its population'' [Act 
    section 101(b)(1)]. Title III of the 1990 Amendments establishes a 
    control technology-based program to reduce stationary source emissions 
    of HAP. The goal of section 112(d) of the 1990 Amendments is to apply 
    such control technology to reduce emissions and thereby reduce the 
    hazard of the HAP emitted from stationary sources.
        This final rule is technology-based (i.e., based on application of 
    MACT to off-site waste and recovery operations). The Clean Air Act 
    strategy avoids the dependence on a risk-based approach which would be 
    limited by incomplete information on what HAP are emitted, what level 
    of emissions is occurring, what health and safety benchmarks are 
    available to assess risk, what health effects may be caused by certain 
    pollutants and how best to model these effects, among other things. 
    Because of these issues a quantitative risk assessment of the potential 
    effects from the HAP emitted from off-site waste and recovery 
    operations is not included in this rulemaking.
        The EPA does recognize that the degree of adverse effects to health 
    can range from mild to severe. The extent and degree to which the 
    health effects may be experienced is dependent upon: (1) The ambient 
    concentrations observed in the area; (2) duration of exposures; and (3) 
    characteristics of exposed individuals (e.g., genetics, age, 
    preexisting health conditions, and lifestyle) which vary significantly 
    with the population. Some of these factors are also influenced by 
    source-specific characteristics (e.g., emission rates and local 
    meteorological conditions) as well as pollutant specific 
    characteristics such as toxicity.
        On a nationwide basis, the off-site waste and recovery operations 
    at the facilities regulated by this rule emit significant quantities of 
    organic HAP. Implementation of Off-Site Waste and Recovery Operations 
    NESHAP will result in substantial reductions of these organic HAP 
    emissions to the atmosphere. The final Off-Site Waste and Recovery 
    Operations NESHAP will require control of material streams containing 1 
    or more of 98 specified compounds listed in Table 1 of the rule. This 
    table is subset of the 189 HAP compounds listed in the Clean Air Act. 
    Following is a summary of the potential health and environmental 
    effects associated with exposures, at some level, to the emitted 
    pollutants that would be reduced by this NESHAP.
        The range of potential human health effects associated with 
    exposure to organic HAP include cancer, aplastic anemia, pulmonary 
    (lung) structural changes, dyspnea (difficulty in breathing), upper 
    respiratory tract irritation with cough, conjunctivitis, and neurotoxic 
    effects (e.g., visual blurring, tremors, delirium, unconsciousness, 
    coma, convulsions). The EPA estimates that implementation of the Off-
    Site Waste and Recovery Operations NESHAP will reduce nationwide 
    organic HAP emissions by approximately 43,000 megagrams per year (Mg/
    yr). Thus, this rule has the potential for providing both cancer and 
    noncancer related health benefits.
        By requiring facilities to reduce organic HAP emitted from off-site 
    waste and recovery operations, today's rule will also reduce emissions 
    of volatile organic compounds (VOC). Many VOC react photochemically 
    with nitrogen oxides in the atmosphere to form tropospheric ozone. A 
    number of factors affect the degree to which VOC emission reductions 
    will reduce ambient ozone concentrations.
        Human laboratory and community studies have shown that exposure to 
    tropospheric ozone levels that exceed the National Ambient Air Quality 
    Standards (NAAQS) can result in various adverse health impacts such as 
    alterations in lung capacity; eye, nose, and throat irritation; and 
    aggravation of existing respiratory disease. Animal studies have shown 
    increased susceptibility to respiratory infection and lung structure 
    changes.
        Among the welfare impacts from exposure to tropospheric ozone 
    levels that exceed the ozone NAAQS are damage to selected commercial 
    timber species and economic losses for commercially valuable crops such 
    as soybeans and cotton. Studies have shown that exposure to ozone can 
    disrupt carbohydrate production and distribution in plants. The 
    reduction in carbohydrate production and allocation can lead to reduced 
    root growth, reduced biomass or yield, reduced plant vigor (which can 
    cause increased susceptibility to attack from insects and disease and 
    damage from cold) and diminished ability to successfully compete with 
    more tolerant species. These effects have been observed in native 
    vegetation in natural ecosystems as well as for selected number of 
    commercial trees and agricultural crops that have been studied.
        Although the final Off-Site Waste and Recovery Operations NESHAP 
    does not specifically require control of VOC emissions, the organic 
    emission control technologies upon which the final rule is based also 
    significantly reduce VOC emissions from the source category. The EPA 
    conservatively estimates that implementation of the Off-Site Waste and 
    Recovery Operations NESHAP will reduce nationwide VOC emissions from 
    the source category by 52,000 Mg/yr. Therefore, it is anticipated that 
    additional health and welfare benefits will be associated with this 
    reduction in VOC emissions.
    
    B. Source Category Description
    
        The final Off-Site Waste and Recovery Operations NESHAP only 
    applies to certain waste management and recovery operations at those 
    sites determined to ``major sources'' as defined in section 112(a)(1) 
    of the 1990 Amendments. This means those plants or facilities where the 
    stationary sources located within a contiguous area and under common 
    control emit or have the potential to emit, considering controls, in 
    total 10 ton/yr or more of any single HAP or 25 ton/yr or more of any 
    combination of
    
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    HAP. Waste management and recovery operations receiving materials from 
    off-site that are located at plants or facilities which are area 
    sources are not being regulated at this time. These area sources could 
    be considered at a future date by the EPA for regulation as part of the 
    area source strategy authorized under section 112(k) of the Act.
        At proposal, the EPA identified the types of waste management and 
    recovery operations the Agency was considering for inclusion in the 
    off-site waste and recovery operations source category. In response to 
    public comments on the proposed rule and considering decisions made by 
    the Agency since proposal regarding other related rulemakings, the EPA 
    has reconsidered the types of waste management and recovery operations 
    to be regulated under the Off-Site Waste and Recovery Operations 
    NESHAP. The EPA reviewed information used for the source category 
    impact analysis at proposal and evaluated new information provided to 
    the Agency since proposal by commenters. As a result of this review, 
    the EPA decided that the final Off-Site Waste and Recovery Operations 
    NESHAP should not apply to owners and operators of certain operations 
    originally considered to be in the scope of the rulemaking. The 
    rationale for including or excluding specific waste management or 
    recovery operations in the final rule applicability is presented below.
        Facilities where operations are conducted to treat, store, and 
    dispose of wastes determined to be hazardous wastes under RCRA may be 
    subject to organic air emission standards under 40 CFR parts 264 and 
    265. At these facilities, referred to under the RCRA rules as a 
    hazardous waste treatment, storage, and disposal facility (TSDF), a 
    RCRA hazardous waste may be generated at the same site where a TSDF is 
    located, or may be generated at one site and then transported to a TSDF 
    at a separate location. At TSDF where RCRA hazardous waste is received 
    from off-site, certain types of waste management units such as 
    wastewater treatment tanks and hazardous waste recycling units can be 
    exempted from the air standards specified in 40 CFR parts 264 and 265. 
    Many (but not all) TSDF are expected by the EPA to be located at sites 
    that are major sources of HAP emissions. Therefore, the EPA decided 
    that the final Off-Site Waste and Recovery Operations NESHAP be 
    applicable to hazardous waste TSDF as well as to sites where waste or 
    recovery operations managing hazardous waste are performed and the 
    entire operation is exempted under RCRA from the air standards in 
    subparts AA, BB, and CC under 40 CFR parts 264 and 265.
        Wastewater treatment facilities are operated by public entities and 
    private companies throughout the United States for the treatment of 
    wastewaters other than those that are RCRA hazardous wastewaters. 
    Publicly owned treatment works (POTW) are not included in the off-site 
    waste operations source category because POTW are listed as a separate 
    NESHAP source category. A review of nationwide survey data by the EPA 
    indicates that privately-owned wastewater treatment plants are operated 
    at some locations in the United States for which the predominate 
    function performed at the site is to treat wastewaters received from 
    off-site. Although a wastewater may not be a RCRA hazardous waste, this 
    wastewater can still contain significant quantities of HAP. The EPA 
    concluded this group of wastewater treatment plants would not be 
    subject to other NESHAP and would likely include some individual 
    facilities that are major sources of HAP emissions.
        Used oils from motor vehicles and other sources can contain HAP. 
    While the management of used oils which are recycled is regulated by 
    separate rules promulgated by the EPA under section 3014 of RCRA, these 
    RCRA rules do not specifically establish air standards for used oil 
    management operations. A major portion of the used oil is processed for 
    sale as fuel for burning in boilers, furnaces, and space heaters. The 
    remainder of the recycled used oil is sent to facilities categorized as 
    ``used oil re-refiners.'' At these facilities the used oil is processed 
    into base lube oil stocks and other products. The EPA determined that 
    some used oil re-refining facilities are likely to be major sources of 
    HAP emissions. Consequently, the EPA decided that the final Off-Site 
    Waste and Recovery Operations NESHAP apply to operations that reprocess 
    or re-refine used oil and are subject to regulation under 40 CFR 279 
    subpart F-Standards for Used Oil Processors and Refiners.
        Another recovery operation analogous to used oil re-refining 
    operations is solvent recovery operations. Organic solvents are used in 
    many types of businesses to clean oils, grease, dirt, or other foreign 
    matter from mechanical parts and like items. These used organic 
    solvents are often collected and reprocessed by a company for re-sale 
    as a product or for use by another company as a process feedstock. The 
    EPA expects that some solvent recovery operations could be major 
    sources of HAP emissions. Therefore, the EPA decided that the final 
    Off-Site Waste and Recovery Operations NESHAP be applicable to 
    operations that reprocess or re-refine used solvents except in 
    situations where the operation is not part of a chemical, petroleum, or 
    other manufacturing process that is required to use air emission 
    controls by another subpart of 40 CFR part 63.
        Many landfill facilities operated in the United States are used for 
    disposal of waste received from off-site. Municipal solid waste (MSW) 
    landfills are not included in the off-site waste and recovery 
    operations source category because these facilities are listed as a 
    separate NESHAP source category. However, other landfill facilities 
    operate in the United States which are not MSW landfills and accept 
    only nonhazardous wastes. It is the EPA's understanding that landfills 
    used for disposal of construction/demolition debris do not accept 
    wastes containing significant amounts of organic HAP. One commeter 
    submitted to the EPA additional information regarding operations, waste 
    characterizations, and HAP emission estimates from industrial waste 
    landfills. The potential for some industrial waste landfills to be a 
    major source is possible due to special circumstances (e.g., accepting 
    predominately soils contaminated with organics). However, under current 
    operating practices, the EPA concluded that it is unlikely that any of 
    the existing industrial waste landfills nationwide is a major source of 
    HAP emissions. Therefore, the EPA decided that the final Off-Site Waste 
    and Recovery Operations NESHAP not be applicable to any landfill 
    facilities.
        Some wastes generated during oil and gas exploration and production 
    (E&P) are subsequently transferred to operations at other locations for 
    centralized treatment or disposal. At proposal, the EPA identified 
    these centralized treatment and disposal operations as waste management 
    operations that would be subject to the Off-Site Waste and Recovery 
    Operations NESHAP. Additional information was received by the EPA from 
    commenters on the proposed rule regarding the nature of E&P operations 
    as presently practiced in oil and gas production fields. Upon further 
    consideration, the EPA decided it is not necessary to include E&P waste 
    operations under the final Off-Site Waste and Recovery Operations 
    NESHAP. Instead, the EPA is planning to address these sources under the 
    Oil and Gas Production NESHAP currently being developed by the Agency.
    
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    C. Definition of Affected Source
    
        For the purpose of implementing NESHAP under 40 CFR Part 63, 
    ``affected source'' is defined to mean the stationary source, or 
    portion of a stationary source that is regulated by a relevant standard 
    or other requirement established pursuant to section 112 of the Act. 
    Each relevant standard is to designate the ``affected source'' for the 
    purposes of that standard. Within a source category, the EPA decides 
    which HAP emission sources (i.e., emission points or groupings of 
    emission points) are most appropriate for establishing separate 
    emission standards in the context of the Clean Air Act statutory 
    requirements and the industry operating practices for the particular 
    source category.
        At proposal, the EPA considered different options for defining 
    ``affected source'' for the Off-Site Waste and Recovery Operations 
    NESHAP ranging from using a broad definition (e.g., the entire plant or 
    facility site) to narrow definitions (e.g., individual emission points) 
    (59 FR 51923). The EPA proposed using the narrowest definition of 
    affected source for the Off-Site Waste and Recovery Operations NESHAP 
    by defining the affected sources to be each of the individual emission 
    point types identified for the rule (e.g., each individual tank). The 
    EPA received comments that its proposed designation of affected source 
    for the Off-Site Waste and Recovery Operations NESHAP was too 
    restrictive and would complicate an owner's or operator's determination 
    of when reconstruction of a source has occurred triggering the 
    requirement to comply with the standards for new sources. Upon 
    consideration of these comments, the EPA decided that using a broader 
    definition is a more appropriate approach for defining the affected 
    sources for the Off-Site Waste and Recovery Operations NESHAP.
        Designating the affected source for the Off-Site Waste and Recovery 
    Operations NESHAP as the entire plant site was rejected by the EPA. 
    This approach would allow the MACT floor to be established by the 
    plant-wide emission reduction indicative of the level that is achieved 
    by the best performing 12 percent of the existing sources. Application 
    of a single MACT floor to all of the emission points located at the 
    plant site and selected for control under the Off-Site Waste and 
    Recovery Operations NESHAP would be difficult, if not technically 
    infeasible, for several reasons. First, the EPA's data base for the 
    off-site waste and recovery operations NESHAP lacks sufficient data 
    regarding the type of information required to implement this approach 
    for the source category. Also, the mechanism by which organic HAP are 
    emitted to the atmosphere and the types of controls relevant for 
    reducing these air emissions is not the same for all of the emission 
    point types identified for off-site waste and recovery operation source 
    category. For example, covers frequently are installed on tanks to 
    control air emissions while work practice programs are used to control 
    air emissions from equipment leaks. Furthermore, not all waste 
    management and recovery operations at a particular plant site may be 
    subject to this rulemaking because they are not used to manage off-site 
    material, as defined in the rule.
        A second approach is to designate several different affected 
    sources by grouping the similar emission points for each waste 
    management and recovery operation used at the plant site to manage off-
    site materials. Under this approach, each affected source consists of 
    the group of similar emission point types for the entire sequence of 
    units or equipment components in which a particular off-site material 
    is managed at the site. An example of such a group of emission points 
    is the collection of tanks, containers, surface impoundments, and 
    similar units that are used at a site to manage a waste from the point 
    where the waste is received at the site to the point where the material 
    enters an on-site disposal unit not regulated under this rule (e.g., 
    waste incinerator, landfill unit). An individual MACT floor is 
    established for the entire group of emission points comprising each 
    designated affected source.
        This second approach offers several advantages for implementing the 
    Off-Site Waste and Recovery Operations NESHAP. Designating the affected 
    source to be a group of similar emission point types ensures that air 
    emission controls of equivalent performance are applied at the same 
    time to all of the units used to manage a particular off-site material 
    stream. In contrast, had the EPA maintained the proposed designation 
    for the affected sources (i.e., each individual emission point), 
    situations could have occurred where an owner or operator was required 
    to use controls on a new tank (or other newly installed unit) 
    downstream of existing tanks managing the same off-site material but 
    not required to use air emission controls under the rule. This would be 
    an inefficient application of air emission controls since a significant 
    portion of the HAP contained in the off-site material likely would have 
    escaped to the atmosphere before the material entered the controlled 
    unit. The approach also provides a logical grouping of equipment by 
    which an owner or operator readily can determine when reconstruction of 
    the affected source triggers the air emission control requirements 
    under the rule for new sources. Therefore, for the final off-site waste 
    and recovery operations NESHAP, the EPA decided to designate the 
    affected sources by three distinct groups of the emission point types 
    for the waste management and recovery operation subject to using air 
    emission controls under the rule.
        The first group of similar emission points designated to be an 
    affected source for the Off-Site Waste and Recovery Operations NESHAP 
    is the group of tanks, containers, surface impoundments, oil-water and 
    organic-water separators, individual drain systems and other stationary 
    material conveyance systems used to manage off-site material in each of 
    the waste management and recovery operations specified in the rule that 
    are located at the plant site. The units regulated under this affected 
    source designation are collectively referred to hereafter in this 
    notice as ``off-site material management units.''
        The second the group of similar emission points designated to be an 
    affected source for the Off-Site Waste and Recovery Operations NESHAP 
    is process vents on units used to manage off-site material in each of 
    the waste management and recovery operations specified in the rule that 
    are located at the plant site. As defined for the rule, a process vent 
    is an open-ended pipe, stack, or duct used for passage of gases, 
    vapors, or fumes to the atmosphere and this passage is caused by 
    mechanical means (such as compressors or vacuum-producing systems) or 
    by process-related means (such as volatilization produced by heating). 
    A stack or duct used to exhaust combustion products from an enclosed 
    combustion unit (e.g., boiler, furnace, heater, incinerator) is not a 
    process vent for this rulemaking.
        The third group of similar emission points designated to be an 
    affected source for the Off-Site Waste and Recovery Operations NESHAP 
    is the group of equipment components prone to emitting HAP as a result 
    of equipment leaks. This group of equipment consists of pumps, 
    compressors, agitators, pressure relief devices, sampling connection 
    systems, open-ended valves and lines, valves, connectors, and 
    instrumentation systems that contain or contact off-site material in 
    each of the waste management and recovery operations specified in the 
    rule that are located at the plant site.
    
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    D. MACT Floor Determination
    
        Specific statutory directives set out in section 112 of the 1990 
    Amendments require the EPA to establish standards under a NESHAP to 
    reflect application of maximum achievable control technology (MACT). A 
    statutory minimum or baseline level of HAP emission control that the 
    EPA can select to be MACT for a particular source category is defined 
    under section 112(d)(3) of the 1990 Amendments, and is referred to as 
    the ``MACT floor.'' For new sources, the MACT floor is the level of HAP 
    emission control that is achieved in practice by the best controlled 
    similar source. The statute allows standards under a NESHAP for 
    existing sources to be less stringent than standards for new sources. 
    The determination of MACT floor for existing sources is dependent on 
    the nationwide number of existing sources within the source category. 
    The off-site waste and recovery operations source category contains 
    more than 30 existing sources nationwide. For a source category with 30 
    or more existing sources, the MACT floor is the average emission 
    limitation achieved by the best performing 12 percent of the existing 
    sources.
        Once the MACT floors are determined for new and existing sources in 
    a source category, the EPA must establish standards under a NESHAP that 
    are no less stringent than the applicable MACT floors. The 
    Administrator may promulgate standards that are more stringent than the 
    MACT floor when such standards are determined by the EPA to be 
    achievable taking into consideration the cost of implementing the 
    standards as well as any non-air quality health and environmental 
    impacts and energy requirements.
    1. MACT Floor for Existing Sources
        a. Off-site Material Management Units. As discussed in Section II.C 
    of this notice, the EPA has revised the affected source designation for 
    the off-site material management units at a plant site subject to the 
    Off-Site Waste and Recovery Operations NESHAP. For the final rule, the 
    designated affected source is the group of off-site material management 
    units (e.g., tanks, surface impoundments, containers, oil-water and 
    organic-water separators, individual drain systems and other stationary 
    transfer systems) in each of the waste management and recovery 
    operations specified in the rule that are located at the plant site. 
    Because the MACT floor determination for these off-site material 
    management units used at proposal was based on the application of the 
    floor to individual units rather than the group of units, the EPA 
    reconsidered the MACT floor determination following revision of the 
    affected source designation for the rule.
        The EPA reviewed site-specific information in the source category 
    data base regarding existing air emission control practices for off-
    site material management units. In addition, the EPA considered the air 
    emission controls that off-site material management units could be 
    required to use by new air rules promulgated since the Off-Site Waste 
    and Recovery Operations NESHAP was proposed (e.g., air rules for 
    hazardous waste tanks, surface impoundments, and containers in subpart 
    CC under 40 CFR parts 264 and 265).
        Based on the EPA's review of the air emission control information 
    in the data base for the off-site waste and recovery operations source 
    category, the Agency concluded that most groups of off-site material 
    management units (significantly more than 12 percent) manage off-site 
    material, at a minimum, in covered units. A portion of these off-site 
    material management units use more effective air emission controls such 
    as venting the covered unit to a control device. However, based on the 
    information available to Agency, the EPA cannot definitively determine 
    whether the higher level of air emission control achieved by that 
    portion of units using controls in addition to covers is representative 
    of the average of the top 12 percent of all existing off-site material 
    management units. Thus, the EPA decided to establish the MACT floor 
    control technology for the existing off-site material managements as 
    use of a cover.
        For other source categories, the EPA has established whether a 
    particular unit warrants the use of air emission controls under rules 
    for the source category on the basis of a characteristic parameter for 
    the materials placed in the unit (e.g., vapor pressure or organic 
    concentration). The EPA believes that using this approach provides an 
    effective and enforceable means for identifying the units that warrant 
    air emission controls while excluding those units for which 
    installation of controls is unnecessary because the units have no or 
    little potential for HAP emissions. Consequently, to complete the 
    definition of the MACT floor for this affected source, an applicability 
    cutoff provision (referred to hereafter in this notice as an ``action 
    level'') is needed to identify which off-site material management units 
    use the selected air emission controls.
        Establishing an action level required first selecting an 
    appropriate format for the action level that allows the value to be 
    relatively simple to be determined by an owner or operator and 
    expeditiously checked by EPA or State enforcement personnel. For the 
    proposed rule, the EPA evaluated several possible action level formats 
    and decided that an action level based on the volatile organic HAP 
    concentration (VOHAP) of the off-site materials is appropriate for 
    identifying those units which emit HAP and warrant the application of 
    air emission controls.
        The data available to the EPA at this time for the off-site waste 
    and recovery operations source category are insufficient to perform a 
    rigorous statistical analysis for the purpose of establishing the 
    minimum VOHAP concentration value for off-site material management 
    units currently using air emission controls. From a qualitative 
    perspective, application of air emission controls under the Off-Site 
    Waste and Recovery Operations NESHAP is not needed when a material 
    managed in an uncontrolled unit has little or no potential for HAP 
    emissions. In general, these off-site materials can be characterized as 
    materials having low VOHAP concentrations.
        The EPA considered a range of possible values to establish the 
    VOHAP concentration limit for the Off-Site Waste and Recovery 
    Operations NESHAP. The EPA proposed a VOHAP concentration value of 100 
    ppmw to be used as the action level for the rule. However, in proposing 
    this value, the EPA acknowledged that some off-site material management 
    units subject to the Off-Site Waste and Recovery Operations NESHAP 
    could be subject to other NESHAP and NSPS with differing action levels. 
    The EPA therefore requested comment on establishing the VOHAP 
    concentration action level for the rule at 100 ppmw, as well as 
    information that could be used to support alternative action levels 
    such as 500 ppmw (59 FR 51924). The EPA received comments stating that 
    the 100 ppmw VOHAP concentration action level proposed by the EPA for 
    the Off-site Waste and Recovery Operations NESHAP is inappropriate and 
    inconsistent with other applicable NSPS and NESHAP and recommending 
    that the EPA select a higher action level for the rule.
        The EPA considered the comments received regarding the proposed 
    action level, other revisions to the final Off-Site Waste and Recovery 
    Operations NESHAP, and changes that the EPA anticipates making for 
    other waste and wastewater related rules. The EPA
    
    [[Page 34147]]
    
    concluded that a reexamination of the MACT floor action level 
    determination was appropriate. Based on consideration of the 
    information available to the Agency regarding HAP emissions from waste 
    management and recovery operations receiving off-site material, the EPA 
    has concluded that a VOHAP concentration value of 500 ppmw best 
    represents the MACT floor for existing off-site material management 
    units using covers.
        Having established the MACT floor for existing off-site material 
    management units, the EPA consider control options that are more 
    stringent than the MACT floor based on the air emission control 
    requirements under existing EPA rules for HAP emission sources similar 
    to off-site material management units (e.g., air standards for tanks 
    under the HON, air standards for tanks, surface impoundments, and 
    containers at hazardous waste TSDF under 40 CFR parts 264 and 265). 
    These existing rules establish requirements for application of controls 
    more effective than covers on certain categories of tanks, containers, 
    and other units based on air emission potential related characteristics 
    such as the capacity of the unit and the vapor pressure of the material 
    managed in the unit. In the development of these other rules, the EPA 
    determined for these particular units that the more effective controls 
    are appropriate for control of the pollutants emitted from the units 
    and that implementing these controls is cost-effective. Therefore, for 
    the Off-Site Waste and Recovery Operations NESHAP the EPA concluded 
    that it is reasonable to establish standards for certain off-site waste 
    management units that are more stringent than the MACT floor when such 
    standards are determined by the EPA to be appropriate and consistent 
    with the control requirements for similar HAP emission sources under 
    other existing EPA rules.
        b. Process Vents. The MACT floor for affected sources consisting of 
    process vents is the same MACT floor used at proposal with one revision 
    to the action level. As discussed in the proposal notice (59 FR 51925), 
    this MACT floor is based on adapting, to the extent applicable and 
    relevant to the Off-Site Waste and Recovery Operations NESHAP, the air 
    emission standards for process vents on hazardous waste management 
    units and recycling units under 40 CFR 264 subpart AA and 40 CFR 265 
    subpart AA. The action level identifying application of air emission 
    controls on process vents has been revised to be consistent with the 
    500 ppmw action level selected for MACT floor for off-site material 
    management units. The control technology selected for the floor is 
    connecting the process vents to appropriate control devices such that 
    an organic HAP emission control efficiency of 95 percent or more is 
    achieved.
        c. Equipment Leaks. The same MACT floor selected at proposal is 
    used for affected sources consisting of the group of equipment 
    components consisting of pumps, compressors, agitators, pressure relief 
    devices, sampling connection systems, open-ended valves and lines, 
    valves, connectors, and instrumentation systems that contain or contact 
    off-site material in each of the waste management and recovery 
    operations specified in the rule that are located at the plant site. 
    The MACT floor requires control of HAP emissions from equipment leaks 
    by implementing leak detection and repair (LDAR) work practices and 
    equipment modifications for those equipment components containing or 
    contacting off-site material having a total organic HAP concentrations 
    equal to or greater than 10 percent. As discussed in the proposal 
    notice (59 FR 51925), the EPA selected this MACT floor based on the 
    existing equipment leak air standards applicable to waste management 
    operations to treat hazardous waste under 40 CFR 264 subpart BB and 40 
    CFR 265 subpart BB. The requirements of the MACT floor selected for the 
    Off-Site Waste and Recovery Operations NESHAP are also consistent with 
    existing NSPS equipment leak standards (e.g., 40 CFR 60 subparts VV, 
    GG, and KK) and for certain NESHAP equipment leak standards (e.g., 40 
    CFR 61 subpart V).
    2. MACT Floor for New Sources
        At proposal, the EPA concluded that the MACT floor determined for 
    existing sources also represents the HAP emission control that is 
    achieved in practice by the best controlled similar sources in the off-
    site waste and recovery operation source category with the exception of 
    new tanks. The MACT floor for new tanks was established based on the 
    level of emission control that is required for new tanks under the HON 
    (i.e., 40 CFR 63 subpart G). The EPA still believes these are 
    appropriate decisions for establishing the MACT floor for new sources 
    under the revised affected source designations selected for the final 
    Off-Site Waste and Recovery Operations NESHAP.
    
    E. Format of Standards
    
        Section 112 of the Act requires promulgation of an emission 
    standard whenever it is feasible; section 112(h) states that ``if it is 
    not feasible in the judgment of the Administrator to prescribe or 
    enforce an emission standard for control of a hazardous air pollutant 
    or pollutants, the Administrator may, in lieu thereof, promulgate a 
    design, equipment, work practice, or operational standard, or 
    combination thereof * * *'' The term ``not feasible'' is applicable if 
    the emission cannot be captured and vented through a vent or stack 
    designed for that purpose, or if the application of a measurement 
    methodology is not practicable because of technical or economic 
    limitations. Alternative formats were considered for the three types of 
    affected sources defined for the Off-Site Waste and Recovery Operations 
    NESHAP.
        For off-site material management units, the EPA concluded that a 
    numerical emission standard would not be feasible because it would be 
    difficult to capture and measure emissions from these units for the 
    purpose of evaluating compliance. Therefore, the format of the rule for 
    these affected sources includes a combination of design, equipment, 
    work practice, and operational standards. For process vents, the EPA 
    considered two alternative numerical emission limitation formats. These 
    emission limitation formats are a mass percent reduction of HAP from 
    process vents and a mass limitation of HAP emission from process vents. 
    The percent reduction format was chosen for the Off-Site Waste and 
    Recovery Operations NESHAP because it is the best representation of 
    control technology performance, and provides flexibility to owners and 
    operators. This format is based on the HAP removal efficiency of 
    conventional air pollution control devices and any control technology 
    that can achieve the reduction efficiency can be applied to any 
    configuration of process vents to comply with the standards. For 
    equipment leak sources (i.e., pumps, valves, etc.), numerical emission 
    standards are not feasible and the final standards for equipment leaks 
    are in the format of work practice and equipment specifications.
    
    F. Unit-Specific Subparts
    
        The regulatory text that EPA proposed for the Off-Site Waste and 
    Recovery Operations NESHAP included all of the requirements for the 
    rule in a single subpart to be added to 40 CFR part 63. The EPA decided 
    to promulgate the final requirements for the Off-Site Waste and 
    Recovery Operations NESHAP as a series of six new subparts added to 40 
    CFR part 63. These subparts are Subpart DD--National Emission Standards 
    for Off-Site Waste and Recovery
    
    [[Page 34148]]
    
    Operations, Subpart OO--National Emission Standards for Tanks--Level 1, 
    Subpart PP--National Emission Standards for Containers, Subpart QQ--
    National Emission Standards for Surface Impoundments, Subpart RR--
    National Emission Standards for Individual Drain Systems, and Subpart 
    VV--National Emission Standards for Oil-Water Separators and Organic-
    Water Separators.
        The air emission control requirements promulgated in Subparts OO, 
    PP, QQ, and RR are derived from and incorporate public comments on the 
    air emission control requirements originally proposed in Subpart DD for 
    tanks, surface impoundments, containers, and individual drain systems. 
    In addition, an individual subpart (Subpart VV) has been added to the 
    final rule specifying air emission control requirements for oil-water 
    separators and organic-water separators (referred to collectively 
    hereafter as ``separators''). At proposal, the EPA assumed that if a 
    separator was subject to using air emission controls under the Off-Site 
    Waste and Recovery Operations NESHAP it would be considered a type of 
    tank. As such, this separator would have been required to meet the air 
    emission control requirements specific in the rule for tanks. In actual 
    practice, application of these controls to a separator in strict 
    accordance with the requirements specified in the proposed rule may not 
    be practical given special design and operating characteristics for 
    separators. Therefore, the EPA concluded that it is appropriate to add 
    an individual subpart specifically for separators that will provide a 
    level of air emission control comparable to the control level 
    established for tanks yet address the special design and operating 
    features of separators.
        The EPA decided to promulgate the air emission control requirements 
    for selected types of units in individual subparts for ease of 
    reference, administrative convenience, and as a step towards assuring 
    consistency of the air emission control requirements applied to similar 
    types of units under different rules. The EPA believes adopting the 
    format of codifying the air emission control requirements for specific 
    unit types in individual subparts will provide significant advantages 
    to both regulated industries and to the Agency.
        By today's notice, the air emission control requirements 
    promulgated in Subparts OO, PP, QQ, RR, and VV presently are applicable 
    only to units in waste management and recovery operations regulated 
    under Subpart DD. For application of the unit-specific subparts to new 
    rules for other source categories, the EPA is planning to reference 
    these unit-specific subparts to specify the air emission control 
    requirements for the units subject to using controls under the rule. 
    The applicability, action level, designation of which units are 
    required to use controls, treatment requirements, and any other 
    requirements specific to the source category will be in the regulatory 
    text under the source-specific subpart (i.e., the same format that is 
    being promulgated today for the Off-Site Waste and Recovery Operations 
    NESHAP) Also, the EPA may, in the future, amend existing NSPS, NESHAP, 
    or other rules to reference the appropriate unit-specific subparts, 
    whether as a replacement for the air emission control requirements in 
    the existing rule or as an alternative means of compliance. In these 
    rulemaking cases, the EPA will first propose the Agency's intention of 
    applying the requirements of Subparts OO, PP, QQ, RR, and VV, as 
    applicable, to other rules. The public will have the opportunity to 
    comment on the appropriateness and application of using these unit-
    specific subparts for the particular sources regulated by the new or 
    amended rule.
        A major advantage for using the unit-specific subpart format for 
    NESHAP and other air rules is for those situations when more than one 
    rule applies to a particular source (e.g., a tank) and each of these 
    rules requires use of air emission controls on that source (e.g., a 
    fixed roof). By establishing unit-specific subparts, all of the rules 
    will reference a common set of design, operating, testing, inspection, 
    monitoring, repair, recordkeeping, and reporting requirements for air 
    emission controls. This eliminates the potential for duplicative or 
    conflicting air emission control requirements being placed on the unit 
    by the different rules, and assures consistency of the air emission 
    control requirements applied to the same types of units.
        In the future, the EPA may decided it is appropriate to amend the 
    air emission control requirements for different types of units to 
    reflect improvements in control technologies or to add other control 
    alternatives. When this occurs, using a unit-specific subpart format 
    will simplify the amendment process and ensure that all source-specific 
    subparts are amended in a consistent and timely manner. To incorporate 
    the desired changes in the air emission control requirements, the EPA 
    will need to amend only one subpart instead of amending each of the 
    individual source category specific subparts. The identical amended 
    regulatory language will automatically apply to all of the source 
    category specific subparts that reference the amended unit-specific 
    subpart. The amendments will become effective for all of the source 
    category specific subparts at the same time.
    
    G. Alternative Test Method Validation Procedure
    
        As part of today's action, the EPA is promulgating a new validation 
    procedure titled ``Alternative Validation Procedure for EPA Waste 
    Methods'' that can be used as an alternative to Method 301 in Appendix 
    A under 40 CFR part 63 for the validation of a test method established 
    by the EPA Office of Water (OW) or the EPA Office of Solid Waste (OSW) 
    when this test method is used for air emission standards. The 
    alternative method is less rigorous than Method 301. A proposed version 
    of the alternative validation procedure was made available for public 
    review and comment on August 14, 1996 (60 FR 41870) as part of the 
    information placed in the public docket and being considered by the 
    Agency in revising air standards in the RCRA rules. Comments on the 
    information were accepted by the EPA through October 13, 1995. No 
    significant comments were received by the EPA regarding the proposed 
    alternative validation procedure.
        For the Off-Site Waste and Recovery Operations NESHAP, the EPA 
    decided it is appropriate to allow organic concentration data test that 
    are validated in accordance with the alternative validation method to 
    be used as direct measurement data. Today's action promulgates 
    ``Alternative Validation Procedure for EPA Waste and Wastewater 
    Methods'' as Appendix D in 40 CFR part 63. This final version of 
    Appendix D is the same as the proposed version. As promulgated, the 
    alternative validation procedure is to be applied exclusively to those 
    EPA methods developed by OW and OSW when the method is being applied to 
    EPA air emission standards. If an owner or operator wants to use a test 
    method not issued by either of these two EPA offices as an alternative 
    to the test methods specifically listed in the rule, this test method 
    must be validated according to the procedures in Sections 5.1 and 5.3 
    of Test Method 301.
    
    III. Summary of Impacts
    
        The EPA estimates that implementation of the Off-Site Waste and 
    Recovery Operations NESHAP will reduce HAP emissions from the source 
    category on a nationwide basis by approximately 82 percent, from 52,000 
    Mg/yr to 9,000 Mg/yr.
    
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        The EPA also estimated the reduction in VOC emissions from the 
    source category. The Off-Site Waste and Recovery Operations NESHAP is 
    estimated to reduce nationwide VOC emissions by approximately 52,000 
    Mg/yr. This value was calculated using the estimated nationwide HAP 
    emission value times a value of approximately 1.2 to represent the 
    ratio of VOC-to-HAP constituents in the off-site material regulated 
    under the rule. The value for this ratio was derived from information 
    in the data base for the off-site waste and recovery operations source 
    category. This derived value is lower than VOC-to-HAP ratios indicated 
    for other HAP emission sources. Thus, the procedure used to estimate 
    nationwide VOC emissions for the source category is considered by the 
    EPA to be conservative and may understate the actual quantity of VOC 
    emission reduction that will occur from implementing the Off-Site Waste 
    and Recovery Operations NESHAP.
        The EPA prepared estimates of the cost to owners and operators of 
    implementing the requirements of the final Off-Site Waste and Recovery 
    Operations NESHAP at plant sites the EPA expects are likely to be 
    subject to the rule. The total nationwide capital investment cost to 
    purchase and install the air emission controls that are required by the 
    rule is estimated by the EPA to be approximately $42 million. The total 
    nationwide annual cost of the Off-Site Waste and Recovery Operations 
    NESHAP is estimated to be approximately $18 million per year. This 
    corresponds to an average cost of approximately $420 per megagram of 
    HAP controlled.
        Price increases in affected markets are projected at less than 0.01 
    percent of baseline price, and decreases in production are projected at 
    less than 0.1 percent. No businesses or facilities are projected by the 
    EPA to close as a result of implementing the requirements of the final 
    rule. For more information regarding the economic analysis, consult the 
    Economic Impact Analysis of National Emissions Standards for Hazardous 
    Air Pollutants: Off-Site Waste and Recovery Operations available in the 
    docket (Docket No. A-92-16).
    
    IV. Summary of Responses to Major Comments
    
        A summary of responses to selected major comments received on the 
    proposed rule is presented below. Additional discussion of the EPA's 
    responses to public comments is presented in the Basis and Support 
    Document (see ADDRESSES section of this preamble).
    
    A. Rule Applicability
    
        Comment: Many commenters stated that the proposed applicability of 
    the Off-Site Waste and Recovery Operations NESHAP would be too broad 
    and should be narrower. Major reasons presented by individual 
    commenters include: (1) the rule's applicability was expanded by the 
    EPA beyond the scope of the initial source category listing without 
    providing adequate notice to the public; (2) including operations 
    managing ``recoverable materials'' received from off-site in the rule's 
    applicability discourages recycling, provides a disincentive to 
    pollution prevention, and is inconsistent with the Pollution Prevention 
    Act; and (3) range of facility types subject to the rule is too broad 
    because many of these facility types have significantly different HAP 
    emission sources.
        Response: The EPA proposed that the Off-Site Waste and Recovery 
    Operations NESHAP be applicable to owners and operators of facilities 
    that are ``major sources'' (as defined in 40 CFR 63.2) and at which 
    operations are conducted to manage, convey, or handle ``wastes'' or 
    ``recoverable materials'' received from off-site and containing 
    specific organic HAP constituents (as specified in Table 1 of the 
    rule). Under the proposed rule, waste management and recovery 
    operations listed by the EPA as separate NESHAP source categories were 
    specifically exempted from the requirements of the rule.
        The EPA has not expanded the applicability of the Off-Site Waste 
    and Recovery Operations NESHAP beyond the scope of the initial source 
    category listing without providing adequate notice to the public. The 
    EPA published an advance notice of proposed rulemaking (ANPR) in the 
    Federal Register on December 20, 1993 (58 FR 66336) announcing the 
    EPA's intent to develop a NESHAP for the off-site waste and recovery 
    operations source category. In the ANPR, the EPA provided a general 
    description of the types of facilities the EPA planned to regulate 
    under this rulemaking (see 58 FR 66337). The EPA further provided a 
    definition of ``waste'' that the Agency intended to be used for this 
    rulemaking which included materials managed prior to being recycled. 
    Thus, the Agency clearly expressed its intent in the ANPR to include 
    recovery operations in the scope of this rulemaking.
        As described in Section II.D.3 of this notice, the Pollution 
    Prevention Act of 1990 (42 U.S.C. 13101 et seq., Pub. L. 101-508, 
    November 5, 1990) establishes the national policy of the United States 
    for pollution prevention. The EPA believes that applying the Off-Site 
    Waste and Recovery Operations NESHAP to units managing materials that 
    are collected and transported to a facility for subsequent reprocessing 
    or recycling is fully consistent with the Pollution Prevention Act. The 
    final rule neither discourages recycling nor provides a disincentive to 
    pollution prevention. The final rule does not prohibit or discourage an 
    owner or operator from continuing to use the recovery operation; the 
    rule only requires that the owner or operator control the organic HAP 
    emitted to the atmosphere from the operation. This is consistent with 
    the Pollution Prevention Act's declaration that operations to recycle 
    or reuse materials be performed in an environmentally-safe manner.
        In proposed regulatory text, the EPA split the definition of 
    ``waste'' the Agency stated in the ANPR, into two separate terms; 
    ``waste'' being defined as materials managed prior to being discarded 
    or discharged, and ``recoverable materials'' being defined as materials 
    managed prior to being recycled, reprocessed, or reused. Based on the 
    comments received by the EPA, it appears that commenters interpreted 
    the proposed regulatory text using these terms to extend the 
    applicability of the rule to certain types of recycling and recovery 
    operations that the Agency never intended to be subject to this 
    rulemaking. To clarify the EPA's intent, the general term ``recoverable 
    material'' is not used in the final rule. Instead, the EPA has added to 
    the final rule the new terms ``used oil'' and ``used solvent'' to 
    define the specific types of recycled or reprocessed materials subject 
    to the rule. In each case where the final Off-Site Waste and Recovery 
    Operations NESHAP is applicable to a used oil or used solvent recovery 
    operation, the EPA has included this operation because the Agency has 
    concluded that the operation when uncontrolled can be a significant 
    source of HAP emissions and the operation will not be regulated by 
    another NESHAP.
        The EPA disagrees that the applicability of the Off-Site Waste and 
    Recovery Operations NESHAP is too broad because many of the types of 
    waste management and recovery operations included in the source 
    category have significantly different HAP emission sources. In the 
    Federal Register notice for the proposed rule, the EPA provided 
    examples of specific types of facilities included in the off-site waste 
    and recovery operations source category (see 59 FR 51920). At all of
    
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    these facilities, similar types of units are used to manage wastes or 
    the other materials subject to the rule (e.g., tanks, containers, 
    surface impoundments). Organic HAP are emitted from each type of unit 
    by the same emission mechanisms regardless of the type of facility at 
    which the unit is located. Common organic HAP control technologies are 
    applicable to the units used at all of the off-site waste and recovery 
    operations facility types. There are no significant differences in the 
    organic HAP emissions or the control technologies applicable to 
    controlling these emissions from the off-site waste and recovery 
    operations facility types subject to this rulemaking.
        Many commenters mistakenly interpreted the regulatory language of 
    the proposed rule to extend the applicability of the Off-Site Waste and 
    Recovery Operations NESHAP to facilities that the Agency never intended 
    to be subject to this rulemaking. In response to the different 
    interpretation of the proposed rule's applicability by commenters 
    versus the Agency's intent for this rulemaking, the EPA reviewed the 
    proposed regulatory text for the rule. The EPA decided to revise the 
    format to be inclusive by specifically identifying those waste 
    management and recovery operations that are subject to the Off-Site 
    Waste and Recovery Operations NESHAP. Owners and operators of waste and 
    recovery operations not explicitly included in the set of conditions 
    specified for the final Off-Site Waste and Recovery NESHAP are not 
    subject to the rule.
    
    B. Data Base Used for Rule Development
    
        Comment: Commenters stated that the data base used by the EPA to 
    develop the Off-Site Waste and Recovery Operations NESHAP is not 
    representative of all of the waste management recovery operations that 
    would be potentially subject to the rule; and the information in the 
    data base is not representative of current waste management and 
    recovery operation practices.
        Response: In the development of the Off-Site Waste and Recovery 
    Operations NESHAP, the EPA used the best information available to the 
    Agency. Earlier in the development of the rule, the EPA recognized that 
    more up-to-date data and additional information would be beneficial for 
    evaluating the different types of waste management and recovery 
    operations included in the source category and for estimating the 
    impacts associated with this rulemaking. The EPA made several requests 
    for information from the public to supplement the Agency's information 
    regarding the off-site waste and recovery operations source category.
        Prior to proposal of the Off-Site Waste and Recovery NESHAP, the 
    EPA announced in the ANPR the data bases the Agency was using for the 
    impact analyses and requested information from the public (see 58 FR 
    66338 and 66339). The EPA specifically requested more information on 
    off-site material characteristics (types, quantities, organic 
    composition), operating practices, and waste and recovery operation 
    emission points and air emission data. No additional information 
    regarding these topics was received by the EPA.
        At proposal, the EPA requested additional information to improve 
    the Agency's understanding and profile of the waste management and 
    recovery operations intended to be addressed by this rulemaking (see 59 
    FR 51921). Additional information was provided to the EPA by commenters 
    regarding the following topics: (1) industrial waste landfill 
    operations, waste characterizations, and HAP emissions; (2) general 
    practices for waste management and recovery operations commonly used at 
    chemical manufacturing plants and petroleum refineries; and (3) general 
    waste management practices used at oil exploration and production 
    leases. In addition, the EPA obtained additional information regarding 
    used solvent collection and management practices for businesses that 
    reprocess used solvent for sale to other users.
        The data base used for the impact analysis for the rulemaking was 
    compiled by collecting information related to off-site waste and 
    recovery operations from nationwide surveys of hazardous waste TSDF, 
    wastewater treatment facilities, and used oil management facilities 
    that the EPA conducted for other rulemakings. The EPA is fully aware 
    that off-site waste and recovery operations have changed since the 
    surveys were conducted. These changes are the result of multiple 
    factors including reductions in the quantities of certain wastes sent 
    to waste management facilities as waste minimization programs have been 
    implemented by generators; changes in waste disposal practices to 
    comply with RCRA land disposal restrictions and other rules; and 
    changes in ownership arrangements of waste management and recovery 
    operations located within large petrochemical and other manufacturing 
    complexes. In recognition of these changes, the EPA adjusted the data 
    base to reflect these changes to the extent possible using other 
    information available to the Agency.
        The EPA reviewed the data base used to develop the Off-Site Waste 
    and Recovery Operations NESHAP with respect to the Agency's decisions 
    regarding the rule revisions made to the applicability of the final 
    rule. The EPA believes that the data base contains sufficient 
    information regarding the types of the waste management and recovery 
    operations that are subject to the final Off-Site Waste and Recovery 
    Operations NESHAP to support the Agency's decisions for this 
    rulemaking.
    
    C. Land Disposal Unit Requirements
    
        Comment: Commenters disagreed with the proposed requirement to 
    treat wastes prior to being placed in land disposal units because they 
    state that the requirement is inconsistent with the RCRA land disposal 
    restrictions and any solid waste land disposal restrictions should be 
    promulgated by the EPA's Office of Solid Waste.
        Response: The EPA proposed that, prior to being placed in land 
    disposal units, owners and operators treat those off-site materials 
    having a VOHAP concentration equal to or greater than the action level. 
    Based on the EPA's decisions regarding applicability of the rule to 
    landfills and considering the existing requirements under RCRA land 
    disposal restrictions, the EPA concluded that the proposed requirement 
    is not needed for the Off-Site Waste and Recovery Operations NESHAP. 
    The final rule places no restrictions on the disposal of wastes in land 
    disposal units nor places any other air emission control requirements 
    on these units.
    
    D. Off-Site Material Determination Test Methods
    
        Comment: Commenters stated that proposed requirements for 
    determining the average VOHAP concentration of a off-site material use 
    inappropriate test methods and are excessive, impractical, and too 
    costly to implement at many facilities potentially subject to the rule.
        Response: Under the Off-Site Waste and Recovery Operations NESHAP, 
    air emission controls are not required for those off-site material 
    management units located in the affected source when the unit manages 
    off-site material having a VOHAP concentration less than the action 
    level. As part of the procedure for determining the VOHAP concentration 
    of the off-site material, the EPA proposed that an owner or operator 
    could use either: (1) Direct measurement using Method 305 of samples of 
    the material collected in accordance with the procedures specified in 
    the rule; or (2) the owner's or operator's knowledge of the VOHAP 
    concentration in material
    
    [[Page 34151]]
    
    based on information, as specified in the rule.
        For the final Off-Site Waste and Recovery Operations NESHAP, the 
    EPA decided to add other appropriate test methods that an owner or 
    operator can choose to use for direct measurement of the VOHAP 
    concentration of an off-site material. In addition, the EPA has made 
    certain other changes to facilitate the use of organic concentration 
    data obtained using other alternative test methods not specifically 
    listed in the rule. The EPA believes that the changes incorporated into 
    waste determination requirements in conjunction with changes to the 
    applicability and action level for the final Off-Site Waste and 
    Recovery Operations NESHAP provide a range of options for determining 
    the VOHAP concentration of an off-site material such that every owner 
    and operator of facilities subject to the final rule has available 
    practical and inexpensive waste determination alternatives.
        The EPA developed Method 305 to provide a relative measure of the 
    potential for specific volatile organic compounds to be emitted from 
    waste materials. In developing Method 305, the EPA solicited public 
    comments on a proposed version of the method and addressed these 
    comments in the final version of the method (59 FR 19402). Method 305 
    has been validated and the EPA considers Method 305 to be an 
    appropriate method for determining the VOHAP concentration of off-site 
    materials subject to the Off-Site Waste and Recovery Operations NESHAP.
        Method 305 uses the same waste sample collection procedures and 
    sample recovery conditions established by Method 25D (40 CFR part 60, 
    Appendix A). When using Method 25D, the waste sample is analyzed to 
    determine the total concentration, by weight, of all organics recovered 
    from the waste sample. When using Method 305, the waste sample is 
    analyzed to determine the purged concentration, by weight, of only 
    those specific hazardous air pollutants in the waste sample which are 
    listed in Table 1 in the rule (i.e., the VOHAP concentration). Any 
    hazardous air pollutant or organic constituent that may be contained in 
    the sample but is not listed in Table 1 in the rule is not counted in 
    the VOHAP concentration determination. For the off-site materials 
    typically managed in the operations subject to the Off-Site Waste and 
    Recovery Operations NESHAP, the EPA concluded that using Method 25D is 
    a reasonable alternative to using Method 305 for the purpose of this 
    rulemaking. Therefore, the final Off-Site Waste and Recovery Operations 
    NESHAP includes use of Method 25D as one of the test methods an owner 
    or operator may choose among for direct measurement of the VOHAP 
    concentration of an off-site material.
        Other test methods have been developed by the EPA for use in 
    rulemakings under the Clean Water Act that measure the concentration of 
    organic pollutants in municipal and industrial wastewaters (see 
    Appendix A to 40 CFR part 136). Commenters suggested that certain of 
    these test methods are applicable to EPA air rulemakings affecting 
    wastewater management units. After extensive review, the EPA decided 
    that as alternatives to using Method 305 or Method 25D for direct 
    measurement of VOHAP concentration in an off-site material for the Off-
    Site Waste and Recovery Operations NESHAP it is appropriate to add 
    Methods 624, 1624, and 1625 (all contained in 40 CFR 136, Appendix A) 
    when used under certain specified conditions. Because these methods 
    measure the total concentration of the HAP constituents listed in Table 
    1 of the rule, owners and operators may choose to ``correct'' these 
    measured values to equate to the values that would be measured using 
    Method 305. This is accomplished by multiplying the total concentration 
    measured values times the appropriate ``f m factor'' presented in 
    Table 1 of the rule to obtain the Method 305 VOHAP concentration.
        Sufficient recovery study results are available for Methods 1624 
    and 1625 to correct for possible bias, and therefore, these methods are 
    considered adequate by the EPA to characterize the concentration of a 
    off-site material sample. In addition, Method 624 is appropriate 
    provided the initial calibration of the analytical system is performed 
    with the target compounds to be measured. However, none of these 
    methods specifies a sample collection and handling procedure that is 
    considered by the EPA adequate to minimize the volatilization of 
    organics from the sample prior to analysis. Therefore, to ensure that 
    an adequately representative sample of an off-site material is analyzed 
    by the method, an owner or operator that chooses to use either Method 
    624, 1624, or 1625 for the Off-Site waste and Recovery Operations 
    NESHAP is required to develop and follow a written sampling plan. This 
    plan describes a step-by-step procedure for collecting representative 
    samples of the off-site materials such that material integrity is 
    maintained and minimal loss of organics from the sample occurs 
    throughout the collection and analysis process. An example of an 
    acceptable sampling plan is one that incorporates sample collection and 
    sample handing procedures similar to those specified in Method 25D. The 
    sampling plan is to be maintained on-site in the facility records.
        The EPA proposed use of knowledge-of-the-waste, allowing a facility 
    owner or operator to use test data obtained using a test method other 
    than Method 305 provided that the method was validated in accordance 
    with Method 301 (40 CFR part 63, Appendix A). Under this application of 
    Method 301, the owner or operator would be validating the alternative 
    test method results as compared to test results obtained using Method 
    305. Since proposal, the EPA decided to allow organic concentration 
    data test that are validated in accordance specifically with Sections 
    5.1 and 5.3 of Method 301 to be used as direct measurement data. This 
    makes validation of the alternative test method a self-check of the 
    method being validated. Also, if appropriate, owners and operators may 
    choose to ``correct'' values measured by the alternative test method to 
    equate to the values that would be measured using Method 305 by 
    multiplying the measured values times the appropriate ``f m 
    factor'' presented for each hazardous air pollutant listed in Table 1 
    of the rule.
        Finally, as discussed in Section II.G of this notice, the EPA is 
    promulgating today a less rigorous validation procedure, ``Alternative 
    Validation Procedure for EPA Waste Methods,'' in Appendix to 40 CFR 
    part 63 as an alternative to Method 301 for the validation of a test 
    method established by the EPA Office of Water (OW) or the EPA Office of 
    Solid Waste (OSW) when this test method is used for air emission 
    standards. The EPA decided it is appropriate to allow organic 
    concentration data test that are validated in accordance with this 
    method to be used as direct measurement data.
    
    E. Container Air Emission Controls
    
        Comment: Commenters stated that proposed air emission control 
    requirements for containers are commercially unavailable or impractical 
    to implement. Also, commenters stated that the requirements should be 
    consistent with the container air emission control requirements under 
    the RCRA rules.
        Response: Since proposal, the EPA has obtained more information on 
    the practices and equipment currently used to manage waste and used 
    solvents in containers. Based on consideration of this information, the 
    EPA decided to
    
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    revise the air emission control requirements for containers to better 
    reflect the container organic HAP emission potential, the various 
    container types, and the common container management practices used for 
    off-site waste and recovery operations. The EPA believes that these 
    revised requirements are technically feasible and practical to 
    implement on all types of containers that the Agency expects to be 
    subject to the rule. These revisions are described in detail in Section 
    V.G of this notice.
        The EPA is addressing consistency between the air emission control 
    requirements for containers (as well as the other affected units) in 
    the Off-Site Waste and Recovery Operations NESHAP and the RCRA rules by 
    amending the RCRA rules to include an exemption for those affected 
    units using organic emission controls in accordance with the 
    requirements of the Off-Site Waste and Recovery Operations NESHAP or 
    any other applicable NESHAP.
    
    F. Recordkeeping and Reporting
    
        Comment: Commenters stated that the recordkeeping and reporting 
    requirements proposed for the Off-Site Waste and Recovery Operations 
    NESHAP would be excessive and inconsistent with other NSPS, NESHAP, and 
    RCRA rules that also may be applicable to a unit subject to the rule.
        Response: Under section 114(a) of the Act, the EPA may require any 
    owner or operator of a source subject to a NESHAP to establish and 
    maintain records as well as prepare and submit notifications and 
    reports to the EPA or authorized State. Review by EPA and State 
    officials of appropriate information that is maintained in facility 
    records and is submitted in facility prepared reports provides one 
    means for checking the compliance status of the facility with the 
    NESHAP technical requirements. However, the EPA also recognizes that 
    excessive and duplicative recordkeeping and reporting requirements can 
    create a burden to facility owners and operators complying with a 
    NESHAP as well as to the EPA and State officials responsible for 
    assuring compliance with the NESHAP. Thus, it is the EPA's intention to 
    limit the amount of recordkeeping and reporting required for a 
    particular NESHAP to reasonable requirements which will provide the 
    appropriate information needed by EPA and State officials to enforce 
    the rule.
        For the Off-Site Waste and Recovery Operations NESHAP, the EPA 
    proposed adopting the recordkeeping and reporting requirements as 
    specified in the Part 63 General Provisions. The EPA reviewed the 
    recordkeeping and reporting needed for the final rule considering the 
    revisions made to the rule applicability and technical requirements. 
    Based on this review, the EPA decided that certain changes to simplify 
    the recordkeeping and reporting requirements for the final Off-Site 
    Waste and Recovery Operations NESHAP can be made without compromising 
    the enforceability of the rule.
    
    VI. Summary of Changes Since Proposal
    
        Changes have been incorporated into the final Off-Site Waste and 
    Recovery Operations NESHAP in response to comments on the proposed 
    rule. Also, the EPA has made many changes to the specific air emission 
    control requirements to clarify the EPA's intent in the application and 
    implementation of these requirements and to make these requirements 
    consistent and up-to-date with EPA decisions made for other related 
    NESHAP and RCRA rules. The substantive changes to the Off-Site Waste 
    and Recovery Operations NESHAP since proposal are summarized below.
    
    A. Applicability
    
        Several major changes have been made to the applicability of the 
    final Off-Site Waste and Recovery Operations NESHAP to address comments 
    on the proposed rule and to clarify the specific waste management and 
    recovery operations that the EPA intends to be subject to the Off-Site 
    Waste and Recovery Operations NESHAP. These changes include: (1) 
    Deleting the proposed term ``recoverable material'' and defining new 
    terms ``off-site material'', ``used oil'', and ``used solvent'' to 
    explicitly specify the types of materials that the EPA is regulating 
    under this rule; (2) adding a list of the specific wastes and other 
    materials which can be received at a plant site but not considered by 
    the EPA to be off-site materials for the purpose of implementing the 
    rule; and (3) using an inclusive format to limit the rule applicability 
    to six specific types of waste management and recovery operations. A 
    detailed description of each of these changes is presented in the 
    following paragraphs.
        The Off-Site Waste and Recovery Operations NESHAP is applicable to 
    owners and operators of a plant site that meet both of the following 
    conditions: (1) The plant site is a major source of HAP emissions as 
    defined in the General Provisions to 40 CFR part 63; and (2) at the 
    plant site, the owner or operator manages ``off-site material,'' as 
    defined in the rule, in one or more of the specific waste management or 
    recovery operations listed in the rule. If either one (or both) of the 
    conditions do not apply to a plant site, then the owner and operator of 
    the plant site is not subject to the Off-Site Waste and Recovery 
    Operations NESHAP, and no action is required by the owner or operator 
    in regards to this rule.
        For the purpose of implementing the Off-Site Waste and Recovery 
    Operations NESHAP, a ``plant site'' is all contiguous or adjoining 
    property that is under common control including properties that are 
    separated only by a road or other public right-of-way. Common control 
    includes properties that are owned, leased, or operated by the same 
    entity, parent entity, subsidiary, or any combination thereof. A unit 
    or group of units within a contiguous property that are not under 
    common control (e.g., a wastewater treatment unit or solvent recovery 
    unit located at the site but is sold to a different company) is a 
    different plant site.
        The first applicability condition for the Off-Site Waste and 
    Recovery Operations NESHAP is determined by whether or not the plant 
    site is a major source of HAP emissions as defined in 40 CFR 63.2. In 
    general, this would be a plant site that emits or has the potential to 
    emit considering controls, in total, 10 tons per year or more of any 
    one HAP or 25 tons per year or more of any combination of HAP. If the 
    plant site is not a major source, then the owner and operator of the 
    plant site is not subject to the Off-Site Waste and Recovery Operations 
    NESHAP regardless of the types of materials received from off-site.
        The second applicability condition involves the combined 
    requirement that ``off-site material'' must be received at the plant 
    site and this material must be managed in one of the six types of waste 
    management or recovery operations specified in the rule. The first part 
    of the applicability condition involves determining whether an ``off-
    site material'' as defined in the rule is received at the plant site. 
    The second part of the applicability condition involves determining 
    whether one or more of the following types of waste management or 
    recovery operations is located at the plant site: (1) a hazardous waste 
    treatment, storage, and disposal facility (TSDF) regulated under 40 CFR 
    part 264 or 265 that manages waste received from off-site; (2) a 
    wastewater treatment facility that manages wastewater received from 
    off-site and this facility is exempted from regulation
    
    [[Page 34153]]
    
    as a TSDF under 40 CFR 264.1(g)(6) or 40 CFR 265.1(c)(10); (3) a 
    wastewater treatment facility other than a POTW that manages 
    wastewaters received from off-site and operation of this facility is 
    the predominant function performed at the plant site; (4) a facility 
    that recycles off-site material and this facility is exempted from 
    regulation as a TSDF under 40 CFR 264.1(g)(2) or 40 CFR 265.1(c)(6); 
    (5) a facility in which used solvents received from off-site are 
    reprocessed or recovered; and (6) a facility in which used oil received 
    from off-site is reprocessed or re-refined and this facility is 
    regulated under 40 CFR Part 279, subpart F--Standards for Used Oil 
    Processors and Refiners.
        For the purpose of implementing the rule, ``off-site material'' is 
    defined to be a material for which all three of the following criteria 
    apply: (1) The material is a ``waste'', ``used oil'', or ``used 
    solvent'' as defined in the rule; (2) this material is delivered, 
    transferred, or otherwise moved to the plant site from another 
    location; and (3) this material contains one or more of the specific 
    HAP constituents listed in Table 1 in the rule. If the material 
    received at the plant site does not meet any one of these criteria, 
    then the material is not an ``off-site material'' under the rule.
        The term ``waste'' used for the final rule is the same definition 
    proposed for the rule. Waste types that EPA does not intend to be 
    regulated under this rulemaking are specifically listed in the final 
    rule. For the purpose of the implementing the Off-Site Waste and 
    Recovery Operations NESHAP, none of the following wastes are ``off-site 
    materials'': household waste as defined in 40 CFR 258.2; radioactive 
    mixed waste managed in accordance with all applicable regulations under 
    Atomic Energy Act and Nuclear Waste Policy Act authorities; waste that 
    is generated by remedial activities required under the RCRA corrective 
    action authorities (RCRA sections 3004(u), 3004(v), or 3008(h)), CERCLA 
    authorities, or similar Federal or State authorities; waste containing 
    HAP that is generated by residential households (e.g., old paint, home 
    garden pesticides) and subsequently is collected as a community service 
    by government agencies, businesses, or other organizations for the 
    purpose of promoting the proper disposal of this waste; waste that is 
    generated by or transferred from units complying with all applicable 
    regulations under 40 CFR Part 63, subparts F and G--National Emission 
    Standards for Organic Hazardous Air Pollutants from the Synthetic 
    Organic Chemical Manufacturing Industry; waste containing benzene that 
    is generated by or transferred from units complying with all applicable 
    requirements specified by Sec. 61.342(b) under 40 CFR Part 61, subpart 
    FF--National Emission Standards for Benzene Waste Operations for a 
    facility at which the total annual benzene quantity from facility waste 
    is equal to or greater than 10 Mg/yr; and ship ballast water that is 
    pumped from a ship to an onshore wastewater treatment facility.
        ``Used oil'' means any oil refined from crude oil or any synthetic 
    oil that has been used and as a result of such use is contaminated by 
    physical or chemical impurities. This definition is consistent with the 
    definition used by the EPA for the RCRA used oil management standards 
    under 40 CFR Part 279, subpart F.
        ``Used solvent'' means a solvent composed of mixtures of one or 
    more aliphatic hydrocarbons or aromatic hydrocarbons that has been used 
    and as a result of such use is contaminated by physical or chemical 
    impurities.
        Based on the applicability conditions for the final Off-Site Waste 
    and Recovery Operations NESHAP, an owner or operator is not subject to 
    the rule and no action is required by the rule for the following cases. 
    If a plant site is not a major source of HAP emissions, then the owner 
    and operator of the plant site are not subject to the Off Site Waste 
    and Recovery Operations NESHAP regardless of whether the site receives 
    off-site material. If at a plant site is located one or more of the 
    specific waste management or recovery operations listed in the rule but 
    off-site material received at the plant site is not managed in these 
    operations, then the owner and operator of the plant site are not 
    subject to the Off-Site Waste and Recovery Operations NESHAP. In a case 
    when a plant site receives off-site material and is a major source of 
    HAP emissions but there is not one of the waste management or recovery 
    operations listed in the rule located at the site, then owner and 
    operator of the plant site are not subject to the Off-Site Waste and 
    Recovery Operations NESHAP.
        At a plant site subject to the Off-Site Waste and Recovery 
    Operations NESHAP, the rule only applies to the affected sources used 
    to manage off-site material in the waste management and recovery 
    operations specified in the rule that are located at the plant site. 
    Units and equipment used to manage off-site material at the plant site 
    but are not part of one of the waste management or recovery operations 
    specified in the rule are not affected sources under the rule.
        The first affected source for the Off-Site Waste and Recovery 
    Operations NESHAP is the group of tanks, surface impoundments, 
    separators, transfer systems, and containers used to manage off-site 
    material in each of the waste management and recovery operations 
    specified in the rule that are located at the plant site. The second 
    affected source for the rule is the group of process vents on units in 
    each of the waste management and recovery operations specified in the 
    rule that are located at the plant site.
        The third affected source for the rule is the group of equipment 
    components consisting of pumps, compressors, agitators, pressure relief 
    devices, sampling connection systems, open-ended valves and lines, 
    valves, connectors, and instrumentation systems that contain or contact 
    off-site material in each of the waste management and recovery 
    operations specified in the rule that are located at the plant site.
        The compliance date for existing sources subject to the Off-Site 
    Waste and Recovery Operations NESHAP (i.e., affected sources that 
    commenced construction or reconstruction before October 13, 1994) to 
    meet the air emission control requirements of the rule is beginning 3 
    years after today's date. If management of off-site material in the 
    source is discontinued by this date, then source would no longer 
    subject to the rule. On the other hand, if an existing waste management 
    operation or recovery operation does not presently receive off-site 
    material but begins receiving off-site materials for the first time 3 
    years after today's date (and meets the other applicability conditions 
    in the rule), then the source is a new source subject to the rule. In 
    this case, the owner or operator of the source must achieve compliance 
    with the provisions of the rule upon the first date that the waste 
    management operation or recovery operation begins to manage the off-
    site material.
        Finally, the list of the specific HAP constituents for the Off-Site 
    Waste and Recovery Operations NESHAP (Table 1 in Subpart DD) was 
    revised by the EPA for the final rule. The EPA decided to delete eight 
    chemicals from the proposed list because of the low potential for these 
    chemicals to be emitted from the waste management and recovery 
    operations subject to the rule. The criterion used to characterize and 
    evaluate emission potential was based on a chemical constituent's 
    Henry's law constant. The following chemical compounds were deleted 
    from the proposed list: acrylic acid, aniline, o-cresol, 
    dibutylphthalate, 1,1-
    
    [[Page 34154]]
    
    dimethylhydrazine, formaldehyde, methyl hydrazine, and n-
    nitrosodimethylamine.
    
    B. General Standards
    
        Several major changes have been made to the general standards for 
    the final rule. First, the average VOHAP concentration action level for 
    off-site material required to be managed in the units using air 
    emission controls under the rule has been changed to 500 ppmw (as 
    determined at the point-of-delivery). Units managing off-site materials 
    determined by the owner or operator to have average VOHAP 
    concentrations that remain less than 500 ppmw are not required to use 
    air emission controls under the rule. The second change is land 
    disposal units have been deleted as an affected source and the final 
    rule places no restrictions on the disposal of wastes in land disposal 
    units.
        A third change is the addition of an exemption to the general 
    standards in the final Off-Site Waste and Recovery Operations NESHAP 
    that relates to the treatment of the off-site material. This exemption 
    provides that an off-site material management unit is exempted from the 
    air emission control requirements if the off-site material placed in 
    the unit is a hazardous waste that meets the numerical concentration 
    limits, applicable to the hazardous waste, as specified in 40 CFR part 
    268--Land Disposal Restrictions under both of the following tables: (1) 
    Table ``Treatment Standards for Hazardous Waste'' in 40 CFR 268.40, and 
    (2) Table UTS--``Universal Treatment Standards'' in 40 CFR 268.48.
    
    C. Treatment Standards
    
        The final Off-Site Waste and Recovery Operations NESHAP provides 
    owners or operators with a selection of alternative provisions for 
    determining when a treated off-site material is no longer required to 
    be managed in units meeting the air emission control requirements of 
    the rule. The proposed treatment alternatives have been revised where 
    appropriate to reflect the new action level of 500 ppmw and additional 
    alternatives have been added to the rule to provide greater flexibility 
    to the owner or operator in the treatment of off-site materials.
    
    D. Tank Standards
    
        The tank standards have been revised to address comments on the 
    proposed requirements, to be consistent with tank standards established 
    for related NESHAP source categories, and to reduce the inspection, 
    monitoring, recordkeeping, and reporting requirements. In general, the 
    final Off-Site Waste and Recovery Operations NESHAP establishes two 
    levels of air emission control for tanks managing off-site materials 
    having a maximum HAP vapor pressure less than 76.6 kPa. The control 
    level applicable to a tank required to use controls is determined by 
    the tank design capacity and the maximum organic HAP vapor pressure of 
    the off-site material in the tank. Different capacity and vapor 
    pressure limits have been established for tanks determined to be part 
    of an existing affected source and those determined to be part of a new 
    affected source. Tanks used for waste stabilization processes are 
    required to use Tank Level 2 air emission controls. The designation of 
    which tanks are required to use controls and the required control level 
    for the tank are specified in 40 CFR part 63, subpart DD--National 
    Emission Standards for Hazardous Air Pollutants from Off-Site Waste and 
    Recovery Operations. The specific air emission control requirements for 
    Tank Level 1 controls are specified in 40 CFR part 63, subpart OO--
    National Emission Standards for Tanks-Level 1. The specific air 
    emission control requirements for Tank Level 2 controls remain in 40 
    CFR part 63, subpart DD.
        The tank capacity limits for existing tanks in which the maximum 
    HAP vapor pressure of the off-site material in the tank is less than 
    76.6 kPa have been corrected to be consistent with the EPA's original 
    intent to be compatible with other RCRA and NESHAP air emission 
    standards already promulgated by the Agency which potentially could be 
    applicable to the same tank. The proposed rule was incorrectly drafted 
    to exclude existing tanks having a design capacity less than 75 m\3\ 
    (approximately 20,000 gallons) from using any air emission controls. 
    The EPA never intended to exclude this group of tanks from this 
    rulemaking. Under the final rule, when applicable, use of Tank Level 1 
    air emission controls is required for an existing tank having a design 
    capacity less than 75 m\3\.
        For a tank required to use Level 1 controls, the final rule 
    specifies that the off-site material be managed in a tank using a 
    fixed-roof. For the Level 2 controls, the final rule requires that off-
    site material be managed in one of the following: (1) a fixed roof tank 
    equipped with an internal floating roof; (2) a tank equipped with an 
    external floating roof; (3) a tank vented through a closed-vent system 
    to a control device; (4) a pressure tank; or (5) a tank located inside 
    an enclosure that is vented through a closed-vent system to an enclosed 
    combustion control device.
    
    E. Oil-Water Separator and Organic-Water Standards
    
        Under the final Off-Site Waste and Recovery Operations NESHAP, 
    individual air emission control requirements have been established for 
    oil-water separator or organic-waster separators. For each separator 
    required to use controls under the rule, the owner or operator is 
    required to control air emissions from the separator by installing and 
    operating on each section of the unit either a floating roof or a 
    fixed-roof that is vented through a closed-vent system to a control 
    device. The designation of which separators are required to use 
    controls is specified in 40 CFR part 63, subpart DD--National Emission 
    Standards for Hazardous Air Pollutants from Off-Site Waste and Recovery 
    Operations. The specific air emission control requirements are 
    specified in 40 CFR part 63, subpart VV--National Emission Standards 
    for Oil-Water and Organic-Water Separators.
    
    F. Surface Impoundment Standards
    
        Revisions have been made to the surface impoundment standards so 
    that, where relevant and appropriate, the inspection, monitoring, 
    recordkeeping, and reporting requirements for surface impoundments are 
    consistent with the requirements established for tanks and separators. 
    The designation of which surface impoundments are required to use 
    controls is specified in 40 CFR 63 subpart DD--National Emission 
    Standards for Hazardous Air Pollutants from Off-Site Waste and Recovery 
    Operations. The specific air emission control requirements are 
    specified in 40 CFR part 63, subpart QQ--National Emission Standards 
    for Surface Impoundments.
    
    G. Container Standards
    
        The container standards have been significantly revised to address 
    comments on the proposed requirements, to make this rule compatible 
    with the existing U.S. Department of Transportation (DOT) regulations 
    for transporting hazardous materials, and to reduce the inspection, 
    monitoring, recordkeeping, and reporting requirements. The designation 
    of which containers are required to use controls and the required 
    control level for the container are specified in 40 CFR 63 subpart DD--
    National Emission Standards for Hazardous Air Pollutants from Off-Site 
    Waste and Recovery Operations. The specific air emission control 
    requirements for each control level are specified in 40 CFR Part 63
    
    [[Page 34155]]
    
    subpart PP--National Emission Standards for Containers.
        The revised container standards for the Off-Site Waste and Recovery 
    Operations NESHAP establish three levels of air emission control. The 
    control level applicable to a container is determined by the container 
    design capacity, the total organic content of the material in the 
    container, and use of the container. For example, containers with a 
    design capacity less than or equal to 0.1 m3 (approximately 26 
    gallons) are not subject to any requirements under the rule.
        Under the final rule, Level 1 controls are required for the 
    following container categories (except when the container remains 
    uncovered for waste stabilization processes): (1) containers having a 
    design capacity greater than 0.1 m3 and less than or equal to 0.46 
    m3 (approximately 119 gallons); and (2) containers with a design 
    capacity greater than 0.46 m3 and used to manage off-site 
    materials that do not meet the definition of ``light material.'' Level 
    2 controls are required for containers with a design capacity greater 
    than 0.46 m3 and used to handle ``light materials'' (i.e., off-
    site materials where the vapor pressure of one or more of the 
    components in the material is greater than 0.3 kilopascals [kPa] at 20 
    deg.C, and the total concentration of the pure components having a 
    vapor pressure greater than 0.3 kPa at 20  deg.C is equal to or greater 
    than 20 percent by weight), except when the container remains uncovered 
    for waste stabilization processes. Level 3 controls are required for 
    containers having a design capacity greater than 0.1 m3 that must 
    remain uncovered for waste stabilization processes.
        For the containers required to use Level 1 controls, the final rule 
    requires that the off-site material be managed either: (1) in a 
    container that meets the relevant DOT regulations on packaging 
    hazardous materials for transportation under 49 CFR parts 173, 178, 
    179, and 180; or (2) a covered container that meets the requirements 
    specified in the final rule. No additional requirements are specified 
    by the final rule for containers complying with the applicable DOT 
    regulations. In the case when an owner or operator elects to comply 
    with the covered container requirements (i.e., non-DOT containers), the 
    container must be equipped with a tight-fitting cover that has no 
    visible gaps, spaces, holes, or other openings. The rule does require a 
    visual inspection when the cover is applied and, thereafter, annually 
    if the container remains in on-site storage for a period longer than 1 
    year. No testing for detectable organic emissions using Method 21 is 
    required. No recordkeeping and reporting are required under the final 
    rule for containers using Level 1 controls.
        For the containers required to use Level 2 controls, the final rule 
    requires that the off-site material be managed in one of the following: 
    (1) a container that meets the relevant DOT regulations on packaging 
    hazardous materials for transportation under 49 CFR parts 173, 178, 
    179, and 180; or (2) a container that has been demonstrated within the 
    preceding 12 months to operate with no detectable organic emissions by 
    using Method 21; or (3) a container that has been demonstrated within 
    the preceding 12 months to be vapor-tight by using Method 27. No 
    additional requirements are specified by the final rule for containers 
    complying with the applicable DOT regulations. Specific design, 
    operating, inspection and monitoring, repair, recordkeeping, and 
    reporting requirements for containers tested using either Method 21 or 
    27 are specified in the rule.
        For the containers required to use Level 3 controls, the final rule 
    requires that an open container be placed in an enclosure vented 
    through a closed-vent system to a control device or a covered container 
    be vented directly to a control device. If an enclosure is used, the 
    enclosure is to be designed in accordance with the criteria for a 
    permanent total enclosure as specified in 40 CFR 52.741, Appendix B, 
    Procedure T--Criteria for and Verification of a Permanent or Temporary 
    Total Enclosure.
        Requirements for loading off-site material into a container have 
    been revised since proposal. Under the final rule there are no 
    requirements for loading off-site material into containers using Level 
    1 controls. For containers using Level 2 controls, the loading 
    requirements have been revised to allow flexibility to use any 
    appropriate loading method that will minimize exposure of the off-site 
    material to the atmosphere and thereby reduce organic air emissions, to 
    the extent practical considering the physical properties of the off-
    site material and good engineering and safety practices. Examples of 
    container loading procedures that the EPA considers to meet these 
    requirements include, but are not limited to, using a submerged-fill 
    pipe or other submerged-fill method to load liquids into the container; 
    or using a vapor-balancing or a vapor-recovery system to collect and 
    control the vapors displaced from the container during filling 
    operations.
        The inspection, monitoring, recordkeeping, and reporting 
    requirements for containers have been significantly simplified from 
    those proposed. Owners and operators of containers using either 
    Container Level 1 or Container Level 2 controls in accordance with the 
    provisions of the rule are required to visually inspect the container 
    and its cover and closure devices to check for defects at the time the 
    owner or operator first accepts possession of the container at the 
    facility site with the exception of those containers emptied within 24 
    hours of being received. Also, in the case when a container used for 
    managing regulated-material remains at the facility site for a period 
    of 1 year or more, the container and its cover and closure devices are 
    to be visually inspected to check for defects at least once every 12 
    months.
        There are no requirements for periodic Method 21 leak monitoring of 
    containers. There are no recordkeeping nor reporting requirements under 
    this final rulemaking for containers using either Container Level 1 or 
    Container Level 2 controls.
    
    H. Transfer System Standards
    
        The major change to the transfer system standards is the addition 
    of specific requirements for individual drain systems to the final 
    rule. The designation of which individual drain systems are required to 
    use controls is specified in 40 CFR 63 subpart DD--National Emission 
    Standards for Hazardous Air Pollutants from Off-Site Waste and Recovery 
    Operations. The specific air emission control requirements are 
    specified in 40 CFR 63 subpart RR--National Emission Standards for 
    Individual Drain systems. Other revisions have been made, where 
    relevant and appropriate, so that the requirements for transfer systems 
    other than an individual drain system are consistent with the 
    requirements established for the other types of off-site material 
    management units.
    
    I. Process Vent Standards
    
        In response to comments, several changes have been made to the air 
    emission control requirements for process vents under the Off-Site 
    Waste and Recovery Operations NESHAP. The term ``enclosed treatment 
    unit'' proposed for the rule has been deleted from the final rule and 
    replaced with a definition for the term ``process vent.'' The EPA 
    decided to use this new term to clarify the process vents that must use 
    air emission controls under the rule. The final rule has also been 
    revised to require an average emission reduction of
    
    [[Page 34156]]
    
    at least 95 percent by weight in total HAP emissions from the 
    combination of all affected process vents at the plant site (i.e., all 
    process vents that are a part of the affected sources subject to the 
    Off-Site Waste and Recovery Operations NESHAP).
    
    J. Equipment Leak Air Standards
    
        The EPA has not included in the final Off-Site Waste and Recovery 
    Operations NESHAP a definition for ``ancillary equipment'' as was 
    originally proposed. Instead, the specific equipment types subject to 
    equipment leak standards under the Off-Site Waste and Recovery 
    Operations NESHAP are listed directly in the applicability section of 
    the rule (Sec. 63.690). These equipment types are consistent with other 
    NESHAP equipment leak standards.
    
    K. Control Device and Closed-Vent System Standards
    
        Revisions to the control device and closed-vent system standards 
    consist of incorporating changes to the closed-vent system and control 
    device requirements so that these requirements are consistent and up-
    to-date with the general decisions the EPA has made regarding NESHAP 
    inspection, monitoring, maintenance, repair, malfunctions, 
    recordkeeping, and reporting requirements for organic emission control 
    devices. Also, to improve the readability and user understanding of the 
    requirements, the format used to present the standards has been 
    revised. In the final rule, all of the requirements for a particular 
    type of control device (e.g., vapor incinerator, carbon adsorber, or 
    condenser) are grouped together.
    
    L. Test Methods and Procedures
    
        For the final Off-Site Waste and Recovery Operations NESHAP, the 
    EPA decided to allow an owner or operator to use any one of several 
    existing EPA test methods for direct measurement of the VOHAP 
    concentration of an off-site material. In addition, the EPA has made 
    certain other changes to the rule to facilitate the use of organic 
    concentration data obtained using other alternative test methods not 
    specifically listed in the rule.
        The final rule allows an owner or operator to directly measure the 
    volatile organic concentration using any one of the following methods: 
    Method 305 in 40 CFR part 63, Appendix A; Method 25D in 40 CFR part 60, 
    Appendix A; or Method 624, Method 1624, or Method 1625 in 40 CFR part 
    136, Appendix A (when used in accordance with the procedure specified 
    in the rule). In addition, an owner or operator may use any other 
    alternative method that has been validated in accordance with the 
    procedures specified in Sections 5.1 and 5.3 of Method 301 or specified 
    in the Appendix D--Alternative Validation Procedure for EPA Waste 
    Methods promulgated by this action in 40 CFR part 63.
    
    M. Recordkeeping and Reporting Requirements
    
        The EPA has changed the recordkeeping and reporting requirements 
    for the final Off-Site Waste and Recovery Operations NESHAP to reflect 
    the revisions to the rule applicability and technical requirements and 
    reduce the burden of these requirements on owners and operators.
    
    VII. Administrative Requirements
    
    A. Docket
    
        The docket is an organized and complete file of information 
    considered by the EPA in the development of a rulemaking. The docket 
    pertaining to the Off-Site Waste and Recovery Operations NESHAP is 
    Docket No. A-92-16. This docket contains a copy of the regulatory text 
    of the proposed rule, the BID, and copies of all BID references and 
    other information related to the development of the proposed and final 
    rule. The public may review all materials in this docket at the EPA's 
    Air and Radiation Docket and Information Center (see the ADDRESSES 
    section at the beginning of this notice).
    
    B. Paperwork Reduction Act
    
        The information collection requirements for this NESHAP have been 
    submitted for approval to the Office of Management and Budget (OMB) 
    under the Paperwork Reduction Act, 44 U.S.C. 3501 et seq. An 
    Information Collection Request (ICR) document has been prepared by the 
    EPA (ICR No. 1717.02), and a copy may be obtained from Sandy Farmer, 
    OPPE Regulatory Information Division (2137), U.S. Environmental 
    Protection Agency, 401 M Street, S.W.; Washington, DC 20460, or by 
    calling (202) 260-2740.
        The public recordkeeping and reporting burden for this collection 
    of information is estimated to average approximately 830 hours per 
    respondent for each of the first 3 years following promulgation of the 
    rule. These estimates include time for reviewing instructions, 
    searching existing data sources, gathering and maintaining the data 
    needed, and completing and reviewing the collection of information.
        Send comments regarding the recordkeeping and reporting burden 
    estimate or any other aspect of this collection of information, 
    including suggestions for reducing this burden, to Chief, Information 
    Policy Branch (2137), U.S. Environmental Protection Agency, 401 M 
    Street, S.W.; Washington, DC 20460; and to the Office of Information 
    and Regulatory Affairs, Office of Management and Budget, Washington, DC 
    20503, marked ``Attention: Desk Officer for EPA.''
    
    C. Executive Order 12866
    
        Under Executive Order 12866 (58 FR 5173, October 4, 1993), the 
    Agency must determine whether the regulatory action is ``significant'' 
    and therefore subject to OMB review and the requirements of the 
    Executive Order. The Order defines ``significant regulatory action'' as 
    one that is likely to result in a rule that may:
        (1) Have an annual effect on the economy of $100 million or more or 
    adversely affect in a material way the economy, a sector of the 
    economy, productivity, competition, jobs, the environment, public 
    health or safety, or State, local, or tribal governments or 
    communities;
        (2) create a serious inconsistency or otherwise interfere with an 
    action taken or planned by another agency;
        (3) materially alter the budgetary impact of entitlements, grants, 
    user fees, or loan programs or the rights and obligations of recipients 
    thereof; or
        (4) raise novel legal or policy issues arising out of legal 
    mandates, the President's priorities, or the principles set forth in 
    the Executive Order.
        Pursuant to the terms of the Executive Order 12866, it has been 
    determined that this action will be treated as a ``significant 
    regulatory action'' within the meaning of the Executive Order. As such, 
    this action was submitted to the Office of Management and Budget (OMB) 
    for review. Changes made in response to OMB suggestions or 
    recommendations are documented in the docket pertaining to the Off-Site 
    Waste and Recovery Operations NESHAP rulemaking (Docket No. A-92-16).
    
    D. Regulatory Flexibility Act
    
        Section 605 of the Regulatory Flexibility Act of 1980 (5 U.S.C. 601 
    et seq.), the EPA Regulatory Flexibility guidelines (April, 1992), and 
    the Small Business Regulatory Fairness Act of 1996 requires Federal 
    agencies to give special consideration to the impacts of regulations on 
    small entities, which are small businesses, small organizations, and 
    small governments. The major purpose of the Regulatory Flexibility Act, 
    the EPA guidelines, and the Small Business Fairness Act is to keep 
    paperwork and regulatory requirements
    
    [[Page 34157]]
    
    from being out of proportion to the scale of the entities being 
    regulated, without compromising the objectives of, in this case, the 
    Clean Air Act.
        A small business with establishments in Standard Industrial 
    Classification 4953, Refuse Systems, is defined by the Small Business 
    Administration as one receiving less than $6 million per year, averaged 
    over the most recent three fiscal years. A small organization is a not-
    for-profit enterprise that is independently owned and operated and is 
    not dominant in the waste disposal industry. A small government is one 
    that serves a population of less than 50,000 people. The EPA may use 
    other definitions, but elects to use these. The EPA believes that small 
    organizations and small governments have at most a very minor 
    involvement with the types of waste management and recovery operations 
    subject to this rule, and therefore would not be significantly affected 
    by the Off-Site Waste and Recovery Operations NESHAP. Hence, the EPA 
    has concentrated its attention on small businesses.
        The Regulatory Flexibility Act specifies that Federal agencies must 
    prepare an initial regulatory flexibility analysis if a proposed 
    regulatory action would have ``a significant economic impact on a 
    substantial number of small entities.'' The data bases available to the 
    EPA reflect the state of the hazardous waste TSDF industry in 1986, and 
    provide limited basis for updating the economic factors. Furthermore, 
    the EPA does not have reliable projections of construction of new 
    facilities with the types of waste management and recovery operations 
    that will be subject to the rule. The EPA, based on its initial 
    Regulatory Flexibility analysis, therefore assumed that the rule may 
    have a significant impact on a substantial number of small businesses, 
    and conducted a final regulatory flexibility analysis. This analysis is 
    part of the economic impact analysis (titled Economic Impact Analysis 
    of National Emission Standards for Hazardous Air Pollutants: Off-Site 
    Waste and Recovery Operations) prepared for the rulemaking and 
    available in the docket (Docket No. A-92-16).
        Even though many facilities at which are located waste management 
    and recovery operations receiving off-site materials are expected to be 
    area sources and would not be subject to this NESHAP, the EPA assumed 
    for the regulatory flexibility analysis that all facilities listed in 
    the source category data base are collocated at major sources. Also, 
    the analysis did not exclude those facilities that are major sources 
    but would not be subject to the air emission control requirements under 
    the Off-Site Waste and Recovery Operations NESHAP because the facility 
    qualifies for the rule exemption for a facility at which the total 
    annual organic HAP mass content of all off-site material is less than 1 
    Mg/yr.
        From the source category data base, the EPA identified for the 
    analysis 110 small businesses that own 112 facilities subject to the 
    Off-Site Waste and Recovery Operations NESHAP. As a result of 
    exemptions allowed by the final rule, none of these small businesses 
    would incur costs beyond costs for recordkeeping and reporting. All of 
    these small businesses would meet at least one of the exemption 
    criteria in the rule and, therefore, would not need to use the air 
    emission controls required by the rule. The small costs for 
    recordkeeping and reporting are required to document compliance with 
    the rule exemptions. For a median small business, the same costs come 
    to less than 0.1 percent of salescompared with about 0.01 percent for 
    the median large business. Since there are no capital costs to small 
    businesses, none of the small businesses would exceed the capital cost 
    retained earning breakpoints (the maximum amount of new capital a 
    business can raise without issuing new stock and without changing its 
    existing capital structure). By way of comparison, 30 percent of large 
    businesses would have capital costs of compliance exceeding their 
    breakpoints. None of these large businesses are expected to receive 
    significant economic impacts.
        Finally, the EPA evaluated the possibility that the final rule 
    might cause a small business to close. Based on this review, no small 
    businesses are expected to close as a result of having to comply with 
    the requirements of the final rule.
        Pursuant to section 605(b) of the Regulatory Flexibility Act, the 
    Administrator certifies that this rule will not have a significant 
    economic impact on a substantial number of small entities.
    
    E. Unfunded Mandates
    
        Under section 202 of the Unfunded Mandates Reform Act of 1995 
    (``Unfunded Mandates Act''), signed into law on March 22, 1995, the EPA 
    must prepare a budgetary impact statement to accompany any proposed or 
    final rule that includes a Federal mandate that may result in estimated 
    costs to State, local, or tribal governments in the aggregate, or to 
    the private sector, of $100 million or more. Under section 205, the EPA 
    must select the most cost effective and least burdensome alternative 
    that achieves the objectives of the rule and is consistent with 
    statutory requirements. Section 203 requires the EPA to establish a 
    plan for informing and advising any small governments that may be 
    significantly or uniquely impacted by the rule.
        The EPA has determined that the action promulgated today does not 
    include a Federal mandate that may result in estimated costs of $100 
    million or more to either State, local, or tribal governments in the 
    aggregate, or to the private sector. Therefore, the requirements of the 
    Unfunded Mandates Act do not apply to this action.
    
    F. Review
    
        The off-site waste and recovery operations NESHAP will be reviewed 
    8 years from today's date of promulgation. This review will include an 
    assessment of such factors as evaluation of the residual health risks, 
    any duplication with other air programs, the existence of alternative 
    methods, enforceability, improvements in air emission control 
    technology and health data, and the recordkeeping and reporting 
    requirements.
    
    VII. Statutory Authority
    
        The statutory authority for this proposal is provided by section 
    101, 112, 114, 116, and 301 of the Clean Air Act, as amended; 42. 
    U.S.C., 7401, 7412, 7414, 7416, and 7601.
    
    List of Subjects in 40 CFR Part 63
    
        Environmental protection, Air pollution control, Containers, 
    Equipment leaks, Hazardous air pollutants, Individual drain systems, 
    NESHAP, Off-site waste and recovery operations, Oil-water separators, 
    Process vents, Tanks, Surface impoundments, Used oil, Used solvents, 
    Waste.
    
        Dated: May 28, 1996.
    Carol M. Browner,
    The Administrator.
    
        For the reasons set out in the preamble, title 40, chapter I, part 
    63 of the Code of Federal Regulations are amended as follows:
    
    PART 63--NATIONAL EMISSION STANDARDS FOR HAZARDOUS AIR POLLUTANTS 
    FOR SOURCE CATEGORIES
    
        1-3. The authority citation for part 63 continues to read as 
    follows:
    
        Authority: 42 U.S.C. 7401, et seq.
    
        4. Part 63 is amended by adding subpart DD consisting of 
    Secs. 63.680 through 63.698 to read as follows:
    
    [[Page 34158]]
    
    Subpart DD--National Emission Standards for Hazardous Air Pollutants 
    from Off-Site Waste and Recovery Operations
    Sec.
    63.680  Applicability and designation of affected sources.
    63.681  Definitions.
    63.682  [Reserved]
    63.683  Standards: General.
    63.684  Standards: Off-site material treatment.
    63.685  Standards: Tanks.
    63.686  Standards: Oil-water and organic-water separators.
    63.687  Standards: Surface impoundments.
    63.688  Standards: Containers.
    63.689  Standards: Transfer systems..
    63.690  Standards: Process vents.
    63.691  Standards: Equipment leaks.
    63.692  [Reserved]
    63.693  Standards: Closed-vent systems and control devices.
    63.694  Testing methods and procedures.
    63.695  Inspection and monitoring requirements.
    63.696  Recordkeeping requirements.
    63.697  Reporting requirements.
    63.698  Delegation of Authority.
    Table 1 to Subpart DD--List of Hazardous Air Pollutants (HAP) for 
    Subpart DD.
    Table 2 to Subpart DD--Applciability of paragraphs in 40 CFR Subpart 
    A, General Provisions, to Subpart DD.
    Table 3 to Subpart DD--Tank Control Levels for Tanks at Existing 
    Affected Sources as Required by 40 CFR 63.685(b)(1).
    Table 4 to Subpart DD--Tank Control Levels for Tanks at New Affected 
    Sources as Required by 40 CFR 63.685(b)(2).
    
    Subpart DD--National Emission Standards for Hazardous Air 
    Pollutants from Off-Site Waste and Recovery Operations
    
    
    Sec. 63.680  Applicability and designation of affected sources.
    
        (a) The provisions of this subpart apply to the owner and operator 
    of a plant site for which both of the conditions specified in 
    paragraphs (a)(1) and (a)(2) of this section are applicable. If either 
    one of these conditions does not apply to the plant site, then the 
    owner and operator of the plant site are not subject to the provisions 
    of this subpart.
        (1) The plant site is a major source of hazardous air pollutant 
    (HAP) emissions as defined in 40 CFR 63.2.
        (2) At the plant site is located one or more of operations that 
    receives off-site materials as specified in paragraph (b) of this 
    section and the operations is one of the following waste management 
    operations or recovery operations as specified in paragraphs (a)(2)(i) 
    through (a)(2)(vi) of this section.
        (i) A waste management operation that receives off-site material 
    and the operation is regulated as a hazardous waste treatment, storage, 
    and disposal facility (TSDF) under either 40 CFR part 264 or part 265.
        (ii) A waste management operation that treats wastewater which is 
    an off-site material and the operation is exempted from regulation as a 
    hazardous waste treatment, storage, and disposal facility under 40 CFR 
    264.1(g)(6) or 40 CFR 265.1(c)(10).
        (iii) A waste management operation that treats wastewater which is 
    an off-site material and the operation meets both of the following 
    conditions:
        (A) The operation is subject to regulation under either section 402 
    or 307(b) of the Clean Water Act but is not owned by a ``state'' or 
    ``municipality'' as defined by section 502(3) and 502(4), respectively, 
    of the Clean Water Act; and
        (B) The treatment of wastewater received from off-site is the 
    predominant activity performed at the plant site.
        (iv) A recovery operation that recycles or reprocesses hazardous 
    waste which is an off-site material and the operation is exempted from 
    regulation as a hazardous waste treatment, disposal, and storage 
    facility under 40 CFR 264.1(g)(2) or 40 CFR 265.1(c)(6).
        (v) A recovery operation that recycles or reprocesses used solvent 
    which is an off-site material and the operation is not part of a 
    chemical, petroleum, or other manufacturing process that is required to 
    use air emission controls by another subpart of 40 CFR part 63.
        (vi) A recovery operation that re-refines or reprocesses used oil 
    which is an off-site material and the operation is regulated under 40 
    CFR 279 subpart F--Standards for Used Oil Processors and Refiners.
        (b) For the purpose of implementing this subpart, an off-site 
    material is a material that meets all of the criteria specified in 
    paragraph (b)(1) of this section but is not one of the materials 
    specified in paragraph (b)(2) of this section.
        (1) An off-site material is a material that meets all of the 
    criteria specified in paragraphs (b)(1)(i) through (b)(1)(iii) of this 
    section. If any one of these criteria do not apply to the material, 
    then the material is not an off-site material subject to this subpart.
        (i) The material is a waste, used oil, or used solvent as defined 
    in Sec. 63.681 of this subpart;
        (ii) The material is not produced or generated within the plant 
    site, but the material is delivered, transferred, or otherwise moved to 
    the plant site from a location outside the boundaries of the plant 
    site; and
        (iii) The material contains one or more of the hazardous air 
    pollutants (HAP) listed in Table 1 of this subpart based on the 
    composition of the material at the point-of-delivery, as defined in 
    Sec. 63.681 of this subpart.
        (2) For the purpose of implementing this subpart, the following 
    materials are not off-site materials:
        (i) Household waste as defined in 40 CFR 258.2.
        (ii) Radioactive mixed waste managed in accordance with all 
    applicable regulations under Atomic Energy Act and Nuclear Waste Policy 
    Act authorities.
        (iii) Waste that is generated as a result of implementing remedial 
    activities required under the Resource Conservation and Recovery Act 
    (RCRA) corrective action authorities (RCRA sections 3004(u), 3004(v), 
    or 3008(h)), Comprehensive Environmental Response, Compensation, and 
    Liability Act (CERCLA) authorities, or similar Federal or State 
    authorities.
        (iv) Waste containing HAP that is generated by residential 
    households (e.g., old paint, home garden pesticides) and subsequently 
    is collected as a community service by government agencies, businesses, 
    or other organizations for the purpose of promoting the proper disposal 
    of this waste.
        (v) Waste that is generated by or transferred from units complying 
    with all applicable regulations under 40 CFR 63 subparts F and G--
    National Emission Standards for Organic Hazardous Air Pollutants from 
    the Synthetic Organic Chemical Manufacturing Industry.
        (vi) Waste that is generated by or transferred from units complying 
    with all applicable requirements specified by Sec. 61.342(b) under 40 
    CFR 61 subpart FF--National Emission Standards for Benzene Waste 
    Operations for a facility at which the total annual benzene quantity 
    from the facility waste is equal to or greater than 10 megagrams per 
    year.
        (vii) Ship ballast water pumped from a ship to an onshore 
    wastewater treatment facility.
        (c) For the purpose of implementing this subpart, the affected 
    sources at a plant site subject to this subpart are as follows:
        (1) Off-site material management units. The affected source is the 
    group of tanks, containers, oil-water or organic-water separators, 
    surface impoundments, and transfer systems used to manage off-site 
    material in each of the waste management operations and recovery 
    operations specified in paragraphs (a)(2)(i) through (a)(2)(vi) of this 
    section that is located at the plant site.
    
    [[Page 34159]]
    
        (2) Process vents. The affected source is the group of process 
    vents on units used to manage off-site material in each of the waste 
    management operations and recovery operations specified in paragraphs 
    (a)(2)(i) through (a)(2)(vi) of this section that is located at the 
    plant site.
        (3) Equipment leaks. The affected source is the group of equipment 
    specified in Sec. 63.683(b)(2)(i) through (b)(2)(iii) of this subpart 
    that is used to handle off-site material in each of the waste 
    management operations and recovery operations specified in paragraphs 
    (a)(2)(i) through (a)(2)(vi) of this section that is located at the 
    plant site.
        (d) Owners and operators of plant sites at which are located 
    affected sources subject to this subpart are exempted from the 
    requirements of Secs. 63.682 through 63.699 of this subpart in 
    situations when the total annual quantity of the HAP that is contained 
    in the off-site material received at the plant site is less than 1 
    megagram per year. This total annual HAP quantity for the off-site 
    material shall be based on the total quantity of the HAP listed in 
    Table 1 of this subpart as determined at the point-of-delivery for each 
    off-site material stream. Documentation shall be prepared by the owner 
    or operator and maintained at the plant site to support the initial 
    determination of the total annual HAP quantity for the off-site 
    material. The owner or operator shall perform a new determination when 
    the extent of changes to the quantity or composition of the off-site 
    material received at the plant site could cause the total annual HAP 
    quantity in the off-site material to the exceed limit of 1 megagram per 
    year.
        (e) Compliance dates.
        (1) Existing sources. The owner or operator of an affected source 
    that commenced construction or reconstruction before October 13, 1994, 
    shall achieve compliance with the provisions of the subpart no later 
    than July 1, 1999 unless an extension has been granted by the 
    Administrator as provided in 40 CFR 63.6(i).
        (2) New sources. The owner or operator of an affected source for 
    which construction or reconstruction commences on or after October 13, 
    1994, shall achieve compliance with the provisions of this subpart by 
    July 1, 1996 or upon initial startup of operations, whichever date is 
    later as provided in 40 CFR 63.6(b). For the purpose of implementing 
    this subpart, a waste management operation or recovery operation that 
    commenced construction or reconstruction before October 13, 1994, and 
    receives off-site material for the first time after July 1, 1999 is a 
    new source, and the owner or operator of this affected source shall 
    achieve compliance with the provisions of this subpart upon the first 
    date that the waste management operation or recovery operation begins 
    to manage the off-site material.
        (f) The provisions of 40 CFR part 63, subpart A--General Provisions 
    that apply and those that do not apply to this subpart are specified in 
    Table 2 of this subpart.
    
    
    Sec. 63.681  Definitions.
    
        All terms used in this subpart shall have the meaning given to them 
    in this section, 40 CFR 63.2 of this part, and the Act.
        Boiler means an enclosed combustion device that extracts useful 
    energy in the form of steam and is not an incinerator or a process 
    heater.
        Closed-vent system means a system that is not open to the 
    atmosphere and is composed of hard-piping, ductwork, connections, and, 
    if necessary, fans, blowers, or other flow-inducing devices that 
    conveys gas or vapor from an emission point to a control device.
        Closure device means a cap, hatch, lid, plug, seal, valve, or other 
    type of fitting that prevents or reduces air pollutant emissions to the 
    atmosphere by blocking an opening in a cover when the device is secured 
    in the closed position. Closure devices include devices that are 
    detachable from the cover (e.g., a sampling port cap), manually 
    operated (e.g., a hinged access lid or hatch), or automatically 
    operated (e.g., a spring-loaded pressure relief valve).
        Container means a portable unit used to hold material. Examples of 
    containers include but are not limited to drums, dumpsters, roll-off 
    boxes, bulk cargo containers commonly known as ``portable tanks'' or 
    ``totes'', cargo tank trucks, and tank rail cars.
        Continuous record means documentation of data values measured at 
    least once every 15 minutes and recorded at the frequency specified in 
    this subpart.
        Continuous recorder means a data recording device that either 
    records an instantaneous data value at least once every 15 minutes or 
    records 15-minutes or more frequent block averages.
        Continuous seal means a seal that forms a continuous closure that 
    completely covers the space between the edge of the floating roof and 
    the wall of a tank. A continuous seal may be a vapor-mounted seal, 
    liquid-mounted seal, or metallic shoe seal. A continuous seal may be 
    constructed of fastened segments so as to form a continuous seal.
        Control device means equipment used for recovering or oxidizing 
    organic vapors. Examples of such equipment include but are not limited 
    to carbon adsorbers, condensers, vapor incinerators, flares, boilers, 
    and process heaters.
        Cover means a device that prevents or reduces air pollutant 
    emissions to the atmosphere by forming a continuous barrier over the 
    off-site material managed in a unit. A cover may have openings (such as 
    access hatches, sampling ports, gauge wells) that are necessary for 
    operation, inspection, maintenance, and repair of the unit on which the 
    cover is used. A cover may be a separate piece of equipment which can 
    be detached and removed from the unit or a cover may be formed by 
    structural features permanently integrated into the design of the unit.
        Emission point means an individual tank, surface impoundment, 
    container, oil-water or organic-water separator, transfer system, 
    process vent, or enclosure.
        Enclosure means a structure that surrounds a tank or container, 
    captures organic vapors emitted from the tank or container, and vents 
    the captured vapor through a closed vent system to a control device.
        External floating roof means a pontoon-type or double-deck type 
    cover that rests on the liquid surface in a tank with no fixed roof.
        Fixed roof means a cover that is mounted on a unit in a stationary 
    position and does not move with fluctuations in the level of the liquid 
    managed in the unit.
        Flame zone means the portion of the combustion chamber in a boiler 
    or process heater occupied by the flame envelope.
        Floating roof means a cover consisting of a double deck, pontoon 
    single deck, or internal floating cover which rests upon and is 
    supported by the liquid being contained, and is equipped with a 
    continuous seal.
        HAP means hazardous air pollutants.
        Hard-piping means pipe or tubing that is manufactured and properly 
    installed in accordance with relevant standards and good engineering 
    practices.
        Hazardous waste means a waste that is determined to be hazardous 
    under the Resource Conservation and Recovery Act (PL 94-580) (RCRA), as 
    implemented by 40 CFR parts 260 and 261.
        Individual drain system means a stationary system used to convey 
    wastewater streams or residuals to a waste management unit or to 
    discharge
    
    [[Page 34160]]
    
    or disposal. The term includes hard-piping, all drains and junction 
    boxes, together with their associated sewer lines and other junction 
    boxes (e.g., manholes, sumps, and lift stations) conveying wastewater 
    streams or residuals. For the purpose of this subpart, an individual 
    drain system is not a drain and collection system that is designed and 
    operated for the sole purpose of collecting rainfall runoff (e.g., 
    stormwater sewer system) and is segregated from all other individual 
    drain systems.
        Internal floating roof means a cover that rests or floats on the 
    liquid surface (but not necessarily in complete contact with it inside 
    a tank that has a fixed roof).
        Light-material service means the container is used to manage an 
    off-site material for which both of the following conditions apply: the 
    vapor pressure of one or more of the organic constituents in the off-
    site material is greater than 0.3 kilopascals (kPa) at 20  deg.C; and 
    the total concentration of the pure organic constituents having a vapor 
    pressure greater than 0.3 kPa at 20  deg.C is equal to or greater than 
    20 percent by weight.
        Liquid-mounted seal means a foam- or liquid-filled continuous seal 
    mounted in contact with the liquid in a unit.
        Maximum HAP vapor pressure means the sum of the individual HAP 
    equilibrium partial pressure exerted by an off-site material at the 
    temperature equal to either: the local maximum monthly average 
    temperature as reported by the National Weather Service when the off-
    site material is stored or treated at ambient temperature; or the 
    highest calendar-month average temperature of the off-site material 
    when the off-site material is stored at temperatures above the ambient 
    temperature or when the off-site material is stored or treated at 
    temperatures below the ambient temperature. For the purpose of this 
    subpart, maximum HAP vapor pressure is determined using the procedures 
    specified in Sec. 63.694(j) of this subpart.
        Metallic shoe seal means a continuous seal that is constructed of 
    metal sheets which are held vertically against the wall of the tank by 
    springs, weighted levers, or other mechanisms and is connected to the 
    floating roof by braces or other means. A flexible coated fabric 
    (envelope) spans the annular space between the metal sheet and the 
    floating roof.
        No detectable organic emissions means no escape of organics to the 
    atmosphere as determined using the procedure specified in 
    Sec. 63.694(k) of this subpart.
        Off-site material means a material that meets all of the criteria 
    specified in paragraph Sec. 63.680(b)(1) of this subpart but is not one 
    of the materials specified in Sec. 63.680(b)(2) of this subpart.
        Off-site material management unit means a tank, container, surface 
    impoundment, oil-water separator, organic-water separator, or transfer 
    system used to manage off-site material.
        Off-site material stream means an off-site material produced or 
    generated by a particular process or source such that the composition 
    and form of the material comprising the stream remain consistent. An 
    off-site material stream may be delivered, transferred, or otherwise 
    moved to the plant site in a continuous flow of material (e.g., 
    wastewater flowing through a pipeline) or in a series of discrete 
    batches of material (e.g., a truckload of drums all containing the same 
    off-site material or multiple bulk truck loads of an off-site material 
    produced by the same process).
        Oil-water separator means a separator as defined for this subpart 
    that is used to separate oil from water.
        Operating parameter value means a minimum or maximum value 
    established for a control device or treatment process parameter which, 
    if achieved by itself or in combination with one or more other 
    operating parameter values, determines that an owner or operator has 
    complied with an applicable emission limitation or standard.
        Organic-water separator means a separator as defined for this 
    subpart that is used to separate organics from water.
        Plant site means all contiguous or adjoining property that is under 
    common control including properties that are separated only by a road 
    or other public right-of-way. Common control includes properties that 
    are owned, leased, or operated by the same entity, parent entity, 
    subsidiary, or any combination thereof. A unit or group of units within 
    a contiguous property that are not under common control (e.g., a 
    wastewater treatment unit or solvent recovery unit located at the site 
    but is sold to a different company) is a different plant site.
        Point-of-delivery means the point at the boundary or within the 
    plant site where the owner or operator first accepts custody, takes 
    possession, or assumes responsibility for the management of an off-site 
    material stream managed in a waste management operation or recovery 
    operation specified in Sec. 63.680 (a)(2)(i) through (a)(2)(vi) of this 
    subpart. The characteristics of an off-site material stream are 
    determined prior to combining the off-site material stream with other 
    off-site material streams or with any other materials.
        Point-of-treatment means a point where the off-site material to be 
    treated in accordance with Sec. 63.683(b)(1)(ii) of this subpart exits 
    the treatment process. The characteristics shall be determined before 
    this material is conveyed, handled, or otherwise managed in such a 
    manner that the material has the potential to volatilize to the 
    atmosphere.
        Process heater means an enclosed combustion device that transfers 
    heat released by burning fuel directly to process streams or to heat 
    transfer liquids other than water.
        Process vent means any open-ended pipe, stack, or duct that allows 
    the passage of gases, vapors, or fumes to the atmosphere and this 
    passage is caused by mechanical means (such as compressors or vacuum-
    producing systems) or by process-related means (such as volatilization 
    produced by heating). For the purpose of this subpart, a process vent 
    is not a stack or duct used to exhaust combustion products from a 
    boiler, furnace, process heater, incinerator, or other combustion 
    device.
        Recovery operation means the collection of off-site material 
    management units, process vents, and equipment components used at a 
    plant site to manage an off-site material stream from the point-of-
    delivery through the point where the material has been recycled, 
    reprocessed, or re-refined to obtain the intended product or to remove 
    the physical and chemical impurities of concern.
        Safety device means a closure device such as a pressure relief 
    valve, frangible disc, fusible plug, or any other type of device which 
    functions exclusively to prevent physical damage or permanent 
    deformation to a unit or its air emission control equipment by venting 
    gases or vapors directly to the atmosphere during unsafe conditions 
    resulting from an unplanned, accidental, or emergency event. For the 
    purpose of this subpart, a safety device is not used for routine 
    venting of gases or vapors from the vapor headspace underneath a cover 
    such as during filling of the unit or to adjust the pressure in this 
    vapor headspace in response to normal daily diurnal ambient temperature 
    fluctuations. A safety device is designed to remain in a closed 
    position during normal operations and open only when the internal 
    pressure, or another relevant parameter, exceeds the device threshold 
    setting applicable to the air emission control equipment as determined 
    by the owner or operator based on manufacturer recommendations, 
    applicable
    
    [[Page 34161]]
    
    regulations, fire protection and prevention codes, standard engineering 
    codes and practices, or other requirements for the safe handling of 
    flammable, combustible, explosive, reactive, or hazardous materials.
        Separator means a waste management unit, generally a tank, used to 
    separate oil or organics from water. A separator consists of not only 
    the separation unit but also the forebay and other separator basins, 
    skimmers, weirs, grit chambers, sludge hoppers, and bar screens that 
    are located directly after the individual drain system and prior to any 
    additional treatment units such as an air flotation unit clarifier or 
    biological treatment unit. Examples of a separator include, but are not 
    limited to, an API separator, parallel-plate interceptor, and 
    corrugated-plate interceptor with the associated ancillary equipment.
        Single-seal system means a floating roof having one continuous 
    seal. This seal may be vapor-mounted, liquid-mounted, or a metallic 
    shoe seal.
        Surface impoundment means a unit that is a natural topographical 
    depression, man-made excavation, or diked area formed primarily of 
    earthen materials (although it may be lined with man-made materials), 
    which is designed to hold an accumulation of liquids. Examples of 
    surface impoundments include holding, storage, settling, and aeration 
    pits, ponds, and lagoons.
        Tank means a stationary unit that is constructed primarily of 
    nonearthen materials (such as wood, concrete, steel, fiberglass, or 
    plastic) which provide structural support and is designed to hold an 
    accumulation of liquids or other materials.
        Transfer system means a stationary system for which the predominant 
    function is to convey liquids or solid materials from one point to 
    another point within a waste management operation or recovery 
    operation. For the purpose of this subpart, the conveyance of material 
    using a container (as defined for this subpart) or a self-propelled 
    vehicle (e.g., a front-end loader) is not a transfer system. Examples 
    of a transfer system include but are not limited to a pipeline, an 
    individual drain system, a gravity-operated conveyor (such as a chute), 
    and a mechanically-powered conveyor (such as a belt or screw conveyor).
        Temperature monitoring device means a piece of equipment used to 
    monitor temperature and having an accuracy of 1 percent of 
    the temperature being monitored expressed in degrees Celsius ( deg.C) 
    or 1.2 degrees  deg.C, whichever value is greater.
        Treatment process means a process in which an off-site material 
    stream is physically, chemically, thermally, or biologically treated to 
    destroy, degrade, or remove hazardous air pollutants contained in the 
    off-site material. A treatment process can be composed of a single unit 
    (e.g., a steam stripper) or a series of units (e.g., a wastewater 
    treatment system). A treatment process can be used to treat one or more 
    off-site material streams at the same time.
        Used oil means any oil refined from crude oil or any synthetic oil 
    that has been used and as a result of such use is contaminated by 
    physical or chemical impurities. This definition is the same definition 
    of ``used oil'' in 40 CFR 279.1.
        Used solvent means a solvent composed of a mixture of aliphatic 
    hydrocarbons or a mixture of one and two ring aromatic hydrocarbons 
    that has been used and as a result of such use is contaminated by 
    physical or chemical impurities.
        Vapor-mounted seal means a continuous seal that is mounted such 
    that there is a vapor space between the liquid in the unit and the 
    bottom of the seal.
        Volatile organic hazardous air pollutant concentration or VOHAP 
    concentration means the fraction by weight of the HAP listed in Table 1 
    of this subpart that are contained in an off-site material. For the 
    purpose of this subpart, VOHAP concentration is determined in 
    accordance with the test methods and procedures specified in 
    Sec. 63.694 (b) and (c) of this subpart.
        Waste means a material generated from industrial, commercial, 
    mining, or agricultural operations or from community activities that is 
    discarded, discharged, or is being accumulated, stored, or physically, 
    chemically, thermally, or biologically treated prior to being discarded 
    or discharged.
        Waste management operation means the collection of off-site 
    material management units, process vents, and equipment components used 
    at a plant site to manage an off-site material stream from the point-
    of-delivery to the point where the waste exits or is discharged from 
    the plant site or the waste is placed for on-site disposal in a unit 
    not subject to this subpart (e.g., a waste incinerator, a land disposal 
    unit).
        Waste stabilization process means any physical or chemical process 
    used to either reduce the mobility of hazardous constituents in a waste 
    or eliminate free liquids as determined by Test Method 9095--Paint 
    Filter Liquids Test in ``Test Methods for Evaluating Solid Waste, 
    Physical/Chemical Methods,'' EPA Publication No. SW-846, Third Edition, 
    September 1986, as amended by Update I, November 15, 1992. A waste 
    stabilization process includes mixing the waste with binders or other 
    materials, and curing the resulting waste and binder mixture. Other 
    synonymous terms used to refer to this process are ``waste fixation'' 
    or ``waste solidification.'' A waste stabilization process does not 
    include the adding of absorbent materials to the surface of a waste, 
    without mixing, agitation, or subsequent curing, to absorb free liquid.
    
    
    Sec. 63.682  [Reserved]
    
    
    Sec. 63.683  Standards: General.
    
        (a) This section applies to owners and operators of affected 
    sources as defined in Sec. 63.680(c) of this subpart.
        (b) The owner or operator shall control the air emissions from each 
    affected source in accordance with the following requirements:
        (1) For each off-site material management unit that is part of an 
    affected source, the owner or operator shall perform one of the 
    following except when the unit is exempted under provisions of 
    paragraph (c) of this section:
        (i) Install and operate air emission controls on the off-site 
    material management unit in accordance with the standards specified in 
    Secs. 63.685 through 63.689 of this subpart, as applicable to the unit;
        (ii) Treat the off-site material to remove or destroy the HAP in 
    accordance with the treatment standards specified in Sec. 63.684 of 
    this subpart before placing the material in the off-site material 
    management unit; or
        (iii) Determine that the average VOHAP concentration of each off-
    site material stream managed in the off-site material unit remains at a 
    level less than 500 parts per million by weight (ppmw) based on the HAP 
    content of the off-site material stream at the point-of-delivery. The 
    owner or operator shall perform an initial determination of the average 
    VOHAP concentration of each off-site material stream using the 
    procedures specified in Sec. 63.694(b) of this subpart before the first 
    time any portion of the off-site material stream is placed in the unit. 
    Thereafter, the owner or operator shall review and update, as 
    necessary, this determination at least once every 12 months following 
    the date of the initial determination for the off-site material stream.
        (2) For each process vent that is part of an affected source, the 
    owner or operator shall control the HAP emitted from the process vent 
    by implementing one of the following control measures.
        (i) Install and operate air emission controls on the process vent 
    in accordance with the standards specified in Sec. 63.690 of this 
    subpart.
    
    [[Page 34162]]
    
        (ii) Determine that the average VOHAP concentration of each off-
    site material stream managed in the unit on which the process vent is 
    used remains at a level less than 500 parts per million by weight 
    (ppmw) based on the HAP content of the off-site material stream at the 
    point-of-delivery. The owner or operator shall perform an initial 
    determination of the average VOHAP concentration of each off-site 
    material stream using the procedures specified in Sec. 63.694(b) of 
    this subpart before the first time any portion of the off-site material 
    stream is placed in the unit. Thereafter, the owner or operator shall 
    review and update, as necessary, this determination at least once every 
    12 months following the date of the initial determination for the off-
    site material stream.
        (3) For each equipment component that is part of an affected source 
    and meets all of the criteria specified in paragraphs (b)(3)(i) through 
    (b)(3)(iii) of this section, the owner or operator shall control the 
    HAP emitted from equipment leaks by implementing control measures in 
    accordance with the standards specified in Sec. 63.691 of this subpart.
        (i) The equipment component contains or contacts off-site material 
    having a total HAP concentration equal to or greater than 10 percent by 
    weight;
        (ii) The equipment piece is a pump, compressor, agitator, pressure 
    relief device, sampling connection system, open-ended valve or line, 
    valve, connector, or instrumentation system; and
        (iii) The equipment piece is intended to operate 300 hours or more 
    during a 12-month period.
        (c) Exempted off-site material management units. An off-site 
    material management unit is exempted from the requirements specified in 
    paragraph (b) of this section when the unit meets any one of the 
    exemptions provided in paragraphs (c)(1) through (c)(5) of this 
    section.
        (1) An off-site material management unit is exempted from the 
    requirements specified in paragraph (b) of this section if the unit is 
    also subject to another subpart under 40 CFR part 61 or 40 CFR part 63, 
    and the owner or operator is controlling the HAP listed in Table 1 of 
    this subpart that are emitted from the unit in compliance with the 
    provisions specified in the other applicable subpart.
        (2) One or more off-site material management units located at a 
    plant site can be exempted from the requirements specified in paragraph 
    (b) of this section at the discretion of the owner or operator provided 
    that the total annual quantity of HAP contained in the off-site 
    material placed in the off-site material management units selected by 
    the owner or operator to be exempted under this provision is less than 
    1 megagram per year. This total annual HAP quantity for the off-site 
    material shall be based on the total quantity of the HAP listed in 
    Table 1 of this subpart as determined at the point where the off-site 
    material is placed in each exempted unit. For the off-site material 
    management unit selected by the owner or operator to be exempted from 
    the under this provision, the owner or operator shall meet the 
    following requirements:
        (i) Documentation shall be prepared by the owner or operator and 
    maintained at the plant site to support the initial determination of 
    the total annual HAP quantity of the off-site material. This 
    documentation shall include identification of each off-site material 
    management unit selected by the owner or operator to be exempted under 
    paragraph (c)(2) of this section and the basis for determining the HAP 
    content of the off-site material. The owner or operator shall perform a 
    new determination when the extent of changes to the quantity or 
    composition of the off-site material placed in the exempted units could 
    cause the total annual HAP content in the off-site material to exceed 1 
    megagram per year.
        (ii) Each of the off-site material management units exempted under 
    paragraph (c)(2) of this section shall be permanently marked in such a 
    manner that it can be readily identified as an exempted unit from the 
    other off-site material management units located at the plant site.
        (3) A tank or surface impoundment is exempted from the requirements 
    specified in paragraph (b) of this section if the unit is used for a 
    biological treatment process that destroys or degrades the HAP 
    contained in the material entering the unit, such that either of the 
    following conditions is met:
        (i) The HAP reduction efficiency (R) for the process is equal to or 
    greater than 95 percent, and the HAP biodegradation efficiency 
    (Rbio) for the process is equal to or greater than 95 percent. The 
    HAP reduction efficiency (R) shall be determined using the procedure 
    specified in Sec. 63.694(g) of this subpart. The HAP biodegradation 
    efficiency (Rbio) shall be determined in accordance with the 
    requirements of Sec. 63.694(h) of this subpart.
        (ii) The total actual HAP mass removal rate (MRbio) as 
    determined in accordance with the requirements of Sec. 63.694(i) of 
    this subpart for the off-site material treated by the process is equal 
    to or greater than the required HAP mass removal rate (RMR) as 
    determined in accordance with the requirements of Sec. 63.694(e) of 
    this subpart.
        (4) An off-site material management unit is exempted from the 
    requirements specified in paragraph (b) of this section if the off-site 
    material placed in the unit is a hazardous waste that meets the 
    numerical concentration limits, applicable to the hazardous waste, as 
    specified in 40 CFR part 268--Land Disposal Restrictions under both of 
    the following tables:
        (i) Table ``Treatment Standards for Hazardous Waste'' in 40 CFR 
    268.40; and
        (ii) Table UTS--``Universal Treatment Standards'' in 40 CFR 268.48.
        (5) A tank used for bulk feed of off-site material to a waste 
    incinerator is exempted from the requirements specified in paragraph 
    (b) of this section if all of the following conditions are met:
        (i) The tank is located inside an enclosure vented to a control 
    device that is designed and operated in accordance with all applicable 
    requirements specified under 40 CFR part 61, subpart FF--National 
    Emission Standards for Benzene Waste Operations for a facility at which 
    the total annual benzene quantity from the facility waste is equal to 
    or greater than 10 megagrams per year;
        (ii) The enclosure and control device serving the tank were 
    installed and began operation prior to July 1, 1996; and
        (iii) The enclosure is designed and operated in accordance with the 
    criteria for a permanent total enclosure as specified in ``Procedure 
    T--Criteria for and Verification of a Permanent or Temporary Total 
    Enclosure'' under 40 CFR 52.741, Appendix B. The enclosure may have 
    permanent or temporary openings to allow worker access; passage of 
    material into or out of the enclosure by conveyor, vehicles, or other 
    mechanical means; entry of permanent mechanical or electrical 
    equipment; or to direct airflow into the enclosure. The owner or 
    operator shall perform the verification procedure for the enclosure as 
    specified in Section 5.0 to ``Procedure T--Criteria for and 
    Verification of a Permanent or Temporary Total Enclosure'' annually.
    
    
    Sec. 63.684  Standards: Off-Site Material Treatment.
    
        (a) The provisions of this section apply to the treatment of off-
    site material to control air emissions for which Sec. 63.683(b)(1)(ii) 
    of this subpart references the requirements of this section for such 
    treatment.
    
    [[Page 34163]]
    
        (b) The owner or operator shall remove or destroy the HAP contained 
    in off-site material streams to be managed in the off-site material 
    management unit in accordance with Sec. 63.683(b)(1)(ii) of this 
    subpart using a treatment process that continuously achieves, under 
    normal operations, one of the following performance levels for the 
    range of off-site material stream compositions and quantities expected 
    to be treated:
        (1) VOHAP concentration. The treatment process shall reduce the 
    VOHAP concentration of the off-site material using a means, other than 
    by dilution, to achieve one of the following performance levels, as 
    applicable:
        (i) In the case when every off-site material stream entering the 
    treatment process has an average VOHAP concentration equal to or 
    greater than 500 ppmw at the point-of-delivery, then the VOHAP 
    concentration of the off-site material shall be reduced to a level that 
    is less than 500 ppmw at the point-of-treatment.
        (ii) In the case when the off-site material streams entering the 
    treatment process include off-site material streams having average 
    VOHAP concentrations less than 500 ppmw at the point-of-delivery, then 
    the VOHAP concentration of the off-site material shall be reduced to a 
    level at the point-of-treatment that is either:
        (A) Less than the VOHAP concentration limit (CR) established 
    for the treatment process using the procedure specified in 
    Sec. 63.694(d) of this subpart; or
        (B) Less than the lowest VOHAP concentration determined for each of 
    the off-site material streams entering the treatment process as 
    determined by the VOHAP concentration of the off-site material at the 
    point-of-delivery.
        (2) HAP mass removal. The treatment process shall achieve a 
    performance level such that the total quantity of HAP actually removed 
    from the off-site material stream (MR) is equal to or greater than the 
    required mass removal (RMR) established for the off-site material 
    stream using the procedure specified in Sec. 63.694(e) of this subpart. 
    The MR for the off-site material streams shall be determined using the 
    procedures specified in Sec. 63.694(f) of this subpart.
        (3) HAP reduction efficiency. The treatment process shall achieve a 
    performance level such that the total quantity of HAP in the off-site 
    material stream is reduced to one of the following performance levels, 
    as applicable:
        (i) In the case when the owner or operator determines that off-site 
    material stream entering the treatment process has an average VOHAP 
    concentration less than 10,000 ppmw at the point-of-delivery, then the 
    treatment process shall achieve a performance level such that the total 
    quantity of HAP in the off-site material stream is reduced by 95 
    percent or more. The HAP reduction efficiency (R) for the treatment 
    process shall be determined using the procedure specified in 
    Sec. 63.694(g) of this subpart. The average VOHAP concentration of the 
    off-site material stream at the point-of-delivery shall be determined 
    using the procedure specified in Sec. 63.694(b) of this subpart.
        (ii) In the case when the off-site material stream entering the 
    treatment process has an average VOHAP concentration equal to or 
    greater than 10,000 ppmw at the point-of-delivery, then the treatment 
    process shall achieve a performance level such that the total quantity 
    of HAP in the off-site material stream is reduced by 95 percent or 
    more, and the average VOHAP concentration of the off-site material at 
    the point-of-treatment is less than 100 parts per million by weight 
    (ppmw). The HAP reduction efficiency (R) for the treatment process 
    shall be determined using the procedure specified in Sec. 63.694(g) of 
    this subpart. The average VOHAP concentration of the off-site material 
    stream at the point-of-treatment shall be determined using the 
    procedure specified in Sec. 63.694(c) of this subpart.
        (4) Biological degradation. The treatment process shall achieve 
    either of the following performance levels:
        (i) The HAP reduction efficiency (R) for the treatment process is 
    equal to or greater than 95 percent, and the HAP biodegradation 
    efficiency (Rbio) for the treatment process is equal to or greater 
    than 95 percent. The HAP reduction efficiency (R) shall be determined 
    using the procedure specified in Sec. 63.694(g) of this subpart. The 
    HAP biodegradation efficiency (Rbio) shall be determined in 
    accordance with the requirements of Sec. 63.694(h) of this subpart.
        (ii) The total quantity of HAP actually removed from the off-site 
    material stream by biological degradation (MRbio) shall be equal 
    to or greater than the required mass removal (RMR) established for the 
    off-site material stream using the procedure specified in 
    Sec. 63.694(e) of this subpart. The MRbio of the off-site material 
    stream shall be determined using the procedures specified in 
    Sec. 63.694(i) of this subpart.
        (5) Incineration. The HAP contained in the off-site material stream 
    shall be destroyed using one of the following combustion devices:
        (i) An incinerator for which the owner or operator has either:
        (A) Been issued a final permit under 40 CFR part 270, and the 
    incinerator is designed and operated in accordance with the 
    requirements of 40 CFR 264 subpart O--Incinerators, or
        (B) Has certified compliance with the interim status requirements 
    of 40 CFR 265 subpart O--Incinerators.
        (ii) A boiler or industrial furnace for which the owner or operator 
    has either:
        (A) Been issued a final permit under 40 CFR part 270, and the 
    combustion unit is designed and operated in accordance with the 
    requirements of 40 CFR part 266 subpart H--Hazardous Waste Burned in 
    Boilers and Industrial Furnaces, or
        (B) Has certified compliance with the interim status requirements 
    of 40 CFR part 266 subpart H Hazardous Waste Burned in Boilers and 
    Industrial Furnaces.
        (c) For a treatment process that removes the HAP from the off-site 
    material by a means other than thermal destruction or biological 
    degradation to achieve one of the performances levels specified in 
    paragraph (b)(1), (b)(2), or (b)(3) of this section, the owner or 
    operator shall manage the HAP removed from the off-site material in 
    such a manner to minimize release of these HAP to the atmosphere, to 
    the extent practical. Examples of HAP emission control measures that 
    meet the requirements of this paragraph include managing the HAP 
    removed from the off-site material in units that use air emission 
    controls in accordance with the standards specified in Secs. 63.685 
    through 63.689 of this subpart, as applicable to the unit.
        (d) When the owner or operator treats the off-site material to meet 
    one of the performance levels specified in paragraphs (b)(1) through 
    (b)(4) of this section, the owner or operator shall demonstrate that 
    the treatment process achieves the selected performance level for the 
    range of expected off-site material stream compositions expected to be 
    treated. An initial demonstration shall be performed as soon as 
    possible but no later than 30 days after first time an owner or 
    operator begins using the treatment process to manage off-site material 
    streams in accordance with the requirements of Sec. 63.683(b)(1)(ii) of 
    this subpart. Thereafter, the owner or operator shall review and 
    update, as necessary, this demonstration at least once every 12 months 
    following the date of the initial demonstration.
        (e) When the owner or operator treats the off-site material to meet 
    one of the performance levels specified in paragraphs (b)(1) through 
    (b)(4) of this section, the owner or operator shall ensure that the 
    treatment process is
    
    [[Page 34164]]
    
    achieving the applicable performance requirements by continuously 
    monitoring the operation of the process when it is used to treat off-
    site material:
        (1) A continuous monitoring system shall be installed and operated 
    for each treatment that measures operating parameters appropriate for 
    the treatment process technology. This system shall include a 
    continuous recorder that records the measured values of the selected 
    operating parameters. The monitoring equipment shall be installed, 
    calibrated, and maintained in accordance with the equipment 
    manufacturer's specifications. The continuous recorder shall be a data 
    recording device that records either an instantaneous data value at 
    least once every 15 minutes or an average value for intervals of 15 
    minutes or less.
        (2) For each monitored operating parameter, the owner or operator 
    shall establish a minimum operating parameter value or a maximum 
    operating parameter value, as appropriate, to define the range of 
    conditions at which the treatment process must be operated to 
    continuously achieve the applicable performance requirements of this 
    section.
        (3) When the treatment process is operating to treat off-site 
    material, the owner or operator shall inspect the data recorded by the 
    continuous monitoring system on a routine basis and operate the 
    treatment process such that the actual value of each monitored 
    operating parameter is greater than the minimum operating parameter 
    value or less than the maximum operating parameter value, as 
    appropriate, established for the treatment process.
        (f) The owner or operator shall maintain records for each treatment 
    process in accordance with the requirements of Sec. 63.696 of this 
    subpart.
        (g) The owner or operator shall prepare and submit reports for each 
    treatment process in accordance with the requirements of Sec. 63.697 of 
    this subpart.
        (h) The Administrator may at any time conduct or request that the 
    owner or operator conduct testing necessary to demonstrate that a 
    treatment process is achieving the applicable performance requirements 
    of this section. The testing shall be conducted in accordance with the 
    applicable requirements of this section. The Administrator may elect to 
    have an authorized representative observe testing conducted by the 
    owner or operator.
    
    
    Sec. 63.685  Standards: Tanks.
    
        (a) The provisions of this section apply to the control of air 
    emissions from tanks for which Sec. 63.683(b)(1)(i) of this subpart 
    references the use of this section for such air emission control.
        (b) The owner or operator shall control air emissions from each 
    tank subject to this section in accordance with the following 
    applicable requirements:
        (1) For a tank that is part of an existing affected source but the 
    tank is not used to manage off-site material having a maximum organic 
    vapor pressure that is equal to or greater than 76.6 kPa nor is the 
    tank used for a waste stabilization process as defined in Sec. 63.681 
    of this subpart, the owner or operator shall determine whether the tank 
    is required to use either Tank Level 1 controls or Tank Level 2 
    controls as specified for the tank by Table 3 of this subpart based on 
    the off-site material maximum HAP vapor pressure and the tank's design 
    capacity. The owner or operator shall control air emissions from a tank 
    required by Table 3 to use Tank Level 1 controls in accordance with the 
    requirements of paragraph (c) of this section. The owner or operator 
    shall control air emissions from a tank required by Table 3 to use Tank 
    Level 2 controls in accordance with the requirements of paragraph (d) 
    of this section.
        (2) For a tank that is part of a new affected source but the tank 
    is not used to manage off-site material having a maximum organic vapor 
    pressure that is equal to or greater than 76.6 kPa nor is the tank used 
    for a waste stabilization process as defined in Sec. 63.681 of this 
    subpart, the owner or operator shall determine whether the tank is 
    required to use either Tank Level 1 controls or Tank Level 2 controls 
    as specified for the tank by Table 4 of this subpart based on the off-
    site material maximum HAP vapor pressure and the tank's design 
    capacity. The owner or operator shall control air emissions from a tank 
    required by Table 4 to use Tank Level 1 controls in accordance with the 
    requirements of paragraph (c) of this section. The owner or operator 
    shall control air emissions from a tank required by Table 4 to use Tank 
    Level 2 controls in accordance with the requirements of paragraph (d) 
    of this section.
        (3) For a tank that is used for a waste stabilization process, the 
    owner or operator shall control air emissions from the tank by using 
    Tank Level 2 controls in accordance with the requirements of paragraph 
    (d) of this section.
        (4) For a tank that manages off-site material having a maximum 
    organic vapor pressure that is equal to or greater than the 76.6 kPa, 
    the owner or operator shall control air emissions from the tank by 
    venting the tank through a closed-vent system to a control device in 
    accordance with the requirements of paragraph (g) of this section.
        (c) Owners and operators controlling air emissions from a tank 
    using Tank Level 1 controls shall meet the following requirements:
        (1) The owner or operator shall determine the maximum HAP vapor 
    pressure for an off-site material to be managed in the tank using Tank 
    Level 1 controls before the first time the off-site material is placed 
    in the tank. The maximum HAP vapor pressure shall be determined using 
    the procedures specified in Sec. 63.694(j) of this subpart. Thereafter, 
    the owner or operator shall perform a new determination whenever 
    changes to the off-site material managed in the tank could potentially 
    cause the maximum HAP vapor pressure to increase to a level that is 
    equal to or greater than the maximum HAP vapor pressure limit for the 
    tank design capacity category specified in Table 3 or Table 4 of this 
    subpart, as applicable to the tank.
        (2) The owner or operator shall control air emissions from the tank 
    using a fixed-roof in accordance with the provisions specified in 40 
    CFR 63 subpart OO--National Emission Standards for Tanks--Level 1.
        (d) Owners and operators controlling air emissions from a tank 
    using Tank Level 2 controls shall use one of the following tanks:
        (1) A fixed-roof tank equipped with an internal floating roof in 
    accordance with the requirements specified in paragraph (e) of this 
    section;
        (2) A tank equipped with an external floating roof in accordance 
    with the requirements specified in paragraph (f) of this section;
        (3) A tank vented through a closed-vent system to a control device 
    in accordance with the requirements specified in paragraph (g) of this 
    section;
        (4) A pressure tank designed and operated in accordance with the 
    requirements specified in paragraph (h) of this section; or
        (5) A tank located inside an enclosure that is vented through a 
    closed-vent system to an enclosed combustion control device in 
    accordance with the requirements specified in paragraph (i) of this 
    section.
        (e) The owner or operator who elects to control air emissions from 
    a tank using a fixed-roof with an internal floating roof shall meet the 
    requirements specified in paragraphs (e)(1) through (e)(3) of this 
    section.
        (1) The tank shall be equipped with a fixed roof and an internal 
    floating roof
    
    [[Page 34165]]
    
    in accordance with the following requirements:
        (i) The internal floating roof shall be designed to float on the 
    liquid surface except when the floating roof must be supported by the 
    leg supports.
        (ii) The internal floating roof shall be equipped with a continuous 
    seal between the wall of the tank and the floating roof edge that meets 
    either of the following requirements:
        (A) A single continuous seal that is either a liquid-mounted seal 
    or a metallic shoe seal, as defined in Sec. 63.681 of this subpart; or
        (B) Two continuous seals mounted one above the other. The lower 
    seal may be a vapor-mounted seal.
        (iii) The internal floating roof shall meet the following 
    specifications:
        (A) Each opening in a noncontact internal floating roof except for 
    automatic bleeder vents (vacuum breaker vents) and the rim space vents 
    is to provide a projection below the liquid surface.
        (B) Each opening in the internal floating roof shall be equipped 
    with a gasketed cover or a gasketed lid except for leg sleeves, 
    automatic bleeder vents, rim space vents, column wells, ladder wells, 
    sample wells, and stub drains.
        (C) Each penetration of the internal floating roof for the purpose 
    of sampling shall have a slit fabric cover that covers at least 90 
    percent of the opening.
        (D) Each automatic bleeder vent and rim space vent shall be 
    gasketed.
        (E) Each penetration of the internal floating roof that allows for 
    passage of a ladder shall have a gasketed sliding cover.
        (F) Each penetration of the internal floating roof that allows for 
    passage of a column supporting the fixed roof shall have a flexible 
    fabric sleeve seal or a gasketed sliding cover.
        (2) The owner or operator shall operate the tank in accordance with 
    the following requirements:
        (i) When the floating roof is resting on the leg supports, the 
    process of filling, emptying, or refilling shall be continuous and 
    shall be accomplished as soon as practical.
        (ii) Automatic bleeder vents are to be set closed at all times when 
    the roof is floating, except when the roof is being floated off or is 
    being landed on the leg supports.
        (iii) Prior to filling the tank, each cover, access hatch, gauge 
    float well or lid on any opening in the internal floating roof shall be 
    bolted or fastened closed (i.e., no visible gaps). Rim spaces vents are 
    to be set to open only when the internal floating roof is not floating 
    or when the pressure beneath the rim exceeds the manufacturer's 
    recommended setting.
        (3) The owner or operator shall inspect the internal floating roof 
    in accordance with the procedures specified in Sec. 63.695(b) of this 
    subpart.
        (f) The owner or operator who elects to control tank emissions by 
    using an external floating roof shall meet the requirements specified 
    in paragraphs (f)(1) through (f)(3) of this section.
        (1) The owner or operator shall design the external floating roof 
    in accordance with the following requirements:
        (i) The external floating roof shall be designed to float on the 
    liquid surface except when the floating roof must be supported by the 
    leg supports.
        (ii) The floating roof shall be equipped with two continuous seals, 
    one above the other, between the wall of the tank and the roof edge. 
    The lower seal is referred to as the primary seal, and the upper seal 
    is referred to as the secondary seal.
        (A) The primary seal shall be a liquid-mounted seal or a metallic 
    shoe seal, as defined in Sec. 63.681 of this subpart. The total area of 
    the gaps between the tank wall and the primary seal shall not exceed 
    212 square centimeters (cm\2\) per meter of tank diameter, and the 
    width of any portion of these gaps shall not exceed 3.8 centimeters 
    (cm). If a metallic shoe seal is used for the primary seal, the 
    metallic shoe seal shall be designed so that one end extends into the 
    liquid in the tank and the other end extends a vertical distance of at 
    least 61 centimeters above the liquid surface.
        (B) The secondary seal shall be mounted above the primary seal and 
    cover the annular space between the floating roof and the wall of the 
    tank. The total area of the gaps between the tank wall and the 
    secondary seal shall not exceed 21.2 square centimeters (cm\2\) per 
    meter of tank diameter, and the width of any portion of these gaps 
    shall not exceed 1.3 centimeters (cm).
        (iii) The external floating roof shall be meet the following 
    specifications:
        (A) Except for automatic bleeder vents (vacuum breaker vents) and 
    rim space vents, each opening in a noncontact external floating roof 
    shall provide a projection below the liquid surface.
        (B) Except for automatic bleeder vents, rim space vents, roof 
    drains, and leg sleeves, each opening in the roof shall be equipped 
    with a gasketed cover, seal, or lid.
        (C) Each access hatch and each gauge float wells shall be equipped 
    with covers designed to be bolted or fastened when the cover is secured 
    in the closed position.
        (D) Each automatic bleeder vent and each rim space vents shall be 
    equipped with a gasket.
        (E) Each roof drain that empties into the liquid managed in the 
    tank shall be equipped with a slotted membrane fabric cover that covers 
    at least 90 percent of the area of the opening.
        (F) Each unslotted and slotted guide pole well shall be equipped 
    with a gasketed sliding cover or a flexible fabric sleeve seal.
        (G) Each unslotted guide pole shall be equipped with a gasketed cap 
    on the end of the pole.
        (H) Each slotted guide pole shall be equipped with a gasketed float 
    or other device which closes off the surface from the atmosphere.
        (I) Each gauge hatch and each sample well shall be equipped with a 
    gasketed cover.
        (2) The owner or operator shall operate the tank in accordance with 
    the following requirements:
        (i) When the floating roof is resting on the leg supports, the 
    process of filling, emptying, or refilling shall be continuous and 
    shall be accomplished as soon as practical.
        (ii) Except for automatic bleeder vents, rim space vents, roof 
    drains, and leg sleeves, each opening in the roof shall be secured and 
    maintained in a closed position at all times except when the closure 
    device must be open for access.
        (iii) Covers on each access hatch and each gauge float well shall 
    be bolted or fastened when secured in the closed position.
        (iv) Automatic bleeder vents shall be set closed at all times when 
    the roof is floating, except when the roof is being floated off or is 
    being landed on the leg supports.
        (v) Rim space vents shall be set to open only at those times that 
    the roof is being floated off the roof leg supports or when the 
    pressure beneath the rim seal exceeds the manufacturer's recommended 
    setting.
        (vi) The cap on the end of each unslotted guide pole shall be 
    secured in the closed position at all times except when measuring the 
    level or collecting samples of the liquid in the tank.
        (vii) The cover on each gauge hatch or sample well shall be secured 
    in the closed position at all times except when the hatch or well must 
    be opened for access.
        (viii) Both the primary seal and the secondary seal shall 
    completely cover the annular space between the external floating roof 
    and the wall of the tank in a continuous fashion except during 
    inspections.
    
    [[Page 34166]]
    
        (3) The owner or operator shall inspect the external floating roof 
    in accordance with the procedures specified in Sec. 63.695(b) of this 
    subpart.
        (g) The owner or operator who controls tank air emissions by 
    venting to a control device shall meet the requirements specified in 
    paragraphs (g)(1) through (g)(3) of this section.
        (1) The tank shall be covered by a fixed roof and vented directly 
    through a closed-vent system to a control device in accordance with the 
    following requirements:
        (i) The fixed roof and its closure devices shall be designed to 
    form a continuous barrier over the entire surface area of the liquid in 
    the tank.
        (ii) Each opening in the fixed roof not vented to the control 
    device shall be equipped with a closure device. If the pressure in the 
    vapor headspace underneath the fixed roof is less than atmospheric 
    pressure when the control device is operating, the closure devices 
    shall be designed to operate such that when the closure device is 
    secured in the closed position there are no visible cracks, holes, 
    gaps, or other open spaces in the closure device or between the 
    perimeter of the cover opening and the closure device. If the pressure 
    in the vapor headspace underneath the fixed roof is equal to or greater 
    than atmospheric pressure when the control device is operating, the 
    closure device shall be designed to operate with no detectable organic 
    emissions.
        (iii) The fixed roof and its closure devices shall be made of 
    suitable materials that will minimize exposure of the off-site material 
    to the atmosphere, to the extent practical, and will maintain the 
    integrity of the equipment throughout its intended service life. 
    Factors to be considered when selecting the materials for and designing 
    the fixed roof and closure devices shall include: organic vapor 
    permeability, the effects of any contact with the liquid and its vapor 
    managed in the tank; the effects of outdoor exposure to wind, moisture, 
    and sunlight; and the operating practices used for the tank on which 
    the fixed roof is installed.
        (iv) The closed-vent system and control device shall be designed 
    and operated in accordance with the requirements of Sec. 63.693 of this 
    subpart.
        (2) Whenever an off-site material is in the tank, the fixed roof 
    shall be installed with each closure device secured in the closed 
    position and the vapor headspace underneath the fixed roof vented to 
    the control device except as follows:
        (i) Venting to the control device is not required, and opening of 
    closure devices or removal of the fixed roof is allowed at the 
    following times:
        (A) To provide access to the tank for performing routine 
    inspection, maintenance, or other activities needed for normal 
    operations. Examples of such activities include those times when a 
    worker needs to open a port to sample liquid in the tank, or when a 
    worker needs to open a hatch to maintain or repair equipment. Following 
    completion of the activity, the owner or operator shall promptly secure 
    the closure device in the closed position or reinstall the cover, as 
    applicable, to the tank.
        (B) To remove accumulated sludge or other residues from the bottom 
    of separator.
        (ii) Opening of a safety device, as defined in Sec. 63.681 of this 
    subpart, is allowed at any time conditions require it to do so to avoid 
    an unsafe condition.
        (3) The owner or operator shall inspect and monitor the air 
    emission control equipment in accordance with the procedures specified 
    in Sec. 63.695 of this subpart.
        (h) The owner or operator who elects to control tank air emissions 
    by using a pressure tank shall meet the following requirements.
        (1) The tank shall be designed not to vent to the atmosphere as a 
    result of compression of the vapor headspace in the tank during filling 
    of the tank to its design capacity.
        (2) All tank openings shall equipped with closure devices designed 
    to operate with no detectable organic emissions as determined using the 
    procedure specified in Sec. 63.694(k) of this subpart.
        (3) Whenever an off-site material is in the tank, the tank shall be 
    operated as a closed system that does not vent to the atmosphere except 
    in the event that opening of a safety device, as defined in Sec. 63.681 
    of this subpart, is required to avoid an unsafe condition.
        (i) The owner or operator who elects to control air emissions by 
    using an enclosure vented through a closed-vent system to an enclosed 
    combustion control device shall meet the requirements specified in 
    paragraphs (i)(1) through (i)(4) of this section.
        (1) The tank shall be located inside an enclosure. The enclosure 
    shall be designed and operated in accordance with the criteria for a 
    permanent total enclosure as specified in ``Procedure T--Criteria for 
    and Verification of a Permanent or Temporary Total Enclosure'' under 40 
    CFR 52.741, Appendix B. The enclosure may have permanent or temporary 
    openings to allow worker access; passage of material into or out of the 
    enclosure by conveyor, vehicles, or other mechanical means; entry of 
    permanent mechanical or electrical equipment; or to direct airflow into 
    the enclosure. The owner or operator shall perform the verification 
    procedure for the enclosure as specified in Section 5.0 to ``Procedure 
    T--Criteria for and Verification of a Permanent or Temporary Total 
    Enclosure'' initially when the enclosure is first installed and, 
    thereafter, annually.
        (2) The enclosure shall be vented through a closed-vent system to 
    an enclosed combustion control device that is designed and operated in 
    accordance with the standards for either a vapor incinerator, boiler, 
    or process heater specified in Sec. 63.693 of this subpart.
    
    
    Sec. 63.686  Standards: Oil-water and organic-water separators.
    
        (a) The provisions of this section apply to the control of air 
    emissions from oil-water separators and organic-water separators for 
    which Sec. 63.683(b)(1)(i) of this subpart references the use of this 
    section for such air emission control.
        (b) The owner or operator shall control air emissions from the 
    separator subject to this section by installing and operating one of 
    the following:
        (1) A floating roof in accordance with all applicable provisions 
    specified in 40 CFR 63 subpart VV--National Emission Standards for Oil-
    Water Separators and Organic-Water Separators. For portions of the 
    separator where it is infeasible to install and operate a floating 
    roof, such as over a weir mechanism, the owner or operator shall comply 
    with the requirements specified in paragraph (b)(2) of this section.
        (2) A fixed-roof that is vented through a closed-vent system to a 
    control device in accordance with all applicable provisions specified 
    in 40 CFR 63 subpart VV--National Emission Standards for Oil-Water 
    Separators and Organic-Water Separators.
    
    
    Sec. 63.687  Standards: Surface impoundments.
    
        (a) The provisions of this section apply to the control of air 
    emissions from surface impoundments for which Sec. 63.683(b)(1)(i) of 
    this subpart references the use of this section for such air emission 
    control.
        (b) The owner or operator shall control air emissions from each 
    surface impoundment subject to this section by installing and operating 
    one of the following, as relevant to the surface impoundment design and 
    operation:
        (1) A floating membrane cover in accordance with the applicable 
    provisions specified in 40 CFR 63 subpart QQ--National Emission 
    Standards for Surface Impoundments; or
        (2) A cover that is vented through a closed-vent system to a 
    control device in accordance with all applicable
    
    [[Page 34167]]
    
    provisions specified in 40 CFR 63 subpart QQ--National Emission 
    Standards for Surface Impoundments.
    
    
    Sec. 63.688  Standards: Containers.
    
        (a) The provisions of this section apply to the control of air 
    emissions from containers for which Sec. 63.683(b)(1)(i) of this 
    subpart references the use of this section for such air emission 
    control.
        (b) The owner or operator shall control air emissions from each 
    container subject to this section in accordance with the following 
    requirements, as applicable to the container, except when the special 
    provisions for waste stabilization processes specified in paragraph (c) 
    of this section apply to the container.
        (1) For a container having a design capacity greater than 0.1 
    m3 and less than or equal to 0.46 m3, the owner or operator 
    shall control air emissions from the container in accordance with the 
    standards for Container Level 1 controls as specified in 40 CFR 63 
    subpart PP--National Emission Standards for Containers.
        (2) For a container having a design capacity greater than 0.46 
    m3 and the container is not in light-material service as defined 
    in Sec. 63.681 of this subpart, the owner or operator shall control air 
    emissions from the container in accordance with the standards for 
    Container Level 1 controls as specified in 40 CFR 63 subpart PP--
    National Emission Standards for Containers.
        (3) For a container having a design capacity greater than 0.46 
    m3 and the container is in light-material service as defined in 
    Sec. 63.681 of this subpart, the owner or operator shall control air 
    emissions from the container in accordance with the standards for 
    Container Level 2 controls as specified in 40 CFR 63 subpart PP--
    National Emission Standards for Containers.
        (c) When a container subject to this subpart and having a design 
    capacity greater than 0.1 m3 is used for treatment of an off-site 
    material by a waste stabilization process as defined in Sec. 63.681 of 
    this subpart, the owner or operator shall control air emissions from 
    the container at those times during the process when the off-site 
    material in container is exposed to the atmosphere in accordance with 
    the standards for Container Level 3 controls as specified in 40 CFR 63 
    subpart PP--National Emission Standards for Containers.
    
    
    Sec. 63.689  Standards: Transfer systems.
    
        (a) The provisions of this section apply to the control of air 
    emissions from transfer systems for which Sec. 63.683(b)(1)(i) of this 
    subpart references the use of this section for such air emission 
    control.
        (b) For each transfer system that is subject to this section and is 
    an individual drain system, the owner or operator shall control air 
    emissions from in accordance with the standards specified in 40 CFR 63 
    subpart RR--National Emission Standards for Individual Drain Systems.
        (c) For each transfer system that is subject to this section but is 
    not an individual drain system, the owner or operator shall control air 
    emissions by installing and operating one of the following:
        (1) A transfer system that uses covers in accordance with the 
    requirements specified in paragraph (d) of this section.
        (2) A transfer system that consists of continuous hard-piping. All 
    joints or seams between the pipe sections shall be permanently or semi-
    permanently sealed (e.g., a welded joint between two sections of metal 
    pipe or a bolted and gasketed flange).
        (3) A transfer system that is enclosed and vented through a closed 
    vent system to a control device in accordance with the following 
    requirements:
        (i) The transfer system is designed and operated such that an 
    internal pressure in the vapor headspace in the system is maintained at 
    a level less than atmospheric pressure when the control device is 
    operating, and
        (ii) The closed vent system and control device are designed and 
    operated in accordance with the requirements of Sec. 63.693 of this 
    subpart.
        (d) Owners and operators controlling air emissions from a transfer 
    system using covers in accordance with the provisions of paragraph 
    (c)(1) of this section shall meet the following requirements:
        (1) The cover and its closure devices shall be designed to form a 
    continuous barrier over the entire surface area of the off-site 
    material as it is conveyed by the transfer system except for the 
    openings at the inlet and outlet to the transfer system through which 
    the off-site material passes. The inlet and outlet openings used for 
    passage of the off-site material through the transfer system shall be 
    the minimum size required for practical operation of the transfer 
    system.
        (2) The cover shall be installed in a manner such that there are no 
    visible cracks, holes, gaps, or other open spaces between cover section 
    joints or between the interface of the cover edge and its mounting.
        (3) Except for the inlet and outlet openings to the transfer system 
    through which the off-site material passes, each opening in the cover 
    shall be equipped with a closure device designed to operate such that 
    when the closure device is secured in the closed position there are no 
    visible cracks, holes, gaps, or other open spaces in the closure device 
    or between the perimeter of the opening and the closure device.
        (4) The cover and its closure devices shall be made of suitable 
    materials that will minimize exposure of the off-site material to the 
    atmosphere, to the extent practical, and will maintain the integrity of 
    the equipment throughout its intended service life. Factors to be 
    considered when selecting the materials for and designing the cover and 
    closure devices shall include: organic vapor permeability; the effects 
    of any contact with the material or its vapors conveyed in the transfer 
    system; the effects of outdoor exposure to wind, moisture, and 
    sunlight; and the operating practices used for the transfer system on 
    which the cover is installed.
        (5) Whenever an off-site material is in the transfer system, the 
    cover shall be installed with each closure device secured in the closed 
    position except as follows:
        (i) Opening of closure devices or removal of the cover is allowed 
    to provide access to the transfer system for performing routine 
    inspection, maintenance, repair, or other activities needed for normal 
    operations. Examples of such activities include those times when a 
    worker needs to open a hatch or remove the cover to repair conveyance 
    equipment mounted under the cover or to clear a blockage of material 
    inside the system. Following completion of the activity, the owner or 
    operator shall promptly secure the closure device in the closed 
    position or reinstall the cover, as applicable.
        (ii) Opening of a safety device, as defined in Sec. 63.681 of this 
    subpart, is allowed at any time conditions require it to do so to avoid 
    an unsafe condition.
        (6) The owner or operator shall inspect the air emission control 
    equipment in accordance with the requirements specified in Sec. 63.695 
    of this subpart.
    
    
    Sec. 63.690  Standards: Process vents.
    
        (a) The provisions of this section apply to the control of air 
    emissions from process vents for which Sec. 63.683(b)(2)(i) of this 
    subpart references the use of this section for such air emission 
    control.
        (b) The owner or operator shall control HAP emitted from the 
    process vent within the affected source by connecting each process vent 
    through a closed-vent system to a control device that is designed and 
    operated in
    
    [[Page 34168]]
    
    accordance with the standards specified in Sec. 63.693 of this subpart 
    with the following exceptions.
        (1) Each individual control device used to comply with the 
    requirements of this section is not required to meet the level of 
    performance, as applicable to the particular control technology used, 
    specified in Secs. 63.693 (d)(1), (e)(1), (f)(1)(i), and (g)(1)(i) of 
    this subpart provided that these control devices are designed and 
    operated to achieve a total reduction of 95 weight percent or more in 
    the quantity of HAP, listed in Table 1 of this subpart, that is emitted 
    from all process vents within the affected source.
        (2) For the purpose of complying with this section, a device for 
    which the predominate function is the recovery or capture of solvents 
    or other organics for use, reuse, or sale (e.g., a primary condenser or 
    a solvent recovery unit) is not a control device.
    
    
    Sec. 63.691  Standards: Equipment leaks.
    
        (a) The provisions of this section apply to the control of air 
    emissions from equipment leaks for which Sec. 63.683(b)(3) of this 
    subpart references the use of this section for such air emission 
    control.
        (b) The owner or operator shall control the HAP emitted from 
    equipment leaks in accordance with the applicable provisions of either:
        (1) Section 61.242 through Sec. 61.247 in 40 CFR Part 61 subpart 
    V--National Emission Standards for Equipment Leaks; or
        (2) Section 63.162 through Sec. 63.182 in 40 CFR Part 63 subpart 
    H--National Emission Standards for Organic Hazardous Air Pollutants 
    from Equipment Leaks.
    
    
    Sec. 63.692  [Reserved]
    
    
    Sec. 63.693  Standards: Closed-vent systems and control devices.
    
        (a) The provisions of this section apply to closed-vent systems and 
    control devices used to control air emissions for which another 
    standard references the use of this section for such air emission 
    control.
        (b) For each closed-vent system and control device used to comply 
    with this section, the owner or operator shall meet the following 
    requirements:
        (1) The closed-vent system shall be designed and operated in 
    accordance with the requirements specified in paragraph (c) of this 
    section.
        (2) The control device shall remove, recover, or destroy HAP at a 
    level of performance that achieves the requirements applicable to the 
    particular control device technology as specified in paragraphs (d) 
    through (h) of this section. The owner or operator shall demonstrate 
    that the control device achieves the applicable performance 
    requirements by either conducting a performance test or preparing a 
    design analysis for the control device in accordance with the 
    requirements specified in this section.
        (3) Whenever gases or vapors containing HAP are vented through a 
    closed-vent system connected to a control device used to comply with 
    this section, the control device shall be operating except at the 
    following times:
        (i) The control device may be bypassed for the purpose of 
    performing planned routine maintenance of the closed vent system or 
    control device in situations when the routine maintenance cannot be 
    performed during periods that the emission point vented to the control 
    device is shutdown. On an annual basis, the total time that the closed-
    vent system or control device is bypassed to perform routine 
    maintenance shall not exceed 240 hours per each 12 month period.
        (ii) The control device may be bypassed for the purpose of 
    correcting a malfunction of the closed vent system or control device. 
    The owner or operator shall perform the adjustments or repairs 
    necessary to correct the malfunction as soon as practicable after the 
    malfunction is detected.
        (4) The owner or operator shall ensure that the control device is 
    achieving the performance requirements specified in paragraph (b)(2) of 
    this section by continuously monitoring the operation of the control 
    device as follows:
        (i) A continuous monitoring system shall be installed and operated 
    for each control device that measures operating parameters appropriate 
    for the control device technology as specified in paragraphs (d) 
    through (h) of this section. This system shall include a continuous 
    recorder that records the measured values of the selected operating 
    parameters. The monitoring equipment shall be installed, calibrated, 
    and maintained in accordance with the equipment manufacturer's 
    specifications. The continuous recorder shall be a data recording 
    device that records either an instantaneous data value at least once 
    every 15 minutes or an average value for intervals of 15-minutes or 
    less.
        (ii) For each monitored operating parameter, the owner or operator 
    shall establish a minimum operating parameter value or a maximum 
    operating parameter value, as appropriate, to define the range of 
    conditions at which the control device must be operated to continuously 
    achieve the applicable performance requirements of this section. Each 
    minimum or maximum operating parameter value shall be established as 
    follows:
        (A) If the owner or operator conducts a performance test to 
    demonstrate control device performance, then the minimum or maximum 
    operating parameter value shall be established based on values measured 
    during the performance test and supplemented, as necessary, by control 
    device design analysis and manufacturer recommendations.
        (B) If the owner or operator uses a control device design analysis 
    to demonstrate control device performance, then the minimum or maximum 
    operating parameter value shall be established based on the control 
    device design analysis and the control device manufacturer's 
    recommendations.
        (C) When the control device is required to be operating in 
    accordance with the provisions of paragraph (b)(3) of this section, the 
    owner or operator shall inspect the data recorded by the continuous 
    monitoring system on a routine basis and operate the control device 
    such that the actual value of each monitored operating parameter is 
    greater than the minimum operating parameter value or less than the 
    maximum operating parameter value, as appropriate, established for the 
    control device.
        (5) The owner or operator shall inspect and monitor the closed-vent 
    system in accordance with the requirements of Sec. 63.695(c) of this 
    subpart.
        (6) The owner or operator shall maintain records for each closed-
    vent system and control device in accordance with the requirements of 
    Sec. 63.696 of this subpart.
        (7) The owner or operator shall prepare and submit reports for each 
    closed-vent system and control device in accordance with the 
    requirements of Sec. 63.697 of this subpart.
        (8) The Administrator may at any time conduct or request that the 
    owner or operator conduct a performance test to demonstrate that a 
    closed-vent system and control device achieves the applicable 
    performance requirements of this section. The performance test shall be 
    conducted in accordance with the requirements of Sec. 63.694(l) of this 
    subpart. The Administrator may elect to have an authorized 
    representative observe a performance test conducted by the owner or 
    operator. Should the results of this performance test not agree with 
    the determination of control device performance based on a design 
    analysis, then the results of the performance test
    
    [[Page 34169]]
    
    shall be used to establish compliance with this section.
        (c) Closed-vent system requirements.
        (1) The vent stream required to be controlled shall be conveyed to 
    the control device by either of the following closed-vent systems:
        (i) A closed-vent system that is designed to operate with no 
    detectable organic emissions using the procedure specified in 
    Sec. 63.694(k) of this subpart; or
        (ii) A closed-vent system that is designed to operate at a pressure 
    below atmospheric pressure. The system shall be equipped with at least 
    one pressure gage or other pressure measurement device that can be read 
    from a readily accessible location to verify that negative pressure is 
    being maintained in the closed-vent system when the control device is 
    operating.
        (2) In situations when the closed-vent system includes bypass 
    devices that could be used to divert the gas or vapor stream to the 
    atmosphere before entering the control device, each bypass device shall 
    be equipped with either a flow indicator as specified in paragraph 
    (c)(2)(i) or a seal or locking device as specified in paragraph 
    (c)(2)(ii) of this section. For the purpose of complying with this 
    paragraph, low leg drains, high point bleeds, analyzer vents, open-
    ended valves or lines, spring-loaded pressure relief valves, and other 
    fittings used for safety purposes are not considered to be bypass 
    devices.
        (i) If a flow indicator is used to comply with paragraph (c)(2) of 
    this section, the indicator shall be installed at the inlet to the 
    bypass line used to divert gases and vapors from the closed-vent system 
    to the atmosphere at a point upstream of the control device inlet. For 
    this paragraph, a flow indicator means a device which indicates either 
    the presence of gas or vapor flow in the bypass line.
        (ii) If a seal or locking device is used to comply with paragraph 
    (c)(2) of this section, the device shall be placed on the mechanism by 
    which the bypass device position is controlled (e.g., valve handle, 
    damper lever) when the bypass device is in the closed position such 
    that the bypass device cannot be opened without breaking the seal or 
    removing the lock. Examples of such devices include, but are not 
    limited to, a car-seal or a lock-and-key configuration valve. The owner 
    or operator shall visually inspect the seal or closure mechanism at 
    least once every month to verify that the bypass mechanism is 
    maintained in the closed position.
        (d) Carbon adsorption control device requirements.
        (1) The carbon adsorption system shall be designed and operated to 
    achieve one of the following performance specifications:
        (i) Recover 95 percent or more, on a weight-basis, of the total 
    organic compounds (TOC), less methane and ethane, contained in the vent 
    stream entering the carbon adsorption system; or
        (ii) Recover 95 percent or more, on a weight-basis, of the total 
    HAP listed in Table 1 of this subpart contained in the vent stream 
    entering the carbon adsorption system.
        (2) The owner or operator shall demonstrate that the carbon 
    adsorption system achieves the performance requirements of paragraph 
    (d)(1) of this section by one of the following methods:
        (i) Conduct a performance test in accordance with the requirements 
    of Sec. 63.694(l) of this subpart.
        (ii) Prepare a design analysis. This analysis shall address the 
    vent stream characteristics and control device operating parameters for 
    the applicable carbon adsorption system type as follows:
        (A) For a regenerable carbon adsorption system, the design analysis 
    shall address the vent stream composition, constituent concentrations, 
    flow rate, relative humidity, and temperature and shall establish the 
    design exhaust vent stream organic compound concentration, adsorption 
    cycle time, number and capacity of carbon beds, type and working 
    capacity of activated carbon used for carbon beds, design total 
    regeneration steam flow over the period of each complete carbon bed 
    regeneration cycle, design carbon bed temperature after regeneration, 
    design carbon bed regeneration time, and design service life of the 
    carbon.
        (B) For a nonregenerable carbon adsorption system (e.g., a carbon 
    canister), the design analysis shall address the vent stream 
    composition, constituent concentrations, flow rate, relative humidity, 
    and temperature and shall establish the design exhaust vent stream 
    organic compound concentration, carbon bed capacity, activated carbon 
    type and working capacity, and design carbon replacement interval based 
    on the total carbon working capacity of the control device and emission 
    point operating schedule.
        (3) To meet the monitoring requirements of paragraph (b)(4) of this 
    section, the owner or operator shall use one of the following 
    continuous monitoring systems:
        (i) For a regenerative-type carbon adsorption system, an 
    integrating regeneration stream flow monitoring device equipped with a 
    continuous recorder and a carbon bed temperature monitoring device for 
    each adsorber vessel equipped with a continuous recorder. The 
    integrating regeneration stream flow monitoring device shall have an 
    accuracy of 10 percent and measure the total regeneration 
    stream mass flow during the carbon bed regeneration cycle. The 
    temperature monitoring device shall measure the carbon bed temperature 
    after regeneration and within 15 minutes of completing the cooling 
    cycle and the duration of the carbon bed steaming cycle.
        (ii) A continuous monitoring system that measures the concentration 
    level of organic compounds in the exhaust vent stream from the control 
    device using an organic monitoring device equipped with a continuous 
    recorder.
        (iii) A continuous monitoring system that measures other 
    alternative operating parameters upon approval of the Administrator as 
    specified in 40 CFR 63.8 (f)(1) through (f)(5) of this part.
        (4) The owner or operator shall manage the carbon used for the 
    carbon adsorption system, as follows:
        (i) Following the initial startup of the control device, all carbon 
    in the control device shall be replaced with fresh carbon on a regular, 
    predetermined time interval that is no longer than the carbon service 
    life established for the carbon adsorption system.
        (ii) The spent carbon removed from the carbon adsorption system 
    shall be managed in one of the following ways:
        (A) Regenerated or reactivated in a thermal treatment unit that is 
    designed and operated in accordance with the requirements of 40 CFR 264 
    subpart X and is permitted under 40 CFR part 270 of this chapter, or 
    certified to be in compliance with the interim status requirements of 
    40 CFR 265 subpart P of this chapter.
        (B) Burned in a hazardous waste incinerator that is designed and 
    operated in accordance with the requirements of 40 CFR 264 subpart O 
    and is permitted under 40 CFR part 270 of this chapter, or certified to 
    be in compliance with the interim status requirements of 40 CFR part 
    265 subpart O.
        (C) Burned in a boiler or industrial furnace that is designed and 
    operated in accordance with the requirements of 40 CFR 266 subpart H 
    and is permitted under 40 CFR part 270 of this chapter, or certified to 
    be in compliance with the interim status requirements of 40 CFR part 
    266 subpart H of this chapter.
        (e) Condenser control device requirements.
    
    [[Page 34170]]
    
        (1) The condenser shall be designed and operated to achieve one of 
    the following performance specifications:
        (i) Recover 95 percent or more, on a weight-basis, of the total 
    organic compounds (TOC), less methane and ethane, contained in the vent 
    stream entering the condenser; or
        (ii) Recover 95 percent or more, on a weight-basis, of the total 
    HAP, listed in Table 1 of this subpart, contained in the vent stream 
    entering the condenser.
        (2) The owner or operator shall demonstrate that the condenser 
    achieves the performance requirements of paragraph (e)(1) of this 
    section by one of the following methods:
        (i) Conduct performance tests in accordance with the requirements 
    of Sec. 63.694(l) of this subpart.
        (ii) Prepare a design analysis. This design analysis shall address 
    the vent stream composition, constituent concentrations, flow rate, 
    relative humidity, and temperature and shall establish the design 
    outlet organic compound concentration level, design average temperature 
    of the condenser exhaust vent stream, and the design average 
    temperatures of the coolant fluid at the condenser inlet and outlet.
        (3) To meet the continuous monitoring requirements of paragraph 
    (b)(3)(ii) of this section, the owner or operator shall use one of the 
    following continuous monitoring systems:
        (i) A temperature monitoring device equipped with a continuous 
    recorder. The temperature sensor shall be installed at a location in 
    the exhaust vent stream from the condenser.
        (ii) A continuous monitoring system that measures the concentration 
    level of organic compounds in the exhaust vent stream from the control 
    device using an organic monitoring device equipped with a continuous 
    recorder.
        (iii) A continuous monitoring system that measures other 
    alternative operating parameters upon approval of the Administrator as 
    specified in 40 CFR 63.8 (f)(1) through (f)(5) of this part.
        (f) Vapor incinerator control device requirements.
        (1) The vapor incinerator shall be designed and operated to achieve 
    one of the following performance specifications:
        (i) Destroy the total organic compounds (TOC), less methane and 
    ethane, contained in the vent stream entering the vapor incinerator 
    either:
        (A) By 95 percent or more, on a weight-basis, or
        (B) To achieve a total incinerator outlet concentration for the 
    TOC, less methane and ethane, of less than or equal to 20 parts per 
    million by volume (ppmv) on a dry basis corrected to 3 percent oxygen.
        (ii) Destroy the HAP listed in Table 1 of this subpart contained in 
    the vent stream entering the vapor incinerator either:
        (A) By 95 percent or more, on a total HAP weight-basis, or
        (B) To achieve a total incinerator outlet concentration for the 
    HAP, listed in table 1 of this subpart, of less than or equal to 20 
    parts per million by volume (ppmv) on a dry basis corrected to 3 
    percent oxygen.
        (iii) Maintain the conditions in the vapor incinerator combustion 
    chamber at a residence time of 0.5 seconds or longer and at a 
    temperature of 760 deg.C or higher.
        (2) The owner or operator shall demonstrate that the vapor 
    incinerator achieves the performance requirements of paragraph (f)(1) 
    of this section by one of the following methods:
        (i) Conduct performance tests in accordance with the requirements 
    of Sec. 63.694(l) of this subpart; or
        (ii) Prepare a design analysis. The design analysis shall include 
    analysis of the vent stream characteristics and control device 
    operating parameters for the applicable vapor incinerator type as 
    follows:
        (A) For a thermal vapor incinerator, the design analysis shall 
    address the vent stream composition, constituent concentrations, and 
    flow rate and shall establish the design minimum and average 
    temperatures in the combustion chamber and the combustion chamber 
    residence time.
        (B) For a catalytic vapor incinerator, the design analysis shall 
    address the vent stream composition, constituent concentrations, and 
    flow rate and shall establish the design minimum and average 
    temperatures across the catalyst bed inlet and outlet, and the design 
    service life of the catalyst.
        (3) To meet the monitoring requirements of paragraph (b)(4) of this 
    section, the owner or operator shall use one of the following 
    continuous monitoring systems, as applicable:
        (i) For a thermal vapor incinerator, a temperature monitoring 
    device equipped with a continuous recorder. The temperature sensor 
    shall be installed at a location in the combustion chamber downstream 
    of the combustion zone.
        (ii) For a catalytic vapor incinerator, a temperature monitoring 
    device capable of monitoring temperature at two locations equipped with 
    a continuous recorder. One temperature sensor shall be installed in the 
    vent stream at the nearest feasible point to the catalyst bed inlet and 
    a second temperature sensor shall be installed in the vent stream at 
    the nearest feasible point to the catalyst bed outlet.
        (iii) For either type of vapor incinerator, a continuous monitoring 
    system that measures the concentration level of organic compounds in 
    the exhaust vent stream from the control device using an organic 
    monitoring device equipped with a continuous recorder.
        (iv) For either type of vapor incinerator, a continuous monitoring 
    system that measures alternative operating parameters other than those 
    specified in paragraphs (f)(3)(i) or (f)(3)(ii) of this section upon 
    approval of the Administrator as specified in 40 CFR 63.8 (f)(1) 
    through (f)(5) of this part.
        (g) Boilers and process heaters control device requirements.
        (1) The boiler or process heater shall be designed and operated to 
    achieve one of the following performance specifications:
        (i) Destroy the total organic compounds (TOC), less methane and 
    ethane, contained in the vent stream introduced into the flame zone of 
    the boiler or process heater either:
        (A) By 95 percent or more, on a weight-basis, or
        (B) To achieve in the exhausted combustion gases a total 
    concentration for the TOC, less methane and ethane, of less than or 
    equal to 20 parts per million by volume (ppmv) on a dry basis corrected 
    to 3 percent oxygen.
        (ii) Destroy the HAP listed in Table 1 of this subpart contained in 
    the vent stream entering the vapor incinerator either:
        (A) By 95 percent or more, on a total HAP weight-basis, or
        (B) To achieve in the exhausted combustion gases a total 
    concentration for the HAP, listed in table 1 of the subpart, of less 
    than or equal to 20 parts per million by volume (ppmv) on a dry basis 
    corrected to 3 percent oxygen.
        (iii) Introduce the vent stream into the flame zone of the boiler 
    or process heater and maintain the conditions in the combustion chamber 
    at a residence time of 0.5 seconds or longer and at a temperature of 
    760 deg.C or higher.
        (iv) Introduce the vent stream with the fuel that provides the 
    predominate heat input to the boiler or process heater (i.e., the 
    primary fuel); or
        (v) Introduce the vent stream to a boiler or process heater for 
    which the owner or operator either has been issued a final permit under 
    40 CFR part 270 and complies with the requirements of 40 CFR part 266 
    subpart H of this chapter; or has certified compliance with the interim 
    status requirements of
    
    [[Page 34171]]
    
    40 CFR part 266 subpart H of this chapter.
        (2) The owner or operator shall demonstrate that the boiler or 
    process heater achieves the performance requirements of paragraph 
    (g)(1)(i), (g)(1)(ii), or (g)(1)(iii) of this section using one of the 
    following methods:
        (i) Conduct performance tests in accordance with the requirements 
    of Sec. 63.694(l) of this subpart.
        (ii) Prepare a design analysis. The design analysis shall address 
    the vent stream composition, constituent concentrations, and flow rate; 
    shall establish the design minimum and average flame zone temperatures 
    and combustion zone residence time; and shall describe the method and 
    location where the vent stream is introduced into the flame zone.
        (3) The owner or operator shall demonstrate that the boiler or 
    process heater achieves the performance requirements of paragraph 
    (g)(1)(iv) or (g)(1)(v) of this section by keeping records that 
    document that the boiler or process heater is designed and operated in 
    accordance with the applicable requirements of this section.
        (4) To meet the monitoring requirements of paragraph (b)(4) of this 
    section, the owner or operator shall use any of the following 
    continuous monitoring systems:
        (i) A temperature monitoring device equipped with a continuous 
    recorder. The temperature sensor shall be installed at a location in 
    the combustion chamber downstream of the flame zone.
        (ii) A continuous monitoring system that measures the concentration 
    level of organic compounds in the exhaust vent stream from the control 
    device using an organic monitoring device equipped with a continuous 
    recorder.
        (iii) A continuous monitoring system that measures alternative 
    operating parameters other than those specified in paragraphs (g)(3)(i) 
    or (g)(3)(ii) of this section upon approval of the Administrator as 
    specified in 40 CFR 63.8 (f)(1) through (f)(5) of this part.
        (h) Flare control device requirements. The flare shall be designed 
    and operated in accordance with the requirements of 40 CFR 63.11(b). To 
    meet the monitoring requirements of paragraph (b)(4) of this section, 
    the owner or operator shall use a heat sensing monitoring device 
    equipped with a continuous recorder that indicates the continuous 
    ignition of the pilot flame.
    
    
    Sec. 63.694  Testing methods and procedures.
    
        (a) This section specifies the testing methods and procedures 
    required for this subpart to perform the following:
        (1) To determine the average VOHAP concentration for off-site 
    material streams at the point-of-delivery for compliance with standards 
    specified Sec. 63.683 of this subpart, the testing methods and 
    procedures are specified in paragraph (b) of this section.
        (2) To determine the average VOHAP concentration for treated off-
    site material streams at the point-of-treatment for compliance with 
    standards specified Sec. 63.684 of this subpart, the testing methods 
    and procedures are specified in paragraph (c) of this section.
        (3) To determine the treatment process VOHAP concentration limit 
    (CR) for compliance with standards specified Sec. 63.684 of this 
    subpart, the testing methods and procedures are specified in paragraph 
    (d) of this section.
        (4) To determine treatment process required HAP removal rate (RMR) 
    for compliance with standards specified Sec. 63.684 of this subpart, 
    the testing methods and procedures are specified in paragraph (e) of 
    this section.
        (5) To determine treatment process actual HAP removal rate (MR) for 
    compliance with standards specified Sec. 63.684 of this subpart, the 
    testing methods and procedures are specified in paragraph (f) of this 
    section.
        (6) To determine treatment process required HAP reduction 
    efficiency (R) for compliance with standards specified in Sec. 63.684 
    of this subpart, the testing methods and procedures are specified in 
    paragraph (g) of this section.
        (7) To determine treatment process required HAP biodegradation 
    efficiency (Rbio) for compliance with standards specified in 
    Sec. 63.684 of this subpart, the testing methods and procedures are 
    specified in paragraph (h) of this section.
        (8) To determine treatment process required actual HAP mass removal 
    rate (MRbio) for compliance with standards specified inSec. 63.684 
    of this subpart, the testing methods and procedures are specified in 
    paragraph (i) of this section.
        (9) To determine maximum organic HAP vapor pressure of off-site 
    materials in tanks for compliance with the standards specified in 
    Sec. 63.685 of this subpart, the testing methods and procedures are 
    specified in paragraph (j) of this section.
        (10) To determine no detectable organic emissions, the testing 
    methods and procedures are specified in paragraph (k) of this section.
        (11) To determine closed-vent system and control device performance 
    for compliance with the standards specified in Sec. 63.693 of this 
    subpart, the testing methods and procedures are specified in paragraph 
    (l) of this section.
        (b) Testing methods and procedures to determine average VOHAP 
    concentration of an off-site material stream at the point-of-delivery.
        (1) The average VOHAP concentration of an off-site material at the 
    point-of-delivery shall be determined using either direct measurement 
    as specified in paragraph (b)(2) of this section or by knowledge as 
    specified in paragraph (b)(3) of this section.
        (2) Direct measurement to determine VOHAP concentration.
        (i) Sampling. Samples of the off-site material stream shall be 
    collected from the container, pipeline, or other device used to deliver 
    the off-site material stream to the plant site in a manner such that 
    volatilization of organics contained in the sample is minimized and an 
    adequately representative sample is collected and maintained for 
    analysis by the selected method.
        (A) The averaging period to be used for determining the average 
    VOHAP concentration for the off-site material stream on a mass-weighted 
    average basis shall be designated and recorded. The averaging period 
    can represent any time interval that the owner or operator determines 
    is appropriate for the off-site material stream but shall not exceed 1 
    year.
        (B) A sufficient number of samples, but no less than four samples, 
    shall be collected to represent the complete range of HAP compositions 
    and HAP quantities that occur in the off-site material stream during 
    the entire averaging period due to normal variations in the operating 
    conditions for the source or process generating the off-site material 
    stream. Examples of such normal variations are seasonal variations in 
    off-site material quantity or fluctuations in ambient temperature.
        (C) All samples shall be collected and handled in accordance with 
    written procedures prepared by the owner or operator and documented in 
    a site sampling plan. This plan shall describe the procedure by which 
    representative samples of the off-site material stream are collected 
    such that a minimum loss of organics occurs throughout the sample 
    collection and handling process and by which sample integrity is 
    maintained. A copy of the written sampling plan shall be maintained on-
    site in the plant site operating records. An example of an acceptable 
    sampling plan includes a plan incorporating sample collection and 
    handling procedures in accordance with the requirements specified in 
    ``Test Methods for Evaluating Solid Waste, Physical/Chemical Methods,'' 
    EPA Publication No. SW-846 or Method 25D in 40 CFR part 60, appendix A.
    
    [[Page 34172]]
    
        (ii) Analysis. Each collected sample shall be prepared and analyzed 
    in accordance with one of the following methods:
        (A) Method 25D in 40 CFR part 60, appendix A.
        (B) Method 305 in 40 CFR part 63, appendix A.
        (C) Method 624 in 40 CFR part 136, appendix A.
        (D) Method 1624 in 40 CFR part 136, appendix A.
        (E) Method 1625 in 40 CFR part 136, appendix A.
        (F) Any other analysis method that has been validated in accordance 
    with the procedures specified in Section 5.1 and Section 5.3 of Method 
    301 in 40 CFR part 63, appendix A.
        (iii) Calculations. The average VOHAP concentration (C) on a mass-
    weighted basis shall be calculated by using the results for all samples 
    analyzed in accordance with paragraph (b)(2)(ii) of this section and 
    the following equation:
    [GRAPHIC] [TIFF OMITTED] TR01JY96.037
    
    where:
    C=Average VOHAP concentration of the off-site material at the point-of-
    delivery on a mass-weighted basis, ppmw.
    i=Individual sample ``i'' of the off-site material.
    n=Total number of samples of the off-site material collected (at least 
    4) for the averaging period (not to exceed 1 year).
    Qi=Mass quantity of off-site material stream represented by 
    Ci, kg/hr.
    QT=Total mass quantity of off-site material during the averaging 
    period, kg/hr.
    Ci=Measured VOHAP concentration of sample ``i'' as determined in 
    accordance with the requirements of Sec. 63.693(b)(2)(ii), ppmw.
    
        (3) Knowledge of the off-site material to determine VOHAP 
    concentration.
        (i) Documentation shall be prepared that presents the information 
    used as the basis for the owner's or operator's knowledge of the off-
    site material stream's average VOHAP concentration. Examples of 
    information that may be used as the basis for knowledge include: 
    material balances for the source or process generating the off-site 
    material stream; species-specific chemical test data for the off-site 
    material stream from previous testing that are still applicable to the 
    current off-site material stream; previous test data for other 
    locations managing the same type of off-site material stream; or other 
    knowledge based on information included in manifests, shipping papers, 
    or waste certification notices.
        (ii) If test data are used as the basis for knowledge, then the 
    owner or operator shall document the test method, sampling protocol, 
    and the means by which sampling variability and analytical variability 
    are accounted for in the determination of the average VOHAP 
    concentration. For example, an owner or operator may use HAP 
    concentration test data for the off-site material stream that are 
    validated in accordance with Method 301 in 40 CFR part 63, appendix A 
    of this part as the basis for knowledge of the off-site material.
        (iii) An owner or operator using species-specific chemical 
    concentration test data as the basis for knowledge of the off-site 
    material may adjust the test data to the corresponding average VOHAP 
    concentration value which would be obtained had the off-site material 
    samples been analyzed using Method 305. To adjust these data, the 
    measured concentration for each individual HAP chemical species 
    contained in the off-site material is multiplied by the appropriate 
    species-specific adjustment factor (fm305) listed in Table 1 of 
    this subpart.
        (iv) In the event that the Administrator and the owner or operator 
    disagree on a determination of the average VOHAP concentration for an 
    off-site material stream using knowledge, then the results from a 
    determination of VOHAP concentration using direct measurement as 
    specified in paragraph (b)(2) of this section shall be used to 
    establish compliance with the applicable requirements of this subpart. 
    The Administrator may perform or request that the owner or operator 
    perform this determination using direct measurement.
        (c) Determination of average VOHAP concentration of an off-site 
    material stream at the point-of-treatment.
        (1) Sampling. Samples of the off-site material stream shall be 
    collected at the point-of-treatment in a manner such that 
    volatilization of organics contained in the sample is minimized and an 
    adequately representative sample is collected and maintained for 
    analysis by the selected method.
        (i) The averaging period to be used for determining the average 
    VOHAP concentration for the off-site material stream on a mass-weighted 
    average basis shall be designated and recorded. The averaging period 
    can represent any time interval that the owner or operator determines 
    is appropriate for the off-site material stream but shall not exceed 1 
    year.
        (ii) A sufficient number of samples, but no less than four samples, 
    shall be collected to represent the complete range of HAP compositions 
    and HAP quantities that occur in the off-site material stream during 
    the entire averaging period due to normal variations in the operating 
    conditions for the treatment process. Examples of such normal 
    variations are seasonal variations in off-site material quantity or 
    fluctuations in ambient temperature.
        (iii) All samples shall be collected and handled in accordance with 
    written procedures prepared by the owner or operator and documented in 
    a site sampling plan. This plan shall describe the procedure by which 
    representative samples of the off-site material stream such that a 
    minimum loss of organics occurs throughout the sample collection and 
    handling process and by which sample integrity is maintained. A copy of 
    the written sampling plan shall be maintained on-site in the plant site 
    operating records. An example of an acceptable sampling plan includes a 
    plan incorporating sample collection and handling procedures in 
    accordance with the requirements specified in ``Test Methods for 
    Evaluating Solid Waste, Physical/Chemical Methods,'' EPA Publication 
    No. SW-846 or Method 25D in 40 CFR part 60, appendix A.
        (2) Analysis. Each collected sample shall be prepared and analyzed 
    in accordance with the one of the following methods:
        (i) Method 25D in 40 CFR part 60, appendix A.
        (ii) Method 305 in 40 CFR part 63, appendix A.
        (iii) Method 624 in 40 CFR part 136, appendix A.
        (iv) Method 1624 in 40 CFR part 136, appendix A.
        (v) Method 1625 in 40 CFR part 136, appendix A.
        (3) Calculations. The average VOHAP concentration (C) on a mass-
    weighted basis shall be calculated by using the results for all samples 
    analyzed in accordance with paragraph (c)(2) of this section and the 
    following equation:
    [GRAPHIC] [TIFF OMITTED] TR01JY96.038
    
    Where:
    C=Average VOHAP concentration of the off-site material on a mass-
    weighted basis, ppmw.
    i=Individual sample ``i'' of the off-site material.
    n=Total number of samples of the off-site material collected (at least 
    4) for the averaging period (not to exceed 1 year).
    
    [[Page 34173]]
    
    Qi=Mass quantity of off-site material stream represented by 
    Ci, kg/hr.
    QT=Total mass quantity of off-site material during the averaging 
    period, kg/hr.
    Ci=Measured VOHAP concentration of sample ``i'' as determined in 
    accordance with the requirements of Sec. 63.693(c)(2), ppmw.
    
        (d) Determination of treatment process VOHAP concentration limit 
    (CR).
        (1) All of the off-site material streams entering the treatment 
    process shall be identified.
        (2) The average VOHAP concentration of each off-site material 
    stream at the point-of-delivery shall be determined using the 
    procedures specified in paragraph (b) of this section.
        (3) The VOHAP concentration limit (CR) shall be calculated by 
    using the results determined for each individual off-site material 
    stream and the following equation:
    [GRAPHIC] [TIFF OMITTED] TR01JY96.039
    
    where:
    CR=VOHAP concentration limit, ppmw.
    x=Individual off-site material stream ``x'' that has a VOHAP 
    concentration less than 500 ppmw at the point-of-delivery.
    y=Individual off-site material stream ``y'' that has a VOHAP 
    concentration equal to or greater than 500 ppmw at the point-of-
    delivery.
    m=Total number of ``x'' off-site material streams treated by process.
    n=Total number of ``y'' off-site material streams treated by process.
    Qx=Total mass quantity of off-site material stream ``x'', kg/yr.
    Qy=Total mass quantity of off-site material stream ``y'', kg/yr.
    Cx=VOHAP concentration of off-site material stream ``x'' at the 
    point-of-delivery, ppmw.
    
        (e) Determination of required HAP mass removal rate (RMR).
        (1) All of the off-site material streams entering the treatment 
    process shall be identified.
        (2) The average VOHAP concentration of each off-site material 
    stream at the point-of-delivery shall be determined in accordance with 
    the requirements of paragraph (b) of this section.
        (3) For each individual off-site material stream that has an 
    average VOHAP concentration equal to or greater than 500 ppmw at the 
    point-of-delivery, the average volumetric flow rate and the density of 
    the off-site material stream at the point-of-delivery shall be 
    determined.
        (4) The required HAP mass removal rate (RMR) shall be calculated by 
    using the average VOHAP concentration, average volumetric flow rate, 
    and density determined for each off-site material stream and the 
    following equation:
    [GRAPHIC] [TIFF OMITTED] TR01JY96.040
    
    where:
    RMR=Required HAP mass removal rate, kg/hr.
    y=Individual off-site material stream ``y'' that has a VOHAP 
    concentration equal to or greater than 500 ppmw at the point-of-
    delivery as determined in accordance with the requirements of 
    Sec. 63.693(b).
    n=Total number of ``y'' off-site material streams treated by process.
    Vy=Average volumetric flow rate of off-site material stream ``y'' 
    at the point-of-delivery, m3/hr.
    ky=Density of off-site material stream ``y'', kg/m3
    Cy=Average VOHAP concentration of off-site material stream ``y'' 
    at the point-of-delivery as determined in accordance with the 
    requirements of Sec. 63.693(b), ppmw.
    
        (f) Determination of actual HAP mass removal rate (MR).
        (1) The actual HAP mass removal rate (MR) shall be determined based 
    on results for a minimum of three consecutive runs. The sampling time 
    for each run shall be 1 hour.
        (2) The off-site material HAP mass flow entering the process 
    (Eb) and the off-site material HAP mass flow exiting the process 
    (Ea) shall be determined in accordance with the requirements of 
    paragraph (g)(4) of this section.
        (3) The actual mass removal rate shall be calculated by using the 
    mass flow rates determined in accordance with the requirements of 
    paragraph (f)(2) of this section and the following equation:
    
    MR = Eb-Ea
    
    where:
    MR=Actual HAP mass removal rate, kg/hr.
    Eb=Off-site material HAP mass flow entering process as determined 
    in accordance with the requirements of paragraph (f)(2) of this 
    section, kg/hr.
    Ea=Off-site material HAP mass flow exiting process as determined 
    in accordance with the requirements of paragraph (f)(2) of this 
    section, kg/hr.
    
        (g) Determination of treatment process HAP reduction efficiency 
    (R).
        (1) The HAP reduction efficiency (R) for a treatment process shall 
    be determined based on results for a minimum of three consecutive runs.
        (2) All off-site material streams entering the treatment process 
    and all off-site material streams exiting the treatment process shall 
    be identified. The owner or operator shall prepare a sampling plan for 
    measuring these streams that accurately reflects the retention time of 
    the off-site material in the process.
        (3) For each run, information shall be determined for each off-site 
    material stream identified in paragraph (g)(2) of this section using 
    the following procedures:
        (i) The mass quantity of each off-site material stream entering the 
    process (Qb) and the mass quantity of each off-
    
    [[Page 34174]]
    
    site material stream exiting the process (Qa) shall be determined.
        (ii) The average VOHAP concentration at the point-of-delivery of 
    each off-site material stream entering the process (Cb) during the 
    run shall be determined in accordance with the requirements of 
    paragraph (b) of this section. The VOHAP concentration of the off-site 
    material stream at the point-of-treatment (Ca) during the run 
    shall be determined in accordance with the applicable requirements of 
    paragraph (c) of this section.
        (4) The off-site material HAP mass flow entering the process 
    (Eb) and the off-site material HAP mass flow exiting the process 
    (Ea) shall be calculated by using the results determined in 
    accordance with paragraph (g)(3) of this section and the following 
    equations:
    [GRAPHIC] [TIFF OMITTED] TR01JY96.041
    
          
        [GRAPHIC] [TIFF OMITTED] TR01JY96.042
        
    where:
    
    Eb=Off-site material HAP mass flow entering process, kg/hr.
    Ea=Off-site material HAP mass flow exiting process, kg/hr.
    m=Total number of runs (at least 3)
    j=Individual run ``j''
    QV=Mass quantity of off-site material entering process during run 
    ``j'', kg/hr.
    Qaj=Average mass quantity of off-site material exiting process 
    during run ``j'', kg/hr.
    Caj=Average VOHAP concentration of off-site material exiting 
    process during run ``j'' as determined in accordance with the 
    requirements of Sec. 63.693(b), ppmw.
    CV=Average VOHAP concentration of off-site material entering 
    process during run ``j'' as determined in accordance with the 
    requirements of Sec. 63.693(b), ppmw.
    
        (5) The HAP reduction efficiency (R) shall be calculated by using 
    the results determined in accordance with paragraph (g)(4) of this 
    section and the following equation:
    [GRAPHIC] [TIFF OMITTED] TR01JY96.043
    
    where:
    R=HAP reduction efficiency, percent.
    Eb=Off-site material HAP mass flow entering process as determined 
    in accordance with the requirements of paragraph (d)(4) of this 
    section, kg/hr.
    Ea=Off-site material HAP mass flow exiting process as determined 
    in accordance with the requirements of paragraph (d)(4) of this 
    section, kg/hr.
    (h) Determination of HAP biodegradation efficiency (Rbio).
    
        (1) The fraction of HAP biodegraded (Fbio) shall be determined 
    using the procedure specified in 40 CFR part 63, appendix C of this 
    part.
        (2) The HAP biodegradation efficiency (Rbio) shall be 
    calculated by using the following equation:
    
    Rbio=Fbio  x  100
    
    where:
    Rbio = HAP biodegradation efficiency, percent.
    Fbio = Fraction of HAP biodegraded as determined in accordance 
    with the requirements of paragraph (h)(1) of this section.
    
        (i) Determination of actual HAP mass removal rate (MRbio).
        (1) The actual HAP mass removal rate (MRbio) shall be 
    determined based on results for a minimum of three consecutive runs. 
    The sampling time for each run shall be 1 hour.
        (2) The off-site material HAP mass flow entering the process 
    (Eb) shall be determined in accordance with the requirements of 
    paragraph (g)(4) of this section.
        (3) The fraction of HAP biodegraded (Fbio) shall be determined 
    using the procedure specified in 40 CFR part 63, appendix C of this 
    part.
        (4) The actual mass removal rate shall be calculated by using the 
    HAP mass flow rates and fraction of HAP biodegraded determined in 
    accordance with the requirements of paragraphs (i)(2) and (i)(3), 
    respectively, of this section and the following equation:
    
    MRbio=Eb x Fbio
    
    where:
    
    MRbio=Actual HAP mass removal rate, kg/hr.
    Eb=Off-site material HAP mass flow entering process, kg/hr.
    Fbio=Fraction of HAP biodegraded.
    
        (j) Determination of maximum HAP vapor pressure for off-site 
    material in a tank.
        (1) The maximum HAP vapor pressure of the off-site material 
    composition managed in a tank shall be determined using either direct 
    measurement as specified in paragraph (j)(2) of this section or by 
    knowledge of the off-site material as specified by paragraph (j)(3) of 
    this section.
        (2) Direct measurement to determine the maximum HAP vapor pressure 
    of an off-site material.
        (i) Sampling. A sufficient number of samples shall be collected to 
    be representative of the off-site material contained in the tank. All 
    samples shall be collected and handled in accordance with written 
    procedures prepared by the owner or operator and documented in a site 
    sampling plan. This plan shall describe the procedure by which 
    representative samples of the off-site material is collected such that 
    a minimum loss of organics occurs throughout the sample collection and 
    handling process and by which sample integrity is maintained. A copy of 
    the written sampling plan shall be
    
    [[Page 34175]]
    
    maintained on-site in the plant site operating records. An example of 
    an acceptable sampling plan includes a plan incorporating sample 
    collection and handling procedures in accordance with the requirements 
    specified in ``Test Methods for Evaluating Solid Waste, Physical/
    Chemical Methods,'' EPA Publication No. SW-846 or Method 25D in 40 CFR 
    part 60, appendix A.
        (ii) Analysis. Any one of the following methods may be used to 
    analyze the samples and compute the maximum HAP vapor pressure of the 
    off-site material:
        (A) Method 25E in 40 CFR part 60 appendix A;
        (B) Methods described in American Petroleum Institute Bulletin 
    2517, ``Evaporation Loss from External Floating Roof Tanks,'';
        (C) Methods obtained from standard reference texts;
        (D) ASTM Method 2879-83; or
        (E) Any other method approved by the Administrator.
        (3) Use of knowledge to determine the maximum HAP vapor pressure of 
    the off-site material. Documentation shall be prepared and recorded 
    that presents the information used as the basis for the owner's or 
    operator's knowledge that the maximum HAP vapor pressure of the off-
    site material is less than the maximum vapor pressure limit listed in 
    Table 3 or Table 4 of this subpart for the applicable tank design 
    capacity category. Examples of information that may be used include: 
    the off-site material is generated by a process for which at other 
    locations it previously has been determined by direct measurement that 
    the off-site material maximum HAP vapor pressure is less than the 
    maximum vapor pressure limit for the appropriate tank design capacity 
    category.
        (k) Procedure for determining no detectable organic emissions for 
    the purpose of complying with this subpart.
        (1) The test shall be conducted in accordance with the procedures 
    specified in Method 21 of 40 CFR part 60, appendix A. Each potential 
    leak interface (i.e., a location where organic vapor leakage could 
    occur) on the cover and associated closure devices shall be checked. 
    Potential leak interfaces that are associated with covers and closure 
    devices include, but are not limited to: the interface of the cover and 
    its foundation mounting; the periphery of any opening on the cover and 
    its associated closure device; and the sealing seat interface on a 
    spring-loaded pressure-relief valve.
        (2) The test shall be performed when the unit contains a material 
    having an organic HAP concentration representative of the range of 
    concentrations for the off-site materials expected to be managed in the 
    unit. During the test, the cover and closure devices shall be secured 
    in the closed position.
        (3) The detection instrument shall meet the performance criteria of 
    Method 21 of 40 CFR part 60, appendix A, except the instrument response 
    factor criteria in section 3.1.2(a) of Method 21 shall be for the 
    average composition of the organic constituents in the off-site 
    material placed in the unit, not for each individual organic 
    constituent.
        (4) The detection instrument shall be calibrated before use on each 
    day of its use by the procedures specified in Method 21 of 40 CFR part 
    60, appendix A.
        (5) Calibration gases shall be as follows:
        (i) Zero air (less than 10 ppmv hydrocarbon in air); and
        (ii) A mixture of methane in air at a concentration of 
    approximately, but less than 10,000 ppmv.
        (6) The background level shall be determined according to the 
    procedures in Method 21 of 40 CFR part 60 appendix A.
        (7) Each potential leak interface shall be checked by traversing 
    the instrument probe around the potential leak interface as close to 
    the interface as possible, as described in Method 21. In the case when 
    the configuration of the cover or closure device prevents a complete 
    traverse of the interface, all accessible portions of the interface 
    shall be sampled. In the case when the configuration of the closure 
    device prevents any sampling at the interface and the device is 
    equipped with an enclosed extension or horn (e.g., some pressure relief 
    devices), the instrument probe inlet shall be placed at approximately 
    the center of the exhaust area to the atmosphere.
        (8) The arithmetic difference between the maximum organic 
    concentration indicated by the instrument and the background level 
    shall be compared with the value of 500 ppmv. If the difference is less 
    than 500 ppmv, then the potential leak interface is determined to 
    operate with no detectable organic emissions.
        (l) Control device performance test procedures.
        (1) Method 1 or 1A of 40 CFR part 60, appendix A, as appropriate, 
    shall be used for selection of the sampling sites at the inlet and 
    outlet of the control device.
        (i) To determine compliance with a control device percent reduction 
    requirement, sampling sites shall be located at the inlet of the 
    control device as specified in paragraphs (l)(1)(i)(A) and (l)(1)(i)(B) 
    of this section, and at the outlet of the control device.
        (A) The control device inlet sampling site shall be located after 
    the final product recovery device.
        (B) If a vent stream is introduced with the combustion air or as a 
    auxiliary fuel into a boiler or process heater, the location of the 
    inlet sampling sites shall be selected to ensure that the measurement 
    of total HAP concentration or TOC concentration, as applicable, 
    includes all vent streams and primary and secondary fuels introduced 
    into the boiler or process heater.
        (ii) To determine compliance with an enclosed combustion device 
    concentration limit, the sampling site shall be located at the outlet 
    of the device.
        (2) The gas volumetric flow rate shall be determined using Method 
    2, 2A, 2C, or 2D of 40 CFR part 60, appendix A, as appropriate.
        (3) To determine compliance with the control device percent 
    reduction requirement, the owner or operator shall use Method 18 of 40 
    CFR part 60, appendix A of this chapter; alternatively, any other 
    method or data that has been validated according to the applicable 
    procedures in Method 301 in 40 CFR part 63, appendix A of this part may 
    be used. The following procedures shall be used to calculate percent 
    reduction efficiency:
        (i) The minimum sampling time for each run shall be 1 hour in which 
    either an integrated sample or a minimum of four grab samples shall be 
    taken. If grab sampling is used, then the samples shall be taken at 
    approximately equal intervals in time such as 15 minute intervals 
    during the run.
        (ii) The mass rate of either TOC (minus methane and ethane) or 
    total HAP (Ei and Eo ,respectively) shall be computed.
        (A) The following equations shall be used:
    
    [[Page 34176]]
    
    [GRAPHIC] [TIFF OMITTED] TR01JY96.044
    
    
    where:
    Cij, Coj=Concentration of sample component j of the gas 
    stream at the inlet and outlet of the control device, respectively, dry 
    basis, parts per million by volume.
    Ei, Eo=Mass rate of TOC (minus methane and ethane) or total 
    HAP at the inlet and outlet of the control device, respectively, dry 
    basis, kilogram per hour.
    Mij, Moj=Molecular weight of sample component j of the gas 
    stream at the inlet and outlet of the control device, respectively, 
    gram/gram-mole.
    Qi, Qo=Flow rate of gas stream at the inlet and outlet of the 
    control device, respectively, dry standard cubic meter per minute.
    K2=Constant, 2.494  x 10-\6\ (parts per million) -\1\ 
    (gram-mole per standard cubic meter) (kilogram/gram) (minute/hour), 
    where standard temperature (gram-mole per standard cubic meter) is 20  
    deg.C.
        (B) When the TOC mass rate is calculated, all organic compounds 
    (minus methane and ethane) measured by Method 18 of 40 CFR part 60, 
    appendix A shall be summed using the equation in paragraph 
    (l)(3)(ii)(A) of this section.
        (C) When the total HAP mass rate is calculated, only the HAP 
    constituents shall be summed using the equation in paragraph 
    (l)(3)(ii)(A) of this section.
        (iii) The percent reduction in TOC (minus methane and ethane) or 
    total HAP shall be calculated as follows:
    [GRAPHIC] [TIFF OMITTED] TR01JY96.045
    
    where:
    Rcd=Control efficiency of control device, percent.
    Ei=Mass rate of TOC (minus methane and ethane) or total HAP at the 
    inlet to the control device as calculated under paragraph (l)(3)(ii) of 
    this section, kilograms TOC per hour or kilograms HAP per hour.
    Eo=Mass rate of TOC (minus methane and ethane) or total HAP at the 
    outlet of the control device, as calculated under paragraph (l)(3)(ii) 
    of this section, kilograms TOC per hour or kilograms HAP per hour.
    
        (iv) If the vent stream entering a boiler or process heater is 
    introduced with the combustion air or as a secondary fuel, the weight-
    percent reduction of total HAP or TOC (minus methane and ethane) across 
    the device shall be determined by comparing the TOC (minus methane and 
    ethane) or total HAP in all combusted vent streams and primary and 
    secondary fuels with the TOC (minus methane and ethane) or total HAP 
    exiting the device, respectively.
        (4) To determine compliance with the enclosed combustion device 
    total HAP concentration limit of this subpart, the owner or operator 
    shall use Method 18 of 40 CFR part 60, appendix A to measure either TOC 
    (minus methane and ethane) or total HAP. Alternatively, any other 
    method or data that has been validated according to Method 301 in 
    appendix A of this part, may be used. The following procedures shall be 
    used to calculate parts per million by volume concentration, corrected 
    to 3 percent oxygen:
        (i) The minimum sampling time for each run shall be 1 hour in which 
    either an integrated sample or a minimum of four grab samples shall be 
    taken. If grab sampling is used, then the samples shall be taken at 
    approximately equal intervals in time, such as 15 minute intervals 
    during the run.
        (ii) The TOC concentration or total HAP concentration shall be 
    calculated according to paragraph (m)(4)(ii)(A) or (m)(4)(ii)(B) of 
    this section.
        (A) The TOC concentration (CTOC) is the sum of the 
    concentrations of the individual components and shall be computed for 
    each run using the following equation:
    
    [GRAPHIC] [TIFF OMITTED] TR01JY96.046
    
    where:
    CTOC=Concentration of total organic compounds minus methane and 
    ethane, dry basis, parts per million by volume.
    Cji=Concentration of sample components j of sample i, dry basis, 
    parts per million by volume.
    n=Number of components in the sample.
    x=Number of samples in the sample run.
    
        (B) The total HAP concentration (CHAP) shall be computed 
    according to the equation in paragraph (l)(4)(ii)(A) of this section 
    except that only HAP constituents shall be summed.
        (iii) The measured TOC concentration or total HAP concentration 
    shall be corrected to 3 percent oxygen as follows:
        (A) The emission rate correction factor or excess air, integrated 
    sampling and analysis procedures of Method 3B of 40 CFR part 60, 
    appendix A shall be used to determine the oxygen concentration 
    (%O2dry). The samples shall be collected during the same time that 
    the samples are collected for determining TOC concentration or total 
    HAP concentration.
        (B) The concentration corrected to 3 percent oxygen (Cc) shall 
    be computed using the following equation:
    
    [GRAPHIC] [TIFF OMITTED] TR01JY96.047
    
    where:
    Cc=TOC concentration or total HAP concentration corrected to 3 
    percent oxygen, dry basis, parts per million by volume.
    Cm=Measured TOC concentration or total HAP concentration, dry 
    basis, parts per million by volume.
    %O2dry=Concentration of oxygen, dry basis, percent by volume.
    
    
     Sec. 63.695  Inspection and monitoring requirements.
    
        (a) This section specifies the inspection and monitoring procedures 
    required to perform the following:
        (1) To inspect tank fixed-roofs and floating roofs for compliance 
    with the Tank level 2 controls standards specified in Sec. 63.685 of 
    this subpart, the inspection procedures are specified in paragraph (b) 
    of this section.
        (2) To inspect and monitor closed-vent systems for compliance with 
    the standards specified in Sec. 63.693 of this subpart, the inspection 
    and monitoring procedure are specified in paragraph (c) of this 
    section.
        (3) To inspect and monitor transfer system covers for compliance 
    with the
    
    [[Page 34177]]
    
    standards specified in Sec. 63.689(c)(1) of this subpart, the 
    inspection and monitoring procedure are specified in paragraph (d) of 
    this section.
        (b) Tank Level 2 fixed roof and floating roof inspection 
    requirements.
        (1) Owners and operators that use a tank equipped with an internal 
    floating roof in accordance with the provisions of Sec. 63.685(e) of 
    this subpart shall meet the following inspection requirements:
        (i) The floating roof and its closure devices shall be visually 
    inspected by the owner or operator to check for defects that could 
    result in air emissions. Defects include, but are not limited to, the 
    internal floating roof is not floating on the surface of the liquid 
    inside the tank; liquid has accumulated on top of the internal floating 
    roof; any portion of the roof seals have detached from the roof rim; 
    holes, tears, or other openings are visible in the seal fabric; the 
    gaskets no longer close off the waste surfaces from the atmosphere; or 
    the slotted membrane has more than 10 percent open area.
        (ii) The owner or operator shall inspect the internal floating roof 
    components as follows except as provided for in paragraph (b)(1)(iii) 
    of this section:
        (A) Visually inspect the internal floating roof components through 
    openings on the fixed-roof (e.g., manholes and roof hatches) at least 
    once every 12 months after initial fill, and
        (B) Visually inspect the internal floating roof, primary seal, 
    secondary seal (if one is in service), gaskets, slotted membranes, and 
    sleeve seals (if any) each time the tank is emptied and degassed and at 
    least every 10 years. Prior to each inspection, the owner or operator 
    shall notify the Administrator in accordance with the reporting 
    requirements specified in Sec. 63.697 of this subpart.
        (iii) As an alternative to performing the inspections specified in 
    paragraph (b)(1)(ii) of this section for an internal floating roof 
    equipped with two continuous seals mounted one above the other, the 
    owner or operator may visually inspect the internal floating roof, 
    primary and secondary seals, gaskets, slotted membranes, and sleeve 
    seals (if any) each time the tank is emptied and degassed and at least 
    every 5 years. Prior to each inspection, the owner or operator shall 
    notify the Administrator in accordance with the reporting requirements 
    specified in Sec. 63.697 of this subpart.
        (iv) In the event that a defect is detected, the owner or operator 
    shall repair the defect in accordance with the requirements of 
    paragraph (b)(4) of this section.
        (v) The owner or operator shall maintain a record of the inspection 
    in accordance with the requirements specified in Sec. 63.696 of this 
    subpart.
        (2) Owners and operators that use a tank equipped with an external 
    floating roof in accordance with the provisions of Sec. 63.685(f) of 
    this subpart shall meet the following requirements:
        (i) The owner or operator shall measure the external floating roof 
    seal gaps in accordance with the following requirements:
        (A) The owner or operator shall perform measurements of gaps 
    between the tank wall and the primary seal within 60 days after initial 
    operation of the tank following installation of the floating roof and, 
    thereafter, at least once every 5 years. Prior to each inspection, the 
    owner or operator shall notify the Administrator in accordance with the 
    reporting requirements specified in Sec. 63.697 of this subpart.
        (B) The owner or operator shall perform measurements of gaps 
    between the tank wall and the secondary seal within 60 days after 
    initial operation of the separator following installation of the 
    floating roof and, thereafter, at least once every year. Prior to each 
    inspection, the owner or operator shall notify the Administrator in 
    accordance with the reporting requirements specified in Sec. 63.697 of 
    this subpart.
        (C) If a tank ceases to hold off-site material for a period of 1 
    year or more, subsequent introduction of off-site material into the 
    tank shall be considered an initial operation for the purposes of 
    paragraphs (b)(2)(i)(A) and (b)(2)(i)(B) of this section.
        (D) The owner shall determine the total surface area of gaps in the 
    primary seal and in the secondary seal individually using the following 
    procedure.
        (1) The seal gap measurements shall be performed at one or more 
    floating roof levels when the roof is floating off the roof supports.
        (2) Seal gaps, if any, shall be measured around the entire 
    perimeter of the floating roof in each place where a 0.32-centimeter 
    (cm) diameter uniform probe passes freely (without forcing or binding 
    against the seal) between the seal and the wall of the tank and measure 
    the circumferential distance of each such location.
        (3) For a seal gap measured under paragraph (b)(2) of this section, 
    the gap surface area shall be determined by using probes of various 
    widths to measure accurately the actual distance from the tank wall to 
    the seal and multiplying each such width by its respective 
    circumferential distance.
        (4) The total gap area shall be calculated by adding the gap 
    surface areas determined for each identified gap location for the 
    primary seal and the secondary seal individually, and then dividing the 
    sum for each seal type by the nominal perimeter of the tank. These 
    total gap areas for the primary seal and secondary seal are then are 
    compared to the respective standards for the seal type as specified in 
    Sec. 63.685(f)(1) of this subpart.
        (E) In the event that the seal gap measurements do not conform to 
    the specifications in Sec. 63.685(f)(1) of this subpart, the owner or 
    operator shall repair the defect in accordance with the requirements of 
    paragraph (b)(4) of this section.
        (F) The owner or operator shall maintain a record of the inspection 
    in accordance with the requirements specified in Sec. 63.696 of this 
    subpart.
        (ii) The owner or operator shall visually inspect the external 
    floating roof in accordance with the following requirements:
        (A) The floating roof and its closure devices shall be visually 
    inspected by the owner or operator to check for defects that could 
    result in air emissions. Defects include, but are not limited to: 
    holes, tears, or other openings in the rim seal or seal fabric of the 
    floating roof; a rim seal detached from the floating roof; all or a 
    portion of the floating roof deck being submerged below the surface of 
    the liquid in the tank; broken, cracked, or otherwise damaged seals or 
    gaskets on closure devices; and broken or missing hatches, access 
    covers, caps, or other closure devices.
        (B) The owner or operator shall perform the inspections following 
    installation of the external floating roof and, thereafter, at least 
    once every year.
        (C) In the event that a defect is detected, the owner or operator 
    shall repair the defect in accordance with the requirements of 
    paragraph (b)(4) of this section.
        (D) The owner or operator shall maintain a record of the inspection 
    in accordance with the requirements specified in Sec. 63.696(d) of this 
    subpart.
        (3) Owners and operators that use a tank equipped with a fixed roof 
    in accordance with the provisions of Sec. 63.685(g) of this subpart 
    shall meet the following requirements:
        (i) The fixed roof and its closure devices shall be visually 
    inspected by the owner or operator to check for defects that could 
    result in air emissions. Defects include, but are not limited to, 
    visible cracks, holes, or gaps in the roof sections or between the roof 
    and the separator wall; broken, cracked,
    
    [[Page 34178]]
    
    or otherwise damaged seals or gaskets on closure devices; and broken or 
    missing hatches, access covers, caps, or other closure devices.
        (ii) The owner or operator shall perform the inspections following 
    installation of the fixed roof and, thereafter, at least once every 
    year.
        (iii) In the event that a defect is detected, the owner or operator 
    shall repair the defect in accordance with the requirements of 
    paragraph (b)(4) of this section.
        (iv) The owner or operator shall maintain a record of the 
    inspection in accordance with the requirements specified in 
    Sec. 63.696(e) of this subpart.
        (4) The owner or operator shall repair each defect detected during 
    an inspection performed in accordance with the requirements of 
    paragraph (b)(1), (b)(2), or (b)(3) of this section in the following 
    manner:
        (i) The owner or operator shall within 45 calendar days of 
    detecting the defect either repair the defect or empty the tank and 
    remove it from service. If within this 45-day period the defect cannot 
    be repaired or the tank cannot be removed from service without 
    disrupting operations at the plant site, the owner or operator is 
    allowed two 30-day extensions. In cases when an owner or operator 
    elects to use a 30-day extension, the owner or operator shall prepare 
    and maintain documentation describing the defect, explaining why 
    alternative storage capacity is not available, and specify a schedule 
    of actions that will ensure that the control equipment will be repaired 
    or the tank emptied as soon as possible.
        (ii) When a defect is detected during an inspection of a tank that 
    has been emptied and degassed, the owner or operator shall repair the 
    defect before refilling the tank.
        (c) Owners and operators that use a closed vent system in 
    accordance with the provisions of Sec. 63.693 of this subpart shall 
    meet the following inspection and monitoring requirements:
        (1) Each closed-vent system that is used to comply with 
    Sec. 63.693(c)(1)(i) of this subpart shall be inspected and monitored 
    in accordance with the following requirements:
        (i) At initial startup, the owner or operator shall monitor the 
    closed-vent system components and connections using the procedures 
    specified in Sec. 63.693(k) of this subpart to demonstrate that the 
    closed-vent system operates with no organic detectable emissions.
        (ii) After initial startup, the owner or operator shall inspect and 
    monitor the closed-vent system as follows:
        (A) Closed-vent system joints, seams, or other connections that are 
    permanently or semi-permanently sealed (e.g., a welded joint between 
    two sections of hard piping or a bolted and gasketed ducting flange) 
    shall be visually inspected at least once per year to check for defects 
    that could result in air emissions. The owner or operator shall monitor 
    a component or connection using the procedures specified in 
    Sec. 63.693(k) of this subpart to demonstrate that it operates with no 
    detectable organic emissions following any time the component is 
    repaired or replaced (e.g., a section of damaged hard piping is 
    replaced with new hard piping) or the connection is unsealed (e.g., a 
    flange is unbolted).
        (B) Closed-vent system components or connections other than those 
    specified in paragraph (c)(1)(ii)(A) of this section, shall be 
    monitored at least once per year using the procedures specified in 
    Sec. 63.693(k) of this subpart to demonstrate that components or 
    connections operate with no detectable organic emissions.
        (iii) In the event that a defect or leak is detected, the owner or 
    operator shall repair the defect or leak in accordance with the 
    requirements of paragraph (3) of this section.
        (iv) The owner or operator shall maintain a record of the 
    inspection and monitoring in accordance with the requirements specified 
    in Sec. 63.696 of this subpart.
        (2) Each closed-vent system that is used to comply with 
    Sec. 63.693(c)(1)(ii) of this subpart shall be inspected and monitored 
    in accordance with the following requirements:
        (i) The closed-vent system shall be visually inspected by the owner 
    or operator to check for defects that could result in air emissions. 
    Defects include, but are not limited to, visible cracks, holes, or gaps 
    in ductwok or piping; loose connections; or broken or missing caps or 
    other closure devices.
        (ii) The owner or operator shall perform the inspections following 
    installation of the closed-vent system and, thereafter, at least once 
    every year.
        (iii) In the event that a defect is detected, the owner or operator 
    shall repair the defect in accordance with the requirements of 
    paragraph (3) of this section.
        (iv) The owner or operator shall maintain a record of the 
    inspection in accordance with the requirements specified in Sec. 63.696 
    of this subpart.
        (3) The owner or operator shall repair all detected defects as 
    follows:
        (i) The owner or operator shall make first efforts at repair of the 
    defect no later than 5 calendar days after detection and repair shall 
    be completed as soon as possible but no later than 45 calendar days 
    after detection.
        (ii) The owner or operator shall maintain a record of the defect 
    repair in accordance with the requirements specified in Sec. 63.696 of 
    this subpart.
        (d) Owners and operators that use a transfer system equipped with a 
    cover in accordance with the provisions of Sec. 63.689(c)(1) of this 
    subpart shall meet the following inspection requirements:
        (1) The cover and its closure devices shall be visually inspected 
    by the owner or operator to check for defects that could result in air 
    emissions. Defects include, but are not limited to, visible cracks, 
    holes, or gaps in the cover sections or between the cover and its 
    mounting; broken, cracked, or otherwise damaged seals or gaskets on 
    closure devices; and broken or missing hatches, access covers, caps, or 
    other closure devices.
        (2) The owner or operator shall perform the inspections following 
    installation of the cover and, thereafter, at least once every year.
        (3) In the event that a defect is detected, the owner or operator 
    shall repair the defect in accordance with the requirements of 
    paragraph (5) of this section.
        (4) The owner or operator shall maintain a record of the inspection 
    in accordance with the requirements specified in Sec. 63.696 of this 
    subpart.
        (5) The owner or operator shall repair all detected defects as 
    follows:
        (i) The owner or operator shall make first efforts at repair of the 
    defect no later than 5 calendar days after detection and repair shall 
    be completed as soon as possible but no later than 45 calendar days 
    after detection except as provided in paragraph (c)(5)(ii) of this 
    section.
        (ii) The owner or operator shall maintain a record of the defect 
    repair in accordance with the requirements specified in Sec. 63.696 of 
    this subpart.
    
    
    Sec. 63.696  Recordkeeping requirements.
    
        (a) The owner or operator subject to this subpart shall comply with 
    the recordkeeping requirements in Sec. 63.10 under 40 CFR 63 subpart 
    A--General Provisions that are applicable to this subpart as specified 
    in Table 2 of this subpart.
        (b) The owner or operator of a control device subject to this 
    subpart shall maintain the records in accordance with the requirements 
    of 40 CFR 63.10 of this part.
        (c) [Reserved]
        (d) Each owner or operator using an internal floating roof to 
    comply with the tank control requirements specified in
    
    [[Page 34179]]
    
    Sec. 63.685(e) of this subpart or using an external floating roof to 
    comply with the tank control requirements specified in Sec. 63.685(f) 
    of this subpart shall prepare and maintain the following records:
        (1) Documentation describing the floating roof design and the 
    dimensions of the tank.
        (2) A record for each inspection required by Sec. 63.695(b) of this 
    subpart, as applicable to the tank, that includes the following 
    information: a tank identification number (or other unique 
    identification description as selected by the owner or operator) and 
    the date of inspection.
        (3) The owner or operator shall record for each defect detected 
    during inspections required by Sec. 63.695(b) of this subpart the 
    following information: the location of the defect, a description of the 
    defect, the date of detection, and corrective action taken to repair 
    the defect. In the event that repair of the defect is delayed in 
    accordance with the provisions of Sec. 63.695(b)(4) of this section, 
    the owner or operator shall also record the reason for the delay and 
    the date that completion of repair of the defect is expected.
        (4) Owners and operators that use a tank equipped with an external 
    floating roof in accordance with the provisions of Sec. 63.685(f) of 
    this subpart shall prepare and maintain records for each seal gap 
    inspection required by Sec. 63.695(b) describing the results of the 
    seal gap measurements. The records shall include the date of that the 
    measurements are performed, the raw data obtained for the measurements, 
    and the calculations of the total gap surface area. In the event that 
    the seal gap measurements do not conform to the specifications in 
    Sec. 63.695(b) of this subpart, the records shall include a description 
    of the repairs that were made, the date the repairs were made, and the 
    date the separator was emptied, if necessary.
        (e) Each owner or operator using a fixed roof to comply with the 
    tank control requirements specified in Sec. 63.685(g) of this subpart 
    shall prepare and maintain the following records:
        (1) A record for each inspection required by Sec. 63.695(b) of this 
    subpart, as applicable to the tank, that includes the following 
    information: a tank identification number (or other unique 
    identification description as selected by the owner or operator) and 
    the date of inspection.
        (2) The owner or operator shall record for each defect detected 
    during inspections required by Sec. 63.695(b) of this subpart the 
    following information: the location of the defect, a description of the 
    defect, the date of detection, and corrective action taken to repair 
    the defect. In the event that repair of the defect is delayed in 
    accordance with the provisions of Sec. 63.695(b)(4) of this section, 
    the owner or operator shall also record the reason for the delay and 
    the date that completion of repair of the defect is expected.
        (f) Each owner or operator using an enclosure to comply with the 
    tank control requirements specified in Sec. 63.685(i) of this subpart 
    shall prepare and maintain records for the most recent set of 
    calculations and measurements performed by the owner or operator to 
    verify that the enclosure meets the criteria of a permanent total 
    enclosure as specified in ``Procedure T--Criteria for and Verification 
    of a Permanent or Temporary Total Enclosure'' under 40 CFR 52.741, 
    Appendix B.
        (g) An owner or operator shall record, on a semiannual basis, the 
    information specified in paragraphs (g)(1) and (g)(2) of this section 
    for those planned routine maintenance operations that would require the 
    control device not to meet the requirements of Sec. 63.693(d) through 
    (h) of this subpart, as applicable.
        (1) A description of the planned routine maintenance that is 
    anticipated to be performed for the control device during the next 6 
    months. This description shall include the type of maintenance 
    necessary, planned frequency of maintenance, and lengths of maintenance 
    periods.
        (2) A description of the planned routine maintenance that was 
    performed for the control device during the previous 6 months. This 
    description shall include the type of maintenance performed and the 
    total number of hours during these 6 months that the control device did 
    not meet the requirement of Sec. 63.693 (d) through (h) of this 
    subpart, as applicable, due to planned routine maintenance.
        (h) An owner or operator shall record the information specified in 
    paragraphs (h)(1) through (h)(3) of this section for those unexpected 
    control device system malfunctions that would require the control 
    device not to meet the requirements of Sec. 63.693 (d) through (h) of 
    this subpart, as applicable.
        (1) The occurrence and duration of each malfunction of the control 
    device system.
        (2) The duration of each period during a malfunction when gases, 
    vapors, or fumes are vented from the waste management unit through the 
    closed-vent system to the control device while the control device is 
    not properly functioning.
        (3) Actions taken during periods of malfunction to restore a 
    malfunctioning control device to its normal or usual manner of 
    operation.
    
    
    Sec. 63.697  Reporting requirements.
    
        (a) The owner or operator subject to this subpart shall comply with 
    the notification requirements in Sec. 63.9 and the reporting 
    requirements in Sec. 63.10 under 40 CFR 63 subpart A--General 
    Provisions that are applicable to this subpart as specified in Table 2 
    of this subpart.
        (b) The owner or operator of a control device used to meet the 
    requirements of Sec. 63.693 of this subpart shall submit the following 
    reports to the Administrator:
        (1) A Notification of Performance Tests specified in Sec. 63.7 and 
    Sec. 63.9(g) of this part,
        (2) Performance test reports specified in Sec. 63.10(d)(2) of this 
    part
        (3) Startup, shutdown, and malfunction reports specified in 
    Sec. 63.10(d)(5) of this part,
        (i) If actions taken by an owner or operator during a startup, 
    shutdown, or malfunction of an affected source (including actions taken 
    to correct a malfunction) are not completely consistent with the 
    procedures specified in the source's startup, shutdown, and malfunction 
    plan specified in Sec. 63.6(e)(3) of this part, the owner or operator 
    shall state such information in the report. The startup, shutdown, or 
    malfunction report shall consist of a letter, containing the name, 
    title, and signature of the responsible official who is certifying its 
    accuracy, that shall be submitted to the Administrator, and
        (ii) Separate startup, shutdown, or malfunction reports are not 
    required if the information is included in the report specified in 
    paragraph (b)(6) of this section.
        (4) A summary report specified in Sec. 63.10(e)(3) of this part 
    shall be submitted on a semi-annual basis (i.e., once every 6-month 
    period).
        (c) Each owner or operator using an internal floating roof or 
    external floating roof to comply with the Tank Level 2 control 
    requirements specified in Sec. 63.685(d) of this subpart shall notify 
    the Administrator in advance of each inspection required under 
    Sec. 63.695(b) of this subpart to provide the Administrator with the 
    opportunity to have an observer present during the inspection. The 
    owner or operator shall notify the Administrator of the date and 
    location of the inspection as follows:
        (1) Prior to each inspection to measure external floating roof seal 
    gaps as required under Sec. 63.695(b) of this subpart, written 
    notification shall be prepared and sent by the owner or operator so 
    that it is received by the Administrator at least 30 calendar days
    
    [[Page 34180]]
    
    before the date the measurements are scheduled to be performed.
        (2) Prior to each visual inspection of an internal floating roof or 
    external floating roof in a tank that has been emptied and degassed, 
    written notification shall be prepared and sent by the owner or 
    operator so that it is received by the Administrator at least 30 
    calendar days before refilling the tank except when an inspection is 
    not planned as provided for in paragraph (c)(3) of this section.
        (3) When a visual inspection is not planned and the owner or 
    operator could not have known about the inspection 30 calendar days 
    before refilling the tank, the owner or operator shall notify the 
    Administrator as soon as possible, but no later than 7 calendar days 
    before refilling of the tank. This notification may be made by 
    telephone and immediately followed by a written explanation for why the 
    inspection is unplanned. Alternatively, written notification, including 
    the explanation for the unplanned inspection, may be sent so that it is 
    received by the Administrator at least 7 calendar days before refilling 
    the tank.
    
    
    Sec. 63.698  Delegation of Authority.
    
        (a) In delegating implementation and enforcement authority to a 
    State under section 112(d) of the Act, the authority listed in 
    paragraph (b) of this section shall be retained by the Administrator 
    and not transferred to a State.
        (b) Authority will not be delegated to States for Sec. 63.694 of 
    this subpart.
    
       Table 1 to Subpart DD.--List of Hazardous Air Pollutants (HAP) for   
                                   Subpart DD                               
    ------------------------------------------------------------------------
           CAS No.a                   Chemical name                fm 305   
    ------------------------------------------------------------------------
    75070................  Acetaldehyde.......................        1.000 
    75058................  Acetonitrile.......................        0.989 
    98862................  Acetophenone.......................        0.314 
    107028...............  Acrolein...........................        1.000 
    107131...............  Acrylonitrile......................        0.999 
    107051...............  Allyl chloride.....................        1.000 
    71432................  Benzene (includes benzene in               1.000 
                            gasoline).                                      
    98077................  Benzotrichloride (isomers and              0.958 
                            mixture).                                       
    100447...............  Benzyl chloride....................        1.000 
    92524................  Biphenyl...........................        0.864 
    542881...............  Bis(chloromethyl)etherb............        0.999 
    75252................  Bromoform..........................        0.998 
    106990...............  1,3-Butadiene......................        1.000 
    75150................  Carbon disulfide...................        1.000 
    56235................  Carbon tetrachloride...............        1.000 
    43581................  Carbonyl sulfide...................        1.000 
    133904...............  Chloramben.........................        0.633 
    108907...............  Chlorobenzene......................        1.000 
    67663................  Chloroform.........................        1.000 
    107302...............  Chloromethyl methyl ether b........        1.000 
    126998...............  Chloroprene........................        1.000 
    98828................  Cumene.............................        1.000 
    94757................  2,4-D, salts and esters............        0.167 
    334883...............  Diazomethane c.....................        0.999 
    132649...............  Dibenzofurans......................        0.967 
    96128................  1,2-Dibromo-3-chloropropane........        1.000 
    106467...............  1,4-Dichlorobenzene(p).............        1.000 
    107062...............  Dichloroethane (Ethylene                   1.000 
                            dichloride).                                    
    111444...............  Dichloroethyl ether (Bis(2-                0.757 
                            chloroethyl ether).                             
    542756...............  1,3-Dichloropropene................        1.000 
    79447................  Dimethyl carbamoyl chloridec.......        0.150 
    57147................  1,1-Dimethyl hydrazine.............        0.383 
    64675................  Diethyl sulfate....................        0.0025
    77781................  Dimethyl sulfate...................        0.086 
    121697...............  N,N-Dimethylaniline................        0.0008
    51285................  2,4-Dinitrophenol..................        0.0077
    121142...............  2,4-Dinitrotoluene.................        0.0848
    123911...............  1,4-Dioxane (1,4-Diethyleneoxide)..        0.869 
    106898...............  Epichlorohydrin (1-Chloro-2,3-             0.939 
                            epoxypropane).                                  
    106887...............  1,2-Epoxybutane....................        1.000 
    140885...............  Ethyl acrylate.....................        1.000 
    100414...............  Ethyl benzene......................        1.000 
    75003................  Ethyl chloride (Chloroethane)......        1.000 
    106934...............  Ethylene dibromide (Dibromoethane).        0.999 
    107062...............  Ethylene dichloride (1,2-                  1.000 
                            Dichloroethane).                                
    151564...............  Ethylene imine (Aziridine).........        0.867 
    75218................  Ethylene oxide.....................        1.000 
    75343................  Ethylidene dichloride (1,1-                1.000 
                            Dichloroethane).                                
                           Glycol ethers d....................      (e)     
    118741...............  Hexachlorobenzene..................        0.97  
    87683................  Hexachlorobutadiene................        0.88  
    67721................  Hexachloroethane...................        0.499 
    110543...............  Hexane.............................        1.000 
    78591................  Isophorone.........................        0.506 
    58899................  Lindane (all isomers)..............        1.000 
    67561................  Methanol...........................        0.855 
    
    [[Page 34181]]
    
                                                                            
    74839................  Methyl bromide (Bromomethane)......        1.000 
    74873................  Methyl chloride (Choromethane).....        1.000 
    71556................  Methyl chloroform (1,1,1-                  1.000 
                            Trichloroethane).                               
    78933................  Methyl ethyl ketone (2-Butanone)...        0.990 
    74884................  Methyl iodide (Iodomethane)........        1.000 
    108101...............  Methyl isobutyl ketone (Hexone)....        0.979 
    624839...............  Methyl isocyanate..................        1.000 
    80626................  Methyl methacrylate................        0.999 
    1634044..............  Methyl tert butyl ether............        1.000 
    75092................  Methylene chloride                         1.000 
                            (Dichloromethane).                              
    91203................  Naphthalene........................        0.994 
    98953................  Nitrobenzene.......................        0.394 
    79469................  2-Nitropropane.....................        0.989 
    82688................  Pentachloronitrobenzene                    0.839 
                            (Quintobenzene).                                
    87865................  Pentachlorophenol..................        0.0898
    75445................  Phosgenec..........................        1.000 
    123386...............  Propionaldehyde....................        0.999 
    78875................  Propylene dichloride (1,2-                 1.000 
                            Dichloropropane).                               
    75569................  Propylene oxide....................        1.000 
    75558................  1,2-Propylenimine (2-Methyl                0.945 
                            aziridine).                                     
    100425...............  Styrene............................        1.000 
    96093................  Styrene oxide......................        0.830 
    79345................  1,1,2,2-Tetrachloroethane..........        0.999 
    127184...............  Tetrachloroethylene                        1.000 
                            (Perchloroethylene).                            
    108883...............  Toluene............................        1.000 
    95534................  o-Toluidine........................        0.152 
    120821...............  1,2,4-Trichlorobenzene.............        1.000 
    71556................  1,1,1-Trichloroethane (Methyl              1.000 
                            chlorform).                                     
    79005................  1,1,2-Trichloroethane (Vinyl               1.000 
                            trichloride).                                   
    79016................  Trichloroethylene..................        1.000 
    95954................  2,4,5-Trichlorophenol..............        0.108 
    88062................  2,4,6-Trichlorophenol..............        0.132 
    121448...............  Triethylamine......................        1.000 
    540841...............  2,2,4-Trimethylpentane.............        1.000 
    108054...............  Vinyl acetate......................        1.000 
    593602...............  Vinyl bromide......................        1.000 
    75014................  Vinyl chloride.....................        1.000 
    75354................  Vinylidene chloride (1,1-                  1.000 
                            Dichloroethylene).                              
    1330207..............  Xylenes (isomers and mixture)......        1.000 
    95476................  o-Xylenes..........................        1.000 
    108383...............  m-Xylenes..........................        1.000 
    106423...............  p-Xylenes..........................        1.000 
    ------------------------------------------------------------------------
    Notes:                                                                  
    fm 305=Method 305 fraction measure factor                               
    a. CAS numbers refer to the Chemical Abstracts Services registry number 
      assigned to specific compounds, isomers, or mixtures of compounds.    
    b. Denotes a HAP that hydrolyzes quickly in water, but the hydrolysis   
      products are also HAP chemicals.                                      
    c. Denotes a HAP that may react violently with water, exercise caustic  
      is an expected analyte.                                               
    d. Denotes a HAP that hydrolyzes slowly in water.                       
    e. Several glycol ethers meet the criteria used to select HAP for the   
      purposes of this subpart. The fm 305 factors for some of the more     
      common glycol ethers are listed below:                                
    Ethylene glycol dimethyl ether (fm 305=0.861)                           
    Ethylene glycol monoethyl ether acetate (fm 305=0.0887)                 
    Ethylene glycol monomethyl ether acetate (fm 305=0.0926)                
    Diethylene glycol diethyl ether (fm 305=0.216)                          
    
    
    
    Table 2 to Subpart DD.--Applicability of Paragraphs in 40 CFR 63 Subpart
                      A, General Provisions, to Subpart DD                  
    ------------------------------------------------------------------------
                                        Applies to                          
          Subpart A reference           subpart DD            Comment       
    ------------------------------------------------------------------------
    63.1(a)(1)....................  Yes.                                    
    63.1(a)(2)....................  Yes.                                    
    63.1(a)(3)....................  Yes.                                    
    63.1(a)(4)....................  No...............  Subpart DD (this     
                                                        table) specifies    
                                                        applicability of    
                                                        each paragraph in   
                                                        subpart A to subpart
                                                        DD.                 
    63.1(a)(5)-63.1(a)(9).........  No.                                     
    63.1(a)(10)...................  Yes.                                    
    63.1(a)(11)...................  Yes.                                    
    63.1(a)(12)...................  Yes.                                    
    63.1(a)(13)...................  Yes.                                    
    
    [[Page 34182]]
    
                                                                            
    63.1(a)(14)...................  Yes.                                    
    63.1(b)(1)....................  No...............  Subpart DD specifies 
                                                        its own             
                                                        applicability.      
    63.1(b)(2)....................  Yes.                                    
    63.1(b)(3)....................  No.                                     
    63.1(c)(1)....................  No...............  Subpart DD explicitly
                                                        specifies           
                                                        requirements that   
                                                        apply.              
    63.1(c)(2)....................  No...............  Area sources are not 
                                                        subject to subpart  
                                                        DD.                 
    63.1(c)(3)....................  No.                                     
    63.1(c)(4)....................  Yes.                                    
    63.1(c)(5)....................  Yes..............  Except that sources  
                                                        are not required to 
                                                        submit notifications
                                                        overridden by this  
                                                        table.              
    63.1(d).......................  No.                                     
    63.1(e).......................  No.                                     
    63.2..........................  Yes..............  Sec.  63.681 of      
                                                        subpart DD specifies
                                                        that if the same    
                                                        term is defined in  
                                                        subparts A and DD,  
                                                        it shall have the   
                                                        meaning given in    
                                                        subpart DD.         
    63.3..........................  Yes.                                    
    63.4(a)(1)-63.4(a)(3).........  Yes.                                    
    63.4(a)(4)....................  No...............  Reserved.            
    63.4(a)(5)....................  Yes.                                    
    63.4(b).......................  Yes.                                    
    63.4(c).......................  Yes.                                    
    63.5(a)(1)....................  Yes..............  Except replace term  
                                                        ``source'' and      
                                                        ``stationary        
                                                        source'' in Sec.    
                                                        63.5(a)(1) of       
                                                        subpart A with      
                                                        ``affected source.''
    63.5(a)(2)....................  Yes.                                    
    63.5(b)(1)....................  Yes.                                    
    63.5(b)(2)....................  No...............  Reserved.            
    63.5(b)(3)....................  Yes.                                    
    63.5(b)(4)....................  Yes..............  Except the cross-    
                                                        reference to Sec.   
                                                        63.9(b) is changed  
                                                        to Sec.  63.9(b)(4) 
                                                        and (5). Subpart DD 
                                                        overrides Sec.      
                                                        63.9(b)(2) and      
                                                        (b)(3).             
    63.5(b)(5)....................  Yes.                                    
    63.5(b)(6)....................  Yes.                                    
    63.5(c).......................  No...............  Reserved.            
    63.5(d)(1)(i).................  Yes.                                    
    63.5(d)(1)(ii)................  Yes.                                    
    63.5(d)(1)(iii)...............  Yes.                                    
    63.5(d)(2)....................  No.                                     
    63.5(d)(3)....................  Yes.                                    
    63.5(d)(4)....................  Yes.                                    
    63.5(e).......................  Yes.                                    
    63.5(f)(1)....................  Yes.                                    
    63.5(f)(2)....................  Yes.                                    
    63.6(a).......................  Yes.                                    
    63.6(b)(1)....................  No...............  Subpart DD specifies 
                                                        compliance dates for
                                                        sources subject to  
                                                        subpart DD.         
    63.6(b)(2)....................  No.                                     
    63.6(b)(3)....................  Yes.                                    
    63.6(b)(4)....................  No...............  May apply when       
                                                        standards are       
                                                        proposed under      
                                                        section 112(f) of   
                                                        the Clean Air Act.  
    63.6(b)(5)....................  No...............  Sec.  63.697 of      
                                                        subpart DD includes 
                                                        notification        
                                                        requirements.       
    63.6(b)(6)....................  No.                                     
    63.6(b)(7)....................  No.                                     
    63.6(c)(1)....................  No...............  Sec.  63.680 of      
                                                        subpart DD specifies
                                                        the compliance date.
    63.6(c)(2)-63.6(c)(4).........  No.                                     
    63.6(c)(5)....................  Yes.                                    
    63.6(d).......................  No.                                     
    63.6(e).......................  Yes.                                    
    63.6(f)(1)....................  Yes.                                    
    63.6(f)(2)(i).................  Yes.                                    
    63.6(f)(2)(ii)................  Yes..............  Subpart DD specifies 
                                                        the use of          
                                                        monitoring data in  
                                                        determining         
                                                        compliance with     
                                                        subpart DD.         
    63.6(f)(2)(iii) (A), (B), and   Yes.                                    
     (C).                                                                   
    63.6(f)(2)(iii) (D)...........  No.                                     
    63.6(f)(2)(iv)................  Yes.                                    
    63.6(f)(2)(v).................  Yes.                                    
    63.6(f)(3)....................  Yes.                                    
    63.6(g).......................  Yes.                                    
    63.6(h).......................  No...............  Subpart DD does not  
                                                        require opacity and 
                                                        visible emission    
                                                        standards.          
    63.6(i).......................  Yes..............  Except for Sec.      
                                                        63.6(i)(15), which  
                                                        is reserved.        
    63.6(j).......................  Yes.                                    
    63.7(a)(1)....................  No...............  Subpart DD specifies 
                                                        required testing and
                                                        compliance          
                                                        demonstration       
                                                        procedures.         
    63.7(a)(2)....................  Yes.                                    
    63.7(a)(3)....................  Yes.                                    
    63.7(b).......................  No.                                     
    63.7(c).......................  No.                                     
    
    [[Page 34183]]
    
                                                                            
    63.7(d).......................  Yes.                                    
    63.7(e)(1)....................  Yes.                                    
    63.7(e)(2)....................  Yes.                                    
    63.7(e)(3)....................  No...............  Subpart DD specifies 
                                                        test methods and    
                                                        procedures.         
    63.7(e)(4)....................  Yes.                                    
    63.7(f).......................  No...............  Subpart DD specifies 
                                                        applicable methods  
                                                        and provides        
                                                        alternatives.       
    63.7(g).......................  Yes.                                    
    63.7(h)(1)....................  Yes.                                    
    63.7(h)(2)....................  Yes.                                    
    63.7(h)(3)....................  Yes.                                    
    63.7(h)(4)....................  No.                                     
    63.7(h)(5)....................  Yes.                                    
    63.8(a).......................  No.                                     
    63.8(b)(1)....................  Yes.                                    
    63.8(b)(2)....................  No...............  Subpart DD specifies 
                                                        locations to conduct
                                                        monitoring.         
    63.8(b)(3)....................  Yes.                                    
    63.8(c)(1)(i).................  Yes.                                    
    63.8(c)(1)(ii)................  Yes.                                    
    63.8(c)(1)(iii)...............  Yes.                                    
    63.8(c)(2)....................  Yes.                                    
    63.8(c)(3)....................  Yes.                                    
    63.8(c)(4)....................  No...............  Subpart DD specifies 
                                                        monitoring frequency
    63.8(c)(5)-63.8(c)(8).........  No.                                     
    63.8(d).......................  No.                                     
    63.8(e).......................  No.                                     
    63.8(f)(1)....................  Yes.                                    
    63.8(f)(2)....................  Yes.                                    
    63.8(f)(3)....................  Yes.                                    
    63.8(f)(4)(i).................  Yes.                                    
    63.8(f)(4)(ii)................  Yes.                                    
    63.8(f)(4)(iii)...............  No.                                     
    63.8(f)(5)(i).................  Yes.                                    
    63.8(f)(5)(ii)................  No.                                     
    63.8(f)(5)(iii)...............  Yes.                                    
    63.8(f)(6)....................  Yes.                                    
    63.8(g).......................  Yes.                                    
    63.9(a).......................  Yes.                                    
    63.9(b)(1)(i).................  Yes.                                    
    63.9(b)(1)(ii)................  No.                                     
    63.9(b)(2)....................  Yes.                                    
    63.9(b)(3)....................  No.                                     
    63.9(b)(4)....................  Yes.                                    
    63.9(b)(5)....................  Yes.                                    
    63.9(c).......................  Yes.                                    
    63.9(d).......................  Yes.                                    
    63.9(e).......................  No.                                     
    63.9(f).......................  No.                                     
    63.9(g).......................  No.                                     
    63.9(h).......................  Yes.                                    
    63.9(i).......................  Yes.                                    
    63.9(j).......................  No.                                     
    63.10(a)......................  Yes.                                    
    63.10(b)(1)...................  Yes.                                    
    63.10(b)(2)(i)................  Yes.                                    
    63.10(b)(2)(ii)...............  Yes.                                    
    63.10(b)(2)(iii)..............  No.                                     
    63.10(b)(2)(iv)...............  Yes.                                    
    63.10(b)(2)(v)................  Yes.                                    
    63.10(b)(2) (vi)-(ix).........  No.                                     
    63.10(b)(2)(x)................  Yes.                                    
    63.10(b)(2) (xii)-(xiv).......  No.                                     
    63.10(b)(3)...................  No.                                     
    63.10(c)......................  No.                                     
    63.10(d)(1)...................  No.                                     
    63.10(d)(2)...................  Yes.                                    
    63.10(d)(3)...................  No.                                     
    63.10(d)(4)...................  Yes.                                    
    63.10(d)(5)(i)................  Yes.                                    
    63.10(d)(5)(ii)...............  Yes.                                    
    63.10(e)......................  No.                                     
    
    [[Page 34184]]
    
                                                                            
    63.10(f)......................  Yes.                                    
    63.11-63.15...................  Yes.                                    
    ------------------------------------------------------------------------
    Note: Wherever subpart A specifies ``postmark'' dates, submittals may be
      sent by methods other than the U.S. Mail (e.g., by fax or courier).   
      Submittals shall be sent by the specified dates, but a postmark is not
      required.                                                             
    
    
    
        Table 3 to Subpart DD.--Tank Control Levels for Tanks at Existing   
               Affected Sources as Required by 40 CFR 63.685(b)(1)          
    ------------------------------------------------------------------------
                                        Maximum HAP vapor                   
      Tank design capacity (cubic     pressure of off-site     Tank control 
                meters)                material managed in        level     
                                       tank (kilopascals)                   
    ------------------------------------------------------------------------
    Design capacity less than 75 m3  Maximum HAP vapor       Level 1.       
                                      pressure less than                    
                                      76.6 kPa.                             
    Design capacity equal to or      Maximum HAP vapor       Level 1.       
     greater than 75 m3 and less      pressure less than                    
     than 151 m3.                     27.6 kPa.                             
                                     Maximum HAP vapor       Level 2.       
                                      pressure equal to or                  
                                      greater than 27.6 kPa.                
    Design capacity equal to or      Maximum HAP vapor       Level 1.       
     greater than 151 m3.             pressures less than                   
                                      5.2 kPa.                              
                                     Maximum HAP vapor       Level 2.       
                                      pressure equal to or                  
                                      greater than 5.2 kPa.                 
    ------------------------------------------------------------------------
    
    
      Table 4 to Subpart DD.--Tank Control Levels for Tanks at New Affected 
                   Sources as Required by 40 CFR 63.685(b)(2)               
    ------------------------------------------------------------------------
                                        Maximum HAP vapor                   
      Tank design capacity (cubic     pressure of off-site     Tank control 
                meters)                material managed in        level     
                                       tank (kilopascals)                   
    ------------------------------------------------------------------------
    Design capacity less than 38 m3  Maximum HAP vapor       Level 1.       
                                      pressure less than                    
                                      76.6 kPa.                             
    Design capacity equal to or      Maximum HAP vapor       Level 1.       
     greater than 38 m3 and less      pressure less than                    
     than 151 m3.                     13.1 kPa.                             
                                     Maximum HAP vapor       Level 2.       
                                      pressure equal to or                  
                                      greater than 13.1 kPa.                
    Design capacity equal to or      Maximum HAP vapor       Level 1.       
     greater than 151 m3.             pressure less than                    
                                      0.7 kPa.                              
                                     Maximum HAP vapor       Level 2.       
                                      pressure equal to or                  
                                      greater than 0.7 kPa.                 
    ------------------------------------------------------------------------
    
        5. Part 63 is amended by adding subpart OO consisting of 
    Secs. 63.900 through 63.907 to read as follows:
    Subpart OO--National Emission Standards for Tanks--Level 1
    Sec.
    63.900  Applicability.
    63.901  Definitions.
    63.902  Standards--Tank fixed roof.
    63.903  [Reserved]
    63.904  [Reserved]
    63.905  Test methods and procedures.
    63.906  Inspection and monitoring requirements.
    63.907  Recordkeeping requirements.
    
    Subpart OO--National Emission Standards for Tanks--Level 1
    
    
    Sec. 63.900  Applicability.
    
        The provisions of this subpart apply to the control of air 
    emissions from tanks for which another subpart of 40 CFR parts 60, 61, 
    or 63 references the use of this subpart for such air emission control. 
    These air emission standards for tanks are placed here for 
    administrative convenience and only apply to those owners and operators 
    of facilities subject to the other subparts that reference this 
    subpart. The provisions of 40 CFR part 63, subpart A--General 
    Provisions do not apply to this subpart except as noted in the subpart 
    that references this subpart.
    
    
    Sec. 63.901  Definitions.
    
        All terms used in this subpart shall have the meaning given to them 
    in the Act and in this section. If a term is defined in both this 
    section and in another subpart that references the use of this subpart, 
    then the definition in this subpart shall take precedence when 
    implementing this subpart.
        Closure device means a cap, hatch, lid, plug, seal, valve, or other 
    type of fitting that, when the device is secured in the closed 
    position, prevents or reduces air emissions to the atmosphere by 
    blocking an opening in a fixed roof. Closure devices include devices 
    that are detachable from the cover (e.g., a sampling port cap), 
    manually operated (e.g., a hinged access lid or hatch), or 
    automatically operated (e.g., a spring-loaded pressure relief valve).
        Fixed roof means a cover that is mounted on a tank in a stationary 
    position and does not move with fluctuations in the level of the liquid 
    managed in the tank.
        No detectable organic emissions means no escape of organics to the 
    atmosphere as determined using the procedure specified in 
    Sec. 63.905(a) of this subpart.
        Regulated-material means the material (e.g. waste, wastewater, off-
    site material) required to be managed in tanks using air emission 
    controls in accordance with the standards specified in this subpart.
        Safety device means a closure device such as a pressure relief 
    valve, frangible disc, fusible plug, or any other type of device which 
    functions exclusively to prevent physical damage or permanent 
    deformation to the tank air emission control equipment by venting gases 
    or vapors directly to the atmosphere during unsafe conditions resulting 
    from an unplanned, accidental, or emergency event. For the purpose of 
    this subpart, a safety device is not used for routine venting of gases 
    or vapors from the vapor headspace underneath the tank cover. A safety 
    device is designed to remain in a closed position during normal 
    operations and open only when
    
    [[Page 34185]]
    
    the internal pressure, or another relevant parameter, exceeds the 
    device threshold setting applicable to the air emission control 
    equipment as determined by the owner or operator based on manufacturer 
    recommendations, applicable regulations, fire protection and prevention 
    codes, standard engineering codes and practices, or other requirements 
    for the safe handling of flammable, ignitable, explosive, reactive, or 
    hazardous materials.
        Tank means a stationary unit that is constructed primarily of 
    nonearthen materials (such as wood, concrete, steel, fiberglass, or 
    plastic) which provide structural support and is designed to hold an 
    accumulation of liquids or other materials.
    
    
    Sec. 63.902  Standards--Tank fixed roof.
    
        (a) This section applies to owners and operators subject to this 
    subpart and controlling air emissions from a tank using a fixed roof.
        (b) The tank shall be equipped with a fixed roof designed to meet 
    the following specifications:
        (1) The fixed roof and its closure devices shall be designed to 
    form a continuous barrier over the entire surface area of the liquid in 
    the tank. The fixed roof may be a separate cover installed on the tank 
    (e.g., a removable cover mounted on an open-top tank) or may be an 
    integral part of the tank structural design (e.g., a horizontal 
    cylindrical tank equipped with a hatch).
        (2) The fixed roof shall be installed in a manner such that there 
    are no visible cracks, holes, gaps, or other open spaces between roof 
    section joints or between the interface of the roof edge and the tank 
    wall.
        (3) Each opening in the fixed roof shall be either:
        (i) equipped with a closure device designed to operate such that 
    when the closure device is secured in the closed position there are no 
    visible cracks, holes, gaps, or other open spaces in the closure device 
    or between the perimeter of the opening and the closure device; or
        (ii) connected by a closed-vent system that is vented to a control 
    device. The control device shall remove or destroy organics in the vent 
    stream, and shall be operating whenever regulated material is managed 
    in the tank.
        (4) The fixed roof and its closure devices shall be made of 
    suitable materials that will minimize exposure of the regulated-
    material to the atmosphere, to the extent practical, and will maintain 
    the integrity of the equipment throughout its intended service life. 
    Factors to be considered when selecting the materials for and designing 
    the fixed roof and closure devices shall include: organic vapor 
    permeability, the effects of any contact with the liquid or its vapors 
    managed in the tank; the effects of outdoor exposure to wind, moisture, 
    and sunlight; and the operating practices used for the tank on which 
    the fixed roof is installed.
        (c) Whenever a regulated-material is in the tank, the fixed roof 
    shall be installed with each closure device secured in the closed 
    position except as follows:
        (1) Opening of closure devices or removal of the fixed roof is 
    allowed at the following times:
        (i) To provide access to the tank for performing routine 
    inspection, maintenance, or other activities needed for normal 
    operations. Examples of such activities include those times when a 
    worker needs to open a port to sample the liquid in the tank, or when a 
    worker needs to open a hatch to maintain or repair equipment. Following 
    completion of the activity, the owner or operator shall promptly secure 
    the closure device in the closed position or reinstall the cover, as 
    applicable, to the tank.
        (ii) To remove accumulated sludge or other residues from the bottom 
    of tank.
        (2) Opening of a spring-loaded pressure-vacuum relief valve, 
    conservation vent, or similar type of pressure relief device which 
    vents to the atmosphere is allowed during normal operations for the 
    purpose of maintaining the tank internal pressure in accordance with 
    the tank design specifications. The device shall be designed to operate 
    with no detectable organic emissions when the device is secured in the 
    closed position. The settings at which the device opens shall be 
    established such that the device remains in the closed position 
    whenever the tank internal pressure is within the internal pressure 
    operating range determined by the owner or operator based on the tank 
    manufacturer recommendations, applicable regulations, fire protection 
    and prevention codes, standard engineering codes and practices, or 
    other requirements for the safe handling of flammable, combustible, 
    explosive, reactive, or hazardous materials. Examples of normal 
    operating conditions that may require these devices to open are during 
    those times when the container internal pressure exceeds the internal 
    pressure operating range for the tank as a result of loading operations 
    or diurnal ambient temperature fluctuations.
        (3) Opening of a safety device, as defined in Sec. 63.901 of this 
    subpart, is allowed at any time conditions require it to do so to avoid 
    an unsafe condition.
        (d) The owner or operator shall inspect the air emission control 
    equipment in accordance with the requirements specified in 
    Sec. 63.906(a) of this subpart.
    
    
    Sec. 63.903  [Reserved]
    
    
    Sec. 63.904  [Reserved]
    
    
    Sec. 63.905  Test methods and procedures.
    
        (a) Procedure for determining no detectable organic emissions for 
    the purpose of complying with this subpart.
        (1) The test shall be conducted in accordance with the procedures 
    specified in Method 21 of 40 CFR part 60, appendix A. Each potential 
    leak interface (i.e., a location where organic vapor leakage could 
    occur) on the cover and associated closure devices shall be checked. 
    Potential leak interfaces that are associated with covers and closure 
    devices include, but are not limited to: the interface of the cover and 
    its foundation mounting; the periphery of any opening on the cover and 
    its associated closure device; and the sealing seat interface on a 
    spring-loaded pressure-relief valve.
        (2) The test shall be performed when the tank contains a material 
    having an organic HAP concentration representative of the range of 
    concentrations for the regulated-materials expected to be managed in 
    the tank. During the test, the cover and closure devices shall be 
    secured in the closed position.
        (3) The detection instrument shall meet the performance criteria of 
    Method 21 of 40 CFR part 60, appendix A, except the instrument response 
    factor criteria in section 3.1.2(a) of Method 21 shall be for the 
    average composition of the organic constituents in the regulated-
    material placed in the tank, not for each individual organic 
    constituent.
        (4) The detection instrument shall be calibrated before use on each 
    day of its use by the procedures specified in Method 21 of 40 CFR part 
    60, appendix A.
        (5) Calibration gases shall be as follows:
        (i) Zero air (less than 10 ppmv hydrocarbon in air); and
        (ii) A mixture of methane in air at a concentration less than 
    10,000 ppmv.
        (6) The background level shall be determined according to the 
    procedures in Method 21 of 40 CFR part 60 appendix A.
        (7) Each potential leak interface shall be checked by traversing 
    the instrument probe around the potential leak interface as close to 
    the interface as
    
    [[Page 34186]]
    
    possible, as described in Method 21. In the case when the configuration 
    of the cover or closure device prevents a complete traverse of the 
    interface, all accessible portions of the interface shall be sampled. 
    In the case when the configuration of the closure device prevents any 
    sampling at the interface and the device is equipped with an enclosed 
    extension or horn (e.g., some pressure relief devices), the instrument 
    probe inlet shall be placed at approximately the center of the exhaust 
    area to the atmosphere.
        (8) The arithmetic difference between the maximum organic 
    concentration indicated by the instrument and the background level 
    shall be compared with the value of 500 ppmv. If the difference is less 
    than 500 ppmv, then the potential leak interface is determined to 
    operate with no detectable organic emissions.
    
    
    Sec. 63.906  Inspection and monitoring requirements.
    
        (a) Owners and operators that use a tank equipped with a fixed roof 
    in accordance with the provisions of Sec. 63.902 of this subpart shall 
    meet the following requirements:
        (1) The fixed roof and its closure devices shall be visually 
    inspected by the owner or operator to check for defects that could 
    result in air emissions. Defects include, but are not limited to, 
    visible cracks, holes, or gaps in the roof sections or between the roof 
    and the tank wall; broken, cracked, or otherwise damaged seals or 
    gaskets on closure devices; and broken or missing hatches, access 
    covers, caps, or other closure devices.
        (2) The owner or operator shall perform the inspections following 
    installation of the fixed roof and, thereafter, at least once every 
    year.
        (3) In the event that a defect is detected, the owner or operator 
    shall repair the defect in accordance with the requirements of 
    paragraph (b) of this section.
        (4) The owner or operator shall maintain a record of the inspection 
    in accordance with the requirements specified in Sec. 63.907 (a) of 
    this subpart.
        (b) The owner or operator shall repair all detected defects as 
    follows:
        (1) The owner or operator shall make first efforts at repair of the 
    defect no later than 5 calendar days after detection and repair shall 
    be completed as soon as possible but no later than 45 calendar days 
    after detection except as provided in paragraph (b)(2) of this section.
        (2) Repair of a defect may be delayed beyond 45 calendar days if 
    the owner or operator determines that repair of the defect requires 
    emptying or temporary removal from service of the tank and no 
    alternative tank capacity is available at the site to accept the 
    regulated-material normally managed in the tank. In this case, the 
    owner or operator shall repair the defect the next time the process or 
    unit that is generating the regulated-material managed in the tank 
    stops operation. Repair of the defect shall be completed before the 
    process or unit resumes operation.
        (c) The owner or operator shall maintain a record of the defect 
    repair in accordance with the requirements specified in Sec. 63.907(b) 
    of this subpart.
    
    
    Sec. 63.907  Recordkeeping requirements.
    
        (a) Each owner or operator shall prepare and maintain a record for 
    each tank that includes the following information:
        (1) A tank identification number (or other unique identification 
    description as selected by the owner or operator).
        (2) A description of the tank dimensions and the tank design 
    capacity.
        (3) The date that each inspection required by Sec. 63.906 of this 
    subpart is performed.
        (b) The owner or operator shall record the following information 
    for each defect detected during inspections required by Sec. 63.906 of 
    this subpart: the location of the defect, a description of the defect, 
    the date of detection, and corrective action taken to repair the 
    defect. In the event that repair of the defect is delayed in accordance 
    with the provisions of Sec. 63.907(b)(2) of this section, the owner or 
    operator shall also record the reason for the delay and the date that 
    completion of repair of the defect is expected.
        6. Part 63 is amended by adding subpart PP consisting of 
    Secs. 63.920 through 63.928 to read as follows:
    
    Subpart PP--National Emission Standards for Containers
    
    Sec.
    63.920  Applicability.
    63.921  Definitions.
    63.922  Standards--Container Level 1 controls.
    63.923  Standards--Container Level 2 controls.
    63.924  Standards--Container Level 3 controls.
    63.925  Test methods and procedures.
    63.926  Inspection and monitoring requirements.
    63.927  Recordkeeping requirements.
    63.928  Reporting requirements.
    
    Subpart PP--National Emission Standards for Containers
    
    
    Sec. 63.920  Applicability.
    
        The provisions of this subpart apply to the control of air 
    emissions from containers for which another subpart of 40 CFR parts 60, 
    61, or 63 references the use of this subpart for such air emission 
    control. These air emission standards for containers are placed here 
    for administrative convenience and only apply to those owners and 
    operators of facilities subject to the other subparts that reference 
    this subpart. The provisions of 40 CFR Part 63, subpart A--General 
    Provisions do not apply to this subpart except as noted in the subpart 
    that references this subpart.
    
    
    Sec. 63.921  Definitions.
    
        All terms used in this subpart shall have the meaning given to them 
    in the Act and in this section. If a term is defined in both this 
    section and in another subpart that references the use of this subpart, 
    then the definition in this subpart shall take precedence when 
    implementing this subpart.
        Container means a portable unit in which a material can be stored, 
    transported, treated, disposed of, or otherwise handled. Examples of 
    containers include but are not limited to drums, dumpsters, roll-off 
    boxes, bulk cargo containers commonly known as ``portable tanks'' or 
    ``totes,'' cargo tank trucks, and tank railcars.
        Closure device means a cover, cap, hatch, lid, plug, seal, valve, 
    or other type of fitting that prevents or reduces air emissions to the 
    atmosphere by blocking an opening in a container or its cover when the 
    device is secured in the closed position. Closure devices include 
    devices that are detachable from the container (e.g., a drum head, a 
    threaded plug), manually operated (e.g., a hinged dumpster lid, a truck 
    tank hatch), or automatically operated (e.g., a spring loaded pressure 
    relief valve).
        Empty container means a container for which either of the following 
    conditions exists, as applicable: the regulated-material is a hazardous 
    waste and the container meets the conditions for an empty container 
    specified in 40 CFR 261.7(b); or all regulated-material has been 
    removed from the container except for any regulated-material that 
    remains on the interior surfaces of the container as clingage or in 
    pools on the container bottom due to irregularities in the container.
        No detectable organic emissions means no escape of organics to the 
    atmosphere as determined using the procedure specified in 
    Sec. 63.925(a) of this subpart.
    
    [[Page 34187]]
    
        Regulated-material means the material (e.g. waste, wastewater, off-
    site material) required to be managed in containers using air emission 
    controls in accordance with the standards specified in this subpart.
        Safety device means a closure device such as a pressure relief 
    valve, frangible disc, fusible plug, or any other type of device which 
    functions exclusively to prevent physical damage or permanent 
    deformation to a container or its air emission control equipment by 
    venting gases or vapors directly to the atmosphere during unsafe 
    conditions resulting from an unplanned, accidental, or emergency event. 
    For the purpose of this subpart, a safety device is not used for 
    routine venting of gases or vapors from the container such as during 
    filling of the container or to adjust the internal pressure of the 
    container in response to normal daily diurnal ambient temperature 
    fluctuations. A safety device is designed to remain in a closed 
    position during normal operations and open only when the internal 
    pressure, or another relevant parameter, exceeds the device threshold 
    setting applicable to the container and its air emission control 
    equipment as determined by the owner or operator based on manufacturer 
    recommendations, applicable regulations, fire protection and prevention 
    codes, standard engineering codes and practices, or other requirements 
    for the safe handling of flammable, ignitable, explosive, reactive, or 
    hazardous materials.
    
    
    Sec. 63.922  Standards--Container Level 1 controls.
    
        (a) This section applies to owners and operators subject to this 
    subpart and required to control air emissions from containers using 
    Container Level 1 controls.
        (b) A container using Container Level 1 controls is one of the 
    following:
        (1) A container that meets the applicable U.S. Department of 
    Transportation (DOT) regulations on packaging hazardous materials for 
    transportation as specified in paragraph (f) of this section.
        (2) A container equipped with a cover and closure devices that form 
    a continuous barrier over the container openings such that when the 
    cover and closure devices are secured in the closed position there are 
    no visible holes, gaps, or other open spaces into the interior of the 
    container. The cover may be a separate cover installed on the container 
    (e.g., a lid on a drum, a suitably secured tarp on a roll-off box) or 
    may be an integral part of the container structural design (e.g., a 
    bulk cargo container equipped with a screw-type cap).
        (3) An open-top container in which an organic vapor-suppressing 
    barrier is placed on or over the regulated-material in the container 
    such that no regulated-material is exposed to the atmosphere. One 
    example of such a barrier is application of a suitable organic-vapor 
    suppressing foam.
        (c) A container used to meet the requirements of either paragraph 
    (b)(2) or (b)(3) of this section shall be equipped with covers and 
    closure devices, as applicable to the container, that are composed of 
    suitable materials to minimize exposure of the regulated-material to 
    the atmosphere and to maintain the equipment integrity for as long as 
    it is in service. Factors to be considered when selecting the materials 
    for and designing the cover and closure devices shall include: organic 
    vapor permeability, the effects of contact with the material or its 
    vapor managed in the container; the effects of outdoor exposure to 
    wind, moisture, and sunlight; and the operating practices used for 
    container on which the cover is installed.
        (d) Whenever a regulated-material is in a container using Container 
    Level 1 controls, the owner or operator shall install all covers and 
    closure devices for the container, and secure and maintain each closure 
    device in the closed position except as follows:
        (1) Opening of a closure device or cover is allowed for the purpose 
    of adding material to the container as follows:
        (i) In the case when the container is filled to the intended final 
    level in one continuous operation, the owner or operator shall promptly 
    secure the closure devices in the closed position and install the 
    covers, as applicable to the container, upon conclusion of the filling 
    operation.
        (ii) In the case when discrete quantities or batches of material 
    intermittently are added to the container over a period of time, the 
    owner or operator shall promptly secure the closure devices in the 
    closed position and install covers, as applicable to the container, 
    upon either: the container being filled to the intended final level; 
    the completion of a batch loading after which no additional material 
    will be added to the container within 15 minutes; the person performing 
    the loading operation leaves the immediate vicinity of the container; 
    or the shutdown of the process generating the material being added to 
    the container, whichever condition occurs first.
        (2) Opening of a closure device or cover is allowed for the purpose 
    of removing material from the container as follows:
        (i) For the purpose of meeting the requirements of this section, an 
    empty container as defined in Sec. 63.921 of this subpart may be open 
    to the atmosphere at any time (e.g., covers and closure devices are not 
    required to be secured in the closed position on an empty container).
        (ii) In the case when discrete quantities or batches of material 
    are removed from the container but the container does not meet the 
    conditions to be an empty container as defined in Sec. 63.921 of this 
    subpart, the owner or operator shall promptly secure the closure 
    devices in the closed position and install covers, as applicable to the 
    container, upon the completion of a batch removal after which no 
    additional material will be removed from the container within 15 
    minutes, or the person performing the unloading operation leaves the 
    immediate vicinity of the container, whichever condition occurs first.
        (3) Opening of a closure device or cover is allowed when access 
    inside the container is needed to perform routine activities other than 
    transfer of regulated-material. Examples of such activities include 
    those times when a worker needs to open a port to measure the depth of 
    or sample the material in the container, or when a worker needs to open 
    a manhole hatch to access equipment inside the container. Following 
    completion of the activity, the owner or operator shall promptly secure 
    the closure device in the closed position or reinstall the cover, as 
    applicable to the container.
        (4) Opening of a spring-loaded pressure-vacuum relief valve, 
    conservation vent, or similar type of pressure relief device which 
    vents to the atmosphere is allowed during normal operations for the 
    purpose of maintaining the container internal pressure in accordance 
    with the container design specifications. The device shall be designed 
    to operate with no detectable organic emissions when the device is 
    secured in the closed position. The settings at which the device opens 
    shall be established such that the device remains in the closed 
    position whenever the container internal pressure is within the 
    internal pressure operating range determined by the owner or operator 
    based on container manufacturer recommendations, applicable 
    regulations, fire protection and prevention codes, standard engineering 
    codes and practices, or other requirements for the safe handling of 
    flammable, ignitable, explosive,
    
    [[Page 34188]]
    
    reactive, or hazardous materials. Examples of normal operating 
    conditions that may require these devices to open are during those 
    times when the container internal pressure exceeds the internal 
    pressure operating range for the container as a result of loading 
    operations or diurnal ambient temperature fluctuations.
        (5) Opening of a safety device, as defined in Sec. 63.921 of this 
    subpart, is allowed at any time conditions require it to do so to avoid 
    an unsafe condition.
        (e) The owner or operator shall inspect containers using Container 
    Level 1 controls in accordance with the procedures specified in 
    Sec. 63.926(a) of this subpart.
        (f) For the purpose of compliance with paragraph (b)(1) of this 
    section, containers shall be used that meet the applicable U.S. DOT 
    regulations on packaging hazardous materials for transportation as 
    follows:
        (1) The container meets the applicable requirements specified in 49 
    CFR part 178--Specifications for Packagings or 49 CFR part 179--
    Specifications for Tank Cars.
        (2) Regulated-material is managed in the container in accordance 
    with the applicable requirements specified in 49 CFR part 107 subpart 
    B--Exemptions; 49 CFR part 172--Hazardous Materials Table, Special 
    Provisions, Hazardous Materials Communications, Emergency Response 
    Information, and Training Requirements; 49 CFR part 173--Shippers--
    General Requirements for Shipments and Packaging; and 49 CFR part 180--
    Continuing Qualification and Maintenance of Packagings.
        (3) For the purpose of complying with this subpart, no exceptions 
    to the 49 CFR part 178 or part 179 regulations are allowed except as 
    provided for in paragraph (f)(4) of this section.
        (4) For a lab pack that is managed in accordance with the 
    requirements of 49 CFR part 178 for the purpose of complying with this 
    subpart, an owner or operator may comply with the exceptions for those 
    packagings specified in 49 CFR 173.12(b).
    
    
    Sec. 63.923  Standards--Container Level 2 controls.
    
        (a) This section applies to owners and operators subject to this 
    subpart and required to control air emissions from containers using 
    Container Level 2 controls.
        (b) A container using Container Level 2 controls is one of the 
    following:
        (1) A container that meets the applicable U.S. Department of 
    Transportation (DOT) regulations on packaging hazardous materials for 
    transportation as specified in paragraph (f) of this section.
        (2) A container that has been demonstrated to operate with no 
    detectable organic emissions as defined in Sec. 63.921 of this subpart.
        (3) A container that has been demonstrated within the preceding 12 
    months to be vapor-tight by using Method 27 in Appendix A of 40 CFR 
    part 60 in accordance with the procedure specified in Sec. 63.925(b) of 
    this subpart.
        (c) Transfer of regulated-material in to or out of a container 
    using Container Level 2 controls shall be conducted in such a manner as 
    to minimize exposure of the regulated-material to the atmosphere, to 
    the extent practical, considering the physical properties of the 
    regulated-material and good engineering and safety practices for 
    handling flammable, ignitable, explosive, or other hazardous materials. 
    Examples of container loading procedures that meet the requirements of 
    this paragraph include using any one of the following: a submerged-fill 
    pipe or other submerged-fill method to load liquids into the container; 
    a vapor-balancing system or a vapor-recovery system to collect and 
    control the vapors displaced from the container during filling 
    operations; or a fitted opening in the top of a container through which 
    the regulated-material is filled, with subsequent purging of the 
    transfer line before removing it from the container opening.
        (d) Whenever a regulated-material is in a container using Container 
    Level 2 controls, the owner or operator shall install all covers and 
    closure devices for the container, and secure and maintain each closure 
    device in the closed position except as follows:
        (1) Opening of a closure device or cover is allowed for the purpose 
    of adding material to the container as follows:
        (i) In the case when the container is filled to the intended final 
    level in one continuous operation, the owner or operator shall promptly 
    secure the closure devices in the closed position and install the 
    covers, as applicable to the container, upon conclusion of the filling 
    operation.
        (ii) In the case when discrete quantities or batches of material 
    intermittently are added to the container over a period of time, the 
    owner or operator shall promptly secure the closure devices in the 
    closed position and install covers, as applicable to the container, 
    upon either the container being filled to the intended final level, the 
    completion of a batch loading after which no additional material will 
    be added to the container within 15 minutes, the person performing the 
    loading operation leaves the immediate vicinity of the container, or 
    the shutdown of the process generating the material being added to the 
    container, whichever condition occurs first.
        (2) Opening of a closure device or cover is allowed for the purpose 
    of removing material from the container as follows:
        (i) For the purpose of meeting the requirements of this section, an 
    empty container as defined in Sec. 63.921 of this subpart may be open 
    to the atmosphere at any time (e.g., covers and closure devices are not 
    required to be secured in the closed position on an empty container).
        (ii) In the case when discrete quantities or batches of material 
    are removed from the container but the container does not meet the 
    conditions to be an empty container as defined in Sec. 63.921 of this 
    subpart, the owner or operator shall promptly secure the closure 
    devices in the closed position and install covers, as applicable to the 
    container, upon the completion of a batch removal after which no 
    additional material will be removed from the container within 15 
    minutes or the person performing the unloading operation leaves the 
    immediate vicinity of the container, whichever condition occurs first.
        (3) Opening of a closure device or cover is allowed when access 
    inside the container is needed to perform routine activities other than 
    transfer of regulated-material. Examples of such activities include 
    those times when a worker needs to open a port to measure the depth of 
    or sample the material in the container, or when a worker needs to open 
    a manhole hatch to access equipment inside the container. Following 
    completion of the activity, the owner or operator shall promptly secure 
    the closure device in the closed position or reinstall the cover, as 
    applicable to the container.
        (4) Opening of a spring-loaded pressure-vacuum relief valve, 
    conservation vent, or similar type of pressure relief device which 
    vents to the atmosphere is allowed during normal operations for the 
    purpose of maintaining the container internal pressure in accordance 
    with the container design specifications. The device shall be designed 
    to operate with no detectable organic emissions when the device is 
    secured in the closed position. The settings at which the device opens 
    shall be established such that the device remains in the closed 
    position whenever the container internal pressure is within the 
    internal
    
    [[Page 34189]]
    
    pressure operating range determined by the owner or operator based on 
    container manufacturer recommendations, applicable regulations, fire 
    protection and prevention codes, standard engineering codes and 
    practices, or other requirements for the safe handling of flammable, 
    combustible, explosive, reactive, or hazardous materials. Examples of 
    normal operating conditions that may require these devices to open are 
    during those times when the container internal pressure exceeds the 
    internal pressure operating range for the container as a result of 
    loading operations or diurnal ambient temperature fluctuations.
        (5) Opening of a safety device, as defined in Sec. 63.921 of this 
    subpart, is allowed at any time conditions require it to do so to avoid 
    an unsafe condition.
        (e) The owner or operator shall inspect containers using Container 
    Level 2 controls in accordance with the procedures specified in 
    Sec. 63.926(a) of this subpart.
        (f) For the purpose of compliance with paragraph (b)(1) of this 
    section, containers shall be used that meet the applicable U.S. DOT 
    regulations on packaging hazardous materials for transportation as 
    follows:
        (1) The container meets the applicable requirements specified in 49 
    CFR part 178--Specifications for Packagings or 49 CFR part 179--
    Specifications for Tank Cars.
        (2) Regulated-material is managed in the container in accordance 
    with the applicable requirements specified in 49 CFR part 107 subpart 
    B--Exemptions; 49 CFR part 172--Hazardous Materials Table, Special 
    Provisions, Hazardous Materials Communications, Emergency Response 
    Information, and Training Requirements; 49 CFR part 173--Shippers--
    General Requirements for Shipments and Packaging; and 49 CFR part 180--
    Continuing Qualification and Maintenance of Packagings.
        (3) For the purpose of complying with this subpart, no exceptions 
    to the 49 CFR part 178 or part 179 regulations are allowed except as 
    provided for in paragraph (f)(4) of this section.
        (4) For a lab pack that is managed in accordance with the 
    requirements of 49 CFR part 178 for the purpose of complying with this 
    subpart, an owner or operator may comply with the exceptions for those 
    packagings specified in 49 CFR 173.12(b).
    
    
    Sec. 63.924  Standards--Container Level 3 controls.
    
        (a) This section applies to owners and operators subject to this 
    subpart and required to control air emissions from containers using 
    Container Level 3 controls.
        (b) A container using Container Level 3 controls is one of the 
    following:
        (1) A container that is vented directly through a closed-vent 
    system to a control device in accordance with the requirements of 
    paragraphs (c)(2) of this section.
        (2) A container that is vented inside an enclosure which is 
    exhausted through a closed-vent system to a control device in 
    accordance with the requirements of paragraphs (c)(1) and (c)(2) of 
    this section.
        (c) The owner or operator shall meet the following requirements as 
    applicable to the type of air emission control equipment selected by 
    the owner or operator:
        (1) The enclosure shall be designed and operated in accordance with 
    the criteria for a permanent total enclosure as specified in 
    ``Procedure T--Criteria for and Verification of a Permanent or 
    Temporary Total Enclosure'' under 40 CFR 52.741, Appendix B. The 
    enclosure may have permanent or temporary openings to allow worker 
    access; passage of containers through the enclosure by conveyor or 
    other mechanical means; entry of permanent mechanical or electrical 
    equipment; or to direct airflow into the enclosure. The owner or 
    operator shall perform the verification procedure for the enclosure as 
    specified in Section 5.0 to ``Procedure T--Criteria for and 
    Verification of a Permanent or Temporary Total Enclosure'' initially 
    when the enclosure is first installed and, thereafter, annually.
        (2) The closed-vent system and control device shall be designed and 
    operated in accordance with the requirements of 40 CFR 63.692.
        (d) Safety devices, as defined in Sec. 63.921 of this subpart, may 
    be installed and operated as necessary on any container, enclosure, 
    closed-vent system, or control device used to comply with this section.
    
    
    Sec. 63.925  Test methods and procedures.
    
        (a) Procedure for determining no detectable organic emissions for 
    the purpose of complying with of this subpart.
        (1) The test shall be conducted in accordance with the procedures 
    specified in Method 21 of 40 CFR part 60, appendix A. Each potential 
    leak interface (i.e., a location where organic vapor leakage could 
    occur) on the container, its cover, and associated closure devices, as 
    applicable to the container, shall be checked. Potential leak 
    interfaces that are associated with containers include, but are not 
    limited to: the interface of the cover rim and the container wall; the 
    periphery of any opening on the container or container cover and its 
    associated closure device; and the sealing seat interface on a spring-
    loaded pressure-relief valve.
        (2) The test shall be performed when the container filled with a 
    material having an organic HAP concentration representative of the 
    range of concentrations for the regulated-materials expected to be 
    managed in this type of container. During the test, the container cover 
    and closure devices shall be secured in the closed position.
        (3) The detection instrument shall meet the performance criteria of 
    Method 21 of 40 CFR part 60, appendix A, except the instrument response 
    factor criteria in section 3.1.2(a) of Method 21 shall be for the 
    average composition of the organic constituents in the material placed 
    in the container, not for each individual organic constituent.
        (4) The detection instrument shall be calibrated before use on each 
    day of its use by the procedures specified in Method 21 of 40 CFR part 
    60, appendix A.
        (5) Calibration gases shall be as follows:
        (i) Zero air (less than 10 ppmv hydrocarbon in air); and
        (ii) A mixture of methane in air at a concentration of 
    approximately, but less than 10,000 ppmv.
        (6) The background level shall be determined according to the 
    procedures in Method 21 of 40 CFR part 60 appendix A.
        (7) Each potential leak interface shall be checked by traversing 
    the instrument probe around the potential leak interface as close to 
    the interface as possible, as described in Method 21. In the case when 
    the configuration of the cover or closure device prevents a complete 
    traverse of the interface, all accessible portions of the interface 
    shall be sampled. In the case when the configuration of the closure 
    device prevents any sampling at the interface and the device is 
    equipped with an enclosed extension or horn (e.g., some pressure relief 
    devices), the instrument probe inlet shall be placed at approximately 
    the center of the exhaust area to the atmosphere.
        (8) The arithmetic difference between the maximum organic 
    concentration indicated by the instrument and the background level 
    shall be compared with the value of 500 ppmv. If the difference is less 
    than 500 ppmv, then the potential leak interface is determined to 
    operate with no detectable organic emissions.
    
    [[Page 34190]]
    
        (b) Procedure for determining a container to be vapor-tight for the 
    purpose of complying with this subpart.
        (1) The test shall be performed in accordance with Method 27 of 40 
    CFR part 60, appendix A of this chapter.
        (2) A pressure measurement device shall be used that has a 
    precision of  2.5 mm water and that is capable of measuring 
    above the pressure at which the container is to be tested for vapor 
    tightness.
        (3) If the test results determined by Method 27 indicate that the 
    container sustains a pressure change less than or equal to 750 Pascals 
    within 5 minutes after it is pressurized to a minimum of 4,500 Pascals, 
    then the container is determined to be vapor-tight.
    
    
    Sec. 63.926  Inspection and monitoring requirements.
    
        (a) Owners and operators of containers using either Container Level 
    1 or Container Level 2 controls in accordance with the provisions of 
    Secs. 63.922 and 63.923 of this subpart, respectively, shall inspect 
    the container and its cover and closure devices as follows:
        (1) In the case when a regulated-material already is in the 
    container at the time the owner or operator first accepts possession of 
    the container at the facility site and the container is not emptied 
    (i.e., does not meet the conditions for an empty container) within 24 
    hours after the container arrives at the facility site, the container 
    and its cover and closure devices shall be visually inspected by the 
    owner or operator to check for visible cracks, holes, gaps, or other 
    open spaces into the interior of the container when the cover and 
    closure devices are secured in the closed position. If a defect is 
    detected, the owner or operator shall repair the defect in accordance 
    with the requirements of paragraph (a)(3) of this section.
        (2) In the case when a container used for managing regulated-
    material remains at the facility site for a period of 1 year or more, 
    the container and its cover and closure devices shall be visually 
    inspected by the owner or operator initially and thereafter, at least 
    once every 12 months, to check for visible cracks, holes, gaps, or 
    other open spaces into the interior of the container when the cover and 
    closure devices are secured in the closed position. If a defect is 
    detected, the owner or operator shall repair the defect in accordance 
    with the requirements of paragraph (a)(3) of this section.
        (3) When a defect is detected for the container, cover, or closure 
    devices, the owner or operator shall make first efforts at repair of 
    the defect no later than 24 hours after detection and repair shall be 
    completed as soon as possible but no later than 5 calendar days after 
    detection. If repair of a defect cannot be completed within 5 calendar 
    days, then the regulated-material shall be removed from the container 
    and the container shall not be used to manage regulated-material until 
    the defect is repaired.
        (b) Owners and operators using Container Level 3 controls in 
    accordance with the provisions of Sec. 63.924 of this subpart shall 
    inspect and monitor the closed-vent systems and control devices in 
    accordance with the requirements of Sec. 63.693 in 40 CFR Part 63, 
    subpart DD--National Emission Standards for Hazardous Air Pollutants 
    from Off-Site Waste and Recovery Operations.
    
    
    Sec. 63.927  Recordkeeping requirements.
    
        (a) Owners and operators that use Container Level 3 controls in 
    accordance with the provisions of Sec. 63.924 of this subpart shall 
    prepare and maintain the following records:
        (1) Records for the most recent set of calculations and 
    measurements performed by the owner or operator to verify that the 
    enclosure meets the criteria of a permanent total enclosure as 
    specified in ``Procedure T--Criteria for and Verification of a 
    Permanent or Temporary Total Enclosure'' under 40 CFR 52.741, Appendix 
    B.
        (2) Records required for the closed-vent system and control device 
    in accordance with the requirements of Sec. 63.693 in 40 CFR Part 63, 
    subpart DD--National Emission Standards for Hazardous Air Pollutants 
    from Off-Site Waste and Recovery Operations.
    
    
    Sec. 63.928  Reporting requirements.
    
        (a) For owners and operators that use Container Level 3 controls in 
    accordance with the provisions of Sec. 63.924 of this subpart, the 
    owner or operator shall prepare and submit to the Administrator the 
    reports required for closed-vent systems and control devices in 
    accordance with the requirements of Sec. 63.693 in 40 CFR Part 63, 
    subpart DD--National Emission Standards for Hazardous Air Pollutant 
    Standards from Off-Site Waste and Recovery Operations.
        7. Part 63 is amended by adding subpart QQ consisting of 
    Secs. 63.940 through 63.948 to read as follows:
    
    Subpart QQ--National Emission Standards for Surface Impoundments
    
    Sec.
    63.940  Applicability.
    63.941  Definitions.
    63.942  Standards--Surface impoundment floating membrane cover.
    63.943  Standards--Surface impoundment cover vented to control 
    device.
    63.944  [Reserved]
    63.945  Test methods and procedures.
    63.946  Inspection and monitoring requirements.
    63.947  Recordkeeping requirements.
    63.948  Reporting requirements.
    
    Subpart QQ--National Emission Standards for Surface Impoundments
    
    
    Sec. 63.940  Applicability.
    
        The provisions of this subpart apply to the control of air 
    emissions from surface impoundments for which another subpart of 40 CFR 
    parts 60, 61, or 63 references the use of this subpart for such air 
    emission control. These air emission standards for surface impoundments 
    are placed here for administrative convenience and only apply to those 
    owners and operators of facilities subject to the other subparts that 
    reference this subpart. The provisions of 40 CFR part 63, subpart AA--
    General Provisions do not apply to this subpart except as noted in the 
    subpart that references this subpart.
    
    
    Sec. 63.941  Definitions.
    
        All terms used in this subpart shall have the meaning given to them 
    in the Act and in this section. If a term is defined in both this 
    section and in another subpart that references the use of this subpart, 
    then the definition in this subpart shall take precedence when 
    implementing this subpart.
        Closure device means a cap, hatch, lid, plug, seal, valve, or other 
    type of fitting that prevents or reduces air emissions to the 
    atmosphere by blocking an opening in a surface impoundment cover when 
    the device is secured in the closed position. Closure devices include 
    devices that are detachable from the cover (e.g., a sampling port cap), 
    manually operated (e.g., a hinged access lid or hatch), or 
    automatically operated (e.g., a spring loaded pressure relief valve).
        Cover means an air-supported structure, rigid roof, or other device 
    that prevents or reduces air pollutant emissions to the atmosphere by 
    forming a continuous barrier over the material managed in a surface 
    impoundment. A cover may have openings (such as access hatches) that 
    are necessary for operation, inspection, maintenance, and repair of 
    equipment in the surface impoundment on which the cover is used.
        No detectable organic emissions means no escape of organics to the 
    atmosphere as determined using the procedure specified in 
    Sec. 63.944(a) of this subpart.
    
    [[Page 34191]]
    
        Regulated-material means the material (e.g. waste, wastewater, off-
    site material) required to be managed in containers using air emission 
    controls in accordance with the standards specified in this subpart.
        Safety device means a closure device such as a pressure relief 
    valve, frangible disc, fusible plug, or any other type of device which 
    functions exclusively to prevent physical damage or permanent 
    deformation to the surface impoundment air emission control equipment 
    by venting gases or vapors directly to the atmosphere during unsafe 
    conditions resulting from an unplanned, accidental, or emergency event. 
    For the purpose of this subpart, a safety device is not used for 
    routine venting of gases or vapors from the vapor headspace underneath 
    the surface impoundment cover such as during filling of the surface 
    impoundment or to adjust the pressure in this vapor headspace in 
    response to normal daily diurnal ambient temperature fluctuations. A 
    safety device is designed to remain in a closed position during normal 
    operations and open only when the internal pressure, or another 
    relevant parameter, exceeds the device threshold setting applicable to 
    the air emission control equipment as determined by the owner or 
    operator based on manufacturer recommendations, applicable regulations, 
    fire protection and prevention codes, standard engineering codes and 
    practices, or other requirements for the safe handling of flammable, 
    ignitible, explosive, reactive, or hazardous materials.
        Surface impoundment means a unit that is a natural topographical 
    depression, man-made excavation, or diked area formed primarily of 
    earthen materials (although it may be lined with man-made materials), 
    which is designed to hold an accumulation of liquids. Examples of 
    surface impoundments include holding, storage, settling, and aeration 
    pits, ponds, and lagoons.
    
    
    Sec. 63.942  Standards--Surface impoundment floating membrane cover.
    
        (a) This section applies to owners and operators subject to this 
    subpart and controlling air emissions from a surface impoundment using 
    a floating membrane cover.
        (b) The surface impoundment shall be equipped with a floating 
    membrane cover designed to meet the following specifications:
        (1) The floating membrane cover shall be designed to float on the 
    liquid surface during normal operations, and form a continuous barrier 
    over the entire surface area of the liquid.
        (2) The cover shall be fabricated from a synthetic membrane 
    material that is either:
        (i) High density polyethylene (HDPE) with a thickness no less than 
    2.5 millimeters (mm); or
        (ii) A material or a composite of different materials determined to 
    have both organic permeability properties that are equivalent to those 
    of the material listed in paragraph (b)(2)(i) of this section; and 
    chemical and physical properties that maintain the material integrity 
    for the intended service life of the material.
        (3) The cover shall be installed in a manner such that there are no 
    visible cracks, holes, gaps, or other open spaces between cover section 
    seams or between the interface of the cover edge and its foundation 
    mountings.
        (4) Except as provided for in paragraph (b)(5) of this section, 
    each opening in the floating membrane cover shall be equipped with a 
    closure device designed to operate such that when the closure device is 
    secured in the closed position there are no visible cracks, holes, 
    gaps, or other open spaces in the closure device or between the 
    perimeter of the cover opening and the closure device.
        (5) The floating membrane cover may be equipped with one or more 
    emergency cover drains for removal of stormwater. Each emergency cover 
    drain shall be equipped with a slotted membrane fabric cover that 
    covers at least 90 percent of the area of the opening or a flexible 
    fabric sleeve seal.
        (6) The closure devices shall be made of suitable materials that 
    will minimize exposure of the regulated-material to the atmosphere, to 
    the extent practical, and will maintain the integrity of the equipment 
    throughout its intended service life. Factors to be considered when 
    selecting the materials for and designing the cover and closure devices 
    shall include: organic vapor permeability; the effects of any contact 
    with the liquid and its vapor managed in the surface impoundment; the 
    effects of outdoor exposure to wind, moisture, and sunlight; and the 
    operating practices used for the surface impoundment on which the 
    floating membrane cover is installed.
        (c) Whenever a regulated-material is in the surface impoundment, 
    the floating membrane cover shall float on the liquid and each closure 
    device shall be secured in the closed position except as follows:
        (1) Opening of closure devices or removal of the cover is allowed 
    at the following times:
        (i) To provide access to the surface impoundment for performing 
    routine inspection, maintenance, or other activities needed for normal 
    operations. Examples of such activities include those times when a 
    worker needs to open a port to sample the liquid in the surface 
    impoundment, or when a worker needs to open a hatch to maintain or 
    repair equipment. Following completion of the activity, the owner or 
    operator shall promptly replace the cover and secure the closure device 
    in the closed position, as applicable.
        (ii) To remove accumulated sludge or other residues from the bottom 
    of surface impoundment.
        (2) Opening of a spring-loaded pressure-vacuum relief valve, 
    conservation vent, or similar type of pressure relief device which 
    vents to the atmosphere is allowed during normal operations for the 
    purpose of maintaining the pressure in the vapor headspace underneath 
    the cover in accordance with the cover design specifications. The 
    device shall be designed to operate with no detectable organic 
    emissions as defined in Sec. 63.941 of this subpart when the device is 
    secured in the closed position. The settings at which the device opens 
    shall be established such that the device remains in the closed 
    position whenever the cover vapor headspace pressure is within the 
    pressure operating range determined by the owner or operator based on 
    the cover manufacturer recommendations, applicable regulations, fire 
    protection and prevention codes, standard engineering codes and 
    practices, or other requirements for the safe handling of flammable, 
    ignitible, explosive, reactive, or hazardous materials.
        (3) Opening of a safety device, as defined in Sec. 63.941 of this 
    subpart, is allowed at any time conditions require it to do so to avoid 
    an unsafe condition.
        (d) The owner or operator shall inspect the floating membrane cover 
    in accordance with the procedures specified in Sec. 63.946(a) of this 
    subpart.
    
    
    Sec. 63.943  Standards--Surface impoundment vented to control device.
    
        (a) This section applies to owners and operators subject to this 
    subpart and controlling air emissions from a surface impoundment using 
    a cover and venting the vapor headspace underneath the cover through a 
    closed-vent system to a control device.
        (b) The surface impoundment shall be covered by a cover and vented 
    directly through a closed-vent system to a control device in accordance 
    with the following requirements:
        (1) The cover and its closure devices shall be designed to form a 
    continuous
    
    [[Page 34192]]
    
    barrier over the entire surface area of the liquid in the surface 
    impoundment.
        (2) Each opening in the cover not vented to the control device 
    shall be equipped with a closure device. If the pressure in the vapor 
    headspace underneath the cover is less than atmospheric pressure when 
    the control device is operating, the closure devices shall be designed 
    to operate such that when the closure device is secured in the closed 
    position there are no visible cracks, holes, gaps, or other open spaces 
    in the closure device or between the perimeter of the cover opening and 
    the closure device. If the pressure in the vapor headspace underneath 
    the cover is equal to or greater than atmospheric pressure when the 
    control device is operating, the closure device shall be designed to 
    operate with no detectable organic emissions using the procedure 
    specified in Sec. 63.945(a) of this subpart.
        (3) The cover and its closure devices shall be made of suitable 
    materials that will minimize exposure of the regulated-material to the 
    atmosphere, to the extent practical, and will maintain the integrity of 
    the equipment throughout its intended service life. Factors to be 
    considered when selecting the materials for and designing the cover and 
    closure devices shall include: organic vapor permeability; the effects 
    of any contact with the liquid or its vapors managed in the surface 
    impoundment; the effects of outdoor exposure to wind, moisture, and 
    sunlight; and the operating practices used for the surface impoundment 
    on which the cover is installed.
        (4) The closed-vent system and control device shall be designed and 
    operated in accordance with the requirements of Sec. 63.693 in 40 CFR 
    part 63, subpart DD--National Emission Standards for Hazardous Air 
    Pollutant Standards from Off-Site Waste and Recovery Operations.
        (c) Whenever a regulated-material is in the surface impoundment, 
    the cover shall be installed with each closure device secured in the 
    closed position and the vapor headspace underneath the cover vented to 
    the control device except as follows:
        (1) Venting to the control device is not required, and opening of 
    closure devices or removal of the cover is allowed at the following 
    times:
        (i) To provide access to the surface impoundment for performing 
    routine inspection, maintenance, or other activities needed for normal 
    operations. Examples of such activities include those times when a 
    worker needs to open a port to sample liquid in the surface 
    impoundment, or when a worker needs to open a hatch to maintain or 
    repair equipment. Following completion of the activity, the owner or 
    operator shall promptly secure the closure device in the closed 
    position or reinstall the cover, as applicable, to the surface 
    impoundment.
        (ii) To remove accumulated sludge or other residues from the bottom 
    of surface impoundment.
        (2) Opening of a safety device, as defined in Sec. 63.941 of this 
    subpart, is allowed at any time conditions require it to do so to avoid 
    an unsafe condition.
        (d) The owner or operator shall inspect and monitor the air 
    emission control equipment in accordance with the procedures specified 
    in Sec. 63.946(b) of this subpart.
    
    
    Sec. 63.944  [Reserved]
    
    
    Sec. 63.945  Test methods and procedures.
    
        (a) Procedure for determining no detectable organic emissions for 
    the purpose of complying with this subpart.
        (1) The test shall be conducted in accordance with the procedures 
    specified in Method 21 of 40 CFR part 60, appendix A. Each potential 
    leak interface (i.e., a location where organic vapor leakage could 
    occur) on the cover and associated closure devices shall be checked. 
    Potential leak interfaces that are associated with covers and closure 
    devices include, but are not limited to: the interface of the cover and 
    its foundation mounting; the periphery of any opening on the cover and 
    its associated closure device; and the sealing seat interface on a 
    spring-loaded pressure-relief valve.
        (2) The test shall be performed when the surface impoundment 
    contains a material having an organic HAP concentration representative 
    of the range of concentrations for the regulated-materials expected to 
    be managed in the surface impoundment. During the test, the cover and 
    closure devices shall be secured in the closed position.
        (3) The detection instrument shall meet the performance criteria of 
    Method 21 of 40 CFR part 60, appendix A, except the instrument response 
    factor criteria in section 3.1.2(a) of Method 21 shall be for the 
    average composition of the organic constituents in the regulated-
    material placed in the surface impoundment, not for each individual 
    organic constituent.
        (4) The detection instrument shall be calibrated before use on each 
    day of its use by the procedures specified in Method 21 of 40 CFR part 
    60, appendix A.
        (5) Calibration gases shall be as follows:
        (i) Zero air (less than 10 ppmv hydrocarbon in air); and
        (ii) A mixture of methane in air at a concentration of 
    approximately, but less than 10,000 ppmv.
        (6) The background level shall be determined according to the 
    procedures in Method 21 of 40 CFR part 60, appendix A.
        (7) Each potential leak interface shall be checked by traversing 
    the instrument probe around the potential leak interface as close to 
    the interface as possible, as described in Method 21. In the case when 
    the configuration of the cover or closure device prevents a complete 
    traverse of the interface, all accessible portions of the interface 
    shall be sampled. In the case when the configuration of the closure 
    device prevents any sampling at the interface and the device is 
    equipped with an enclosed extension or horn (e.g., some pressure relief 
    devices), the instrument probe inlet shall be placed at approximately 
    the center of the exhaust area to the atmosphere.
        (8) The arithmetic difference between the maximum organic 
    concentration indicated by the instrument and the background level 
    shall be compared with the value of 500 ppmv. If the difference is less 
    than 500 ppmv, then the potential leak interface is determined to 
    operate with no detectable organic emissions.
    
    
    Sec. 63.946  Inspection and monitoring requirements.
    
        (a) Owners and operators that use a surface impoundment equipped 
    with a floating membrane cover in accordance with the provisions of 
    Sec. 63.942 of this subpart shall meet the following requirements:
        (1) The floating membrane cover and its closure devices shall be 
    visually inspected by the owner or operator to check for defects that 
    could result in air emissions. Defects include, but are not limited to, 
    visible cracks, holes, or gaps in the cover section seams or between 
    the interface of the cover edge and its foundation mountings; broken, 
    cracked, or otherwise damaged seals or gaskets on closure devices; and 
    broken or missing hatches, access covers, caps, or other closure 
    devices.
        (2) The owner or operator shall perform the inspections following 
    installation of the floating membrane cover and, thereafter, at least 
    once every year.
        (3) In the event that a defect is detected, the owner or operator 
    shall repair the defect in accordance with the requirements of 
    paragraph (c) of this section.
        (4) The owner or operator shall maintain a record of the inspection 
    in accordance with the requirements
    
    [[Page 34193]]
    
    specified in Sec. 63.947(a)(2) of this subpart.
        (b) Owners and operators that use a surface impoundment equipped 
    with a cover and vented through a closed-vent system to a control 
    device in accordance with the provisions of Sec. 63.943 of this subpart 
    shall inspect the air emission control equipment as follows:
        (1) The owner or operator shall visually inspect the cover in 
    accordance with the following requirements:
        (i) The cover and its closure devices shall be visually inspected 
    by the owner or operator to check for defects that could result in air 
    emissions. Defects include, but are not limited to, visible cracks, 
    holes, or gaps in the roof sections or between the interface of the 
    roof edge and its foundation mountings; broken, cracked, or otherwise 
    damaged seals or gaskets on closure devices; and broken or missing 
    hatches, access covers, caps, or other closure devices.
        (ii) The owner or operator shall perform the inspections following 
    installation of the cover and, thereafter, at least once every year.
        (iii) In the event that a defect is detected, the owner or operator 
    shall repair the defect in accordance with the requirements of 
    paragraph (c) of this section.
        (iv) The owner or operator shall maintain a record of the 
    inspection in accordance with the requirements specified in 
    Sec. 63.947(a)(2) of this subpart.
        (2) The owner or operator shall inspect and monitor the closed-vent 
    system and the control device in accordance with the requirements 
    specified in Sec. 63.693 in 40 CFR part 63 subpart DD--National 
    Emission Standards for Hazardous Air Pollutant Standards from Off-Site 
    Waste and Recovery Operations.
        (c) The owner or operator shall repair all detected defects as 
    follows:
        (1) The owner or operator shall make first efforts at repair of the 
    defect no later than 5 calendar days after detection and repair shall 
    be completed as soon as possible but no later than 45 calendar days 
    after detection except as provided in paragraph (c)(2) of this section.
        (2) Repair of a defect may be delayed beyond 45 calendar days if 
    the owner or operator determines that repair of the defect requires 
    emptying or temporary removal from service of the surface impoundment 
    and no alternative surface impoundment or tank capacity is available at 
    the site to accept the regulated-material normally managed in the 
    surface impoundment. In this case, the owner or operator shall repair 
    the defect at the next time the process or unit that is generating the 
    regulated-material managed in the surface impoundment stops operation. 
    Repair of the defect shall be completed before the process or unit 
    resumes operation.
        (3) The owner or operator shall maintain a record of the defect 
    repair in accordance with the requirements specified in Sec. 63.947 of 
    this subpart.
    
    
    Sec. 63.947  Recordkeeping requirements.
    
        (a) Each owner or operator shall prepare and maintain the following 
    records:
        (1) Documentation describing the floating membrane cover or cover 
    design, as applicable to the surface impoundment.
        (2) A record for each inspection required by Sec. 63.946 of this 
    subpart that includes the following information: a surface impoundment 
    identification number (or other unique identification description as 
    selected by the owner or operator) and the date of inspection.
        (3) The owner or operator shall record for each defect detected 
    during inspections required by Sec. 63.946 of this subpart the 
    following information: the location of the defect, a description of the 
    defect, the date of detection, and corrective action taken to repair 
    the defect. In the event that repair of the defect is delayed in 
    accordance with the provisions of Sec. 63.946(c)(2) of this section, 
    the owner or operator shall also record the reason for the delay and 
    the date that completion of repair of the defect is expected.
        (b) Owners and operators that use a surface impoundment equipped 
    with a fixed-roof and vented through a closed-vent system to a control 
    device in accordance with the provisions of Sec. 63.943 of this subpart 
    shall prepare and maintain the records required for the closed-vent 
    system and control device in accordance with the requirements of 
    Sec. 63.693 in 40 CFR part 63, subpart DD--National Emission Standards 
    for Hazardous Air Pollutant Standards from Off-Site Waste and Recovery 
    Operations.
    
    
    Sec. 63.948  Reporting requirements.
    
        Owners and operators that use a surface impoundment equipped with a 
    fixed-roof and vented through a closed-vent system to a control device 
    in accordance with the provisions of Sec. 63.943 of this subpart shall 
    prepare and submit to the Administrator the reports required for 
    closed-vent systems and control devices in accordance with the 
    requirements of Sec. 63.693 in 40 CFR part 63, subpart DD--National 
    Emission Standards for Hazardous Air Pollutant Standards from Off-Site 
    Waste and Recovery Operations.
        8. Part 63 is amended by adding subpart RR consisting of 
    Secs. 63.960 through 63.966 to read as follows:
    
    Subpart RR--National Emission Standards for Individual Drain Systems
    
    Sec.
    63.960  Applicability.
    63.961  Definitions.
    63.962  Standards.
    63.963  [Reserved]
    63.964  Inspection and monitoring requirements.
    63.965  Recordkeeping requirements.
    63.966  Reporting requirements.
    
    Subpart RR--National Emission Standards for Individual Drain 
    Systems
    
    
    Sec. 63.960    Applicability.
    
        (a) The provisions of this subpart apply to the control of air 
    emissions from individual drain systems for which another subpart of 40 
    CFR parts 60, 61, or 63 references the use of this subpart for such air 
    emission control. These air emission standards for individual drain 
    systems are placed here for administrative convenience and only apply 
    to those owners and operators of facilities subject to the other 
    subparts that reference this subpart. The provisions of 40 CFR part 63, 
    subpart A--General Provisions do not apply to this subpart except as 
    noted in the subpart that references this subpart.
    
    
    Sec. 63.961  Definitions.
    
        All terms used in this subpart shall have the meaning given to them 
    in the Act and in this section. If a term is defined in both this 
    section and in another subpart that references the use of this subpart, 
    then the definition in this subpart shall take precedence when 
    implementing this subpart.
        Closure device means a cap, cover, hatch, lid, plug, seal, valve, 
    or other type of fitting that, when the device is secured in the closed 
    position, prevents or reduces air emissions to the atmosphere by 
    blocking an opening to the individual drain system. Closure devices 
    include devices that are detachable (e.g., a plug or manhole cover), 
    manually operated (e.g., a hinged access lid or hatch), or 
    automatically operated (e.g., a spring-loaded pressure relief valve).
        Hard-piping means pipe or tubing that is manufactured and properly 
    installed in accordance with relevant standards (e.g., ANSI B31-3) and 
    good engineering practices.
        Individual drain system means a stationary system used to convey 
    wastewater streams or residuals to a waste management unit or to 
    discharge or disposal. The term includes hard-piping, all drains and 
    junction boxes, together with their associated sewer
    
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    lines and other junction boxes (e.g., manholes, sumps, and lift 
    stations) conveying wastewater streams or residuals. For the purpose of 
    this subpart, an individual drain system is not a drain and collection 
    system that is designed and operated for the sole purpose of collecting 
    rainfall runoff (e.g., stormwater sewer system) and is segregated from 
    all other individual drain systems.
        Junction box means a sump, manhole, or access point to a sewer line 
    or a lift station.
        Sewer line means a lateral, trunk line, branch line, or other 
    conduit used to convey wastewater to a downstream waste management 
    unit. Sewer lines include pipes, grates, and trenches.
        Waste management unit means the equipment, structure, or device 
    used to convey, store, treat, or dispose of wastewater streams or 
    residuals. Examples of waste management units include: wastewater 
    tanks, surface impoundments, individual drain systems, and biological 
    wastewater treatment units. Examples of equipment that may be waste 
    management units include containers, air flotation units, oil-water 
    separators or organic-water separators, or organic removal devices such 
    as decanters, strippers, or thin-film evaporation units.
        Water seal means a seal pot, p-leg trap, or other type of trap 
    filled with water (e.g., flooded sewers that maintain liquid levels 
    adequate to prevent air flow through the system) that creates a liquid 
    barrier between the sewer line and the atmosphere. The liquid level of 
    the seal must be maintained in the vertical leg of a drain in order to 
    be considered a water seal.
    
    
    Sec. 63.962  Standards.
    
        (a) The owner or operator subject to this subpart shall control air 
    emissions from the individual drain system using one or a combination 
    of the following:
        (1) Covers, water seals, and other air emission control equipment 
    as specified in paragraph (b) of this section.
        (2) Hard-piping.
        (3) Venting of the individual drain system through a closed vent 
    system to a control device in accordance with the following 
    requirements:
        (i) The individual drain system is designed and operated such that 
    an internal pressure in the vapor headspace in the system is maintained 
    at a level less than atmospheric pressure when the control device is 
    operating, and
        (ii) The closed vent system and control device are designed and 
    operated in accordance with the requirements of Sec. 63.693 in 40 CFR 
    part 63, subpart DD--National Emission Standards for Hazardous Air 
    Pollutant Standards from Off-Site Waste and Recovery Operations.
        (b) Owners and operators controlling air emissions from an 
    individual drain system in accordance with paragraph (a)(1) of this 
    section shall meet the following requirements:
        (1) The individual drain system shall be designed to segregate the 
    organic vapors from wastewater managed in the controlled individual 
    drain system from entering any other individual drain system that is 
    not controlled for air emissions in accordance with the standards 
    specified in this subpart.
        (2) Drain control requirements. Each drain shall be equipped with 
    either a water seal or a closure device in accordance with the 
    following requirements:
        (i) When a water seal is used, the water seal shall be designed 
    such that either:
        (A) The outlet to the pipe discharging the wastewater extends below 
    the liquid surface in the water seal of the drain; or
        (B) A flexible shield or other device is installed which restricts 
    wind motion across the open space between the outlet of the pipe 
    discharging the wastewater and the drain.
        (ii) When a closure device is used (e.g., securing a cap or plug on 
    a drain that is not receiving wastewater), the closure device shall be 
    designed to operate such that when the closure device is secured in the 
    closed position there are no visible cracks, holes, gaps, or other open 
    spaces in the closure device or between the perimeter of the drain 
    opening and the closure device.
        (3) Junction box control requirements. Each junction box shall be 
    equipped with controls as follows:
        (i) The junction box shall be equipped with a closure device (e.g., 
    manhole cover, access hatch) that is designed to operate such that when 
    the closure device is secured in the closed position there are no 
    visible cracks, holes, gaps, or other open spaces in the closure device 
    or between the perimeter of the junction box opening and the closure 
    device.
        (ii) If the junction box is vented, the junction box shall be 
    vented in accordance with the following requirements:
        (A) The junction box shall be vented through a closed vent system 
    to a control device except as provided for in paragraph (b)(3)(ii)(B) 
    of this section. The closed vent system and control device shall be 
    designed and operated in accordance in accordance with the standards 
    specified in Sec. 63.693 in 40 CFR part 63, subpart DD--National 
    Emission Standards for Hazardous Air Pollutant Standards from Off-Site 
    Waste and Recovery Operations.
        (B) As an alternative to paragraph (b)(3)(ii)(A) of this section, 
    the owner or operator may vent the junction box directly to the 
    atmosphere when all of the following conditions are met:
        (1) The junction box is filled and emptied by gravity flow (i.e., 
    there is no pump) or is operated with no more than slight fluctuations 
    in the liquid level. Large changes in the size of the junction box 
    vapor headspace created by using a pump to repeatedly empty and then 
    refill the junction box do not meet this condition.
        (2) The vent pipe installed on the junction box shall be at least 
    90 centimeters in length and no greater than 10.2 centimeter in 
    diameter.
        (3) Water seals are installed at the liquid entrance(s) to or exit 
    from the junction box to restrict ventilation in the individual drain 
    system and between components in the individual drain system. The owner 
    or operator shall demonstrate (e.g., by visual inspection or smoke 
    test) upon request by the Administrator that the junction box water 
    seal is properly designed and restricts ventilation.
        (4) Sewer line control requirements. Each sewer line shall not be 
    open to the atmosphere and shall be covered or closed in a manner such 
    that there are no visible cracks, holes, gaps, or other open spaces in 
    the sewer line joints, seals, or other emission interfaces.
        (5) Operating requirements. The owner or operator shall operate the 
    air emission controls required by paragraphs (b)(2) through (b)(4) of 
    this section in accordance with the following requirements:
        (i) Each closure device shall be maintained in a closed position 
    whenever wastewater is in the individual drain system except when it is 
    necessary to remove or open the closure device for sampling or removing 
    material in the individual drain system, or for equipment inspection, 
    maintenance, or repair.
        (ii) Each drain equipped with a water seal and open to the 
    atmosphere shall be operated to ensure that the liquid in the water 
    seal is maintained at the appropriate level. Examples of acceptable 
    means for complying with this provision include but are not limited to 
    using a flow-monitoring device indicating positive flow from a main to 
    a branch water line supplying a trap; continuously dripping water into 
    the trap using a hose; or regular visual observations.
        (iii) Each closed-vent system and the control device used to comply 
    with paragraph (b)(3)(ii)(A) of this section
    
    [[Page 34195]]
    
    shall be operated in accordance with the standards specified in 40 CFR 
    63.693.
    
    
    Sec. 63.963  [Reserved].
    
    
    Sec. 63.964  Inspection and monitoring requirements.
    
        (a) The owner or operator shall inspect the individual drain system 
    in accordance with the following requirements:
        (1) The individual drain system shall be visually inspected by the 
    owner or operator as follows to check for defects that could result in 
    air emissions to the atmosphere.
        (i) The owner or operator shall visually inspect each drain as 
    follows:
        (A) In the case when the drain is using a water seal to control air 
    emissions, the owner or operator shall verify appropriate liquid levels 
    are being maintained and identify any other defects that could reduce 
    water seal control effectiveness.
        (B) In the case when the drain is using a closure device to control 
    air emissions, the owner or operator shall visually inspect each drain 
    to verify that the closure device is in place and there are no defects. 
    Defects include, but are not limited to, visible cracks, holes, or gaps 
    in the closure devices; broken, cracked, or otherwise damaged seals or 
    gaskets on closure devices; and broken or missing plugs, caps, or other 
    closure devices.
        (ii) The owner or operator shall visually inspect each junction box 
    to verify that closure devices are in place and there are no defects. 
    Defects include, but are not limited to, visible cracks, holes, or gaps 
    in the closure devices; broken, cracked, or otherwise damaged seals or 
    gaskets on closure devices; and broken or missing hatches, access 
    covers, caps, or other closure devices.
        (iii) The owner or operator shall visually inspect the unburied 
    portion of each sewer line to verify that all closure devices are in 
    place and there are no defects. Defects include, but are not limited 
    to, visible cracks, holes, gaps, or other open spaces in the sewer line 
    joints, seals, or other emission interfaces.
        (iv) The owner or operator shall perform the inspections initially 
    at the time of installation of the water seals and closure devices for 
    the individual drain system and, thereafter, at least once every year.
        (v) In the event that a defect is detected, the owner or operator 
    shall repair the defect in accordance with the requirements of 
    paragraph (b) of this section.
        (vi) The owner or operator shall maintain a record of the 
    inspection in accordance with the requirements specified in 
    Sec. 63.965(a) of this subpart.
        (2) The owner or operator shall inspect and monitor the closed-vent 
    system and the control device in accordance with the requirements 
    specified in Sec. 63.693 in 40 CFR 63 subpart DD--National Emission 
    Standards for Hazardous Air Pollutants from Off-Site Waste and Recovery 
    Operations.
        (b) The owner or operator shall repair all detected defects as 
    follows:
        (1) The owner or operator shall make first efforts at repair of the 
    defect no later than 5 calendar days after detection and repair shall 
    be completed as soon as possible but no later than 15 calendar days 
    after detection except as provided in paragraph (b)(2) of this section.
        (2) Repair of a defect may be delayed beyond 15 calendar days if 
    the owner or operator determines that repair of the defect requires 
    emptying or temporary removal from service of the individual drain 
    system and no alternative capacity is available at the facility site to 
    accept the wastewater normally managed in the individual drain system. 
    In this case, the owner or operator shall repair the defect at the next 
    time the process or unit that is generating the wastewater managed in 
    the individual drain system stops operation. Repair of the defect shall 
    be completed before the process or unit resumes operation.
        (3) The owner or operator shall maintain a record of the defect 
    repair in accordance with the requirements specified in 
    Sec. 63.965(a)(3) of this subpart.
    
    
    Sec. 63.965  Recordkeeping requirements.
    
        (a) Each owner or operator complying with Sec. 63.962(a)(1) of this 
    subpart shall prepare and maintain the following records:
        (1) A written site-specific individual drain system inspection plan 
    that includes a drawing or schematic of the individual drain system and 
    identifies each drain, junction box, and sewer line location.
        (2) A record of the date that each inspection required by 
    Sec. 63.964(a) of this subpart is performed.
        (3) When applicable, a record for each defect detected during 
    inspections required by Sec. 63.964(a) of this subpart that includes 
    the following information: the location of the defect, a description of 
    the defect, the date of detection, the corrective action taken to 
    repair the defect, and the date that the corrective action was 
    completed. In the event that repair of the defect is delayed in 
    accordance with the provisions of Sec. 63.964(b)(2) of this section, 
    the owner or operator shall also record the reason for the delay and 
    the date that completion of repair of the defect is expected.
        (b) Owners and operators that use a closed-vent system and a 
    control device in accordance with the provisions of Sec. 63.962(a)(3) 
    or Sec. 63.692(b)(3)(ii)(A) of this subpart shall prepare and maintain 
    the records required for the closed-vent system and control device in 
    accordance with the requirements of Sec. 63.693 in 40 CFR part 63, 
    subpart DD--National Emission Standards for Hazardous Air Pollutants 
    from Off-Site Waste and Recovery Operations.
    
    
    Sec. 63.966  Reporting requirements.
    
        Owners and operators that use a closed-vent system and a control 
    device in accordance with the provisions of Sec. 63.962(a)(3) or 
    Sec. 63.962(b)(3)(ii)(A) of this subpart shall prepare and submit to 
    the Administrator the reports required for closed-vent systems and 
    control devices in accordance with the requirements of Sec. 63.693 in 
    40 CFR part 63, subpart DD--National Emission Standards for Hazardous 
    Air Pollutants from Off-Site Waste and Recovery Operations.
        9. Part 63 is amended by adding subpart VV consisting of 
    Secs. 63.1040 through 63.1049 to read as follows:
    Subpart VV--National Emission Standards for Oil-Water Separators and 
    Organic-Water Separators
    Sec.
    63.1040  Applicability.
    63.1041  Definitions.
    63.1042  Standards--Separator fixed roof.
    63.1043  Standards--Separator floating roof.
    63.1044  Standards--Separator vented to control device.
    63.1045  [Reserved]
    63.1046  Test methods and procedures.
    63.1047  Inspection and monitoring requirements.
    63.1048  Recordkeeping requirements.
    63.1049  Reporting requirements.
    
    Subpart VV--National Emission Standards for Oil-Water Separators 
    and Organic-Water Separators
    
    
    63.1040  Applicability.
    
        The provisions of this subpart apply to the control of air 
    emissions from oil-water separators and organic-water separators for 
    which another subpart of 40 CFR parts 60, 61, or 63 references the use 
    of this subpart for such air emission control. These air emission 
    standards for oil-water separators and organic-water separators are 
    placed here for administrative convenience and only apply to those 
    owners and operators of facilities subject to the other subparts that 
    reference this subpart. The provisions of 40 CFR part 63, subpart
    
    [[Page 34196]]
    
    A--General Provisions do not apply to this subpart except as noted in 
    the subpart that references this subpart.
    
    
    Sec. 63.1041  Definitions.
    
        All terms used in this subpart shall have the meaning given to them 
    in the Act and in this section. If a term is defined in both this 
    section and in another subpart that references the use of this subpart, 
    then the definition in this subpart shall take precedence when 
    implementing this subpart.
        Closure device means a cap, hatch, lid, plug, seal, valve, or other 
    type of fitting that, when the device is secured in the closed 
    position, prevents or reduces air emissions to the atmosphere by 
    blocking an opening in a fixed roof or floating roof. Closure devices 
    include devices that are detachable from the cover (e.g., a sampling 
    port cap), manually operated (e.g., a hinged access lid or hatch), or 
    automatically operated (e.g., a spring-loaded pressure relief valve).
        Continuous seal means a seal that forms a continuous closure that 
    completely covers the space between the edge of the floating roof and 
    the wall of a separator. A continuous seal may be constructed of 
    fastened segments so as to form a continuous seal.
        Fixed roof means a cover that is mounted on a separator in a 
    stationary position and does not move with fluctuations in the level of 
    the liquid managed in the separator.
        Floating roof means a pontoon-type or double-deck type cover that 
    rests upon and is supported by the liquid managed in a separator.
        Liquid-mounted seal means a foam- or liquid-filled continuous seal 
    that is mounted between the wall of the separator and the floating 
    roof, and the seal is in contact with the liquid in a separator.
        Oil-water separator means a separator as defined for this subpart 
    that is used to separate oil from water.
        Organic-water separator means a separator as defined for this 
    subpart that is used to separate organics from water.
        Metallic shoe seal means a continuous seal that is constructed of 
    metal sheets which are held vertically against the wall of the 
    separator by springs, weighted levers, or other mechanisms and is 
    connected to the floating roof by braces or other means. A flexible 
    coated fabric (envelope) spans the annular space between the metal 
    sheet and the floating roof.
        No detectable organic emissions means no escape of organics to the 
    atmosphere as determined using the procedure specified in 
    Sec. 63.1046(a) of this subpart.
        Regulated-material means the material (e.g. waste, wastewater, off-
    site material) required to be managed in separators using air emission 
    controls in accordance with the standards specified in this subpart.
        Safety device means a closure device such as a pressure relief 
    valve, frangible disc, fusible plug, or any other type of device which 
    functions exclusively to prevent physical damage or permanent 
    deformation to the separator air emission control equipment by venting 
    gases or vapors directly to the atmosphere during unsafe conditions 
    resulting from an unplanned, accidental, or emergency event. For the 
    purpose of this subpart, a safety device is not used for routine 
    venting of gases or vapors from the vapor headspace underneath the 
    separator cover. A safety device is designed to remain in a closed 
    position during normal operations and open only when the internal 
    pressure, or another relevant parameter, exceeds the device threshold 
    setting applicable to the air emission control equipment as determined 
    by the owner or operator based on manufacturer recommendations, 
    applicable regulations, fire protection and prevention codes, standard 
    engineering codes and practices, or other requirements for the safe 
    handling of flammable, ignitable, explosive, reactive, or hazardous 
    materials.
        Separator means a waste management unit, generally a tank, that is 
    used to separate oil or organics from water. A separator consists of 
    not only the separation unit but also the forebay and other separator 
    basins, skimmers, weirs, grit chambers, sludge hoppers, and bar screens 
    that are located directly after the individual drain system and prior 
    to any additional treatment units such as an air flotation unit 
    clarifier or biological treatment unit. Examples of a separator include 
    an API separator, parallel-plate interceptor, and corrugated-plate 
    interceptor with the associated ancillary equipment.
    
    
    Sec. 63.1042  Standards--Separator fixed roof.
    
        (a) This section applies to owners and operators subject to this 
    subpart and controlling air emissions from an oil-water separator or 
    organic-water separator using a fixed roof.
        (b) The separator shall be equipped with a fixed roof designed to 
    meet the following specifications:
        (1) The fixed roof and its closure devices shall be designed to 
    form a continuous barrier over the entire surface area of the liquid in 
    the separator.
        (2) The fixed roof shall be installed in a manner such that there 
    are no visible cracks, holes, gaps, or other open spaces between roof 
    section joints or between the interface of the roof edge and the 
    separator wall.
        (3) Each opening in the fixed roof shall be equipped with a closure 
    device designed to operate such that when the closure device is secured 
    in the closed position there are no visible cracks, holes, gaps, or 
    other open spaces in the closure device or between the perimeter of the 
    opening and the closure device.
        (4) The fixed roof and its closure devices shall be made of 
    suitable materials that will minimize exposure of the regulated-
    material to the atmosphere, to the extent practical, and will maintain 
    the integrity of the equipment throughout its intended service life. 
    Factors to be considered when selecting the materials for and designing 
    the fixed roof and closure devices shall include: organic vapor 
    permeability; the effects of any contact with the liquid and its vapors 
    managed in the separator; the effects of outdoor exposure to wind, 
    moisture, and sunlight; and the operating practices used for the 
    separator on which the fixed roof is installed.
        (c) Whenever a regulated-material is in the separator, the fixed 
    roof shall be installed with each closure device secured in the closed 
    position except as follows:
        (1) Opening of closure devices or removal of the fixed roof is 
    allowed at the following times:
        (i) To provide access to the separator for performing routine 
    inspection, maintenance, or other activities needed for normal 
    operations. Examples of such activities include those times when a 
    worker needs to open a port to sample the liquid in the separator, or 
    when a worker needs to open a hatch to maintain or repair equipment. 
    Following completion of the activity, the owner or operator shall 
    promptly secure the closure device in the closed position or reinstall 
    the cover, as applicable, to the separator.
        (ii) To remove accumulated sludge or other residues from the bottom 
    of separator.
        (2) Opening of a spring-loaded pressure-vacuum relief valve, 
    conservation vent, or similar type of pressure relief device which 
    vents to the atmosphere is allowed during normal operations for the 
    purpose of maintaining the pressure in vapor headspace underneath the 
    fixed roof in accordance with the separator design specifications. The 
    device shall be designed to operate with no detectable organic 
    emissions, as determined using the procedure specified in 
    Sec. 63.1046(a) of this subpart, when the device is
    
    [[Page 34197]]
    
    secured in the closed position. The settings at which the device opens 
    shall be established such that the device remains in the closed 
    position whenever the pressure in the vapor headspace underneath the 
    fixed roof is within the pressure operating range determined by the 
    owner or operator based on the cover manufacturer recommendations, 
    applicable regulations, fire protection and prevention codes, standard 
    engineering codes and practices, or other requirements for the safe 
    handling of flammable, ignitable, explosive, reactive, or hazardous 
    materials.
        (3) Opening of a safety device, as defined in Sec. 63.1041 of this 
    subpart, is allowed at any time conditions require it to do so to avoid 
    an unsafe condition.
        (d) The owner or operator shall inspect the fixed roof and any 
    closure devices in accordance with the requirements specified in 
    Sec. 63.1047(a) of this subpart.
    
    
    Sec. 63.1043  Standards--Separator floating roof.
    
        (a) This section applies to owners and operators subject to this 
    subpart and controlling air emissions from an oil-water separator or 
    organic-water separator using a floating roof.
        (b) The separator shall be equipped with a floating roof designed 
    to meet the following specifications:
        (1) The floating roof shall be designed to float on the liquid 
    surface during normal operations.
        (2) The floating roof shall be equipped with two continuous seals, 
    one above the other, between the wall of the separator and the roof 
    edge. The lower seal is referred to as the primary seal, and the upper 
    seal is referred to as the secondary seal.
        (i) The primary seal shall be a liquid-mounted seal or a metallic 
    shoe seal, as defined in Sec. 63.1041 of this subpart. The total area 
    of the gaps between the separator wall and the primary seal shall not 
    exceed 67 square centimeters (cm2) per meter of separator wall 
    perimeter, and the width of any portion of these gaps shall not exceed 
    3.8 centimeters (cm).
        (ii) The secondary seal shall be mounted above the primary seal and 
    cover the annular space between the floating roof and the wall of the 
    separator. The total area of the gaps between the separator wall and 
    the secondary seal shall not exceed 6.7 square centimeters (cm2) 
    per meter of separator wall perimeter, and the width of any portion of 
    these gaps shall not exceed 1.3 centimeters (cm).
        (3) Except as provided for in paragraph (b)(4) of this section, 
    each opening in the floating roof shall be equipped with a closure 
    device designed to operate such that when the closure device is secured 
    in the closed position there are no visible cracks, holes, gaps, or 
    other open spaces in the closure device or between the perimeter of the 
    cover opening and the closure device.
        (4) The floating roof may be equipped with one or more emergency 
    roof drains for removal of stormwater. Each emergency roof drain shall 
    be equipped with a slotted membrane fabric cover that covers at least 
    90 percent of the area of the opening or a flexible fabric sleeve seal.
        (c) Whenever a regulated-material is in the separator, the floating 
    roof shall float on the liquid (i.e., off the roof supports) and each 
    closure device shall be secured in the closed position except as 
    follows:
        (1) Opening of closure devices is allowed at the following times:
        (i) To provide access to the separator for performing routine 
    inspection, maintenance, or other activities needed for normal 
    operations. Examples of such activities include those times when a 
    worker needs to open a port to sample the liquid in the separator, or 
    when a worker needs to open a hatch to maintain or repair equipment. 
    Following completion of the activity, the owner or operator shall 
    promptly secure the closure device in the closed position.
        (ii) To remove accumulated sludge or other residues from the bottom 
    of separator.
        (2) Opening of a safety device, as defined in Sec. 63.1041 of this 
    subpart, is allowed at any time conditions require it to do so to avoid 
    an unsafe condition.
        (d) The owner or operator shall inspect the floating roof in 
    accordance with the procedures specified in Sec. 63.1047(b) of this 
    subpart.
    
    
    Sec. 63.1044  Standards--Separator vented to control device.
    
        (a) This section applies to owners and operators controlling air 
    emissions from an oil-water or organic-water separator using a fixed 
    roof and venting the vapor headspace underneath the fixed roof through 
    a closed-vent system to a control device.
        (b) The separator shall be covered by a fixed roof and vented 
    directly through a closed-vent system to a control device in accordance 
    with the following requirements:
        (1) The fixed roof and its closure devices shall be designed to 
    form a continuous barrier over the entire surface area of the liquid in 
    the separator.
        (2) Each opening in the fixed roof not vented to the control device 
    shall be equipped with a closure device. If the pressure in the vapor 
    headspace underneath the fixed roof is less than atmospheric pressure 
    when the control device is operating, the closure devices shall be 
    designed to operate such that when the closure device is secured in the 
    closed position there are no visible cracks, holes, gaps, or other open 
    spaces in the closure device or between the perimeter of the cover 
    opening and the closure device. If the pressure in the vapor headspace 
    underneath the fixed roof is equal to or greater than atmospheric 
    pressure when the control device is operating, the closure device shall 
    be designed to operate with no detectable organic emissions, as 
    determined using the procedure specified in Sec. 63.1046(a) of this 
    subpart.
        (3) The fixed roof and its closure devices shall be made of 
    suitable materials that will minimize exposure of the regulated-
    material to the atmosphere, to the extent practical, and will maintain 
    the integrity of the equipment throughout its intended service life. 
    Factors to be considered when selecting the materials for and designing 
    the fixed roof and closure devices shall include: organic vapor 
    permeability; the effects of any contact with the liquid or its vapors 
    managed in the separator; the effects of outdoor exposure to wind, 
    moisture, and sunlight; and the operating practices used for the 
    separator on which the fixed roof is installed.
        (4) The closed-vent system and control device shall be designed and 
    operated in accordance with the requirements of Sec. 63.693 in 40 CFR 
    part 63, subpart DD--National Emission Standards for Hazardous Air 
    Pollutants from Off-Site Waste and Recovery Operations.
        (c) Whenever a regulated-material is in the separator, the fixed 
    roof shall be installed with each closure device secured in the closed 
    position and the vapor headspace underneath the fixed roof vented to 
    the control device except as follows:
        (1) Venting to the control device is not required, and opening of 
    closure devices or removal of the fixed roof is allowed at the 
    following times:
        (i) To provide access to the separator for performing routine 
    inspection, maintenance, or other activities needed for normal 
    operations. Examples of such activities include those times when a 
    worker needs to open a port to sample liquid in the separator, or when 
    a worker needs to open a hatch to maintain or repair equipment. 
    Following completion of the activity,
    
    [[Page 34198]]
    
    the owner or operator shall promptly secure the closure device in the 
    closed position or reinstall the cover, as applicable, to the 
    separator.
        (ii) To remove accumulated sludge or other residues from the bottom 
    of separator.
        (2) Opening of a safety device, as defined in Sec. 63.1041 of this 
    subpart, is allowed at any time conditions require it to do so to avoid 
    an unsafe condition.
        (d) The owner or operator shall inspect and monitor the air 
    emission control equipment in accordance with the procedures specified 
    in Sec. 63.1047(c) of this subpart.
    
    
    Sec. 63.1045  [Reserved]
    
    
    Sec. 63.1046  Test methods and procedures.
    
        (a) Procedure for determining no detectable organic emissions for 
    the purpose of complying with this subpart.
        (1) The test shall be conducted in accordance with the procedures 
    specified in Method 21 of 40 CFR part 60, appendix A. Each potential 
    leak interface (i.e., a location where organic vapor leakage could 
    occur) on the cover and associated closure devices shall be checked. 
    Potential leak interfaces that are associated with covers and closure 
    devices include, but are not limited to: the interface of the cover and 
    its foundation mounting; the periphery of any opening on the cover and 
    its associated closure device; and the sealing seat interface on a 
    spring-loaded pressure-relief valve.
        (2) The test shall be performed when the separator contains a 
    material having an organic HAP concentration representative of the 
    range of concentrations for the regulated-materials expected to be 
    managed in the separator. During the test, the cover and closure 
    devices shall be secured in the closed position.
        (3) The detection instrument shall meet the performance criteria of 
    Method 21 of 40 CFR part 60, appendix A, except the instrument response 
    factor criteria in section 3.1.2(a) of Method 21 shall be for the 
    average composition of the organic constituents in the regulated-
    material placed in the separator, not for each individual organic 
    constituent.
        (4) The detection instrument shall be calibrated before use on each 
    day of its use by the procedures specified in Method 21 of 40 CFR part 
    60, appendix A.
        (5) Calibration gases shall be as follows:
        (i) Zero air (less than 10 ppmv hydrocarbon in air); and
        (ii) A mixture of methane in air at a concentration of 
    approximately, but less than, 10,000 ppmv.
        (6) The background level shall be determined according to the 
    procedures in Method 21 of 40 CFR part 60 appendix A.
        (7) Each potential leak interface shall be checked by traversing 
    the instrument probe around the potential leak interface as close to 
    the interface as possible, as described in Method 21. In the case when 
    the configuration of the cover or closure device prevents a complete 
    traverse of the interface, all accessible portions of the interface 
    shall be sampled. In the case when the configuration of the closure 
    device prevents any sampling at the interface and the device is 
    equipped with an enclosed extension or horn (e.g., some pressure relief 
    devices), the instrument probe inlet shall be placed at approximately 
    the center of the exhaust area to the atmosphere.
        (8) The arithmetic difference between the maximum organic 
    concentration indicated by the instrument and the background level 
    shall be compared with the value of 500 ppmv. If the difference is less 
    than 500 ppmv, then the potential leak interface is determined to 
    operate with no detectable organic emissions.
        (b) Procedure for performing floating roof seal gap measurements 
    for the purpose of complying with this subpart.
        (1) The owner or operator shall determine the total surface area of 
    gaps in the primary seal and in the secondary seal individually.
        (2) The seal gap measurements shall be performed at one or more 
    floating roof levels when the roof is floating off the roof supports.
        (3) Seal gaps, if any, shall be measured around the entire 
    perimeter of the floating roof in each place where a 0.32-centimeter 
    (cm) diameter uniform probe passes freely (without forcing or binding 
    against the seal) between the seal and the wall of the separator and 
    measure the circumferential distance of each such location.
        (4) For a seal gap measured under paragraph (b)(2) of this section, 
    the gap surface area shall be determined by using probes of various 
    widths to measure accurately the actual distance from the separator 
    wall to the seal and multiplying each such width by its respective 
    circumferential distance.
        (5) The total gap area shall be calculated by adding the gap 
    surface areas determined for each identified gap location for the 
    primary seal and the secondary seal individually, and then dividing the 
    sum for each seal type by the nominal perimeter of the separator basin. 
    These total gap areas for the primary seal and secondary seal then are 
    compared to the respective standards for the seal type as specified in 
    Sec. 63.1043(b)(2) of this subpart.
    
    
    Sec. 63.1047  Inspection and monitoring requirements.
    
        (a) Owners and operators that use a separator equipped with a fixed 
    roof in accordance with the provisions of Sec. 63.1042 of this subpart 
    shall meet the following requirements:
        (1) The fixed roof and its closure devices shall be visually 
    inspected by the owner or operator to check for defects that could 
    result in air emissions to the atmosphere. Defects include, but are not 
    limited to, visible cracks, holes, or gaps in the roof sections or 
    between the roof and the separator wall; broken, cracked, or otherwise 
    damaged seals or gaskets on closure devices; and broken or missing 
    hatches, access covers, caps, or other closure devices.
        (2) The owner or operator shall perform the inspections following 
    installation of the fixed roof and, thereafter, at least once every 
    year.
        (3) In the event that a defect is detected, the owner or operator 
    shall repair the defect in accordance with the requirements of 
    paragraph (d) of this section.
        (4) The owner or operator shall maintain a record of the inspection 
    in accordance with the requirements specified in Sec. 63.1048(a)(2) of 
    this subpart.
        (b) Owners and operators that use a separator equipped with a 
    floating roof in accordance with the provisions of Sec. 63.1043 of this 
    subpart shall meet the following requirements:
        (1) The owner or operator shall measure the floating roof seal gaps 
    using the procedure specified in Sec. 63.1046(b) of this subpart in 
    accordance with the following requirements:
        (i) The owner or operator shall perform measurements of gaps 
    between the separator wall and the primary seal within 60 days after 
    initial operation of the separator following installation of the 
    floating roof and, thereafter, at least once every 5 years.
        (ii) The owner or operator shall perform measurements of gaps 
    between the separator wall and the secondary seal within 60 days after 
    initial operation of the separator following installation of the 
    floating roof and, thereafter, at least once every year.
        (iii) If a separator ceases to hold regulated-material for a period 
    of 1 year or more, subsequent introduction of regulated-material into 
    the separator shall be considered an initial operation for the purpose 
    of complying with paragraphs (b)(1)(i) and (b)(1)(ii) of this section.
    
    [[Page 34199]]
    
        (iv) In the event that the seal gap measurements do not conform to 
    the specifications in Sec. 63.1043(b)(2) of this subpart, the owner or 
    operator shall repair the defect in accordance with the requirements of 
    paragraph (d) of this section.
        (v) The owner or operator shall maintain a record of the inspection 
    in accordance with the requirements specified in Sec. 63.1048 (a)(2) 
    and (b) of this subpart.
        (2) The owner or operator shall visually inspect the floating roof 
    in accordance with the following requirements:
        (i) The floating roof and its closure devices shall be visually 
    inspected by the owner or operator to check for defects that could 
    result in air emissions to the atmosphere. Defects include, but are not 
    limited to: holes, tears, or other openings in the rim seal or seal 
    fabric of the floating roof; a rim seal detached from the floating 
    roof; all or a portion of the floating roof deck being submerged below 
    the surface of the liquid in the separator; broken, cracked, or 
    otherwise damaged seals or gaskets on closure devices; and broken or 
    missing hatches, access covers, caps, or other closure devices.
        (ii) The owner or operator shall perform the inspections following 
    installation of the floating roof and, thereafter, at least once every 
    year.
        (iii) In the event that a defect is detected, the owner or operator 
    shall repair the defect in accordance with the requirements of 
    paragraph (d) of this section.
        (iv) The owner or operator shall maintain a record of the 
    inspection in accordance with the requirements specified in 
    Sec. 63.1048(a)(2) of this subpart.
        (c) Owners and operators that use a separator equipped with a fixed 
    roof and vented through a closed-vent system to a control device in 
    accordance with the provisions of Sec. 63.1044 of this subpart shall 
    inspect the air emission control equipment as follows:
        (1) The owner or operator shall visually inspect the fixed roof in 
    accordance with the following requirements:
        (i) The fixed roof and its closure devices shall be visually 
    inspected by the owner or operator to check for defects that could 
    result in air emissions. Defects include, but are not limited to, 
    visible cracks, holes, or gaps in the roof sections or between the roof 
    and the separator wall; broken, cracked, or otherwise damaged seals or 
    gaskets on closure devices; and broken or missing hatches, access 
    covers, caps, or other closure devices.
        (ii) The owner or operator shall perform the inspections following 
    installation of the fixed roof and, thereafter, at least once every 
    year.
        (iii) In the event that a defect is detected, the owner or operator 
    shall repair the defect in accordance with the requirements of 
    paragraph (d) of this section.
        (iv) The owner or operator shall maintain a record of the 
    inspection in accordance with the requirements specified in 
    Sec. 63.1048(a)(2) of this subpart.
        (2) The owner or operator shall inspect and monitor the closed-vent 
    system and the control device in accordance with the requirements 
    specified in Sec. 63.693 in 40 CFR 63 subpart DD--National Emission 
    Standards for Hazardous Air Pollutants from Off-Site Waste and Recovery 
    Operations.
        (d) The owner or operator shall repair all detected defects as 
    follows:
        (1) The owner or operator shall make first efforts at repair of the 
    defect no later than 5 calendar days after detection and repair shall 
    be completed as soon as possible but no later than 45 calendar days 
    after detection except as provided in paragraph (d)(2) of this section.
        (2) Repair of a defect may be delayed beyond 45 calendar days if 
    the owner or operator determines that repair of the defect requires 
    emptying or temporary removal from service of the separator and no 
    alternative treatment capacity is available at the facility site to 
    accept the regulated-material normally treated in the separator. In 
    this case, the owner or operator shall repair the defect at the next 
    time the process or unit that is generating the regulated-material 
    managed in the separator stops operation. Repair of the defect shall be 
    completed before the process or unit resumes operation.
        (3) The owner or operator shall maintain a record of the defect 
    repair in accordance with the requirements specified in 
    Sec. 63.1048(a)(3) of this subpart.
    
    
    Sec. 63.1048  Recordkeeping requirements.
    
        (a) Each owner or operator shall prepare and maintain the following 
    records:
        (1) Documentation describing the design of each floating roof and 
    fixed roof installed on a separator, as applicable to the separator. 
    When a floating roof is used, the documentation shall include the 
    dimensions of the separator bay or section in which the floating roof 
    is installed.
        (2) A record for each inspection required by Sec. 63.1047 of this 
    subpart that includes the following information: a separator 
    identification number (or other unique identification description as 
    selected by the owner or operator) and the date of inspection.
        (3) The owner or operator shall record for each defect detected 
    during inspections required by Sec. 63.1047 of this subpart the 
    following information: the location of the defect, a description of the 
    defect, the date of detection, and corrective action taken to repair 
    the defect. In the event that repair of the defect is delayed in 
    accordance with the provisions of Sec. 63.1047(d)(2) of this section, 
    the owner or operator shall also record the reason for the delay and 
    the date that completion of repair of the defect is expected.
        (b) Owners and operators that use a separator equipped with a 
    floating roof in accordance with the provisions of Sec. 63.1043 of this 
    subpart shall prepare and maintain records for each inspection required 
    by Sec. 63.1047(b)(1) describing the results of the seal gap 
    measurements. The records shall include the date of the measurements 
    performed, the raw data obtained for the measurements, and the 
    calculations of the total gap surface area. In the event that the seal 
    gap measurements do not conform to the specifications in 
    Sec. 63.1043(b)(2) of this subpart, the records shall include a 
    description of the repairs that were made, the date the repairs were 
    made, and the date the separator was emptied, if necessary.
        (c) Owners and operators that use a separator equipped with a 
    fixed-roof and vented through a closed-vent system to a control device 
    in accordance with the provisions of Sec. 63.1044 of this subpart shall 
    prepare and maintain the records required for the closed-vent system 
    and control device in accordance with the requirements of Sec. 63.693 
    in 40 CFR 63 subpart DD--National Emission Standards for Hazardous Air 
    Pollutants from Off-Site Waste and Recovery Operations.
    
    
    Sec. 63.1049  Reporting requirements.
    
        (a) Owners and operators that use a separator equipped with a 
    floating roof in accordance with the provisions of Sec. 63.1043 of this 
    subpart shall notify the Administrator at least 30 calendar days prior 
    to each seal gap measurement inspection performed to comply with the 
    requirements in Sec. 63.1047(b)(1) of this subpart.
        (b) Owners and operators that use a separator equipped with a 
    fixed-roof and vented through a closed-vent system to a control device 
    in accordance with the provisions of Sec. 63.1044 of this subpart shall 
    prepare and submit to the Administrator the reports required for
    
    [[Page 34200]]
    
    closed-vent systems and control devices in accordance with the 
    requirements of Sec. 63.693 in 40 CFR 63 subpart DD--National Emission 
    Standards for Hazardous Air Pollutants from Off-Site Waste and Recovery 
    Operations.
        10. Part 63 is amended by adding appendix D to read as follows:
    
    Appendix D to Part 63--Alternative Validation Procedure for EPA Waste 
    and Wastewater Methods
    
    1. Applicability
    
        This procedure is to be applied exclusively to Environmental 
    Protection Agency methods developed by the Office of Water and the 
    Office of Solid Waste. Alternative methods developed by any other 
    group or agency shall be validated according to the procedures in 
    Sections 5.1 and 5.3 of Test Method 301, 40 CFR Part 63, Appendix A. 
    For the purposes of this appendix, ``waste'' means waste and 
    wastewater.
    
    2. Procedure
    
        This procedure shall be applied once for each waste matrix. 
    Waste matrix in the context of this procedure refers to the target 
    compound mixture in the waste as well as the formulation of the 
    medium in which the target compounds are suspended. The owner or 
    operator shall prepare a sampling plan. Wastewater samples shall be 
    collected using sampling procedures which minimize loss of organic 
    compounds during sample collection and analysis and maintain sample 
    integrity. The sample plan shall include procedures for determining 
    recovery efficiency of the relevant compounds regulated in the 
    applicable subpart. An example of an acceptable sampling plan would 
    be one that incorporates similar sampling and sample handling 
    requirements to those of Method 25D of 40 CFR part 60, appendix A.
    
    2.1. Sampling and Analysis
    
        2.1.1. For each waste matrix, collect twice the number of 
    samples required by the applicable regulation. Designate and label 
    half the sample vials the ``spiked'' sample set, and the other half 
    the ``unspiked'' sample set. Immediately before or immediately after 
    sampling (immediately after in the context of this procedure means 
    after placing the sample into the sample vial, but before the sample 
    is capped, cooled, and shipped to the laboratory for analysis), 
    inject, either individually or as a solution, all the target 
    compounds into each spiked sample.
        2.1.2. The mass of each spiked compound shall be 40 to 60 
    percent of the mass expected to be present in the waste matrix. If 
    the concentration of the target compounds in the waste are not 
    known, the mass of each spiked compound shall be 40 to 60 percent of 
    the limit allowed in the applicable regulation. Analyze both sets of 
    samples (spiked and unspiked) with the chosen method.
    
    3. Calculations
    
        For each pair of spiked and unspiked samples, determine the 
    fraction of spiked compound recovered (R) using the following 
    equations.
    
    where:
    mr = mass spiked compound measured (g).
    ms = total mass of compound measured in spiked sample 
    (g).
    mu = total mass of compound measured in unspiked sample 
    (g).
    
    where:
    S = theoretical mass of compound spiked into spiked sample 
    (g).
    
    3.1.  Method Evaluation
    
        In order for the chosen method to be acceptable for a compound, 
    0.70R1.30 (R in this case is an average value 
    of all the spiked and unspiked sample set R values). If the average 
    R value does not meet this criterion for a target compound, the 
    chosen method is not acceptable for that compound, and therefore 
    another method shall be evaluated for acceptance (by repeating the 
    procedures outlined above with another method).
    
    3.2.  Records and Reports
    
        Report the average R value in the test report and correct all 
    reported measurements made with the method with the calculated R 
    value for that compound by using the following equation:
    [GRAPHIC] [TIFF OMITTED] TR01JY96.048
    
    3.3.  Optional Correction Step
    
        If the applicable regulation allows for correction of the mass 
    of the compound in the waste by a published fm value, multiply 
    the reported result calculated above with the appropriate fm 
    value for that compound.
    
    [FR Doc. 96-16576 Filed 6-28-96; 8:45 am]
    BILLING CODE 6560-50-P
    
    
    

Document Information

Published:
07/01/1996
Department:
Environmental Protection Agency
Entry Type:
Rule
Action:
Final rule.
Document Number:
96-16576
Dates:
July 1, 1996. See the Supplementary Information section concerning judicial review.
Pages:
34140-34200 (61 pages)
Docket Numbers:
AD-FRL-5516-7
RINs:
2060-AE05: NESHAP for Off-Site Waste and Recovery Operations
RIN Links:
https://www.federalregister.gov/regulations/2060-AE05/neshap-for-off-site-waste-and-recovery-operations
PDF File:
96-16576.pdf
CFR: (109)
40 CFR 63.905(a)
40 CFR 63.906(a)
40 CFR 63.925(a)
40 CFR 63.926(a)
40 CFR 63.944(a)
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