96-11202. Approval and Promulgation of Implementation Plan; Illinois  

  • [Federal Register Volume 61, Number 89 (Tuesday, May 7, 1996)]
    [Rules and Regulations]
    [Pages 20455-20457]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 96-11202]
    
    
    
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    ENVIRONMENTAL PROTECTION AGENCY
    40 CFR Part 52
    
    [IL18-7-7024a; FRL-5436-1]
    
    
    Approval and Promulgation of Implementation Plan; Illinois
    
    AGENCY: United States Environmental Protection Agency (USEPA).
    
    ACTION: Direct final rule.
    
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    SUMMARY: On October 21, 1993, the Illinois Environmental Protection 
    (IEPA) submitted to USEPA volatile organic compound (VOC) rules that 
    were intended to satisfy part of the requirements of section 182(b)(2) 
    of the Clean Air Act (Act) amendments of 1990. Rules submitted at that 
    time include control requirements for certain major sources in the East 
    St. Louis nonattainment area not covered by a Control Technique 
    Guideline (CTG) document. These major non-CTG VOC rules apply to 
    sources which emit (at maximum capacity) 100 tons of VOC per year. 
    These rules provide an environmental benefit due to the imposition of 
    additional control requirements. This rulemaking action approves, in 
    final, Illinois' rules for major non-CTG sources in the East St. Louis 
    nonattainment area. The rationale for the conditional approval is set 
    forth in this final rule; additional information is available at the 
    address indicated below. Elsewhere in this Federal Register, USEPA is 
    proposing approval of and soliciting public comment on this requested 
    revision to the Illinois State Implementation Plan (SIP). If adverse 
    comments are received on this direct final rule, USEPA will withdraw 
    the final rule and address the comments received in a new final rule. 
    Unless this final rule is withdrawn, no further rulemaking will occur 
    on this requested SIP revision.
    
    DATES: This final rule is effective July 8, 1996 unless adverse 
    comments are received by June 6, 1996. If the effective date is 
    delayed, timely notice will be published in the Federal Register.
    
    ADDRESSES: Written comments can be mailed to: J. Elmer Bortzer, Chief, 
    Regulation Development Section, Air Programs Branch (AR-18J), Air and 
    Radiation Division, U.S. Environmental Protection Agency, 77 West 
    Jackson Boulevard, Chicago, Illinois 60604.
        Copies of the SIP revision request are available for inspection at 
    the following address: (It is recommended that you telephone Steven 
    Rosenthal at (312) 886-6052 before visiting the Region 5 office.) U.S. 
    Environmental Protection Agency, Region 5, Air and Radiation Division, 
    77 West Jackson Boulevard, Chicago, Illinois 60604.
    
    FOR FURTHER INFORMATION CONTACT: Steven Rosenthal, Air Programs Branch 
    (AR-18J) (312) 886-6052.
    
    SUPPLEMENTARY INFORMATION:
    
    Background
    
        Under the Act as amended in 1977, ozone nonattainment areas were 
    required to adopt reasonably available control technology (RACT) for 
    sources of VOC emissions. USEPA issued three sets of control technique 
    guidelines (CTGs) documents, establishing a ``presumptive norm'' for 
    RACT for various categories of VOC sources. The three sets of CTGs were 
    (1) Group I--issued before January 1978 (15 CTGs); (2) Group II--issued 
    in 1978 (9 CTGs); and (3) Group III--issued in the early 1980's (5 
    CTGs). Those sources not covered by a CTG were called non-CTG sources. 
    USEPA determined that the area's SIP-approved attainment date 
    established which RACT rules the area needed to adopt and implement. 
    Those areas (including the East St. Louis area) that sought an 
    extension of the attainment date under section 172(a)(2) to as late as 
    December 31, 1987, were required to adopt RACT for all CTG sources and 
    for all major (100 tons per year or more of VOC emissions) non-CTG 
    sources.
        Section 182(b)(2) of the Act as amended in 1990 (amended Act) 
    requires States to adopt reasonably available control technology (RACT) 
    rules for all areas designated nonattainment for ozone and classified 
    as moderate or above. There are three parts to the section 182(b)(2) 
    RACT requirement: (1) RACT for sources covered by an existing CTG--
    i.e., a CTG issued prior to the enactment of the amended Act of 1990; 
    (2) RACT for sources covered by a post-enactment CTG; and (3) RACT for 
    all major sources not covered by a CTG. These section 182(b)(2) RACT 
    requirements are referred to as the RACT ``catch-up'' requirements.
        The amended Act requires USEPA to issue CTGs for 13 source 
    categories by November 15, 1993. A CTG was published by this date for 
    two source categories--Synthetic Organic Chemical Manufacturing 
    Industry (SOCMI) Reactors and Distillation; however, the CTGs for the 
    remaining source categories have not been completed. The amended Act 
    requires States to submit rules for sources covered by a post-enactment 
    CTG in accordance with a schedule specified in a CTG document. 
    Accordingly, States must submit a RACT rule for SOCMI reactor processes 
    and distillation operations before March 23, 1995. Illinois has 
    submitted a rule, covering these SOCMI sources, which will be the 
    subject of a separate rulemaking action.
        The USEPA developed a CTG document as Appendix E to the General 
    Preamble for the Implementation of Title I of the Clean Air Act 
    Amendments of 1990. (57 FR 18070, 18077, April 28, 1992). In Appendix 
    E, USEPA interpreted the Act to allow a State either to submit a non-
    CTG rule by November 15, 1992, or to defer submittal of a RACT rule for 
    sources that the State anticipated would be covered by a post-enactment 
    CTG, based on the list of CTGs USEPA expected to issue to meet the 
    requirement in section 183. Appendix E states that if USEPA fails to 
    issue a CTG by November 15, 1993 (which it did for 11 source 
    categories), the responsibility shifts to the State to submit a non-CTG 
    RACT rule for those sources by November 15, 1994. In accordance with 
    section 182(b)(2), implementation of that RACT rule should occur by May 
    31, 1995. Most of these 11 categories are covered by Illinois' 
    ``generic'' major non-CTG rules that are the subject of this document.
        On October 21, 1993, IEPA submitted VOC rules for the East St. 
    Louis ozone moderate nonattainment area \1\ and a revision to these 
    major non-CTG control requirements was submitted to USEPA on May 26, 
    1995. Most of those rules, including those which deal with source 
    categories covered by CTGs, (and the related test methods, definitions 
    and recordkeeping requirements) were approved by USEPA on September 9, 
    1994 (59 FR 46562). This document deals with those major non-CTG rules 
    for the East St. Louis area which are intended to largely satisfy the 
    major non-CTG control requirements of sections 182(a)(2)(A) and 
    182(b)(2). However, this October 21, 1993, submittal exempts bakeries 
    and sewage treatment plants from these major non-CTG regulations. Major 
    non-CTG regulations are, therefore, required for any major bakeries and 
    industrial wastewater treatment plants in the East St. Louis area.
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        \1\ The East St. Louis moderate ozone nonattainment area 
    consists of Madison, Monroe, and St. Clair counties.
    
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    [[Page 20456]]
    
    Evaluation of Rules
    
        Subparts PP, QQ, RR and TT in Part 219 consist of ``generic'' major 
    non-CTG rules for sources, in the East St. Louis ozone nonattainment 
    area, not specifically covered by another rule. Compliance with these 
    rules was required by May 15, 1992. These rules are generally 
    consistent with the Chicago Federal Implementation Plan that was 
    promulgated by USEPA on June 29, 1990 (55 FR 26818) and codified at 40 
    CFR Sec. 52.741, and/or USEPA RACT guidance. The discussion below 
    clarifies certain aspects of these non-CTG rules, including parts of 
    these rules that differ from previously approved ``generic'' non-CTG 
    VOC rules.
        Sections 926, 946, 966, and 986 specify the control requirements 
    for the rules. Subsection (a) of each of these Sections requires an 
    overall 81 percent reduction from each emission unit. An (Illinois 
    Pollution Control) Board Note has been added to each subsection to 
    clarify what is intended by the term ``emission unit.'' A further 
    clarification of the Board Note has been provided in a June 16, 1993, 
    letter from Dennis Lawler, IEPA.
        Subparts PP, QQ, RR and TT do not apply to sources that are not 
    major (that is, emit less than 100 tons VOC per year at maximum 
    capacity) and exempt emission units with less than 1 ton VOC per year 
    or 2.5 tons VOC per year (depending upon the subpart) if the total 
    emissions from such emission units do not exceed 5 tons VOC per year. 
    Subpart UU contains the recordkeeping and reporting requirements for 
    the non-CTG requirements in Subparts PP, QQ, RR, and TT and Section 
    219.990 (in Subpart UU) contains the recordkeeping and reporting 
    requirements for exempt emission units. Although Section 219.990 refers 
    to emission units which are exempt, it should be noted that the owner 
    or operator of an emission unit which is exempt because the source is 
    not major would need to submit records for the entire source to 
    demonstrate that maximum theoretical emissions from all non-CTG and 
    unregulated CTG operations are below the applicable cutoff. In those 
    cases where one or more (but not all) emission units are exempt (as in 
    219.920(c), 219.940(c), 219.960(c), and 219.980(c)), records must be 
    submitted documenting that each such emission unit is exempt.
        Illinois' major non-CTG VOC rules in Subparts PP, QQ, RR, and TT 
    require applicable sources to comply with one of the following: (1) 
    Emission capture and control techniques which achieve an overall 
    reduction in uncontrolled VOC emissions of at least 81 percent from 
    each emission unit, or (2) For coating lines, the daily-weighted 
    average VOC content shall not exceed 3.5 pounds (lbs) VOC per gallon 
    (gal) of coating, or (3) an equivalent alternative control plan which 
    has been approved by the Agency and the USEPA in a federally 
    enforceable permit or as a SIP revision.
        On December 17, 1992, (57 FR 59928) USEPA approved Illinois' 
    existing Operating Permit program as satisfying USEPA's June 28, 1989, 
    (54 FR 27274) five criteria regarding Federal enforceability. One of 
    the criteria is that permits may not be issued that make less stringent 
    any SIP limitation or requirement. USEPA's December 17, 1992, notice 
    states that operating permits issued by Illinois in conformance with 
    the five criteria (including the prohibition against States issuing 
    operating permit limits less stringent than the regulations in the SIP) 
    discussed in this notice will be considered federally enforceable. This 
    notice also states Illinois' operating permit program allows USEPA to 
    deem an operating permit not ``federally enforceable.''
        On July 21, 1992, USEPA promulgated a new part 70 of chapter 1 of 
    title 40 of the Code of Federal Regulations. See 57 FR 32250. Part 70 
    contains regulations, required by Title V of the Act, that specify the 
    minimum elements of State operating permit programs. Part 70 is, 
    therefore, an appropriate basis for evaluating the acceptability of 
    Illinois' use of federally enforceable State operating permits (FESOP) 
    and Title V permits in its VOC rules.
    
    Section 70.6(a)(1)(iii) states:
    
        If an applicable implementation plan allows a determination of 
    an alternative emission limit at a part 70 source, equivalent to 
    that contained in the plan, to be made in the permit issuance, 
    renewal, or significant modification process, and the State elects 
    to use such process, any permit containing such equivalency 
    determination shall contain provisions to ensure that any resulting 
    emissions limit has been demonstrated to be quantifiable, 
    accountable, enforceable, and based on replicable procedures.
    
        USEPA has therefore determined that the option for alternative 
    control plans, submitted on October 21, 1993 (with a revision submitted 
    on May 26, 1995), in subsections 219.926(c), 219.946(b), 219.966(b), 
    and 219.986(c), is approvable because it requires that any alternative 
    must be equivalent to the underlying SIP requirements (consistent with 
    part 70) and USEPA can deem a permit containing an alternative control 
    plan to be not ``federally enforceable'' if it determines that a permit 
    is not quantifiable or practically enforceable or a permit relaxes the 
    SIP. The underlying SIP, to which any equivalent alternative control 
    plan would be compared, has federally enforceable control requirements, 
    test methods, and recordkeeping and reporting requirements. In 
    addition, a September 13, 1995, letter from IEPA contains the specific 
    procedures for USEPA review and approval.
        Subsections 219.620(a)(1)(B), 219.920(a)(2), 219.940(a)(2), 
    219.960(a)(2), and 219.980(a)(2) allow sources to avoid the 
    applicability of specified major non-CTG rules, provided a source has a 
    federally enforceable permit that limits emissions to below the 
    applicable cutoff through capacity or production limitations. These 
    subsections are approvable because USEPA can deem a permit to be ``not 
    federally enforceable'' in a letter to IEPA. Upon issuance of such a 
    letter, the source is no longer protected by the permit referenced in 
    the subject subsections. The source would then be subject to the SIP 
    requirements if its emissions exceed the applicable cutoff. This is 
    consistent with USEPA's December 17, 1992, approval of Illinois' 
    operating permit program which states: ``In approving the State 
    operating program USEPA is determining that Illinois' program allows 
    USEPA to deem an operating permit not `federally enforceable' for 
    purposes of limiting potential to emit and to offset creditability.'' 
    (57 FR 59928, 59930). IEPA has agreed to this approach and specified 
    the applicable procedures in a March 26, 1993, letter to USEPA. In 
    summary, these subsections are approvable because USEPA can invalidate 
    the protection provided by an operating permit by deeming such 
    operating permit to be ``not federally enforceable'' in a letter to 
    IEPA.
    
    Final Rulemaking Action
    
        For the reasons discussed above, USEPA approves the major non-CTG 
    VOC RACT rules in Part 219 (for the East St. Louis ozone nonattainment 
    area) that were submitted on October 21, 1993 and May 26, 1995.
        Because USEPA considers this action noncontroversial and routine, 
    we are approving it without prior proposal. The action will become 
    effective on July 8, 1996. However, if we receive adverse comments by 
    June 6, 1996, then USEPA will publish a document that withdraws this 
    final action. If no request for a public hearing has been received, 
    USEPA will address the public comments received in a new final rule on 
    the requested SIP revision based on
    
    [[Page 20457]]
    
    the proposed rule located in the proposed rules section of this Federal 
    Register. If a public hearing is requested, USEPA will publish a 
    document announcing a public hearing and reopening the public comment 
    period until 30 days after the public hearing. At the conclusion of 
    this additional public comment period, USEPA will publish a final rule 
    responding to the public comments received and announcing final action.
        This action has been classified as a Table 3 action by the Regional 
    Administrator under the procedures published in the Federal Register on 
    January 19, 1989 (54 FR 2214-2225), as revised by an October 4, 1993, 
    memorandum from Michael H. Shapiro, former Acting Assistant 
    Administrator for the Office of Air and Radiation. A July 10, 1995, 
    memorandum from Mary D. Nichols, Assistant Administrator for the Office 
    of Air and Radiation explains that the authority to approve/disapprove 
    SIPs has been delegated to the Regional Administrators for Table 3 
    actions. The Office of Management and Budget has exempted this 
    regulatory action from Executive Order 12866 review.
        Nothing in this action should be construed as permitting, allowing 
    or establishing a precedent for any future request for revision to any 
    SIP. USEPA shall consider each request for revision to the SIP in light 
    of specific technical, economic, and environmental factors and in 
    relation to relevant statutory and regulatory requirements.
        Section 202 of the Unfunded Mandates Reform Act of 1995 (``Unfunded 
    Mandates Act'') (signed into law on March 22, 1995) requires that the 
    USEPA prepare a budgetary impact statement before promulgating a rule 
    that includes a Federal mandate that may result in expenditure by 
    State, local, and tribal governments, in aggregate, or by the private 
    sector, of $100 million or more in any one year. Section 203 requires 
    the USEPA to establish a plan for obtaining input from and informing, 
    educating, and advising any small governments that may be significantly 
    or uniquely affected by the rule.
        Under section 205 of the Unfunded Mandates Act, the USEPA must 
    identify and consider a reasonable number of regulatory alternatives 
    before promulgating a rule for which a budgetary impact statement must 
    be prepared. The USEPA must select from those alternatives the least 
    costly, most cost-effective, or least burdensome alternative that 
    achieves the objectives of the rule, unless the USEPA explains why this 
    alternative is not selected or the selection of this alternative is 
    inconsistent with law.
        Because this final rule is estimated to result in the expenditure 
    by State, local, and tribal governments or the private sector of less 
    then $100 million in any one year, the USEPA has not prepared a 
    budgetary impact statement or specifically addressed the selection of 
    the least costly, most cost-effective, or least burdensome alternative. 
    Because small governments will not be significantly or uniquely 
    affected by this rule, the USEPA is not required to develop a plan with 
    regard to small governments. This rule only approves the incorporation 
    of existing state rules into the SIP. It imposes no additional 
    requirements.
        Under the Regulatory Flexibility Act, 5 U.S.C. 600 et seq., USEPA 
    must prepare a regulatory flexibility analysis assessing the impact of 
    any proposed or final rule on small entities. (5 U.S.C. 603 and 604.) 
    Alternatively, USEPA may certify that the rule will not have a 
    significant impact on a substantial number of small entities. Small 
    entities include small businesses, small not-for-profit enterprises, 
    and government entities with jurisdiction over populations of less than 
    50,000.
        SIP approvals under section 110 and subchapter I, part D of the 
    Clean Air Act do not create any new requirements, but simply approve 
    requirements that the State is already imposing. Therefore, because the 
    Federal SIP-approval does not impose any new requirements, I certify 
    that it does not have a significant impact on any small entities 
    affected. Moreover, due to the nature of the Federal-State relationship 
    under the Act, preparation of a regulatory flexibility analysis would 
    constitute Federal inquiry into the economic reasonableness of the 
    State action. The Clean Air Act forbids USEPA to base its actions 
    concerning SIPs on such grounds. Union Electric Co. v. USEPA., 427 U.S. 
    246, 256-66 (S.Ct. 1976); 42 U.S.C. 7410(a)(2).
        Under section 307(b)(1) of the Clean Air Act, petitions for 
    judicial review of this action must be filed in the United States Court 
    of Appeals for the appropriate circuit by July 8, 1996. Filing a 
    petition for reconsideration by the Administrator of this final rule 
    does not affect the finality of this rule for the purposes of judicial 
    review nor does it extend the time within which a petition for judicial 
    review may be filed, and shall not postpone the effectiveness of such 
    rule or action. This action may not be challenged later in proceedings 
    to enforce its requirements. (See Section 307(b)(2)).
    
    List of Subjects in 40 CFR Part 52
    
        Environmental protection, Air pollution control, Hydrocarbons, 
    Incorporation by reference, Intergovernmental relations, Ozone, 
    Reporting and recordkeeping requirements.
    
        Dated: February 7, 1996.
    David A. Ullrich,
    Acting Regional Administrator.
    
        For the reasons stated in the preamble, part 52, chapter I, title 
    40 of the Code of Federal Regulations is amended as follows:
    
    PART 52--[AMENDED]
    
        1. The authority citation for part 52 continues to read as follows:
    
        Authority: 42 U.S.C. 7401 7671q.
    
    Subpart O--Illinois
    
        2. Section 52.720 is amended by adding paragraph (c)(127) to read 
    as follows:
    
    
    Sec. 52.720  Identification of plan.
    
    * * * * *
        (c) * * *
        (127) On October 21, 1993, and May 26, 1995, Illinois submitted 
    volatile organic compound control regulations for incorporation in the 
    Illinois State Implementation Plan for ozone.
        (i) Incorporation by reference.
        (A) Illinois Administrative Code Title 35: Environmental 
    Protection, Subtitle B: Air Pollution, Chapter I: Pollution Control 
    Board, Subchapter c: Emissions Standards and Limitations for Stationary 
    Sources, Part 219: Organic Material Emissions Standards and Limitations 
    for Metro East Area, Subpart PP: 219.920, 219.923, 219.927, 219.928; 
    Subpart QQ: 219.940, 219.943, 219.947, 219.948; Subpart RR: 219.960, 
    219.963, 219.967, 219.968; Subpart TT: 219.980, 219.983, 219.987, 
    219.988; and Subpart UU. These Subparts were adopted on September 9, 
    1993, Amended at 17 Ill. Reg. 16918, effective September 27, 1993.
        (B) Illinois Administrative Code Title 35: Environmental 
    Protection, Subtitle B: Air Pollution, Chapter I: Pollution Control 
    Board, Subchapter c: Emissions Standards and Limitations for Stationary 
    Sources, Part 219: Organic Material Emissions Standards and Limitations 
    for Metro East Area, Subpart PP: 219.926; Subpart QQ: 219.946; Subpart 
    RR: 219.966; and Subpart TT: 219.986. These Subparts were adopted on 
    April 20, 1995, Amended at 19 Ill. Reg. 6958, effective May 9, 1995.
    
    [FR Doc. 96-11202 Filed 5-6-96; 8:45 am]
    BILLING CODE 6560-50-P
    
    

Document Information

Effective Date:
7/8/1996
Published:
05/07/1996
Department:
Environmental Protection Agency
Entry Type:
Rule
Action:
Direct final rule.
Document Number:
96-11202
Dates:
This final rule is effective July 8, 1996 unless adverse comments are received by June 6, 1996. If the effective date is delayed, timely notice will be published in the Federal Register.
Pages:
20455-20457 (3 pages)
Docket Numbers:
IL18-7-7024a, FRL-5436-1
PDF File:
96-11202.pdf
CFR: (1)
40 CFR 52.720