95-10054. Federal Operating Permits Program  

  • [Federal Register Volume 60, Number 81 (Thursday, April 27, 1995)]
    [Proposed Rules]
    [Pages 20804-20855]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 95-10054]
    
    
    
    
    [[Page 20803]]
    
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    Part II
    
    
    
    
    
    Environmental Protection Agency
    
    
    
    
    
    _______________________________________________________________________
    
    
    
    40 CFR Parts 55 and 71
    
    
    
    Federal Operating Permits Program; Proposed Rule
    
    Federal Register / Vol. 60, No. 81 / Thursday, April 27, 1995 / 
    Proposed Rules 
    [[Page 20804]]
    
    ENVIRONMENTAL PROTECTION AGENCY
    
    40 CFR Parts 55 and 71
    
    [FRL 5183-1]
    RIN 2060-AD68
    
    
    Federal Operating Permits Program
    
    AGENCY: Environmental Protection Agency (EPA).
    
    ACTION: Proposed rule; notice of opportunity for public hearing.
    
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    SUMMARY: The EPA is proposing a new subpart containing regulations 
    setting forth the procedures and terms under which the Administrator 
    will administer programs for issuing operating permits to covered 
    stationary sources, pursuant to title V of the Clean Air Act as amended 
    in 1990 (the Act). Although the primary responsibility for issuing 
    operating permits to such sources rests with State, local, and Tribal 
    air agencies, EPA will remedy gaps in air quality protection by 
    administering a Federal operating permits program in areas lacking an 
    EPA-approved or adequately administered operating permits program. 
    Federally issued permits will clarify which requirements apply to 
    sources and will enhance understanding of and compliance with air 
    quality regulations.
    
    DATES: Comments. Comments on the proposed regulations must be received 
    by EPA's Air Docket on or before June 26, 1995.
        Public Hearing. A public hearing is scheduled for 10:00 a.m., on 
    May 30, 1995, at the address listed below. Requests to present oral 
    testimony must be received by May 12, 1995, and the hearing may be 
    canceled if no speakers have requested time to present their comments 
    by that date. Written comments in lieu of, or in addition to, testimony 
    are encouraged.
    
    ADDRESSES: Comments should be mailed (in duplicate if possible) to: EPA 
    Air Docket (Mail Code 6102), Attn: Docket No. A-93-51, Room M-1500, 
    Waterside Mall, 401 M Street SW, Washington, DC 20460. The public 
    hearing will be held in the Waterside Mall auditorium at the U.S. 
    Environmental Protection Agency, 401 M Street SW, Washington, DC 20460.
        Docket. Supporting information used in developing the proposed 
    rules is contained in Docket No. A-93-51. Supporting information used 
    in developing 40 CFR part 70 is contained in Dockets No. A-90-33 and 
    No. A-93-50. These dockets are available for public inspection and 
    copying between 8:30 a.m. and 3:30 p.m. Monday through Friday, at EPA's 
    Air Docket, Room M-1500, Waterside Mall, 401 M Street SW, Washington, 
    DC 20460. A reasonable fee may be charged for copying.
    
    FOR FURTHER INFORMATION CONTACT: Candace Carraway (telephone 919/541-
    3189) or Kirt Cox (telephone 919/541-5399), U.S. Environmental 
    Protection Agency, Office of Air Quality Planning and Standards, 
    Information Transfer and Program Integration Division, Mail Drop 12, 
    Research Triangle Park, North Carolina 27711. Persons interested in 
    attending the hearing or wishing to present oral testimony should 
    contact Ms. Susan Curtis in writing at the U.S. Environmental 
    Protection Agency, Office of Air Quality Planning and Standards, 
    Information Transfer and Program Integration Division, Mail Drop 12, 
    Research Triangle Park, North Carolina 27711.
    
    SUPPLEMENTARY INFORMATION:
    
    Comments
    
        The EPA is unlikely to be able to extend the public comment period. 
    Two paper copies of each set of comments are requested. If possible, 
    comments should be sent in both paper and computerized form. Comments 
    generated on computer should be sent on an IBM-compatible diskette and 
    clearly labeled. Computer files created with the WordPerfect 5.1 
    software package should be sent as is. Files created on other software 
    packages should be saved in an ``unformatted'' mode for easy retrieval 
    into WordPerfect. Comments should refer to specific page numbers of 
    today's proposal whenever possible.
    
    Outline
    
        The contents of today's preamble are listed in the following 
    outline:
    
    I. Background and Purpose
    II. Proposal Summary
    III. Detailed Discussion of Key Aspects of the Proposed Regulations
        A. Section 71.2--Definitions
        B. Section 71.3--Sources Subject to Permitting Requirements
        C. Section 71.4--Program Implementation
        D. Section 71.5--Permit Applications
        E. Section 71.6--Permit Content
        F. Section 71.7--Permit Review, Issuance, Renewal, Reopenings, 
    and Revisions
        G. Section 71.8--Affected State Review
        H. Section 71.9--Permit Fees
        I. Section 71.10--Delegation of Part 71 Program
        J. Section 71.11--Administrative Record, Public Participation, 
    and Administrative Review
        K. Section 71.12--Prohibited Acts
    IV. Administrative Requirements
        A. Reference Documents
        B. Office of Management and Budget (OMB) Review
        C. Regulatory Flexibility Act Compliance
        D. Paperwork Reduction Act
    
    I. Background and Purpose
    
        Title V of the Act as amended in 1990 (42 U.S.C. 7661 et seq.) 
    imposes on States the duty to develop, administer, and enforce 
    operating permits programs that comply with the requirements of title V 
    (section 502(d)(1)). The EPA has 1 year to approve or disapprove a 
    submitted program (section 502(d)(1)). Once EPA has approved a State 
    program, the covered sources within that program's scope have 1 year to 
    submit permit applications to the permitting authority (section 503(c)) 
    unless the permitting authority establishes an earlier date. Within the 
    first 3 years of the program, the permitting authority must act on all 
    applications submitted in the first year of the program (section 
    503(c)), and EPA must have an opportunity to object to the proposed 
    permit if it does not comply with the Act's requirements (section 
    505(b)). Once the permitting authority issues a source its permit, the 
    source may not violate any requirement of its permit or operate except 
    in compliance with it (section 502(a)).
        Title V also requires that EPA stand ready to issue Federal 
    operating permits when States default in their duty to develop and 
    administer part 70 programs. Section 502(b) of the Act requires that 
    EPA promulgate regulations setting forth provisions under which States 
    will develop operating permits programs and submit them to EPA for 
    approval. Pursuant to this section, EPA promulgated 40 CFR part 70 on 
    July 21, 1992 (57 FR 32250), which specifies the minimum elements of 
    State operating permits programs.
        The operating permits program's potential consequences for air 
    pollution control and for sources' ability to meet changing market 
    demands have made the process of developing and implementing the 
    program complex and controversial. Indeed, nearly 20 entities, 
    including State and local governments, environmental groups, and 
    industry associations, petitioned for judicial review of the part 70 
    regulations. Subsequently, EPA decided to propose revisions to part 70. 
    See 59 FR 44460 (Aug. 29, 1994). In light of ongoing discussions with 
    petitioners, EPA may propose additional revisions to part 70 in the 
    future that may also necessitate supplementing the part 71 provisions 
    proposed today.
        The EPA intends that proposed part 71 generally follow the approach 
    taken in 40 CFR part 70, including the [[Page 20805]] recently proposed 
    revisions to part 70. Differences between part 70 and part 71 are noted 
    in the discussion of each section of the proposed rule. Where possible 
    and appropriate, provisions of part 71 are consistent with part 70. 
    Some of the differences between the provisions of part 71 and part 70 
    reflect the fact that part 71 programs are expected to be of limited 
    duration. The EPA expects that States (and many Tribes) will revise 
    their programs so that they become approvable, and responsibility for 
    the permits program will be transferred back to the State or Tribe.
        The Agency is aware that many parties have already submitted 
    comments expressing both their concerns about and their support for the 
    proposed revisions and that these parties are interested in the final 
    Agency decisions on many of the issues raised in the part 70 
    rulemaking. This proposal for part 71 is not intended in any way to 
    prejudge the Agency's decisions in the part 70 rulemaking, but rather 
    simply parallels the proposed part 70 revisions in order to be 
    consistent with that proposal.
        The primary purpose of the proposed rule is to provide the 
    mechanism by which EPA can assume responsibility to issue permits in 
    situations where the State, local, or Tribal agency has not developed, 
    administered, or enforced an acceptable permits program or has not 
    issued permits that comply with the applicable requirements of the Act. 
    Secondarily, the proposed rule provides for delegation of certain 
    duties that may provide for a smoother program transition when State 
    programs are approved. For both of these reasons, the proposed rule 
    should strengthen implementation of the Act and enhance air quality 
    planning and control.
        Additional benefits of the proposed rule are much the same as those 
    of the part 70 State operating permits rule. For example, permits 
    issued under part 71 will clarify which requirements apply to a source. 
    This clarification should enhance compliance with the requirements of 
    the Act. The part 71 program will enable the sources, EPA, and the 
    public to better understand the requirements to which the source is 
    subject and whether the source is meeting those requirements. Part 71 
    permits also provide the vehicle for implementing air toxics programs 
    under section 112.
        The comment period for the proposed revisions to part 70 will end 
    prior to the comment period for today's rulemaking proposal. It would 
    therefore be of limited value for commenters to suggest in response to 
    today's rulemaking proposal their concerns with those aspects of the 
    part 70 proposed revisions on which proposed part 71 is based. Rather, 
    EPA solicits comments on whether there are any provisions in proposed 
    part 71 for which EPA has inappropriately proposed consistency with 
    part 70 or its proposed revisions or has inappropriately departed from 
    part 70 or its proposed revisions.
        The rationale for today's proposal and many of the issues addressed 
    in this proposal are discussed in greater detail in a document entitled 
    ``Supplementary Information for Proposed Federal Operating Permits 
    Rule'' (Supplementary Information Document) which is contained in the 
    docket for this proposal (Docket No. A-93-51).
        This preamble makes frequent use of the term ``State,'' usually 
    meaning the State air pollution control agency that would be the 
    permitting authority for a part 70 permit program. The reader should 
    assume that use of ``State'' may also include reference to a local air 
    pollution agency. In some cases, the term ``permitting authority'' is 
    used and can refer to State, local, and Tribal agencies. The term may 
    also apply to EPA, where the Agency is the permitting authority of 
    record.
    
    II. Proposal Summary
    
        Sections 502(d)(3) and 502(i)(4) of the Act require EPA to 
    promulgate a Federal operating permits program when a State has 
    defaulted on its obligation to submit an approvable program within the 
    timeframe set by title V or on its obligation to adequately administer 
    and enforce an approved program. The rule proposed in this action would 
    establish a national template for a Federal operating permits program 
    that EPA may administer and enforce in a State. In addition, the 
    proposed rule would establish the procedures for issuing Federal 
    permits to sources for which States do not have jurisdiction (i.e., OCS 
    sources outside of State jurisdictions and sources located in Tribal 
    areas). Finally, the proposed rule would establish the procedures used 
    when EPA must take action on a permit that has been proposed or issued 
    by a State or local agency or Indian Tribe having an approved part 70 
    program and that EPA determines is not in compliance with the 
    applicable requirements of the Act.
        Like part 70, part 71 requires: (1) The use of a standard permit 
    application form; (2) that sources subject to permitting requirements 
    pay permit fees that assure adequate program resources and funding; and 
    (3) permit issuance, appeal, and renewal procedures that ensure that 
    each regulated source can obtain a permit that will assure compliance 
    with all of its applicable requirements under the Act. Part 71 sources 
    must obtain an operating permit addressing all applicable pollution 
    control obligations under the State implementation plan (SIP), Federal 
    implementation plan (FIP), or Tribal implementation plan (TIP); the 
    acid rain program; the air toxics program under section 112; and other 
    applicable provisions of the Act. Sources must also submit periodic 
    reports to EPA concerning the extent of their compliance with permit 
    obligations.
        When EPA implements a part 71 program, it will cover only the 
    geographic area that is not covered by an approved State, local, or 
    Tribal program. For example, if a local agency within a State has an 
    approved program but the entire State is not covered by an approved 
    program, EPA's implementation of a part 71 program for the State would 
    not affect the area subject to the approved local program.
        In appropriate circumstances, EPA may delegate to a State, local, 
    or Tribal permitting authority some or all of its authority to 
    administer a part 71 program. The responsibilities of EPA and the 
    delegate agency will be set forth in a Delegation of Authority 
    Agreement.
        The EPA will generally cease implementation of a part 71 program 
    subsequent to approval of a State operating permits program.
    
    III. Detailed Discussion of Key Aspects of the Proposed Regulations
    
    A. Section 71.2--Definitions
    
        Generally, the proposed definitions in part 71 would follow the 
    definitions in currently promulgated part 70 and its proposed 
    revisions, as appropriate. However, some of the definitions used in 40 
    CFR part 70 would be modified for use in this part. The key part 71 
    definitions (including some which would be defined differently than in 
    part 70) are discussed in this section. Others are discussed in the 
    preamble sections describing the program areas where they are primarily 
    used. Still others are defined in other titles of the Act and the 
    regulations promulgated thereunder.
    1. Affected State
        The definition of ``affected State'' for purposes of proposed 
    Sec. 71.8 would include lands within the exterior boundaries of an 
    Indian reservation or other areas over which an Indian Tribe has 
    jurisdiction (hereafter ``Tribal area''). If EPA administers a part 71 
    program for such an area, EPA would consider the Indian Tribe to be an 
    [[Page 20806]] affected State and would provide the Tribe notice of 
    draft permits, permit renewals, permit reopenings, and permit 
    revisions. Such notice would also be provided when a part 71 program is 
    implemented outside of a Tribal area and an applicant source is within 
    50 miles of the Tribal area, or is in an area that is contiguous to the 
    Tribal area and may affect the air quality in that area, provided the 
    Indian Tribe meets the eligibility criteria for being treated in the 
    same manner as a State for programs under the Act. See 59 FR 43956 
    (Aug. 25, 1994).
        The definition of ``affected State'' for purposes of proposed 
    Sec. 71.8 would also include the State or Tribal area and the area 
    within the jurisdiction of the air pollution control agency in which 
    the part 71 permit, permit revision, or permit renewal is being 
    proposed. EPA believes this provision is necessary for part 71, while 
    not for part 70. In some cases under a part 71 program, the title V 
    permitting authority (EPA) would not be the same as the governmental 
    body with general jurisdiction over the area (i.e., the State, Tribe, 
    or local air pollution control agency). When EPA is the permitting 
    authority, EPA believes it is necessary to notify the States, Tribal 
    authorities, and local agencies with jurisdiction over the areas in 
    which EPA's action is proposed. Otherwise, these authorities would be 
    less apprised of EPA's actions than the neighboring areas that do not 
    have jurisdiction over these areas and are less likely to be impacted 
    by EPA's actions. The EPA solicits comment on this expansion of the 
    term ``affected State,'' and on whether other mechanisms might 
    adequately serve to apprise ``host'' jurisdictions of EPA part 71 
    actions.
    2. Applicable Requirements
        An ``applicable requirement'' is any standard or other requirement 
    that applies to a source. This includes any relevant requirement in an 
    approved SIP or preconstruction permit. It also includes any pertinent 
    standard or other requirement imposed pursuant to any title of the Act, 
    such as sections 111, 112, 114(a)(3), 129, 183(e), 183(f), 328, 504(b), 
    504(e), 608, or 609. However, EPA does not believe that the provisions 
    of sections 604 through 606 and 610 through 612 of title VI of the Act 
    must be considered as applicable requirements for title V and included 
    in title V permits. The rationale for this determination can be found 
    in the preamble to the proposed revision of the part 70 regulations, at 
    IV.A.1(b). See 59 FR 44460 (Aug. 29, 1994).
        For purposes of part 71, EPA today incorporates that rationale by 
    reference. The EPA also incorporates by reference that notice's 
    rationale for adding to the list of applicable requirements any 
    requirements that create offsets or limit emissions for the purpose of 
    complying with, or avoiding applicable requirements. The proposed 
    addition to the part 70 list and today's proposal for part 71 would add 
    as an applicable requirement any emissions-limiting requirement that is 
    enforceable by citizens or EPA under the Act and that is placed on a 
    source for purposes of creating an offset credit or avoiding the 
    applicability of applicable requirements.
    3. Tribal Areas
        The EPA has published a proposed rule, pursuant to section 
    301(d)(2), specifying the provisions of the Act for which EPA believes 
    it is appropriate to treat Indian Tribes in the same manner as States. 
    See 59 FR 43956 (Aug. 25, 1994) (``Indian Tribes: Air Quality Planning 
    and Management,'' hereafter ``proposed Tribal rule''). The proposed 
    Tribal rule also addresses the criteria a Tribe must meet in order to 
    be eligible for treatment in the same manner as a State for the 
    specified provisions of the Act.
        For a Tribe to be eligible for treatment in the same manner as a 
    State, it must be Federally recognized (section 302(r)) and must meet 
    the three criteria set forth in section 301(d)(2)(A)-(C). Briefly, 
    these criteria consist of the following: (1) The Tribe must have a 
    governing body carrying out substantial governmental duties and powers; 
    (2) the functions to be exercised by the Tribe must pertain to the 
    management and protection of air resources within the exterior 
    boundaries of the reservation or other areas within the Tribe's 
    jurisdiction; and (3) the Tribe must be capable of carrying out the 
    functions to be exercised consistent with the terms and purposes of the 
    Act and applicable regulations. These criteria and EPA's streamlined 
    process for determining compliance with these criteria are described in 
    detail in the Tribal rule (59 FR 43961-43964).
        In the Tribal rule, EPA proposes to interpret the Act as granting, 
    to Tribes approved by EPA to administer programs under the Act in the 
    same manner as States, authority over all air resources within the 
    exterior boundaries of an Indian reservation. This would enable Tribal-
    approved programs under the Act to address conduct on all lands, 
    including non-Indian owned fee lands, within the exterior boundaries of 
    a reservation. The proposed Tribal rule would also authorize an 
    eligible Tribe to develop and implement programs under the Act for off-
    reservation lands that are determined to be within a Tribe's inherent 
    sovereign authority to regulate. The rationale for this proposed 
    interpretation of Tribal jurisdiction under programs under the Act is 
    set out in detail in the proposed Tribal rule, and is incorporated here 
    by reference. See 59 FR 43958-43961.
        EPA's final interpretation of Tribal jurisdiction under this Act 
    may affect the scope of a part 71 program administered by EPA for 
    Tribes. When, pursuant to Federal implementation authority, EPA is 
    acting in the place of a State or Tribe under the Act, all of the 
    rights and duties that would otherwise fall to the State or Tribe 
    accrue instead to EPA. See Central Arizona Water Conservation Dist. v. 
    EPA, 990 F.2d 1531, 1541 (9th Cir. 1993), cert. denied, 114 S.Ct. 94 
    (1993). Therefore, the scope of Tribal authority under the Act may 
    inform EPA's authority in administering a part 71 program for Tribes.
        More specifically, EPA would have authority to implement a Tribal 
    part 71 program for any lands within the exterior boundaries of a 
    reservation and any off-reservation land over which a Tribe has 
    inherent sovereign authority. Tribes determined eligible to be treated 
    in the same manner as a State under the Act would be given notice under 
    proposed Secs. 71.8 and 71.10 of certain permit actions. All land 
    within the exterior boundaries of a reservation and any other lands 
    over which a Tribe has demonstrated inherent authority would be 
    considered in providing notice to a Tribe. Further, the proposed part 
    71 rules provide that, in all instances, the Tribe for the area in 
    which a part 71 permit program is being administered will receive 
    notice.
        The EPA's proposed Tribal rule is subject to public comment and may 
    be modified before it is issued in final form. The EPA may need to make 
    conforming changes to the part 71 rules proposed today to reflect any 
    relevant revisions made to the Tribal rule.
    4. Major Source
        The EPA is proposing to utilize the same approaches to defining 
    ``major source'' as were used for 40 CFR parts 63 and 70, except that 
    today's proposal, like the recently proposed revisions to part 70, 
    would change the definition of major source to conform to the 
    definition in section 112(a) of the Act and to implementing regulations 
    governing hazardous air pollutants (HAP) sources recently promulgated 
    in 40 CFR part 63. Section 501(2) of the Act provides, in relevant 
    part, that the term ``major source'' means ``any stationary source (or 
    any group of stationary sources located within a 
    [[Page 20807]] contiguous area and under common control)'' that would 
    be a major source under section 112 or a major stationary source under 
    section 302 or part D of title I of the Act. Other conditions and 
    requirements relevant to the major source definition are:
        a. Section 302 and Part D Sources. Except for sources qualifying as 
    support facilities (see paragraph (c) of this section), stationary 
    sources can only be aggregated to determine whether they constitute a 
    major stationary source subject to section 302 or part D of the Act if 
    they are in the same industrial grouping, as determined by their 2-
    digit code. These codes can be found in the Standard Industrial 
    Classification Manual, 1987.
        b. Section 112 Sources. Stationary sources of HAP must be 
    aggregated for the purpose of determining whether they are major 
    sources subject to section 112 without regard to their industrial 
    grouping.
        c. Support Facilities. The EPA proposes to include in the 
    definition of a major source pursuant to section 302 or part D of title 
    I of the Act, any facility or emission unit used to support the main 
    activity of the source, regardless of its 2-digit code. A support 
    facility must be located on the same property as the source it 
    supports, or on adjacent property, and be under the control of the same 
    entity. Also, at least 50 percent of the support facility's output must 
    be dedicated to the source.
        d. Emission Requirements. To be major, a stationary source must 
    have the potential to emit pollutants in amounts at or above the major 
    source threshold, which is determined by the type of pollutant emitted 
    and by the attainment status of the area in which the source is 
    located. Thus, the term ``major source'' encompasses the following:
        (1) Air toxics sources with the potential to emit 10 tons per year 
    (tpy) or more of any HAP listed pursuant to section 112(b); 25 tpy or 
    more of any combination of HAP listed pursuant to section 112(b); or a 
    lesser quantity of a given pollutant, if the Administrator so 
    specifies. And, once the Administrator promulgates a definition of 
    major source for radionuclides, a source would be major if it emits, or 
    has the potential to emit, major amounts of radionuclides.
        (2) Sources of air pollutants, as defined in section 302 of the Act 
    with the potential to emit 100 tpy or more of any pollutant.
        (3) Except as noted in paragraph (d)(4) of this section, sources 
    subject to the nonattainment area provisions of title I, part D, with 
    the potential to emit pollutants in the following, or greater, amounts:
        (a) 50 tpy VOC or NOX in serious ozone nonattainment areas;
        (b) 25 tpy VOC or NOX in severe ozone nonattainment areas;
        (c) 10 tpy VOC or NOX in extreme ozone nonattainment areas;
        (d) 50 tpy VOC in ozone transport regions established pursuant to 
    section 189 of the Act;
        (e) 50 tpy carbon monoxide (CO) in serious CO nonattainment areas; 
    and
        (f) 70 tpy particulate matter (PM-10) in serious particulate matter 
    nonattainment areas.
        (4) The NOX thresholds in paragraph (d)(3) of this section do 
    not apply in nonattainment areas qualifying for an exemption under 
    section 182(f) of the Act. This exemption applies in the case where 
    reducing NOX emissions would not reduce ozone formation. In those 
    areas, a stationary source of NOX is not considered a major source 
    under part D of title I of the Act unless its potential to emit is 100 
    tpy or more. In areas not qualifying for this exemption, NOX 
    sources are subject to the lower thresholds defined in part D and 
    listed in paragraph (d)(3) of this section. Whatever its location, any 
    100 tpy source would be considered a major source under section 302 of 
    the Act. Also, the major source threshold for VOC in ozone transport 
    regions in paragraph (d)(3) of this section does not apply for 
    NOX. This threshold was created by section 184(b) of the Act. 
    Because section 182(f) of the Act (which requires NOX sources to 
    meet the same thresholds as VOC sources) does not refer to section 
    184(b) of the Act, the lower threshold for VOC sources in ozone 
    transport regions does not apply to NOX sources.
        e. Fugitive Emissions. The fugitive emissions from a stationary 
    source shall be considered in making the determination as to whether it 
    is a major source when:
        (1) The source belongs to one of the source categories listed in 
    the definition of ``major stationary source'' at 40 CFR parts 51 and 52 
    which includes source categories regulated by a section 111 or section 
    112 standard as of August 7, 1980. Thus, proposed part 71 would follow 
    the proposed revisions to part 70 in that sources in categories subject 
    to standards set after August 7, 1980, if not otherwise listed, would 
    be exempted from the requirement to include fugitive emissions when 
    making their major source determination until such time as EPA conducts 
    section 302(j) rulemaking to require that fugitive emissions from those 
    sources be included.
        (2) The air pollutants emitted are HAP or radionuclides. The EPA 
    believes the Act requires that fugitive emissions of HAP or 
    radionuclides, to the extent quantifiable, be counted. Section 
    112(a)(1) of the Act uses the term ``major source,'' rather than 
    ``major stationary source,'' and legislative history indicates an 
    intent by Congress to treat this definition differently than the 
    section 302(j) ``major stationary source'' definition. Moreover, 
    section 112 of the Act establishes a new program with a relatively 
    narrow focus; it applies only for specific HAP at source categories to 
    be determined by EPA. All this suggests that the section 302(j) 
    rulemaking requirement does not apply in the context of section 112, 
    and that fugitive emissions must therefore be included for the purpose 
    of determining whether a source is major under section 112(a)(1).
    4. New Source Review
        The definitions for major and minor NSR have been included so they 
    can be used to describe the proposed permit revision procedures. In 
    some cases, the action to revise a permit will depend on whether the 
    change was subjected to major or minor NSR before being processed as a 
    part 71 revision.
    5. Potential To Emit
        In the proposed definition of ``potential to emit,'' limitations on 
    a source's potential to emit would be federally enforceable only if 
    they are enforceable by the Administrator and citizens under the Act. 
    This differs from the definition currently in part 70 of this chapter, 
    in that the part 70 definition only requires that the limitations be 
    enforceable by the Administrator. This proposal would follow the 
    definition in the proposed revisions to part 70. See 59 FR 44460 (Aug. 
    29, 1994).
    6. Responsible Official
        The proposed definition of ``responsible official'' would follow 
    the definition in the recently proposed revisions to part 70.
    7. Title I Modification
        The proposed rule would adopt the definition of ``title I 
    modification'' or ``modification under any provision of title I of the 
    Act'' that is used in part 70. The proposed definition parallels a 
    proposed revision to the regulations at part 70 of this chapter, on 
    which EPA solicited comment, and the rationale for the definition in 
    the preamble to the proposed revision to part 70 is incorporated herein 
    by reference. See 59 CFR 44460 (Aug. 29, 1994). [[Page 20808]] 
    
    B. Section 71.3--Sources Subject to Permitting Requirements
    
        Section 502(a) of the Act subjects all affected sources (as 
    provided in title IV), major sources, sources (including area sources) 
    subject to standards or regulations under sections 111 or 112, sources 
    required to have permits under parts C or D of title I, and any other 
    source in a category designated by EPA, to the permitting requirements 
    of title V. Section 502(a) also provides the Administrator the 
    discretion to exempt one or more source categories (in whole or in 
    part) from the requirement to obtain a permit ``if the Administrator 
    finds that compliance with such requirements is impracticable, 
    infeasible or unnecessarily burdensome on such categories.'' The Act 
    specifies that major sources may not be exempted from these 
    requirements. This requirement applies both to sources that are major 
    for criteria pollutants and those that are major emitters of the HAP 
    listed at section 112(b). However, section 112(r)(7)(F) of the Act also 
    provides that sources that are subject solely to regulations or 
    requirements under section 112(r) of the Act are not required to obtain 
    a permit under this part.
    1. Temporary Exemptions for Nonmajor Sources
        Section 70.3(b)(1) of this chapter deferred the applicability of 
    part 70 to nonmajor sources (except for affected sources and solid 
    waste incineration sources) that would otherwise be subject because 
    they are in a source category that is subject to part 70, such as one 
    regulated by a section 111 or 112 standard. In the final part 70 rule, 
    EPA stated its intent to propose rulemaking to resolve the exception 
    status of these nonmajor sources within 5 years following the first 
    full or partial approval of a State program with a deferral.
        The EPA proposes to follow the same approach to deferrals for 
    purposes of part 71.
    2. Permanently Exempted Source Categories
        The EPA proposes to exempt permanently two source categories from 
    the requirement to obtain a part 71 permit:
        (1) All sources that would be required to obtain a permit solely 
    because they are subject to regulation under the demolition and 
    renovation provisions of the NESHAP for asbestos (40 CFR 61.145); and
        (2) All sources that would be required to obtain a permit solely 
    because they are subject to regulation under the NSPS for residential 
    wood heaters (40 CFR 60.530).
        These source categories were exempted from permitting requirements 
    under part 70 because the Administrator determined that permitting such 
    sources would be impracticable, infeasible, and unnecessarily 
    burdensome. This exemption is proposed to be continued for part 71. A 
    more detailed rationale for this exemption is provided in the preamble 
    to the part 70 regulations at 57 FR 32263-32264 (July 21, 1992), which 
    EPA today incorporates by reference for purposes of part 71.
    3. Major Section 112 (HAP) Sources
        Like the proposed revisions to part 70 of this chapter, today's 
    proposal would ensure that the definition of major source in this part 
    matches the definition in section 112(a) of the Act and in the 
    regulations governing HAP sources recently promulgated in 40 CFR part 
    63. Under 40 CFR Part 63, EPA definition of a major source of HAP is 
    more inclusive than the definition originally promulgated in part 70. 
    Unlike part 70, the part 63 definition of major source does not 
    reference standard industrial classification (SIC) codes. As defined in 
    part 63, an entire contiguous or adjacent plant site is considered a 
    single source, rather than being subdivided according to industrial 
    classification. See 59 FR 12412 (March 16, 1994). This definition does 
    not limit the sources (or emission units) that can be included in a 
    stationary source to those having the same 2-digit code. One result of 
    this more inclusive definition is that there will likely be some HAP 
    sources that are major under part 63 but are not major under part 70, 
    as originally promulgated. The EPA believes it is necessary to expand 
    the major source definition in part 70 and part 71 to include all 
    sources that are major for part 63. Otherwise, those sources subject to 
    a section 112 standard or other requirement will not have to apply for 
    and obtain a part 71 permit until required to do so by a specific 
    section 112 standard. Today's proposal, and the proposed revisions to 
    part 70 of this chapter, reflect the more inclusive part 63 definition 
    and ensure that HAP sources are treated consistently under rules 
    promulgated pursuant to section 112 and title V of the Act.
    4. Section 112(r) Pollutants
        Section 70.3(a)(3) of this chapter, as originally promulgated, 
    requires any source subject to a standard or other requirement under 
    section 112 of the Act to obtain a part 70 permit unless it would be 
    subject to part 70 solely because it is subject to regulations or 
    requirements under section 112(r). Section 112(r)(3) requires EPA to 
    promulgate a list of regulated substances and thresholds for the 
    prevention of accidental releases. Section 112(r)(4) establishes 
    criteria for the development of a list of regulated substances, 
    focusing on acute effects that result in serious off-site consequences, 
    rather than chronic effects. As a result, many of the substances listed 
    in Sec. 68.130 of this chapter pursuant to section 112(r)(3) (59 FR 
    4478 (January 31, 1994)) are not regulated elsewhere under the Act.
        Questions have been raised as to whether Sec. 70.3(a)(1) of this 
    chapter, which provides that ``any major source'' is subject to the 
    permit rule, requires that sources that have major source levels of 
    section 112(r) pollutants must be permitted. Setting aside the issues 
    of whether and how major source status is to be determined for section 
    112(r) purposes, section 112(r)(7)(F) exempts from title V permitting 
    requirements any source that would be subject to title V only as result 
    of being subject to section 112(r) requirements. That section provides 
    that ``(n)otwithstanding the provisions of title V or this section, no 
    stationary source shall be required to apply for, or operate pursuant 
    to, a permit issued under such title solely because such source is 
    subject to regulations or requirements under this subsection.'' Thus, 
    it is clear that even if a source could be considered a ``major 
    source'' for section 112(r) purposes, it would not be subject to title 
    V permitting on that basis alone. The EPA's proposed revisions to 40 
    CFR part 70 would revise Sec. 70.3(a) of this chapter to clarify this 
    point. Similarly, proposed Sec. 71.3(a) reflects this approach.
    
    C. Section 71.4--Program Implementation
    
        Proposed section 71.4(a) describes the circumstances in which EPA 
    would establish a full or partial Federal operating permits program for 
    a State, excluding Tribal areas. Section 502(d)(3) of the Act requires 
    EPA to promulgate, administer, and enforce a program for a State if an 
    operating permits program for the State has not been approved in whole 
    by November 15, 1995. However, the requirement that EPA establish a 
    Federal program by November 15, 1995 for States lacking a fully 
    approved program is suspended if a State program is granted interim 
    approval. The duty to implement a Federal program then reapplies upon 
    expiration of an interim approval, if the State has not received full 
    approval by that time.
        As provided in proposed Sec. 71.4(a)(3), EPA would have the 
    authority to [[Page 20809]] establish a partial part 71 program in 
    limited geographical areas of a State if EPA has approved a part 70 
    program (or combination of part 70 programs) for the remaining areas of 
    the State. This should avoid unnecessary disruption of partial programs 
    that have been approved within a State and avoid intruding into the 
    State's administration of its air program where only certain 
    jurisdictions have failed to implement an approvable part 70 program.
        The proposed rule also provides for EPA implementation of part 71 
    programs to ensure coverage of Tribal areas. The proposed Tribal rule 
    generally describes EPA's authority for implementing programs under the 
    Act to protect Tribal air quality. 59 FR 43960-43961. That discussion 
    is incorporated here by reference.
        In broad overview, the Act authorizes EPA to protect air quality on 
    lands over which Indian Tribes have jurisdiction. The overarching 
    purpose of the Act is ``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.'' section 101(b)(1). The 
    members of the public residing on lands over which Tribes have 
    jurisdiction are equally entitled to air quality protection as those 
    residing elsewhere.
        Several provisions of the Act evince Congressional intent to 
    authorize EPA to directly implement programs under the Act where there 
    are voids in program coverage (e.g., sections 110(c)(1), 301 (d)(4) and 
    502 (d)(3), (i)(4)). Federal implementation of Clean Air Act programs 
    on Indian lands is particularly appropriate where Federal action will 
    prevent a ``vacuum of authority'' in air quality protection. See 
    Phillips Petroleum Co. v. EPA, 803 F.2d 545, 555-56 (10 Cir. 1986) 
    (affirming EPA's authority to directly implement Safe Drinking Water 
    Act Underground Injection Control program on Indian lands where 
    concluding otherwise would contradict the meaning and purpose of the 
    Act by creating ``a vacuum of authority over underground injections on 
    Indian lands, leaving vast areas of the nation devoid of protection 
    from groundwater contamination''). Based on the proposed interpretation 
    of Tribal jurisdiction under the Act in EPA's Tribal rule, discussed 
    previously, EPA would have authority under today's proposed rules to 
    implement part 71 programs for all areas within the exterior boundaries 
    of an Indian reservation and other areas over which an Indian Tribe has 
    jurisdiction.
        If finalized as proposed, the Tribal rule will authorize Tribes to 
    develop and submit title V operating permit programs to EPA for 
    approval. The EPA's principal objective would be to assist Tribes in 
    developing and administering their own title V operating permit 
    programs, similar to the manner in which EPA has assisted States. The 
    EPA recognizes that ultimately Tribes are best situated to provide 
    primary protection of Tribal air resources. To these ends, EPA's 
    proposed Tribal rule provides the following:
    
        It is EPA's policy to assist Tribes in developing comprehensive 
    and effective air quality management programs to insure that Tribal 
    air quality management programs will be implemented to the extent 
    necessary on Indian reservations. EPA will do this by, among other 
    things, providing technical advice and assistance to Indian Tribes 
    on air quality issues. EPA intends to consult with Tribes to 
    identify their particular needs for air program development 
    assistance and to provide on-going assistance as necessary.
    
    59 FR 43961.
        However, EPA also intends to be prepared to implement title V 
    programs in the event Tribes do not. To avoid gaps in title V permits 
    program coverage, the rules proposed today authorize EPA to implement a 
    title V operating permits program for Tribes that do not develop their 
    own programs.
        The more difficult issue is when EPA should implement title V 
    programs for Tribes. EPA believes it is reasonable to give Tribes some 
    opportunity to develop their own title V programs, assuming EPA's final 
    Tribal rule authorizes them to do so, before EPA directly implements 
    title V programs.
        The part 71 rules propose to authorize EPA to implement the title V 
    permit program for Tribes if a Tribal program has not been fully 
    approved by November 15, 1997. Within the first two years of the 
    program, the permitting authority would be required to take action on 
    all applications submitted in the first year of the program. Nothing in 
    today's proposal would prevent EPA from implementing a part 71 program 
    for a Tribal area subsequent to November 15, 1995 but prior to November 
    15, 1997. It may be appropriate, particularly where the absence of an 
    operating permits program would create a gap in coverage, for EPA to 
    implement part 71 programs in advance of the effective date set by the 
    rule. The EPA would discuss early implementation with the affected 
    Tribe before adopting an earlier effective date. In such a case, the 
    program would become effective when the Administrator provides written 
    notice to the Tribal chairperson or analogous Tribal leader.
        The EPA considered several factors in addressing this issue 
    including: The opportunity for the development of Tribal programs that 
    would render Federal implementation unnecessary; the importance of 
    title V coverage, whether Tribal or Federal, in protecting Tribal air 
    quality; and, the need to treat the potentially affected regulated 
    community fairly and to facilitate certainty in business planning. The 
    EPA solicits comments on whether the EPA's proposed approach to the 
    effective date of the program is appropriate and whether the two-year 
    deadline for taking action on permit applications is appropriate and 
    feasible.
        The proposed Tribal rule describes an administrative procedure by 
    which EPA would resolve jurisdictional issues affecting Tribes. See 59 
    FR 43962-43963 (Aug. 25, 1994). That discussion is incorporated here by 
    reference. Generally, EPA expects these issues to involve the precise 
    boundary of the reservation in question and, less frequently, competing 
    claims of jurisdiction over land which is outside of the exterior 
    boundaries of a reservation.
        Briefly summarized, the proposed Tribal rule would require EPA to 
    notify the appropriate governmental entities regarding the Tribe's 
    assertion of jurisdiction.1 Those entities would have fifteen days 
    following receipt of EPA's notification to provide formal comments to 
    EPA regarding any dispute they might have with the Tribe's assertion of 
    jurisdiction. Where the dispute concerns jurisdiction over off-
    reservation lands, appropriate governmental entities may request a one-
    time fifteen-day extension to the comment period. In all cases, 
    comments from appropriate governmental entities would have to be 
    offered in a timely manner and be limited to the Tribe's jurisdictional 
    assertion. Where no timely comments are presented, EPA would conclude 
    there is no objection to the Tribe's assertion. To raise a competing or 
    conflicting claim, a commenter would be required to clearly explain the 
    substance, basis, and extent of its objections. Finally, where EPA 
    receives timely notification of a dispute, it could obtain such 
    additional information and documentation as it believes appropriate 
    and, at its option, consult with the Department of the Interior.
    
        \1\For purposes of this rule, EPA is proposing to adopt the same 
    definition of ``governmental entities'' as the Agency did in its 
    December 1991 Water Quality Standards regulation. See 56 FR 64876 at 
    64884 (Dec. 12, 1991).
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        For purposes of identifying the Tribal area for which a part 71 
    program is [[Page 20810]] implemented, EPA proposes to follow the 
    approach to resolving jurisdictional issues taken in the Tribal air 
    rule. If the Tribal rule is finalized as proposed, EPA would notify 
    appropriate governmental entities of the boundary of the Tribal area 
    for a part 71 program at least 90 days prior to the effective date of 
    the program. Those entities would then have an opportunity to provide 
    formal comments prior to the program's effective date, as discussed 
    above. Where no timely comments are presented, EPA would make a 
    determination that the boundary for the part 71 program would be as 
    proposed in the notice. Subsequently, EPA would publish a notice in the 
    Federal Register which describes the precise boundaries of the part 71 
    program.
        Where EPA identifies a jurisdictional dispute, it may obtain 
    additional information and documentation and consult with the 
    Department of the Interior prior to making a determination. The EPA 
    would subsequently publish a notice in the Federal Register which 
    describes the precise boundaries of the part 71 program. If the dispute 
    cannot be resolved promptly, EPA would retain the option of 
    implementing the part 71 program in the areas that are clearly shown to 
    be part of the reservation (or are otherwise within the Tribe's 
    jurisdiction). This will allow EPA to implement a part 71 program that 
    covers all undisputed areas, while withholding action on the portion 
    that addresses areas where a jurisdictional issue has not been 
    satisfactorily resolved.
        As proposed in Sec. 71.4(c), EPA would promulgate a part 71 program 
    for a permitting authority (including an eligible Tribe) if EPA 
    determines that an approved program is not adequately administered or 
    enforced and the permitting authority fails to correct the deficiencies 
    that precipitated EPA's finding.2 Where the acid rain portion of 
    an operating permits program is not adequately administered, EPA could 
    withdraw either the entire program or just the acid rain portion of the 
    program. If EPA finds that the nonacid rain portion of the operating 
    permits program is being adequately administered, EPA would generally 
    withdraw only the acid rain portion. In such a case, EPA would issue 
    the acid rain portion of the source's permit using the procedures set 
    forth in 40 CFR part 72, and the State would continue to issue the 
    remaining portion of the operating permits and would issue all permits 
    to sources other than acid rain sources.
    
        \2\Although this preamble section addresses withdrawing approval 
    of State operating permit programs, note that eligible Tribes would 
    be treated in the same manner as States for purposes of withdrawal 
    of program approval, assuming the Tribal rule is finalized as 
    proposed. In that case, the provisions of 40 CFR 70.10(b)(1), which 
    address State failure to administer or enforce an approved part 70 
    program, and 40 CFR 70.10(c), which addresses criteria for 
    withdrawal of State programs, would apply equally to Tribal 
    programs.
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        When EPA determines that a State is not adequately administering 
    its program, EPA would provide notice to the State as required by 40 
    CFR 70.10(b)(1). The State would then have 90 days in which to take 
    significant action to assure adequate administration and enforcement of 
    the program. Where EPA determines that the State has not taken such 
    significant action within the specified time, EPA could begin 
    implementing a Federal program immediately. Otherwise, if the State had 
    not fully corrected the deficiency that prompted EPA's determination of 
    failure to administer or enforce within 18 months of the determination, 
    EPA would begin implementing a Federal program 2 years after the date 
    of the determination. This framework is identical to that which EPA 
    promulgated in part 70 at 40 CFR 70.10(b) (2) and (4).
        The EPA acknowledges that its intent to retain the option of 
    withdrawing only the acid rain portion of a program in appropriate 
    situations is a change of position from EPA's statement in the preamble 
    to the final part 70 rule (see 57 FR 32260) that should a State fail to 
    adequately administer phase II of the acid rain program, EPA will take 
    back the entire operating permits program. There, EPA stated that in 
    such a situation EPA would implement part 71, as supplemented by 
    Federal acid rain permit issuance procedures, and would issue permits 
    to acid rain sources within the State. The EPA notes that this 
    discussion was not reflected in regulatory language in the finally 
    promulgated part 70 rule, which instead provided EPA discretion to 
    withdraw program approval in whole or in part. See 40 CFR 70.10(c)(1). 
    Moreover, EPA explained in a May 21, 1993 guidance document entitled 
    ``Title IV-Title V Interface Guidance for States,'' that if EPA finds 
    that a part 70 program is not being properly administered or enforced 
    for title IV purposes, EPA will publish a notice in the Federal 
    Register making this announcement and noting where permit applications 
    are to be delivered. When publishing such a Federal Register notice, 
    EPA may elect to withdraw approval for an entire part 70 program 
    submittal or only the acid rain portion of it and may apply appropriate 
    sanctions under section 179(b) of the Act.
        Under part 71, EPA would retain the option of withdrawing only the 
    acid rain portion of the program and issuing a phase II acid rain 
    permit, rather than withdrawing the entire part 70 program and issuing 
    a comprehensive part 71 operating permit. The EPA believes that it is 
    reasonable and appropriate to depart from the policy stated in the 
    preamble to the final part 70 rule regarding withdrawal of phase II 
    acid rain authority because EPA believes that deficiencies with respect 
    to the acid rain portion of a State program would generally not 
    adversely affect the remaining portions of the State program. By 
    withdrawing approval of just the acid rain portion, EPA would minimize 
    disruption of otherwise adequate State air programs. It should be noted 
    that the acid rain portion of a source's operating permit contains 
    discreet requirements that are not intertwined with the remaining 
    provisions of the permit. For example, phase II acid rain permits 
    generally contain a requirement that a source hold sufficient 
    allowances to cover emissions, specify requirements for NOX 
    emissions and provide for continuous emissions monitoring in accordance 
    with 40 CFR part 75. Amendments and revisions to such provisions are 
    subject to a different set of procedures as specified in 40 CFR part 
    72. Thus, separate Federal administration of the acid rain permitting 
    program in a State that fails to adequately administer the acid rain 
    portion of its operating permits program would be a logical step where 
    the remainder of the part 70 program was being adequately administered 
    by the State.
        The EPA solicits comment on this approach, and on whether this 
    approach is consistent with the requirements of title V. The EPA 
    stresses that section 502(i)(1) of the Act allows EPA to determine that 
    only a portion of an approved State program is not being adequately 
    administered and enforced. While section 502(i)(1) does not explicitly 
    provide that where a State fails to correct an identified deficiency in 
    a finding under section 502(i)(4), EPA may promulgate, administer, and 
    enforce only the relevant portion of the program, EPA believes that 
    Congress could not have intended for EPA to be compelled to withdraw 
    and take over entire part 70 programs where only discrete portions of 
    the program are deficient. Such a result would be unnecessarily 
    disruptive of State air programs and would require much greater Federal 
    intrusion into the State's air program than may be necessary to correct 
    the faulty portion. [[Page 20811]] 
        Section 71.4(d) addresses the circumstances in which EPA proposes 
    to issue permits to OCS sources (sources located in offshore waters of 
    the United States) pursuant to the requirements of section 328(a) of 
    the Act. Section 328 of the Act transferred from the Department of the 
    Interior to EPA the authority to regulate air pollution from sources 
    located on the OCS off of the Atlantic, Arctic, and Pacific coasts and 
    in the Gulf of Mexico east of 87.5 degrees longitude. In today's 
    notice, which proposes revisions to 40 CFR part 55 in addition to the 
    proposed Federal operating permit rules, EPA is proposing to require an 
    OCS source to comply with the requirements of part 71 if the source is 
    located beyond 25 miles of States' seaward boundaries or if the source 
    is located within 25 miles of a State's seaward boundary and the 
    requirements of part 71 are in effect in the corresponding onshore area 
    (COA). Section 328 requires that EPA establish requirements for sources 
    located within 25 miles of a State's seaward boundary that are the same 
    as would be applicable if the source were located in the COA.
        Part 71 permits would be issued to OCS sources by the Administrator 
    or a State or local agency that has been delegated the OCS program in 
    accordance with part 55 of this chapter. As OCS sources beyond 25 miles 
    of States' seaward boundaries would become subject to part 71 
    immediately upon the effective date of part 71, they would be required 
    to submit part 71 permit applications within 1 year of becoming subject 
    to this part.
        Proposed Sec. 71.4(e) describes how EPA would take action on 
    objectionable permits that have already been proposed or issued by a 
    permitting authority. Section 505(b) of the Act and 40 CFR 70.8 (c) and 
    (d) require EPA to object to the issuance of any permit that EPA 
    determines is not in compliance with the applicable requirements of the 
    Act. If the permitting authority does not take appropriate action in 
    response to EPA's objection, EPA shall revise, terminate, or revoke the 
    permit if it has been issued and shall correct and issue the permit if 
    it has not been issued.
        As provided in 40 CFR 70.7(g) (Sec. 70.7(j) in the proposed 
    revisions to part 70), if EPA finds that a State-issued permit must be 
    reopened to correct an error or add newly applicable requirements, EPA 
    will notify the permitting authority. If the permitting authority does 
    not take appropriate action, EPA will revise and reissue the permit 
    under part 71.
        As provided at 40 CFR 70.8(c)(1), EPA will object to the issuance 
    of any proposed permit that EPA determines is not in compliance with 
    the applicable requirements of the Act or the requirements of part 70. 
    If EPA objects within 45 days of receipt of a copy of the proposed 
    permit, the permitting authority may not issue the proposed permit to 
    the source. The EPA's objection, as required by 40 CFR 70.8(c)(2), 
    shall include a statement of EPA's reasons for objecting and a 
    description of the permit terms that the permit must include to respond 
    to the objection. Moreover, under 40 CFR 70.8(c)(3), failure of the 
    permitting authority to: (1) Comply with requirements in 40 CFR 70.8 
    (a) and (b) to notify EPA and affected States, (2) submit to EPA any 
    information necessary to adequately review the proposed permit, or (3) 
    process the permit under procedures approved to meet the public 
    participation requirements of part 70 would also constitute grounds for 
    EPA objection to a proposed permit.
        Under 40 CFR 70.8(c)(4), if the permitting authority fails within 
    90 days after EPA's objection to revise and submit to EPA a new 
    proposed permit responding to the objection, EPA will issue or deny the 
    permit. Proposed Sec. 71.4(e)(1) would establish the authority for 
    EPA's permit issuance or denial in these situations.
        Likewise, proposed Sec. 71.4(e)(1) would establish the authority 
    for EPA to revise, terminate, or revoke a permit in response to a 
    citizen petition filed under 40 CFR 70.8(d). The EPA's action to 
    revise, terminate or revoke a permit would then occur consistent with 
    40 CFR 70.7(g)(4) or (5)(i) and (ii) (Secs. 70.7(j)(4) or (5)(i) and 
    (ii) of the proposed revisions to part 70), except in unusual 
    circumstances, such as where there is a substantial and imminent threat 
    to the public health and safety resulting from the deficiencies in the 
    permit. Usually, the permitting authority would have 90 days from 
    receipt of EPA's objection in response to a citizen petition to resolve 
    the objection and terminate, revise, or revoke and reissue the permit 
    in accordance with EPA's objection. See 40 CFR 70.7(g)(4), 
    Sec. 70.7(j)(4) of the proposed revisions to part 70. If the permitting 
    authority failed to resolve the objection, EPA would terminate, revise, 
    or revoke and reissue the permit, after providing at least 30 days 
    notice to the permittee in writing of the reasons for such action 
    (which may be given at any time during the time period after EPA 
    objects to the permit) and providing the permittee an opportunity for 
    comment on EPA's proposed actions and an opportunity for a hearing. See 
    40 CFR 70.7(g)(5)(i) and (ii) and Secs. 70.7(j)(5)(i) and (ii) of the 
    proposed revisions to part 70. Proposed Sec. 71.4(e)(2) would provide 
    the authority for EPA to take such action.
        Section 71.4(f) of the proposed rule would authorize EPA to use 
    part 71 in its entirety or any portion of the regulations, as needed. 
    For example, EPA could use the provisions for permitting OCS sources 
    without permitting any other types of sources. Similarly, EPA could use 
    only portions of the regulations to correct and issue a State permit 
    without, for example, requiring an entirely new application. Proposed 
    Sec. 71.4(f) would also authorize EPA to exercise its discretion in 
    designing a part 71 program. The EPA would be able to, through 
    rulemaking, modify the national template by adopting appropriate 
    portions of a State's program as part of the Federal program for that 
    State, provided the resulting program is consistent with the 
    requirements of title V.
        The EPA believes it is reasonable and appropriate to provide this 
    flexibility in implementing a part 71 program. First, such flexibility 
    would enable EPA to intervene in the administration and enforcement of 
    an operating permits program only to the extent necessary to correct 
    deficiencies. Second, it would provide EPA, after notice and comment 
    rulemaking, the ability to appropriately tailor part 71 to the State in 
    which it would be implemented, thus resulting in less disruption of the 
    State air program and the daily operations of covered sources than 
    might otherwise occur. While EPA believes that part 71 as proposed 
    today should not result in unnecessary disruption, the Agency 
    recognizes that further State-specific tailoring may be appropriate.
        Proposed Sec. 71.4(g) clarifies that EPA would publish a notice of 
    the effective dates of part 71 programs. The EPA would publish such 
    notice in the Federal Register and would, to the extent practicable, 
    publish notice in a newspaper of general circulation in the area 
    affected by the part 71 program. The EPA would also publish such notice 
    for delegations of part 71 programs. Finally, in addition to notices in 
    the Federal Register and newspapers of general circulation, EPA would 
    send a letter to the Governor (or his or her designee) or the Tribal 
    governing body for the affected area informing him or her of when the 
    part 71 program or its delegation would become effective.
        Section 71.4(h) proposes that EPA would be authorized to promulgate 
    and administer a part 71 program in its entirety even if only limited 
    deficiencies exist in a State or Tribal program. The EPA believes that 
    such authority is [[Page 20812]] necessary because limited deficiencies 
    could have wide-ranging impacts within a program. For example, if a 
    State program failed to provide adequate opportunities for public or 
    affected State participation in permitting actions, the integrity of 
    permit content could become suspect, the public and affected States 
    would be excluded from administrative and judicial review of permit 
    actions, and EPA oversight of such actions could suffer, as a result of 
    citizens not having standing to petition EPA to object to permits.
        Section 71.4(i) of the proposed rule describes how EPA would take 
    action on the initial part 71 permits in the event that a full or 
    partial part 71 program becomes effective in a State or Tribal area 
    prior to the permitting authority issuing part 70 permits to all 
    subject sources. The EPA proposes to utilize a 3-year transition plan 
    similar to that required of States under Sec. 70.4(b)(11)(ii) of this 
    chapter. Under proposed Sec. 71.4(i)(1), any remaining sources that had 
    not yet received part 70 permits from the permitting authority would be 
    required to submit applications to EPA for part 71 permits within 1 
    year of becoming subject to the part 71 program. The sources that had 
    already received part 70 permits, if any, would continue to operate 
    under those permits, unless EPA had withdrawn part 70 approval due to 
    the inadequacy of the part 70 permits, in which case those sources 
    would be required to obtain part 71 permits. After receiving part 71 
    permit applications, EPA would act on one-third of those applications 
    each year for the first 3 years of the part 71 program. As previously 
    issued part 70 permits needed to be revised or renewed, sources would 
    apply to EPA for such revisions or renewals under part 71.
        As provided in proposed Sec. 71.4(j), EPA would have the discretion 
    to delegate some or all of its authority to administer a part 71 
    program to a State or eligible Tribe. The delegation process is 
    described further in the discussion of proposed Sec. 71.10.
        Section 71.(4)(k) of the proposed rule would authorize EPA to 
    administer and enforce part 70 permits issued by a permitting authority 
    under a previously-approved part 70 program after EPA has withdrawn 
    approval of such program until they are replaced by part 71 permits 
    issued by EPA.
        Proposed Sec. 71.4(l) describes what would happen after EPA 
    approves a part 70 program for an area in which a part 71 program has 
    been effective and how the Administrator, or the new part 70 permitting 
    authority, will administer and enforce the part 71 permits until they 
    are replaced by part 70 permits. For a State that submits a late part 
    70 submittal to EPA such that EPA has not approved or disapproved the 
    submittal by November 15, 1995, part 71 becomes automatically effective 
    until the State's part 70 program is approved by EPA. However, sources 
    are not obligated to submit applications to EPA until 12 months after 
    they have become subject to an effective part 71 program (unless an 
    earlier submittal date is set by EPA). Therefore, if the State's part 
    70 program is approved shortly after part 71 is effective, it is highly 
    likely that sources will submit applications to the permitting 
    authority rather than to EPA. Upon approval of the part 70 program, EPA 
    will suspend further action on applications for part 71 permits. Where 
    appropriate, applications received by EPA prior to approval of the part 
    70 program will be forwarded to the permitting authority after approval 
    of the part 70 program.
        Finally, proposed Sec. 71.4(m) provides how EPA would implement the 
    provision of section 325 of the Act if the Governor of Guam, American 
    Samoa, the Virgin Islands, or the Commonwealth of the Northern Mariana 
    Islands petitions the Administrator to exempt any source or class of 
    sources from the requirements of title V of the Act.
    
    D. Section 71.5--Permit Applications
    
        Much of proposed Sec. 71.5 is modeled on the provisions currently 
    promulgated at 40 CFR 70.5, and on the proposed revisions to that 
    section. See 59 FR 44460 (Aug. 29, 1994). In this notice, EPA 
    incorporates by reference the rationale provided for these provisions, 
    to the extent such rationale apply to a Federal operating permit 
    program as well as to State permit programs. Copies of the part 70 rule 
    as promulgated in July 1992 and of the notice proposing revisions to 
    part 70 have been included in the docket for this rulemaking. The 
    Supplementary Information Document contains a general discussion and 
    explanation of the proposed rule's application requirements. Where 
    proposed part 71 differs from promulgated part 70 or the proposed 
    revisions to part 70 the discussion goes into greater detail describing 
    the part 71 proposal. Where proposed part 71 follows part 70 precedent, 
    shorter general descriptions of the part 71 proposal are supplied. It 
    should be noted that the formatting of proposed Sec. 71.5 does not 
    correspond to that of 40 CFR 70.5. In developing proposed part 71, EPA 
    determined that the formatting of 40 CFR 70.5 could be improved so that 
    it is easier to follow. The EPA requests comment on this proposed 
    formatting difference.
    1. Insignificant Activities and Emission Levels
        Proposed Sec. 71.5(g) would allow insignificant activities or 
    emission levels to be exempt from the application content requirements 
    of proposed Sec. 71.5(f). These exemptions would reduce the 
    administrative burden on sources by eliminating the requirement that a 
    source include in its application an extensive analysis of 
    insignificant activities (or emissions units) and quantities of 
    emissions. This proposal is based on the part 70 provisions regarding 
    insignificant activities and emissions levels, and is supported by the 
    Alabama Power decision, where the court found that emissions from 
    certain small modifications and emissions of certain pollutants at new 
    sources could be exempted from some or all PSD review requirements on 
    the grounds that such emissions would be de minimis. See Alabama Power 
    v. Costle, 636 F.2d 323, 360 (D.C. Cir., 1979). In other words, EPA may 
    determine levels below which there is no practical value in conducting 
    an extensive review. In general, an agency can create this exemption 
    where the application of a regulation across all classes will yield a 
    gain of trivial or no value. A determination of when a matter can be 
    classified as de minimis turns on the assessment of particular 
    circumstances of the individual case. For EPA to establish that an 
    emissions threshold is trivial and of no consequence, EPA must consider 
    the size of the particular emissions threshold relative to the major 
    source threshold applicable in the various areas where a regulation 
    will be in effect.
        In the rulemaking establishing requirements for State operating 
    permits programs under part 70, many commenters suggested that EPA 
    create a de minimis exemption level for regulated air pollutants, and 
    that emissions information not be required for pollutants below this de 
    minimis level. In the final part 70 rule, EPA gave States discretion to 
    develop lists of insignificant activities and to set insignificant 
    emission levels if certain criteria were met and subject to EPA review 
    and approval. In the proposed part 71 rule, EPA has fashioned 
    provisions for insignificant activities or emission levels that meet 
    the minimum requirements for States under the part 70 rulemaking, while 
    taking a unique Federal approach, based on the Agency's experience in 
    reviewing State provisions for insignificant activities and emission 
    levels in the course of part [[Page 20813]] 70 operating permits 
    program reviews. The EPA notes, however, that the part 70 provisions on 
    insignificant activities and emissions levels are the subject of 
    ongoing litigation settlement discussions, and that a possible result 
    of these discussions could be a modification of the part 70 provisions 
    on this issue. To the extent any future proposed revisions to the part 
    70 insignificant activities and emissions level criteria are more 
    stringent than the provisions proposed for part 71, EPA may have to 
    supplement this proposal to make the two rules consistent.
        In this rulemaking, EPA proposes to exempt all information required 
    by proposed Sec. 71.5(f) concerning insignificant activities inclusion 
    in the permit application, while for insignificant emission levels, 
    application information completeness requirements would vary from 
    proposed Sec. 71.5(f). To ensure that all significant information is 
    included in the permit application, the proposed rule includes a 
    provision stating that no activities or emission levels shall be exempt 
    from proposed Sec. 71.5(g) if the information omitted from the 
    application is needed to determine or impose any applicable 
    requirement, to determine whether a source is major, to determine 
    whether a source is subject to the requirement to obtain a part 71 
    permit, or to calculate the fee amount required under the fee schedule 
    established pursuant to proposed Sec. 71.9. The proposed prohibition 
    against omitting information from the application that is relevant to 
    the determination or imposition of applicable requirements means that 
    an activity (or emissions unit) that has applicable requirements could 
    not be considered as an insignificant activity or to have insignificant 
    emission levels. Applicable requirements in this context include any 
    standard or requirement as defined in proposed Sec. 71.2. The proposed 
    provision that the exemption not interfere with the requirement to 
    obtain a part 71 permit is necessary to insure that all the 
    requirements of the Act are met, because the requirements of title V of 
    the Act are not included in the proposed definition of applicable 
    requirements. An activity or emission level could not be insignificant 
    if it constitutes a major source. An activity or emission level could 
    not be insignificant if omitting the emissions from the application 
    would prevent the aggregate source emissions from exceeding the major 
    source threshold or a threshold that would trigger an applicable 
    requirement, such as a modification under section 112(g). This proposal 
    would further prohibit these exemptions from being used by applicants 
    when information needed to calculate the fee amount required under the 
    fee schedule would be omitted from the application. Although the fee 
    schedule provided in proposed Sec. 71.9(c)(1) would exclude 
    insignificant emissions from being counted for fee purposes, this 
    provision would be retained for instances where the Administrator 
    promulgates a different fee schedule for a particular state pursuant to 
    proposed Sec. 71.9(c)(7). Under such a fee schedule, information 
    concerning insignificant activities or emissions may be needed to 
    calculate the fee amount.
        a. Insignificant Activities. To meet the requirements of part 70, 
    States submitted rules incorporating a wide variety of approaches for 
    implementing these provisions. Many State part 70 program submittals 
    included extensive lists of insignificant activities. Some of the 
    listed activities were so broadly defined that it was difficult to 
    determine if they would interfere with the determination or imposition 
    of applicable requirements or affect major source status, seemingly 
    inviting the omission of significant information. Some were so narrowly 
    defined that industry would be invited to propose an endless number of 
    additional listings for inclusion in the rules in future years, 
    creating an administrative burden on the States. In the course of EPA's 
    review of part 70 permit program submittals, it was also clear that 
    there were very few insignificant activities that are common among the 
    States. The EPA proposes to include a short list of broadly-defined 
    insignificant activities that are frequently included in State part 70 
    program submittals. These activities commonly occur in residential 
    settings, are not subject to applicable requirements (with the possible 
    exception of certain SIP-based requirements for residential heating 
    sources that are not commonly adopted on a nation-wide basis), and 
    normally have small quantities of emissions. Emission units at a source 
    that are on the list of insignificant activities in proposed 
    Sec. 71.5(g)(1) could not be treated as insignificant (1) when the 
    activities are subject to an applicable requirement, including an 
    applicable requirement of a Federal or Tribal implementation plan, (2) 
    if information concerning the activities would interfere with any 
    applicability determination, (3) if the insignificant activities 
    constitute a major source, (4) if not counting the emissions from 
    insignificant activities in the total source emissions would prevent 
    the source from being determined to be a major source, or (5) if any 
    information that would otherwise be left off of the permit application 
    would be needed to calculate the fee amount required under the fee 
    schedule established under proposed Sec. 71.9.
        b. Insignificant Emission Levels. The proposal would further allow 
    emission units or activities with small emissions to be included in the 
    application in a streamlined manner, as long as the application did not 
    exclude information needed to (1) determine or impose applicable 
    requirements, (2) determine the requirement to obtain a permit, (3) 
    determine whether the source is a major source, or (4) calculate the 
    fee amount, and provided the emissions caps of proposed Sec. 71.5(g)(2) 
    were not exceeded. The EPA believes that this would ensure that enough 
    information will be provided that the permitting authority can make a 
    quick assessment of whether the emissions are insignificant. 
    Nevertheless, to ensure that the rule is being applied properly by the 
    applicant, the permitting authority could request additional 
    information if needed. Note that to qualify as insignificant emissions, 
    the emissions could not count toward or trigger a unit-based de minimis 
    permit revision under proposed Sec. 71.7(f). The only emissions units 
    that would have emissions levels qualifying as insignificant under 
    proposed Sec. 71.5(g) would be units that would not be included in the 
    part 71 permit anyway because they could not be subject to applicable 
    requirements, contribute to the triggering of an applicable 
    requirement, or affect a major status determination. Therefore, for 
    existing units with insignificant emissions there would not be any 
    permit terms or conditions to revise and for new units with 
    insignificant emissions there would not be any permit terms or 
    conditions to add to the part 71 permit.
        The emissions caps of proposed Sec. 71.5(g)(2) are expressed in 
    terms of potential to emit, not actual emissions. The use of potential 
    to emit is consistent with how major source thresholds (which were used 
    in developing the proposed caps) are defined. Furthermore, EPA believes 
    that basing the caps on potential to emit provides greater assurance 
    that only truly insignificant levels of emissions would be eligible for 
    streamlined treatment on the permit application form.
        In commenting on the necessity of de minimis levels to be 
    established in the part 70 rulemaking, one commenter suggested the 
    level be set at 5 tpy or 20 percent of the applicable major source 
    threshold. An examination of these [[Page 20814]] levels in terms of 
    major source thresholds is necessary to determine if they are trivial. 
    For example, a 5-ton emission is 20 percent of the major source 
    threshold for serious and severe ozone nonattainment areas, but 50 
    percent of the major source threshold in extreme ozone nonattainment 
    areas. A level set at 20 percent of the applicable threshold would 
    equal 2 tons in extreme ozone nonattainment areas, but would be 20 tons 
    in moderate nonattainment areas. It is not clear that emissions of this 
    size could be characterized as trivial in all areas for all air 
    pollutants, especially because emissions at these levels may trigger 
    State major new source review (NSR), thus triggering applicable 
    requirements.
        Therefore, EPA is proposing and soliciting comment on setting the 
    threshold for insignificant emission levels at 1 tpy for regulated air 
    pollutants, except HAP, in all areas except extreme ozone nonattainment 
    areas, where the threshold is proposed to be 1,000 pounds (lb) per 
    year. These levels would be 1 percent of the major source threshold in 
    moderate nonattainment areas, 2 percent in serious ozone nonattainment 
    areas, 4 percent in severe ozone nonattainment areas, and 5 percent of 
    the threshold in extreme ozone nonattainment areas. The EPA believes 
    that these levels are trivial and would not prevent EPA from collecting 
    any information of a consequential or significant nature. The lower 
    threshold for extreme ozone nonattainment areas is necessary due to the 
    increased concern that permitting authorities would have in such areas. 
    Permitting authorities in these areas have collected information 
    pertaining to permitted sources with relatively small emissions. This 
    level of concern has been necessary in order to achieve emission 
    reductions sufficient to make progress towards meeting the NAAQS.
        The EPA proposes and solicits comment on setting the exemption 
    threshold for HAP for any single emissions unit to be the lesser of 
    1,000 lb per year or the de minimis levels established under section 
    112(g) of the Act. In the part 70 rulemaking, EPA recommended that the 
    emissions levels for HAP established for the purpose of setting 
    insignificant emission levels not be less stringent than the levels 
    established for modifications under section 112(g) of the Act. Although 
    this was only a recommendation, many States structured their emissions 
    levels for HAP using these levels as upper bounds. Note that the 
    provisions of proposed Sec. 71.5(g) would prevent a part 71 emissions 
    unit from having insignificant emissions levels if the unit was subject 
    to applicable requirements of section 112(g). The EPA also proposes 
    that the level for HAP should never be higher than 1,000 pounds per 
    year. This is necessary because the major source threshold is 10 tpy 
    for a single HAP, thus ensuring that insignificant emissions of HAP 
    will never exceed 5 percent of the major source threshold. The EPA 
    believes that these levels are trivial and would not prevent EPA from 
    collecting any information of a consequential or significant nature.
        The EPA proposes and solicits comment on setting the threshold for 
    insignificant emissions for the aggregate emissions of any regulated 
    air pollutant, excluding HAP, from all emission units located at a 
    facility to not exceed a potential to emit of 10 tpy, except in extreme 
    ozone nonattainment areas, where potential to emit may not exceed 5 
    tpy. The EPA further proposes and solicits comment on setting the 
    threshold for insignificant emissions levels for the aggregate 
    emissions of all HAP from all emission units located at a facility to 
    not exceed a potential to emit of 5 tpy or the section 112(g) de 
    minimis levels, whichever is less. These provisions would provide more 
    certainty to the permitting authority because no emissions values in 
    terms of potential or actual emissions would be required to be included 
    in the application for emissions qualifying as insignificant, and it is 
    conceivable that large quantities of emissions could be hidden from 
    scrutiny without such aggregate emission thresholds. In addition, these 
    provisions would clarify for applicants that large numbers of similar 
    sources, such as valves or flanges, that might be exempt on an 
    individual basis, would have to be described in detail in the 
    application if the aggregate emissions from all the units are relevant 
    to the applicability of the Act's requirements or the determination of 
    major source status.
        Minimal information concerning emissions units with insignificant 
    emissions would have to be provided in a list in the application. This 
    list would have to describe the emission units in sufficient detail to 
    identify the source of emissions and demonstrate that the exemption 
    applies. For example, the description ``space heaters'' on a list may 
    not provide sufficient information because there could be an unlimited 
    number of units with potentially significant emissions, but the 
    description, ``two propane-fired space heaters,'' places a limit on any 
    estimate of emissions and would provide enough information. 
    Descriptions may need to specify not only the number of units meeting 
    the description, when more than one unit is included under a single 
    description, but in many cases capacity, throughput, material being 
    processed, combusted, or stored, or other pertinent information may 
    need to be provided. For example, ``storage tank'' would be 
    insufficient, but ``250-gallon underground storage tank storing 
    unleaded gasoline, annual throughput less than 2,000 gallons,'' would 
    be sufficient for quick assessment, because this level of information 
    is sufficient to demonstrate whether any applicable requirements apply 
    and that the 1 tpy emissions cap would most likely not be exceeded.
        Emissions units (or activities) with insignificant emissions that 
    might be logically grouped together on the list that would be required 
    by proposed Sec. 71.5(g)(2) but that have dissimilar descriptions, 
    including dissimilar capacities or sizes, would be required to be 
    listed separately in the application. This is necessary to prevent 
    large numbers of emissions units from being grouped together on the 
    list in such a way that the description would be too broad to provide 
    sufficient information to identify the emissions units and provide an 
    indication of whether or not the exemption applies. On the other hand, 
    in certain cases, large numbers of certain activities could be grouped 
    together on the list. For example, a complex facility may have hundreds 
    of valves and flanges where the aggregate potential to emit of all the 
    valves and flanges does not exceed the aggregate emissions cap and 
    there are no applicable requirements that apply to the valves and 
    flanges. In this case, it would most likely be appropriate to list all 
    the valves and flanges together as one listed item, including the 
    number of units meeting the exemption.
        The EPA solicits comment on the approach regarding insignificant 
    activities and emission levels proposed in this notice, particularly on 
    whether this approach provides greater clarity than that discussed in 
    promulgated part 70, and whether the approach proposed in this notice 
    would be compatible with the approaches developed by States to date. 
    The EPA also solicits comment regarding whether the approach proposed 
    today provides adequate safeguards to insure that part 71 permit 
    applications do not exclude significant information, especially all 
    information necessary to determine applicability of Act requirements 
    and major source status.
    2. Cross Referencing Information in the Application
        The permitting authority could allow the application to cross-
    reference [[Page 20815]] relevant materials where they are current and 
    clear with respect to information required in the permit application. 
    Such might be the case where a source is seeking to update its title V 
    permit based on the same information used to obtain a NSR permit or 
    where a source is seeking renewal of its title V permit and no change 
    in source operation or in the applicable requirements has occurred. Any 
    cross-referenced documents would have to be included in the title V 
    application that is sent to the permitting authority and that is made 
    available as part of the public docket on the permit action.
    3. Application Completeness Determinations
        As provided by proposed Sec. 71.5(c), a complete application would 
    be one that the permitting authority has determined contains all the 
    information needed to begin processing. The preamble to the proposed 
    revisions to part 70 discusses two options for providing flexibility 
    when determining application completeness. The first option addresses 
    applications for sources with future-effective compliance dates, and 
    the second option addresses the submittal of less detailed applications 
    for sources that are scheduled to be permitted in the second and third 
    years of the initial phase-in of a part 70 program. See 59 FR 44460 
    (Aug. 29, 1994).
        Although the regulatory language concerning completeness 
    determinations in the part 71 proposal is consistent with the 
    regulatory language in the proposed part 70 revisions, EPA is not 
    anticipating revising the proposed part 71 regulatory language to 
    specifically implement either of the flexibility options discussed in 
    the preamble to the proposed revisions to part 70. As EPA is not as 
    familiar with sources as State and local permitting authorities, EPA is 
    not in a position to adequately quality assure applications that apply 
    such flexibility options. Thus, the use of such flexibility options in 
    determining application completeness could increase the risk of 
    inappropriate completeness determinations by EPA, as well as increase 
    EPA's administrative burden. As a result of this concern, EPA is not 
    proposing to provide for the flexibility options described in the 
    preamble to the revisions to part 70, but solicited comment on this 
    position in the part 71 proposal.
    
    E. Section 71.6--Permit Content
    
        Many of the proposed provisions of Sec. 71.6 follow the provisions 
    of 40 CFR 70.6, which were described and discussed at length in the 
    proposed and final preambles to 40 CFR part 70, and in the recently 
    proposed revisions to part 70. This notice incorporates the rationale 
    provided in the part 70 notices by reference, as appropriate. This 
    discussion focuses on those provisions that are affected by the legal 
    challenges to the part 70 rule and those issues for which the approach 
    proposed to be taken in part 71 differs from that taken in part 70 or 
    the proposed revisions thereto.
        The provisions of proposed Sec. 71.6 have been formatted 
    differently than those in 40 CFR 70.6 to consolidate the provisions 
    related to compliance and to make the section easier to follow. The EPA 
    solicits comment on the proposed formatting change.
    1. Prompt Reporting of Deviations
        Like part 70, proposed part 71 would require that each permit 
    contain provisions for prompt notification of deviations. In both 
    cases, the definition of ``deviation'' is consistent with the 
    definition of deviation in the proposed enhanced monitoring rule. 
    However, part 71 proposes to define ``promptly'' for purposes of 
    reporting deviations from federally-issued permits.
        Under this proposal and the proposed enhanced monitoring rule, 
    deviation means any of the following conditions: Where emissions exceed 
    an emission limitation or standard; where process or control device 
    parameter values demonstrate that an emission limitation or standard 
    has not been met; or where observations or data collected demonstrates 
    noncompliance with an emission limitation or standard or any work 
    practice or operating condition required by the permit. These 
    conditions (except in cases where provisions that exempt such 
    conditions from being federally enforceable violations have been 
    promulgated or approved by the Administrator) would be deemed 
    deviations from part 71 permit requirements and would require prompt 
    reporting to the permitting authority.
        Part 71 sources would be required to promptly notify the permitting 
    authority of any deviations. Under part 71, promptly has more than one 
    meaning. This follows the model established in part 70. Where the 
    underlying applicable requirement contains a definition of prompt or 
    otherwise specifies a time frame for reporting deviations, that 
    definition or time frame shall govern. Where the underlying applicable 
    requirement fails to address the time frame for reporting deviations, 
    prompt is defined differently depending on the type of pollutant 
    emitted. For deviations concerning a HAP or toxic air pollutant that 
    exceed a permit requirement for at least a one hour duration, prompt 
    reporting would be defined as within 24 hours. Sources emitting other 
    regulated air pollutants at levels that exceed permit requirements for 
    at least two hours would be required to report the deviation within 48 
    hours.
        The EPA recognizes that there are other notification requirements 
    that have been established under other statutes that require sources to 
    provide immediate notification of releases of specific chemicals in 
    reportable quantities to agencies other than EPA and State permitting 
    authorities. Generally these notifications apply to a potential 
    emergency situation such as those requirements in CERCLA and SARA title 
    III. In addition, pursuant to section 112(r), the Chemical Safety and 
    Hazards Investigation Board has the authority to develop regulations 
    for reporting accidental releases of section 112(r) substances. If a 
    reporting regulation is established, it would become an applicable 
    requirement on the source. The EPA stresses that sources must comply 
    with such notice requirements even if they have provided notice to the 
    permitting authority pursuant to proposed Sec. 71.6(f)(3). Failure to 
    provide notices required by these other statutes and their implementing 
    regulations may result in enforcement actions and penalties.
        Because the emissions from sources could cover a very large 
    spectrum with a wide range of health effects, the permitting authority 
    may also define in the permit the concentration and time duration of a 
    deviation that must be reported promptly and the schedule for such 
    reporting.
        Sources may notify the permitting authority of a deviation by 
    telephone or facsimile within their required time schedule, and must 
    then submit certified written notice within ten working days. All 
    deviations would still have to be included in monitoring reports which 
    would be required to be submitted at least every 6 months or more 
    frequently if required by another applicable requirement (e.g., NSPS or 
    enhanced monitoring).
    2. General Permits
        Proposed Sec. 71.6(l) would implement section 504(d), which 
    authorizes the permitting authority to issue a ``general permit 
    covering numerous similar sources.'' The approach proposed for part 71 
    would follow that of part 70 and the recently proposed revisions 
    thereto.
        In response to the concerns raised in the legal challenges to the 
    part 70 rule, EPA has reevaluated its approach to 
    [[Page 20816]] providing for public participation for general permits.
        In the most recent part 70 proposal, the following items concerning 
    general permits were proposed: (1) authorization to operate under a 
    general permit is a final action subject to judicial review; and (2) 
    the permitting authority is required to notify the public of sources 
    who have been authorized to operate under a general permit. The latter 
    action could be done as a monthly summary. Proposed Sec. 71.6 follows 
    the approach of the recent part 70 proposal for general permits.
    3. Emergency Defense
        As provided in proposed Sec. 71.6(o), part 71 permits could contain 
    permit terms that provide that a source can establish an affirmative 
    defense to an enforcement action based on noncompliance due to an 
    emergency. The affirmative defense would not apply to permit terms 
    other than technology-based emission limitations (e.g., MACT standards) 
    and would not apply unless the source provides appropriate 
    documentation as specified in proposed Sec. 71.6(o)(3). The emergency 
    defense would be independent of any emergency or upset provision 
    contained in an applicable requirement.
        Although part 71 permits could contain provisions for an emergency 
    defense, EPA notes that sources that produce, process, handle or store 
    a listed substance under section 112(r) or any other extremely 
    hazardous substance nonetheless have a general duty in the same manner 
    and to the same extent as section 654, title 29 of the United States 
    Code, to identify hazards assessment techniques, to design and maintain 
    a safe facility, and to minimize the consequences of accidental 
    releases.
        The EPA is reevaluating the provisions in parts 70 and 71 relating 
    to the emergency defense in light of concerns identified in legal 
    challenges to the part 70 rule. The EPA may propose revisions to the 
    part 70 and part 71 sections providing for the emergency defense before 
    EPA would include such defense in any part 71 permits. In the interim, 
    to ensure consistency with currently promulgated part 70, EPA would 
    include in part 71 provisions allowing permit terms to establish an 
    emergency defense.
    4. Operational Flexibility
        Section 502(b)(10) of the Act requires that the minimum elements of 
    an approvable permit program include provisions to allow changes within 
    a permitted facility without requiring a permit revision. In the 
    current part 70 rule, EPA included three different methods for 
    implementing this mandate. However, in response to concerns raised by 
    petitioners and State permitting authorities charged with implementing 
    part 70, EPA recently proposed to revise part 70 to eliminate one of 
    those methods and clarify the operation of the others. Today's part 71 
    proposal adopts the same approach to operational flexibility as 
    discussed in the proposed revision to part 70. The rationale for EPA's 
    position on operational flexibility is set out in the proposed 
    revisions to part 70 (59 FR 44460 (Aug. 29, 1994)), which today's 
    notice incorporates by reference.
    5. Referencing of Requirements
        Petitioners in the part 70 litigation have asked EPA for 
    clarification on the subject of data that may be referenced but not 
    included in the permit.
        In the recently proposed revisions to part 70, EPA has indicated 
    that some referencing might be appropriate, and has requested comment 
    on whether referencing should be allowed for: (1) test methods, (2) 
    definitions, (3) startup, shutdown, or malfunction requirements or 
    plans, and (4) detailed emission calculation protocols. The EPA 
    solicits comments on referencing for part 71 permits.
    
    F. Section 71.7--Permit Review, Issuance, Renewal, Reopenings, and 
    Revisions
    
        This section of the preamble describes EPA's proposed regulations 
    governing permit issuance, renewal, reopening, and revision procedures 
    under part 71. Generally, under a part 71 program such procedures would 
    follow the procedures in the currently promulgated part 70 rule, as 
    recently proposed to be revised. See 40 CFR 70.7 and 59 FR 44460 (Aug. 
    29, 1994). To the extent part 71 would follow the procedures in 
    existing part 70 and the proposed revisions thereto, this notice 
    incorporates the rationale for those procedures by reference. Where 
    possible, EPA believes it is appropriate to model part 71 procedures on 
    those required by part 70, in order to promote national consistency 
    between the title V permit programs that will be administered 
    throughout the country. National consistency will ensure that sources 
    are not faced with substantially different programs when EPA, as 
    opposed to State agencies, is the permitting authority. Moreover, as 
    most part 71 programs are likely to be of limited duration, consistency 
    with part 70 will enable smooth transition between Federal and State 
    programs, encourage States to take delegation of administration of part 
    71 programs, help States that have been unable to obtain part 70 
    approval to phase into the title V program, promote uniformity in 
    public and affected State participation, and provide a level playing 
    field for sources.
        In certain respects, the procedures under proposed part 71 would 
    vary from the procedures in part 70. This is usually due to the fact 
    that EPA, as a Federal permitting authority, will not be implementing 
    State air programs in general when it assumes title V responsibilities. 
    Consequently, certain opportunities under part 70, such as new source 
    review merged with title V permit revision procedures, would not be 
    available where EPA is the permitting authority. However, where a State 
    takes delegation of the administration of a part 71 program, some of 
    these opportunities would be available. These variations are discussed 
    in the relevant sections of the discussion below. In other cases, where 
    part 70 and the proposed revisions thereto provide States with 
    flexibility to decide among alternative approaches or define specific 
    elements of permit program procedures in developing their State 
    programs, part 71 would decide these issues in the regulation itself, 
    rather than rely upon further program development. Moreover, in today's 
    notice EPA proposes detailed procedures for permitting actions, similar 
    to those found at 40 CFR part 124 governing other permit programs 
    administered by EPA.
    1. Permit Issuance and Renewal
        Part 71 would generally follow the currently promulgated part 70, 
    as proposed to be revised in the August 29, 1994, Federal Register 
    notice, in establishing procedures for permit issuance and renewal. 
    These procedures are set forth in proposed Sec. 71.7(a)-(c) and are 
    discussed in greater detail in section 3-F-1 of the Supplementary 
    Information Document.
        In certain respects, part 71 would differ from part 70 and the 
    proposed revisions thereto. For example, part 71 permitting authorities 
    would be required to provide EPA with statements describing the legal 
    and factual basis for draft permit terms only where the part 71 program 
    has been delegated to a State or Tribal agency for administration. 
    Also, only in cases where EPA has delegated part 71 administration to a 
    State or Tribal agency would EPA would reserve the right to terminate 
    or revoke and reissue a permit when the delegate permitting authority 
    is not taking appropriate action to expeditiously process a permit 
    renewal application. [[Page 20817]] 
    2. Permit Revisions
        Proposed Secs. 71.7(d)-(h) would govern how permits are revised 
    under part 71 programs. These procedures would generally follow the 4-
    track system contained in the recently proposed revisions to part 70. 
    However, certain aspects of the 4-track system would not be available 
    unless EPA had delegated administration of a part 71 program to a State 
    or eligible Tribal agency. Moreover, where the proposed revisions to 
    part 70 would leave it to State discretion to decide certain issues on 
    a program-by-program basis, part 71 would contain specific provisions. 
    Where the permit revision procedures under part 71 would differ from 
    those under proposed part 70, the rationale for those differences is 
    provided in detail. Where the procedures under part 71 would be the 
    same as those under the proposed part 70 4-track system, this notice 
    incorporates by reference the rationale for those provisions contained 
    in the notice for the proposed revisions to part 70. See 59 FR 44460 
    (Aug. 29, 1994). The part 71 permit revision procedures are discussed 
    in greater detail in section 3-F-2 of the Supplementary Information 
    Document.
        The EPA wishes to stress that in first describing this permit 
    revision structure in the proposed revisions to part 70, the Agency 
    solicited comments on ways to simplify what is admittedly a complex 
    system. In light of the extensive comments received concerning the 
    complexity of the proposal, EPA will publish a supplemental proposal 
    covering part 70 permit revision procedures that differs from the 
    August 29, 1994 proposal. The supplemental proposal is expected to be 
    published within a few months of the publication of today's part 71 
    proposal and has not been developed in time to be incorporated into 
    today's proposal. After the new part 70 procedures are proposed, EPA 
    will most likely need to publish a supplemental proposal for part 71 
    pertaining to permit revision procedures. If so, EPA would finalize 
    other portions of the rule first in order to be able to administer part 
    71 programs by November 15, 1995. The EPA expects to promulgate the 
    part 70 permit revisions procedure in time to adjust corresponding 
    sections of proposed part 71, as appropriate, before EPA would receive 
    any applications for permit revisions under a part 71 program.
        a. Administrative Amendments. The provisions governing 
    administrative amendments to part 71 permits would be located at 
    proposed Sec. 71.7(e). Today's proposal would follow existing part 70 
    in allowing changes that are generally clerical in nature to be made 
    pursuant to administrative amendment procedures. Also, like the 
    proposed revisions to part 70, part 71 would allow increases in the 
    frequency of required testing, monitoring, recordkeeping and reporting 
    to be incorporated through the administrative amendment process. While 
    part 70 provides a subsequent opportunity for identifying other changes 
    similar to those just described for processing as administrative 
    amendments in the program approval stage, part 71 would not, simply 
    because after promulgation of this rule there would be no further stage 
    of part 71 program development.
        Where EPA has delegated administration of a part 71 program to a 
    State or eligible Tribe, part 71 would follow the recent proposed 
    revisions to part 70 by allowing changes that undergo ``merged'' part 
    71/NSR or part 71/section 112(g) process to be incorporated into the 
    part 71 permit as administrative amendments. For purposes of part 71, 
    this opportunity to follow proposed part 70 would exist only where 
    States or eligible Tribes take delegation of the part 71 program. When 
    administering a part 71 program for a State, EPA would not also be 
    implementing the State's preconstruction program, so EPA would not be 
    able to upgrade the State's preconstruction program to part 71 process. 
    While this eliminates a significant opportunity for streamlined permit 
    revision where EPA is acting as the permitting authority, EPA believes 
    that it is infeasible for EPA to merge preconstruction review and part 
    71 review unless the same permitting authority processes both actions. 
    Moreover, to the extent States take delegation of part 71 programs, 
    this opportunity for flexibility will be present. The EPA solicits 
    comment on the proposed limited availability of merged processing under 
    part 71 and suggestions for ways in which this merged processing could 
    be more feasibly provided.
        In delegation agreements, EPA and delegate agencies could agree 
    that delegate agencies could conduct merged processing on a case-by-
    case basis. That is, delegate agencies could be authorized to provide 
    merged process for all or some of their preconstruction determinations 
    or to allow sources to elect merged process for only individual 
    changes. Delegate agencies that provided merged process on only a case-
    specific basis would have to state when they are doing so in the 
    initial notification of the permit action sent to EPA. A delegate 
    agency that wished to provide for merged NSR changes would have to set 
    out the eligibility criteria and process for merged NSR changes in its 
    application for delegation to EPA. Depending on existing State 
    statutory or regulatory provisions, no changes would be required to 
    existing NSR programs.
        While under the proposed revisions to part 70 EPA would require 
    States to submit eligibility criteria for merged processing in their 
    part 70 programs that EPA would review in the context of program 
    approval, EPA believes that the process in part 71 for applying for 
    delegation and entering into delegation agreements provides an adequate 
    forum for evaluating a delegate agency's ability to provide merged 
    processing. Similarly, EPA believes that delegation agreements are 
    adequate vehicles for establishing a delegate agency's authority to 
    merge preconstruction and part 71 actions on a case-by-case basis. The 
    delegation process requires the State to submit evidence of adequate 
    statutory and regulatory authority to carry out part 71 
    responsibilities, and EPA would publish delegation agreements in the 
    Federal Register, giving notice of the delegate agency's authorization 
    to provide for merged processing.
        Consistent with the proposed revisions to part 70, part 71 would 
    allow administrative amendment procedures to be used to incorporate 
    standards promulgated after permit issuance pursuant to section 112 of 
    the Act.
        For all changes that qualify as administrative amendments, the part 
    71 permitting authority would use specific procedures to incorporate 
    those changes into the permit. Generally, these procedures would follow 
    those contained in the August 29, 1994, proposed revisions to part 70, 
    but would differ in certain respects. For example, the part 71 
    permitting authority would be required to provide EPA with a copy of 
    the effective permit addendum reflecting the change only where EPA has 
    delegated a part 71 program to a State or eligible Tribe.
        b. De Minimis Permit Revisions. Following the proposed revisions to 
    part 70, EPA is proposing at Sec. 71.7(f) a de minimis permit revision 
    track in part 71 for changes that do not undergo merged program 
    administrative amendment procedures but that have only a small 
    emissions impact. Under this track, a source would be able to operate 
    the change as early as the day it submits its permit revision 
    application. Public and affected State review of the change would then 
    follow. See the more detailed discussion in section 3-F-2-b of the 
    Supplementary Information Document, as well as the Agency's preamble 
    for the proposed revisions to [[Page 20818]] part 70 (59 FR 44460, Aug. 
    29, 1994) regarding the types of changes that would be eligible for 
    this process, the details of the process itself, and the rationale for 
    the creation of this revision track.
        In certain respects, the de minimis track in part 71 would differ 
    from that in proposed part 70. For example, a person who was 
    unsuccessful in persuading the part 71 permitting authority to 
    disapprove a source's requested de minimis change could not petition 
    EPA to object to the permit. This is because both when EPA is the 
    permitting authority and when EPA has delegated that responsibility, 
    citizens will already have the opportunity to directly appeal the final 
    de minimis permit revision to the Environmental Appeals Board. Thus, 
    requiring an intermediate step of requesting EPA to object to its own 
    permitting action would both be redundant and delay citizen access to 
    administrative, and ultimately judicial, review of the change. The 
    Agency solicits comment on this approach. While the proposed revisions 
    to part 70 would leave States discretion in developing their part 70 
    programs in determining whether the source, versus the State permitting 
    authority, would have the responsibility to provide public notice of de 
    minimis changes, under part 71, sources would have that duty. This 
    specificity is due to the fact that EPA, unlike States, will not be 
    conducting further program development for part 71 programs beyond 
    promulgating part 71, so it is necessary for EPA to establish in this 
    rule whether the public notification duty will fall on sources or the 
    permitting authority. The EPA proposes to place the public notice 
    responsibility on sources because the Agency believes that sources will 
    be in a better position to provide timely notice of their de minimis 
    changes than EPA regional offices would be and will have more ready 
    access to area newspapers for providing such notice. Consequently, 
    requiring sources to provide notice should ensure that de minimis 
    changes are expeditiously processed. Moreover, EPA believes that under 
    the proposed revisions to part 70, revised State programs could 
    commonly require sources to provide such notice, and consistency in 
    implementation of de minimis permit revision procedures will aid 
    program transition when States obtain part 70 approval or when EPA 
    assumes permitting responsibilities.
        As under the proposed revisions to part 70, the scope of de minimis 
    changes would be defined in two ways. Any change at a small emissions 
    unit (``unit-based'' de minimis) would qualify, as would a small change 
    at a large unit (``increment-based'' de minimis), provided certain 
    conditions designed to ensure the enforceability of the resulting 
    permit limit were met. Unlike the proposed revisions to part 70, for 
    part 71 EPA is not proposing that permitting authorities, whether they 
    are EPA or delegate States or eligible Tribes, could establish 
    alternative de minimis emissions thresholds based on a demonstration 
    submitted subsequent to final promulgation of part 71. This is because, 
    again, after promulgation of part 71, EPA will not be further 
    developing part 71 programs, so there will not be an opportunity to 
    consider alternative de minimis thresholds. Moreover, EPA does not 
    believe that EPA delegation of part 71 administration to States or 
    eligible Tribes provides an adequate forum for evaluating alternative 
    thresholds developed by States or eligible Tribes, since there will be 
    no formal approval action in those delegations and the public will not 
    have an opportunity to comment upon them before they are effective.
        Procedurally, part 71 would also provide more specificity than 
    would the proposed revisions to part 70. For example, the source could 
    operate the requested de minimis change 7 days after the permitting 
    authority received the application or, with the permitting authority's 
    permission, as early as the day its application is submitted. The 
    proposed revisions to part 70 provide that States in developing their 
    part 70 programs would have discretion to allow changes to be made 7 
    days following receipt of the application, and such authorization would 
    be included in their program submittals for EPA approval; as discussed 
    above, since promulgation of part 71 will represent the final stage of 
    part 71 program development, proposed part 71 specifies that sources 
    could make de minimis implement changes after 7 days.
        Also, under part 71, sources would be required to provide public 
    notice of de minimis changes on a monthly, batched basis, publishing 
    one notice listing all changes at the source for which applications for 
    de minimis permit revisions had been sent to the permitting authority 
    in the preceding month. The EPA solicits comment on this approach, 
    particularly regarding the extent to which States intend to impose the 
    public notification duty on sources under the proposed revisions to 
    part 70. While the proposed revisions to part 70 specified neither who 
    has the responsibility for providing public notice nor the manner in 
    which public notice should be given, part 71 would be specific on these 
    points, for the reasons discussed above. The EPA solicits comment, 
    however, on the method or methods sources could use to provide such 
    notice. For example, sources could be required to publish notice of de 
    minimis changes in a newspaper of general circulation within the area 
    where the source is located or in State or local governmental 
    publications, to send actual notice to interested persons on a list 
    developed by the source or the permitting authority, or both. At 
    minimum, the final rule will provide a mechanism to ensure that public 
    notice reaches all interested citizens.
        c. Minor Permit Revisions. Under today's proposal, most changes 
    ineligible for administrative amendment or de minimis permit revision 
    procedures would be eligible for the minor permit revision process. 
    Taking the current part 70 rule's minor permit modification process as 
    a starting point and following the proposed revisions to part 70, 
    proposed part 71 would add expedited procedures for providing public 
    notice and a 21-day comment period, allow the source to operate the 
    requested change at the end of the 21-day comment period when no 
    objections are received, and provide for permitting authority final 
    action to be taken on applications within 60 days of their receipt. The 
    description of and the rationale for EPA's proposed minor permit 
    revision process for part 70 is contained in the preamble to the 
    proposed revisions to part 70 (see 59 FR 44460, Aug. 29, 1994). To the 
    extent applicable to part 71, EPA incorporates that rationale for this 
    notice. However, where elements of the minor permit revision track 
    differ in proposed part 71 from those in part 70, this notice describes 
    those differences. A more detailed discussion of the part 71 minor 
    permit revision process is contained in section 3-F-2-c of the 
    Supplementary Information Document.
        For part 71 minor permit revisions, as for de minimis changes and 
    merged program administrative amendments, notice to EPA, and EPA's 45-
    day review period and opportunity to veto would occur only where EPA 
    had delegated its role as the permitting authority to a State or 
    eligible Tribe. While this is a departure from the proposed revisions 
    to part 70, as discussed previously, EPA does not believe there is any 
    utility, when EPA is the permitting authority, in requiring EPA review 
    of EPA permitting action, since sources, affected States and public 
    citizens that object to EPA permitting actions will be able to directly 
    appeal those decisions to the Environmental Appeals Board. 
    [[Page 20819]] Consequently, providing for an additional step of EPA 
    review and opportunity to object would unnecessarily slow down this 
    expedited revision track and would also delay access of interested 
    parties to administrative and judicial review.
        Moreover, in cases of objections to minor permit modifications 
    filed by affected States, only where EPA had delegated part 71 
    administration to a State or eligible Tribe would the part 71 
    permitting authority have to forward to EPA a written response to any 
    of these objections that were not accepted.
        Another difference under the part 71 program would be that if the 
    permitting authority failed to act on a public objection, the commenter 
    could file suit in Federal court, rather than State court, to force the 
    permitting authority to take action on the written comment. In 
    addition, commenters would be able to bring suit in Federal court to 
    seek an injunction against the source implementing or continuing to 
    implement requested changes before they are approved. Injunctive relief 
    would be available in accordance with applicable standards for 
    obtaining such relief under Federal law.
        Also, only where EPA had delegated a part 71 program to a State or 
    eligible Tribe, would the part 71 permitting authority be required to 
    wait until the date after EPA's 45-day review period had expired, 
    provided EPA had not objected, before issuing the final minor permit 
    revision. The delegate agency would be required to take final action by 
    day 60, or 15 days after the close of EPA's review period, whichever is 
    later. In addition, under part 71 programs, commenters may not petition 
    EPA to object to minor permit revisions for the reasons discussed above 
    with respect to de minimis permit revisions.
        d. Significant Permit Revisions. Following the proposed revisions 
    to part 70, under proposed part 71 the significant permit revision 
    process would essentially follow that of the significant permit 
    modification track in existing part 70. See the description of this 
    process in the Agency's proposed revisions to part 70 (59 FR 44460, 
    Aug. 29, 1994) for the rationale for this approach, which EPA 
    incorporates by reference for purposes of part 71. See also the more 
    detailed description of the part 71 significant permit revision process 
    contained in section 3-F-2d of the Supplementary Information Document.
        Proposed part 71 would require the permitting authority to take 
    final action on applications for significant permit revisions within 18 
    months of receipt of the application. However, because prompt action on 
    permit revisions is of critical importance to industry, the EPA intends 
    to complete such revisions within 12 months and expects that only the 
    most complex revisions would require more than a year to complete.
        e. Alternative Option for Monitoring Changes. Following the 
    proposed revisions to part 70, EPA also proposes as an option in part 
    71 alternative provisions governing changes involving monitoring 
    requirements. While this option essentially adheres to the 4-track 
    system discussed above, certain provisions of the system would need to 
    be modified to incorporate the alternative option for monitoring 
    changes. The rationale for this alternative option is discussed in 
    detail in the preamble to the proposed revisions to part 70 (see 59 FR 
    44460, Aug. 29, 1994), and this notice incorporates that rationale by 
    reference, to the extent it is applicable to part 71. As appropriate, 
    EPA intends to match in the final part 71 rule the final part 70 
    provisions regarding this option. For a more detailed discussion of 
    this option under part 71, see section 3-F-2-e of the Supplementary 
    Information Document.
        Under part 71, the source, rather than the permitting authority, 
    would have the responsibility to provide monthly batch public notice of 
    monitoring changes processed under this option's de minimis permit 
    revision track. Moreover, for monitoring changes processed under this 
    option's significant permit revision track, part 71 permitting 
    authorities would be required to send demonstrations and their 
    evaluations to EPA only where EPA has delegated part 71 program 
    administration. Again, EPA believes that expeditious process of de 
    minimis permit revisions is better served by sources providing notice, 
    and that the non-permitting authority EPA review and veto role adds 
    value to the permitting process only where there is a separate entity 
    such as a delegated State functioning as the part 71 permitting 
    authority.
    3. Incorporation of New Standards
        The process by which EPA proposes to incorporate into permits new 
    MACT standards promulgated under section 112 would follow that 
    contained and discussed in detail in the proposed revisions to part 70 
    (see 59 FR 44460, Aug. 29, 1994). This notice incorporates by reference 
    the rationale for this process contained in the preamble to the 
    proposed revisions to part 70. To the extent appropriate, EPA intends 
    the final part 71 rule to be consistent with the part 70 rule as it is 
    finally promulgated. For a more detailed discussion of this process for 
    purposes of part 71, see section 3-F-3 of the Supplementary Information 
    Document.
        Note that under a delegated part 71 program, if EPA receives the 
    initial notification because the MACT standard has not yet been 
    delegated to the State, local or Tribal agency, EPA will send this 
    notice to the delegate part 71 permitting authority, and upon receipt 
    of this notice the permitting authority could begin processing the 
    administrative amendment. Also, under delegated part 71 programs, where 
    the NSR programs have been enhanced to meet part 71 requirements, minor 
    and major NSR actions would be acceptable for addressing and 
    establishing part 71 permit conditions needed to assure compliance with 
    MACT standards. Thus, the merged preconstruction review process 
    applying to NSR permits could also be used to revise the part 71 permit 
    to incorporate the MACT requirements applicable to the source. If the 
    NSR action were not merged (as would be the case if EPA had not 
    delegated part 71 administration to a State or eligible Tribe), the 
    part 71 revision would be eligible under the minor permit revision 
    track, or, if it met the criteria, the de minimis permit revision 
    track.
    4. Permit Reopenings
        Under proposed Sec. 71.7(i), part 71 would follow the currently 
    promulgated part 70 in providing when and how permits would be 
    reopened. For a more detailed discussion of the part 71 permit 
    reopening procedures, see section 3-F-4 of the Supplementary 
    Information Document. Where EPA has delegated a part 71 program to a 
    State or eligible Tribe, special provisions for EPA notification to the 
    delegate agency that cause exists to reopen would apply. These 
    procedures follow those in existing part 70 for notification to 
    approved part 70 permitting authorities. Briefly, if EPA finds that 
    cause exists to reopen a permit, it would notify the delegate agency 
    and the source. The delegate agency would have 90 days after receipt of 
    this notice to forward to EPA a proposed determination of termination, 
    revision, or revocation and reissuance of the permit. The EPA could 
    extend the 90-day period for an additional 90 days if a new application 
    or additional information is necessary. The EPA could then review the 
    proposed determination for 90 days. If the delegate agency fails to 
    submit a determination or if EPA objects to the determination, EPA may 
    terminate, revise, or revoke and reissue the permit after providing the 
    source at least 30 days written notice and an opportunity 
    [[Page 20820]] for comment and a hearing on EPA's proposed action.
    
    G. Section 71.8--Affected State Review
    
        Following the proposed revisions to part 70, proposed Sec. 71.8 
    would implement section 505(a)(2) of the Act and require that the 
    permitting authority provide notice to all affected States (as defined 
    in proposed Sec. 71.2) of each draft permit and addenda to permits that 
    incorporate de minimis permit revisions. Under the proposed procedures 
    for minor permit revisions, sources, rather than permitting 
    authorities, would have the responsibility to provide notice to 
    affected States for such changes. Affected States are those States 
    whose air quality may be affected, and that are contiguous to, the 
    State in which a part 71 permit, permit revision, or permit renewal is 
    being proposed, or those within 50 miles of the source. Tribal areas or 
    areas under the jurisdiction of a local air pollution control area may 
    be considered affected States in some cases.
        Affected States that receive notice pursuant to proposed Sec. 71.8 
    could submit written recommendations and comments to the permitting 
    authority. If the permitting authority refuses to accept the 
    recommendations, the reasons for the refusal would have to be provided 
    in writing to the affected State(s) that provided the recommendations 
    or comments during the public or affected State review period.
    
    H. Section 71.9--Permit Fees
    
    1. Authority to Impose Fees
        The EPA believes that title V provides EPA the authority to charge 
    sources fees whenever EPA is required to administer a part 71 program. 
    Section 502(b)(3)(C)(i) of the Act provides that if EPA determines that 
    the fee provisions of a State's part 70 program do not meet the 
    requirements of title V, or if EPA determines that a permitting 
    authority is not adequately administering or enforcing its approved fee 
    program, EPA may, in addition to taking any other action authorized 
    under title V, collect reasonable fees from the sources that should be 
    paying adequate fees pursuant to an approved part 70 fee program. Thus, 
    EPA has the discretion to charge fees whenever a State fails to 
    establish an approvable fee program or fails to implement its approved 
    fee program, even if there are no other deficiencies in the State's 
    operating permits program. Section 502(b)(3)(C)(i) also provides that 
    fees charged by EPA shall be designed solely to cover EPA's costs of 
    administering the provisions of the permits program promulgated by EPA.
    2. Fee Calculation and Assessment
        The fee schedule proposed in Sec. 71.9 would establish a dollar per 
    ton charge on actual emissions of each regulated pollutant (for fee 
    calculation) that is emitted from a source.
        Under the fee schedule in this proposal, the date of the initial 
    fee submittal would be contingent upon several factors. If EPA 
    withdraws approval of a part 70 program, initial part 71 fees would be 
    due in accordance with a schedule based upon a source's primary SIC 
    Code, as provided in proposed Sec. 71.9(f)(1).
        If EPA implements a part 71 program in an area that did not have a 
    part 70 program in place, initial fee calculation work sheets and fees 
    would be due at the same time the initial permit application is due, in 
    accordance with the requirements of proposed Sec. 71.5(b)(1).
        Regardless of whether a part 70 program preceded a part 71 program, 
    sources that become subject to the part 71 program after the part 71 
    program's effective date would be required to submit initial fee 
    calculation work sheets and fees at the same time the initial permit 
    application would be due, in accordance with the requirements of 
    proposed Sec. 71.5(b)(1).
        Sources would be allowed to pay their initial annual fee in two 
    installments. The first payment equalling one-third of the annual fee 
    would have to be submitted along with the initial fee calculation 
    worksheet. The balance would be due four months later, but in no event 
    later than a year after the program's effective date.
        As provided in proposed Sec. 71.9(g), for sources that receive a 
    part 71 permit as a result of an EPA veto of the State's proposed part 
    70 permit (as provided in proposed Sec. 71.4(e)), the initial fee 
    calculation work sheet and fees would be due 3 months after the date 
    the part 71 permit is issued. Delaying the source's fee payment in this 
    manner would provide the State an opportunity to issue a permit that 
    satisfies EPA's objection, thereby relieving sources of the burden of 
    paying both State and Federal permit fees. However, such sources would 
    not be permitted to pay fees in installments because their obligation 
    to pay fees arises after EPA has completed the permit issuance process.
        For sources that commenced operation during the calendar year 
    preceding the date on which a source's initial application is due, the 
    initial fee calculation would be based on an estimate of the current 
    calendar year's actual emissions. This estimated fee would be adjusted 
    in the first annual emission report. In addition, sources that would be 
    required to submit initial fee calculation work sheets and fees between 
    January 1 and March 31, as required by either proposed Sec. 71.9(f)(1) 
    or Sec. 71.9(g), would have the option of basing their initial fee 
    calculation on an estimate of the preceding calendar year's actual 
    emissions. This provision would provide sources with a means for 
    meeting the initial fee submittal requirements if their initial fee 
    submittal date does not provide for sufficient time to calculate the 
    previous calendar year's actual emissions. This estimation would also 
    have to be reconciled in the first annual emission report.
        For purposes of subsequent annual emissions reporting and fee 
    assessments, the date (month and day) on which the initial part 71 fee 
    calculation work sheet and fees were due would be considered the 
    ``anniversary date'' for that source. Each source would be required to 
    submit an annual report of its actual emissions for the preceding 
    calendar year by its anniversary date. However, to allow sources with 
    anniversary dates between January 1 and March 31 the time needed to 
    analyze the preceding calendar year's emissions data, the anniversary 
    date for these sources would be April 1. The annual report would have 
    to include a fee calculation work sheet and full payment.
        As discussed above, sources that commenced operation during the 
    preceding calendar year would base their initial fee calculation on an 
    estimate of the current calendar year's actual emissions. When the 
    permitting authority receives the first annual emissions report, the 
    permitting authority would compare the estimate to the emissions report 
    and would adjust the initial fee to reflect the annual emissions listed 
    in the report. If an additional fee is required, payment would be due 
    with the submittal of the annual emissions report. If the source has 
    overpaid, the permitting authority would credit the source's account. 
    Regardless of this adjustment procedure, the source would be required 
    to pay its current emissions fee based on the actual emissions listed 
    in the first annual emissions report.
        Sources subject to proposed Sec. 71.9(f)(1) or Sec. 71.9(g) that 
    have initial application and fee calculation work sheets due between 
    January 1 and March 31 could opt to base their initial fee on an 
    estimate of the past year's [[Page 20821]] actual emissions. The first 
    annual emissions report for such sources would have to reconcile the 
    emissions fee from the initial fee calculation. In addition to 
    calculating the current emissions fee, the report would be required to 
    include actual emissions data from the estimated year, and the source's 
    account would have to be revised accordingly.
        Section 502(b)(3)(C)(ii) requires that sources that fail to pay 
    fees in a timely fashion shall be assessed interest at a rate equal to 
    the sum of the Federal short-term rate determined by the Secretary of 
    the Treasury in accordance with section 6621(a)(2) of the Internal 
    Revenue Code of 1986, plus 3 percentage points and shall pay a penalty 
    charge of 50 percent of the fee amount. Proposed Sec. 71.9(l) would 
    implement section 502(b)(3)(C)(ii) by providing that the penalty charge 
    shall be due if the fee is not paid within 30 days of the payment due 
    date or if sources that compute fees based on estimated annual 
    emissions substantially underestimate these emissions.
        Fee payments would be required to be in United States currency in 
    the form of a money order, bank draft, certified check, corporate 
    check, or electronic funds transfer payable to the order of the U. S. 
    Environmental Protection Agency. The EPA intends to develop additional 
    guidance regarding remittance procedures as the Federal operating 
    permits program is implemented.
    3. Principles for Developing Fee Structure
        The following principles were used to develop the proposed fee 
    requirements:
        a. Fees Based on Average Annual Costs. By means of the fee 
    structure proposed in this rule, EPA intends to recover both direct and 
    indirect costs for the various activities conducted to administer part 
    71 programs. Direct costs would include personnel benefits and 
    salaries, travel, equipment costs, and contractor expenses. Indirect 
    costs would be those resources, outside of direct program costs, used 
    to manage, oversee and provide counsel to program offices. These would 
    include costs such as those incurred by EPA's management, 
    administrative, and policy staff. Indirect costs would also include 
    overhead costs, such as utilities and rents.
        The methodology proposed to be used for setting fees is to estimate 
    the cost of implementing the part 71 program nationwide and to divide 
    that cost by the estimated emissions that would be subject to the fee. 
    The result is a fee expressed in dollars per ton/yr of pollutants 
    emitted. A detailed discussion of the assumptions and calculations 
    involved in determining fees is found in ``Federal Operating Permits 
    Program Costs and Fee Analysis'' (Fee Analysis), which is contained in 
    the docket for this rulemaking.
        The cost estimates presented in the Fee Analysis are based on 
    operating a part 71 program for two years. The EPA believes this is a 
    reasonable average program duration, given the expected transitory 
    nature of the program.
        For purposes of the cost analysis, the hourly personnel costs were 
    assumed to be the same for EPA and for delegate agencies. Therefore, 
    the total personnel costs for an EPA administered program and one which 
    is delegated in whole or in part would be identical except for the cost 
    of additional EPA oversight (which would be covered by a $3 per ton/yr 
    surcharge discussed below).
        Because part 71 programs will generally be transitional programs, 
    EPA may in some cases decide to staff the program primarily through 
    contractor assistance. The emissions fee for a particular part 71 
    program would vary depending on the extent to which EPA relies on 
    contractor support and the cost of contractor assistance. If the 
    program is administered by EPA without contractor assistance, the 
    proposed fee would be $45 per ton/yr. If the program were staffed 
    through contractor assistance (except for those functions for which the 
    use of contractors is not appropriate such as final permit issuance 
    determinations), EPA would establish a fee based on the contractor 
    costs for a particular program.
        As provided in proposed Sec. 71.9(c)(3), the fee for a contractor 
    assisted program is the sum of the permitting authority's costs 
    associated with activities that it undertakes, the cost of paying a 
    contractor to undertake other activities, and a surcharge that covers 
    EPA's oversight costs. The formula for determining the cost of 
    contractor assistance is as follows:
    
    C=[B+T+N] divided by 12,300,000
    
    Where B represents the base cost (contractor costs), where T represents 
    travel costs, and where N represents non-personnel data management and 
    tracking costs.
        B, T and N, when summed, are divided by the total tonnage of 
    national emissions that would be subject to fees (12.3 million tons) to 
    convert the cost into a per ton fee rate.
        The Fee Analysis discusses the methodology used in computing the 
    base cost of the part 71 program, travel costs and non-personnel data 
    management and tracking costs. Travel costs and non-personnel data 
    management and tracking costs would be the costs ($14,488,000 and 
    $13,400,000 respectively) indicated in Table A-3 of that document.
        As indicated above, the base cost would vary depending on the 
    hourly rate paid for contractor assistance. Table A-3 presents the base 
    cost for a program in which contractor assistance (costing $62 per 
    hour) was used to the maximum extent possible. This $62 figure reflects 
    the average hourly cost of several large contracts awarded by EPA for 
    projects relating to air quality control. Using that hourly rate, the 
    resulting per ton fee would be $77. The base cost was computed by 
    summing the costs of contractor assistance for years 1 and 2 for the 
    activities listed in Table A-1 of the Fee Analysis (except those 
    activities which EPA should undertake, i.e., presiding over hearings, 
    transition planning, guidance, contract management, and training) and 
    then computing an annualized cost. To determine the fee for a 
    particular part 71 program, EPA would substitute a different hourly 
    rate (based on the actual rate charged by the contractor) into the 
    computation.
        Each time a part 71 program is implemented, EPA would determine the 
    percentage of personnel time allocated to contractors by considering 
    who could best perform each type of permitting activity (e.g., 
    technical review and processing of permit applications and compliance 
    plans, preparation for public hearings, compliance inspections). This 
    flexibility would allow EPA to develop a staffing pattern that meets 
    the unique needs of the part 71 program being administered. By using 
    the formula specified in proposed Sec. 71.9(c)(3), EPA would arrive at 
    the basic emissions fee. If the program is delegated or staffed largely 
    by contractors, there would be additional costs due to the oversight 
    that EPA must provide to the program. These additional costs of EPA's 
    review of permit applications, compliance plans, draft permits, permit 
    revisions and reopenings would increase the emissions fee by $3 per 
    ton/yr.
        The EPA currently uses contractors for permits related work 
    pursuant to competitively bid contracts which compensate contractors on 
    a level of effort basis, using set hourly fees. These contracts, which 
    provide for a certain number of hours of services at a fixed hourly 
    rate, were used in projecting the costs of using contractors to 
    implement part 71 programs and could be used by EPA for part 71 
    programs when contractor assistance is needed. It has been suggested 
    that for part 71 programs [[Page 20822]] it may be more cost effective 
    if contracts for part 71 programs were independently bid. Therefore, 
    EPA solicits comments on whether fees for part 71 programs should be 
    based on contractor costs established by a new competitive bid process. 
    While not wanting to dismiss this alternative, the EPA is concerned 
    about the costs involved with preparing the documentation required for 
    the competitive bid process and that the length of time required to 
    undertake this process (usually 12-18 months) would make this 
    alternative impractical in light of the program's effective date. In 
    particular, EPA solicits comments on whether this approach would result 
    in cost savings.
        The EPA considered several other options for setting fees. For 
    example, EPA considered the possibility of basing fees for each part 71 
    program on the fee structure submitted by a State or local government 
    as part of its part 70 submittal. This approach, however, has limited 
    utility in that it is not appropriate where the submittal contains an 
    inadequate fee program or where no submittal is made. Furthermore, the 
    administrative burden (and the delay in program implementation) 
    involved with completing individual rulemakings for each part 71 
    program made this option infeasible.
        Given that it is not practical to craft a fee schedule that fits 
    each State, and given that EPA is unable to foresee with certainty when 
    and where it may be necessary to implement part 71 programs, EPA 
    proposes to base its fees on the average cost of implementing a part 71 
    program.
        The EPA considered whether the average cost of the part 71 program 
    would be recovered by charging a fee of $25 per ton/yr (1989 baseline 
    with CPI adjustments), which is the amount of fee revenue that EPA 
    would presume is adequate for purposes of funding State operating 
    permits programs under part 70. For fiscal year 1995, this fee would 
    equal $30.18. However, EPA believes that there would be some 
    differences in costs between the Federal program and State programs 
    which made use of the presumptive fee inappropriate.
        Using the approach outlined above, EPA has developed a proposed fee 
    structure that will reflect the cost of the Federal operating permits 
    program, though not necessarily the cost of implementing the program in 
    any particular State. The proposed fee is expected to be adequate for 
    nearly all part 71 programs and should, on average, collect sufficient 
    revenue to fund permitting under this part. However, if EPA determines 
    that the fee structure provided in proposed Sec. 71.9(c)(1)-(4) does 
    not adequately reflect the program costs for a particular area, such as 
    a Tribal area, then EPA may by separate rulemaking establish a 
    different fee for a part 71 program.
        b. Minimizing Administrative Burdens. Although EPA could design a 
    fee system that imposes different fees based on such factors as source 
    categories, the particular pollutants emitted, or the type of 
    permitting action requested, EPA proposes a straight forward emissions-
    based fee system. For sources, the fee computation would be simple. 
    Similarly, EPA's administrative burden related to assessing fees and 
    monitoring compliance with fee requirements would be minimized.
        c. Fees Calculated Based on Existing Information. The EPA would 
    provide sources with fee calculation work sheets. Using these work 
    sheets, sources would compute their actual emissions of the appropriate 
    pollutants and multiply by the appropriate per ton/yr rate. Sources 
    would submit fees within the first 12 months of the effective date of 
    the program, and annually thereafter. Many sources are already subject 
    to annual emissions reporting requirements. Thus, except for new 
    sources, there would generally be no requirement that sources develop 
    any information for the work sheets that would not already be required 
    on the application form or as an emission reporting requirement.
        d. Fees Imposed in Advance of EPA's Rendering Services. Under the 
    proposal, all part 71 sources would remit fees within 12 months of the 
    effective date of the permit program, even if the source is not issued 
    a part 71 permit within that time. Those fees will provide a stable 
    source of revenue from which to fund the initial start-up costs of the 
    program, the costs of issuing permits within the first year of the 
    program, as well as cover ongoing activities such as inspections, 
    reviewing monitoring reports, and other compliance and enforcement 
    activities.
        This procedure would comply with Federal policy for user fees 
    established in OMB Circular A-25 (July 8, 1993), which provides that 
    fees are to be collected before services are administered or goods 
    provided to ensure that fees are actually paid for the services 
    provided, that the Treasury receives funds in a timely manner, and that 
    additional administrative burdens and costs for collecting fees are 
    avoided.
    4. Revision of Fee Structure
        To reflect changes in operating costs, fees would be adjusted 
    automatically every year (after 1997) by the same percentage as the 
    percent change in the CPI. Also, the fee schedule would be revisited 
    every two years as required by section 902(a)(8) of the Chief Financial 
    Officer's Act of 1990. (31 U.S.C. 501 et seq.)
    
    I. Section 71.10--Delegation of Part 71 Program
    
    1. Delegation Process
        Section 301(a)(1) of the Act provides that the Administrator is 
    authorized to prescribe such regulations as are necessary to carry out 
    his or her functions under the Act. Pursuant to this authority, 
    proposed Sec. 71.10 provides that a part 71 program may be delegated in 
    whole or in part, with or without signature authority (i.e., the 
    authority to issue permits) to any State or local agency or eligible 
    Tribe that is found to have the requisite legal authority to administer 
    such a program. For purposes of the rule, an eligible Indian Tribe 
    would be a Tribe that EPA has determined meets the criteria for being 
    treated in the same manner as a State, pursuant to regulations 
    implementing section 301(d)(2) of the Act.
        The EPA recognizes that in some cases States could fail to receive 
    part 70 program approval due to program flaws that are not related to 
    the permitting authority's practicable ability to implement a title V 
    program. For example, the submitted part 70 program may contain 
    elements in it enabling legislation or its regulations that prevent EPA 
    from granting program approval, even though EPA may be confident that 
    the State permitting authority could adequately administer and enforce 
    a title V program that meets the requirements of the Act. While title V 
    requires EPA to promulgate Federal title V programs for States that 
    fail to receive part 70 program approval, EPA believes that in 
    situations where State permitting authorities appear capable of 
    implementing programs that meet the requirements of title V, it would 
    be consistent with the general policies of the Act to involve States in 
    implementing required Federal permits programs, rather than exclude 
    State permitting authorities.
        The Act has long provided that air pollution control is the primary 
    responsibility of States and local governments. (See, e.g., section 
    101(a)(3) of the Act, 42 U.S.C. 7401(a)(3).) Moreover, while title V 
    requires States to submit permit programs for approval by EPA, the Act 
    does not provide that program approval is the sole mechanism available 
    for State air pollution control [[Page 20823]] agencies to become 
    permitting authorities under title V. Section 501(4) of the Act defines 
    ``permitting authority'' to mean both the Administrator or the air 
    pollution control agency ``authorized'' by the Administrator to carry 
    out a permit program under title V. Section 302(b) of the Act defines 
    ``air pollution control agency'' to include State and local government 
    agencies. The EPA believes the word ``authorized'' as used in section 
    501(4) may reasonably be interpreted to apply not only to instances in 
    which EPA approves a submitted part 70 program, but also to instances 
    in which EPA determines that a State or local air pollution control 
    agency demonstrates that it is capable of carrying out a title V permit 
    program even where the State has not submitted a part 70 program that 
    has received EPA approval.
        The EPA could exercise its discretion to delegate authority to 
    administer some portion or all of a part 71 program where, for example, 
    it makes sense to take advantage of existing expertise of the delegate 
    agency or where it seems probable that the delegate agency's submitted 
    part 70 program will be approved within a short time by EPA, provided 
    in both cases that the delegate agency has the authority to administer 
    the portion of the program that would be delegated.
        Any agency that seeks to obtain delegation of a part 71 program 
    would be required to submit a formal request for delegation, in 
    accordance with the provisions of proposed Sec. 71.10, and such other 
    documentation as is necessary for review and consideration by the 
    Administrator to make a determination that the agency or eligible Tribe 
    has adequate legal authority and procedures to administer and enforce a 
    part 71 program.
        The EPA would adopt a flexible approach in evaluating delegation 
    requests. The EPA would not demand that each delegate agency administer 
    a part 71 program in precisely the same way because each delegate 
    agency would have to comply with its own procedures, administrative 
    codes, regulations, and laws as well as the requirements of this part.
        The Governor or designee for a State, a local agency, or the Tribal 
    governing body for an eligible Tribe, would be required to submit to 
    EPA a written request for delegation of authority on behalf of the 
    State or local agency or eligible Tribe pursuant to proposed 
    Sec. 71.10. The request would have to include a legal opinion that 
    certifies that the State or local agency or eligible Tribe has the 
    requisite legal authority to implement and administer the program. The 
    request would also have to identify the officers or agencies 
    responsible for carrying out the State, local, or Tribal procedures, 
    regulations, and laws.
        The EPA would respond in writing to each delegation request and 
    shall state to what extent the request has been accepted or rejected. 
    If the request is accepted in whole or in part, the Administrator would 
    delegate to the Governor or designee, the local agency, or Tribal 
    governing body, the authority to carry out the accepted portions of the 
    delegation. If the request is rejected in whole or in part, the 
    notification shall specify the reasons for such rejection.
        The terms and conditions of the delegation would be set forth in a 
    ``delegation of authority agreement'' that specifies the effective date 
    for the agreement. The delegation of authority agreement would be 
    published in the Federal Register by EPA and would identify the 
    delegate State, local, or Tribal procedures to be used for implementing 
    and administering the program by reference to the request and to any 
    additional submission by the Governor or designee, or Tribal governing 
    body supplementing or modifying the State, local or Tribal procedures.
    2. Full and Partial Delegation
        Although EPA encourages delegate agencies to accept full delegation 
    of all aspects of the administration of part 71 programs, there are 
    situations where a delegate agency may be unable or unwilling to assume 
    all responsibility for administering these programs. Where appropriate, 
    EPA could choose to grant partial delegations as follows:
        (1) Delegation of authority may be granted for only a portion of 
    the State or regulatory area;
        (2) Delegation of authority may be restricted to certain source 
    categories or parts thereof; or
        (3) Authority may be delegated for selected parts of the procedural 
    responsibility in implementing a part 71 program with EPA acting as a 
    partner in completing the remaining actions (e.g., delegation of 
    authority may be granted with regard to the administrative and/or 
    technical portion of implementing the part 71 program, with EPA 
    providing enforcement should such action become necessary);
        (4) Authority may be delegated for only the acid rain portion of a 
    title V program, or for other parts of the title V program, not 
    including the acid rain portion.
    3. Procedural Requirements for Delegation
        The delegate agency would be required to provide notice to the 
    Administrator of all applications for any permit, permit renewal, or 
    permit revision, including any compliance plan, or any portion thereof 
    that the Administrator determines to be necessary to review the 
    application and permit effectively, each proposed permit, and each 
    final permit as provided in proposed Sec. 71.10(d). The delegate agency 
    would also have to provide notice of each draft permit to affected 
    States on or before the time that the delegate agency provides this 
    notice to the public under proposed Secs. 71.7 (e)(4), (h), or (i) or 
    Sec. 71.11(d) and would be required to provide any affected State a 
    copy of the addendum for a de minimis permit revision within 7 days of 
    the date on which the addendum takes effect.
        Affected States that receive notice pursuant to proposed 
    Sec. 71.8(a) could submit written recommendations and comments on the 
    permit to the delegate agency. If the delegate agency refuses to accept 
    the recommendations, the reasons for the refusal would have to be 
    provided in writing to the State(s) providing the recommendations.
        The EPA could waive its own and affected States' review of permits 
    for any category of sources, except major sources, by nationwide 
    regulation for a category of sources. The EPA could also waive its own 
    right to review, but maintain the requirement for a delegate agency to 
    notify affected States. During Phase II of the acid rain program, the 
    Agency does not intend to waive its own right to review permits for 
    affected sources under the acid rain program.
        When a part 71 program has been delegated with signature authority 
    in accordance with the provisions of this section, the Administrator 
    could object, in writing, to a part 71 permit if the delegate agency 
    fails to properly submit, process, or provide notice as would be 
    required by this part or if the part 71 permit does not assure 
    compliance with applicable requirements of the Act. If the delegate 
    agency fails to revise the proposed permit in response to the 
    objection, the Administrator could deny the permit or issue a permit in 
    accordance with the part 71 program.
    4. Delegation of Authority Agreement
        A delegation of authority agreement would specify the terms and 
    conditions of the delegation and would be required to include, but not 
    be limited to:
        (1) A provision that the delegation is made in accordance with 
    proposed Sec. 71.10; [[Page 20824]] 
        (2) A provision that describes the source categories, geographic 
    areas, and the administrative and enforcement activities governed by 
    the delegation;
        (3) A provision that requires the delegate agency to comply with 
    the public notice requirements of proposed Secs. 71.7 and 71.11;
        (4) A provision that requires the delegate agency to provide a 
    copy, through the appropriate Regional Office, of each permit 
    application, proposed permit, and final permit to the Administrator as 
    required in proposed Sec. 71.10(d);
        (5) A provision that any permit issued by a delegate agency contain 
    a statement identifying the permit as a title V, part 71 permit;
        (6) A provision that requires EPA's concurrence on any 
    applicability determination or policy statement regarding title V or 
    parts 70 or 71 not covered by determinations or guidance provided to 
    the delegate agency;
        (7) A provision that requires immediate notification to be provided 
    to EPA if the delegate agency is unable or unwilling to administer or 
    enforce a provision of the delegated part 71 program with respect to 
    any source; and
        (8) A provision that the delegate agency may not grant any waiver 
    to a permit requirement or issue any order that violates an effective 
    provision or requirement of part 71 or the Act.
    
    J. Section 71.11--Administrative Record, Public Participation, and 
    Administrative Review
    
        Section 71.11 of the proposal establishes procedures by which the 
    part 71 permitting authority would act on permit applications, issue 
    draft permits, provide opportunities for public comment, and issue 
    final permits. The emphasis in proposed Secs. 71.11(a)-(j) is on a 
    description of the notice and public participation procedures for 
    initial permit issuance, permit renewals, permit reopenings, and 
    significant permit revisions. The notice and public participation 
    procedures for administrative amendments, de minimis permit revisions, 
    and minor permit revisions are described in proposed Sec. 71.7.
        Proposed Secs. 71.11(k)-(m) describe the administrative record for 
    permits, the procedure for appeal of permits, and the determination of 
    the beginning and ending days for any scheduled time period. Unlike 
    proposed Secs. 71.11(a)-(j), provisions in proposed Secs. 71.11(k)-(m) 
    would apply to all permit actions, including administrative amendments, 
    de minimis permit revisions, minor permit revisions and significant 
    permit revisions.
        The EPA considered two alternative methods of establishing the 
    public participation and administrative review procedural requirements. 
    The first alternative would be to amend the existing procedures in 40 
    CFR part 124, which establishes specific decision making procedures for 
    RCRA, Underground Injection Control (UIC), PSD, and NPDES permits, so 
    that the procedures would be compatible with the part 71 program. The 
    EPA would then incorporate those provisions by reference into the part 
    71 permit rule. The second alternative was to establish public 
    participation and administrative appeal procedures as a separate 
    section of this rule. This alternative has the advantage of allowing 
    these procedures to focus specifically on the needs of the part 71 
    program as well as appear in close proximity to the permit program 
    requirements in the Code of Federal Regulations.
        Today's proposal follows the second alternative. The proposed 
    public participation and administrative appeals procedures are set out 
    at Sec. 71.11 and are based closely on selected provisions of part 124, 
    subpart A. The EPA does not believe the choice of one format over the 
    other will have a substantial impact on the implementation of this 
    rule.
        Once a permit application is complete, including an application to 
    revise an existing permit, the permitting authority would tentatively 
    decide whether to prepare a draft permit. Such draft permits would 
    contain permit conditions specified in proposed Sec. 71.6, public 
    notice of the draft permit would be issued and the draft would be made 
    available for comment. Administrative amendments of permits would not 
    be subject to draft permit or public notice requirements. Public notice 
    of de minimis permit revisions would be on a post hoc basis, and draft 
    permits for minor permit revisions would be publicly noticed by the 
    applicant source. All draft permits issued by the permitting authority 
    would be accompanied by a statement that briefly describes the 
    derivation of the conditions of the draft permit and the reasons for 
    them.
        Proposed Sec. 71.11(d) would establish public notice and comment 
    procedures for part 71 permit actions not addressed elsewhere in the 
    proposal, including application denials, draft permit preparation, 
    scheduling of public hearings, reopening of the public comment period, 
    and granting of appeals. Where other provisions of this proposal 
    establish permitting procedures for specific types of actions, such as 
    in the provisions on administrative amendments, de minimis permit 
    revisions, and minor permit revisions, those provisions would govern. 
    Notice of draft permits under proposed Sec. 71.11(d) (including permit 
    revisions) would provide at least 30 days for public comment, and 
    notices of hearings would be issued at least 30 days before hearings 
    are held. Notice would be provided by mail to interested persons, by 
    publication, or by other reasonable means and would include information 
    on the permittee, contact persons, and general procedures on submitting 
    comments and requesting to speak at hearings. In addition, notices of 
    hearings would provide information on dates, times, and places of 
    hearings, as well as applicable rules and procedures. The permitting 
    authority could hold hearings either upon the basis of requests or on 
    its own initiative.
        Proposed Sec. 71.11(e) would establish requirements for 
    consideration of comments on a draft permit. It would require that a 
    request for a public hearing be in writing and include a statement of 
    the nature of the issues proposed to be raised at the hearing. It would 
    also stipulate that all comments be considered in making the final 
    decision on the draft permit, and that a publicly available record be 
    kept of commenters and issues raised.
        Proposed Sec. 71.11(f) on public hearings would require that a 
    public hearing be held if there was a significant degree of interest in 
    a draft permit. The permitting authority would designate a Presiding 
    Officer who would be responsible for conducting the hearing. This 
    proposed procedure would allow statements from any person, with 
    reasonable limits on time allowed for oral statements. A tape recording 
    or written transcript would be required to be made available to the 
    public.
        Proposed Sec. 71.11(g) would require that all reasonably 
    ascertainable issues and all reasonably ascertainable arguments be 
    raised or submitted by the close of the public comment period. It would 
    require that supporting materials be submitted in full, rather than 
    incorporated by reference. In order to comply with this proposed 
    requirement, the comment period could be longer than 30 days, at the 
    discretion of the permitting authority.
        Proposed Sec. 71.11(h) would allow the permitting authority to 
    reopen the public comment period if any person believed that a 
    condition of the draft permit is inappropriate, or that the permitting 
    authority's decision to deny an application, terminate a permit, or 
    prepare a draft permit is inappropriate. If information submitted 
    during the public comment period appeared to raise substantial new 
    questions, the [[Page 20825]] permitting authority would have the 
    flexibility to prepare a new draft permit, or prepare a revised 
    statement of basis and reopen or extend the comment period.
        Proposed Sec. 71.11(i) would require the permitting authority to 
    issue a final permit decision once the public comment period had 
    closed. The final decision, which becomes effective immediately upon 
    issuance of the decision or a later date specified in the decision, 
    would be a decision to issue, deny, revise, revoke and reissue, renew, 
    or terminate a permit.
        Proposed Sec. 71.11(j) would require the permitting authority to 
    issue a response to comments. The response would specify what 
    provisions, if any, of the draft permit were changed in the final 
    permit decision, and why. It would also require a description and 
    response to all significant comments, and require inclusion of any 
    cited documents in the administrative record. If an affected State 
    recommended changes to the draft permit that were not accepted by the 
    permitting authority, proposed Sec. 71.11(j) would require written 
    notification to the affected State.
        Final permit decisions would be based on the administrative record 
    defined in proposed Sec. 71.11(k), including comments received, hearing 
    transcripts, the response to comments, the final permit, the permit 
    application, and the draft permit and its statement of basis.
        Proposed Sec. 71.11(l) grants a right of appeal of all final permit 
    decisions, including those taken under provisions establishing 
    procedures for administrative amendments, de minimis permit revisions, 
    and minor permit revisions, and establishes procedures for such 
    appeals. Within 30 days of a final permit decision, interested persons 
    could petition the Environmental Appeals Board to review the final 
    permit decision. Petitions for review would be required to include a 
    statement of the reasons supporting review and could address only 
    issues raised during the public comment period, unless it was 
    impracticable to raise the relevant objections during such period or 
    the grounds for objection arose after the period closed. An example of 
    a situation in which it is impracticable to raise an objection during 
    the comment period would be when a significant change is made from a 
    draft to final permit without providing an opportunity for public 
    comment. Moreover, while persons who participated in the comment or 
    hearing processes could petition the Board to review any condition of 
    the final permit decision, persons who failed to file comments or 
    participate in hearings could petition the Board only with respect to 
    changes from the draft to final permit decision. When a part 71 permit 
    is appealed, it would nevertheless remain fully effective and 
    enforceable against the permitted source.
        The EPA seeks comment on its method of establishing procedures for 
    public participation and administrative review, and on the 
    appropriateness of the specific procedures proposed. The EPA 
    particularly seeks comment on the issues of the statement of basis 
    accompanying draft permits, the proposed public notice and comment 
    requirements, and appeals of permits.
        Pursuant to sections 114 and 503(e) of the Act, EPA, by this 
    proposed rule solicits comments on the appropriateness of, and the 
    means for, making available to the public information that a source 
    would be required by this rule to collect. Such information might 
    include, for example, the data resulting from use of required 
    monitoring methods. Specifically, EPA is requesting comment on what 
    types and amount of information required under this rule should be made 
    available to the public, what limits, if any, to place on a requirement 
    to make available such information, and appropriate methods for making 
    such information publicly available (e.g., electronic reporting to a 
    publicly accessible data base, direct access by the public to 
    information held by sources, or reliance on EPA and/or delegated States 
    to assist the public in obtaining the information). The EPA also 
    solicits comment on appropriate language for a rule or policy guidance 
    document to effectuate public availability of information required 
    under this rule and solicits comments on whether a rule or a policy 
    guidance document is more appropriate.
        Under both delegated and nondelegated part 71 programs, interested 
    persons (including permitees) would be authorized to petition the 
    Administrator to reopen an already issued permit for cause as provided 
    in proposed Sec. 71.11(n). Petitions would be required to be in writing 
    and to contain facts or reasons supporting the request. If the 
    Administrator determined that cause exists to reopen the permit, he or 
    she would revise, revoke and reissue, or terminate the permit 
    consistent with the requirements and procedures in proposed Sec. 71.7.
        Under part 70, citizens can petition EPA to object to State issued 
    permits and can appeal EPA's failure to object to a proposed permit. 
    However, for both delegated and nondelegated part 71 programs, the EPA 
    feels this type of petition process is unnecessary because the final 
    permit can be appealed directly to the Environmental Appeals Board 
    (EAB) and because citizens can use the petition process provided by 
    proposed Sec. 71.11(n) in cases where the deadline for appeal to the 
    EAB has passed. The EPA believes that this approach provides an 
    adequate opportunity for EPA oversight of part 71 programs, and that 
    consequently there is little value in providing the opportunity for 
    citizens to petition the Administrator to object to a proposed permit, 
    which could result in two separate and simultaneous routes to appeal 
    EPA's permitting actions. Moreover, the approach proposed today would 
    be more consistent with that taken in the Agency's recently promulgated 
    rule (to be codified at 40 CFR 71.21 et seq), which governs how title V 
    specialty permits would be issued to sources seeking alternative 
    hazardous air pollution emissions limits under section 112(i)(5) of the 
    Act. See 59 FR 59921 (Nov. 21, 1994) (``Federal Operating Permit 
    Programs; Permits for Early Reductions Sources''). The Agency solicits 
    comment on this approach.
    
    K. Section 71.12--Prohibited Acts
    
        It is important to note that it is unnecessary to include an 
    enforcement authority section in the part 71 Federal program 
    regulations that specifically corresponds to the enforcement authority 
    section in the part 70 State program regulations. Rather, because the 
    program under part 71 is a Federal program, it will be enforced through 
    the full Federal enforcement authorities in the Act.
        Examples of the Federal enforcement authorities available under the 
    Act for violations of title V and the regulations thereunder include, 
    but are not limited to, the authority to: (1) Restrain or enjoin 
    immediately and effectively any person by order or by suit in court 
    from engaging in any activity in violation of the Act that is 
    presenting an imminent and substantial endangerment to the public 
    health or welfare, or the environment; (2) seek injunctive relief in 
    court to enjoin any violation of the Act; (3) issue an administrative 
    order against any person assessing a civil administrative penalty of up 
    to $25,000 per day for each violation of the Act; and (4) assess and 
    recover a civil penalty of not more than $25,000 per day for each 
    violation of the Act. Another example of enforcement authority 
    available under the Act is the authority to assess criminal fines 
    pursuant to title 18 of the United States Code or imprisonment for not 
    to exceed 5 years, or both, against any person who knowingly violates 
    title V and the [[Page 20826]] regulations thereunder. The above list 
    is not an exhaustive description of the Federal enforcement authority 
    available under the Act for violations of title V and the regulations 
    thereunder. Accordingly, nothing in this discussion shall be construed 
    to limit the Federal enforcement authorities available under the Act 
    for violations of title V and the regulations thereunder.
        The Federal enforcement authority available under the Act for 
    violations of title V and the regulations thereunder provides broader 
    enforcement authority than the States are required to have under the 
    part 70 regulations. For example, 40 CFR 70.11 requires that States 
    have authority to recover civil penalties for a maximum amount of not 
    less than $10,000 per day per violation. The Federal enforcement 
    authority imposes a maximum penalty of up to $25,000 per day per 
    violation.
    
    VI. Administrative Requirements
    
    A. Reference Documents
    
        All the documents referenced in this preamble fall into one of two 
    categories. They are either reference materials that are considered to 
    be generally available to the public, or they are memoranda and reports 
    prepared specifically for this rulemaking. Both types of documents can 
    be found in Docket No. A-93-51.
    
    B. Office of Management and Budget (OMB) Review
    
        Under Executive Order 12866 (58 FR 51735 (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 lead to a rule that may:
        (1) Have an annual effect on the economy of $100 million or more, 
    adversely and materially affecting 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 program or the rights and obligations of recipients 
    thereof;
        (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 Executive Order 12866, it has been 
    determined that this rule is a ``significant'' regulatory action. As 
    such, this action was submitted to OMB for review. Changes made in 
    response to OMB suggestions or recommendations will be documented in 
    the public record.
        The estimated annualized cost of implementing the part 71 program 
    is $137.5 million to the Federal government and $79.8 million to 
    respondents, for a total of $217.3 million which reflects industry's 
    total expected costs of complying with the program. Since any costs 
    incurred by the Agency in administering a program would be recaptured 
    through fees imposed on sources, the true cost to the Federal 
    government is zero. The requirements for the costs result from section 
    502(d) of title V which mandates that EPA develop a Federal operating 
    permits program. The proposed program is designed to improve air 
    quality by: indirectly improving the quality of State-administered 
    operating permits programs; encouraging the adoption of lower cost 
    control strategies based on economic incentive approaches; improving 
    the effectiveness of enforcement and oversight of source compliance; 
    facilitating the implementation of other titles of the Act, such as 
    title I; and improving the quality of emissions data and other source-
    related data.
    
    C. Regulatory Flexibility Act Compliance
    
        Under the Regulatory Flexibility Act, whenever an Agency publishes 
    any proposed or final rule in the Federal Register, it must prepare a 
    Regulatory Flexibility Analysis (RFA) that describes the impact of the 
    rule on small entities (i.e., small businesses, organizations, and 
    governmental jurisdictions). The EPA has established guidelines which 
    require an RFA if the proposed rule will have any economic impact, 
    however small, on any small entities that are subject to the rule, even 
    though the Agency may not be legally required to develop such an 
    analysis.
        The original part 70 rule and the recently proposed revisions to 
    part 70 were determined to not have a significant and disproportionate 
    adverse impact on small entities. Similarly, a regulatory flexibility 
    screening analysis of the impacts of the proposed part 71 rule revealed 
    that the proposed rule would not have a significant and 
    disproportionate adverse impact on small entities; few small entities 
    would be subject to part 71 permitting requirements because the 
    proposed rule defers permitting requirements for nonmajor sources. 
    Consequently, the Administrator certifies that the proposed part 71 
    regulations will not have a significant and disproportionate impact on 
    small entities. The EPA, however, solicits any information or data 
    which might affect this proposed certification. The EPA will reexamine 
    this issue and perform any subsequent analysis deemed necessary. Any 
    subsequent analysis will be available in the docket and taken into 
    account before promulgation.
    
    D. Paperwork Reduction Act
    
        The information collection requirements in this proposed rule have 
    been submitted for approval to OMB under the Paperwork Reduction Act, 
    44 U.S.C. 3501 et seq. An Information Collection Request document has 
    been prepared by EPA and a copy may be obtained from Sandy Farmer, 
    Information Policy Branch (2136), U.S. Environmental Protection Agency, 
    401 M St., Washington, D.C. 20460, (202) 382-2706.
        As compared to the burden imposed by 40 CFR part 70, the average 
    additional annual burden on sources for the collection of information 
    is approximately 3.3 million hours, or on average approximately 96 
    hours per respondent and none for State and local agencies. The total 
    annualized cost for collection is estimated to be approximately $79.8 
    million for sources. There is no burden for State and local agencies. 
    Send comments regarding the burden estimate or any other aspect of this 
    collection of information, including suggestions for reducing this 
    burden to: Chief, Information Policy Branch (PM-223) U.S. Environmental 
    Agency, 401 M St. SW, Washington, D.C. 20460; and to the Office of 
    Information and Regulatory Affairs, Office of Management and Budget, 
    Washington, D.C. 20503, marked, ``Attention: Desk Officer for EPA.'' 
    The final rule will respond to any OMB or public comments on the 
    information collection requirements contained in this proposal.
    
    E. Unfunded Mandates Reform Act
    
        As shown in the Information Collection Request Document (ICR), 
    today's action imposes no costs on State, local and tribal governments. 
    The EPA estimates that the direct cost to the private sector would be 
    no more than $96.6 million in any one year. and above costs industry 
    would have incurred by complying with State permits programs mandated 
    by the Act, for which part 71 programs are substitutes. For EPA's 
    estimates of the cost to industry and permitting agencies for State 
    permits programs, see 57 FR 32293 (July 21, 1992) and 59 FR 44525 
    (August 29, 1994). As shown in the ICR for proposed part 71, the part 
    71 [[Page 20827]] program would impose on industry a marginal cost 
    (i.e., a cost above what industry would incur to comply with State 
    requirements) of $31.9 million for collecting information (e.g., 
    completing permit applications). Additionally, EPA has calculated the 
    marginal cost to industry of the part 71 fee structure to be $64.7 
    million. As shown in the ICR, part 71 programs would generate $137.5 
    million in fees, using an average fee of nearly $60 per ton of certain 
    regulated pollutants. On the other hand, most States are expected to 
    charge approximately $31 per ton (or $25 per ton as adjusted for 
    inflation using a baseline year of 1989) which is the fee amount which 
    title V of the Act suggests would be adequate to fund a State permit 
    program. The difference between fees generated under part 71 and under 
    the otherwise applicable State fee requirements (based on $31 per ton) 
    would be $64.7 million. In addition, it is important to note that the 
    estimates used in these projections (and the ICR) are based on the 
    assumption that EPA would administer 10 part 71 programs for a full 
    year. The EPA believes that it is very unlikely that it would 
    administer that many programs for such an extended time period. For 
    these reasons, EPA believes that the total marginal costs to industry 
    under today's proposal would not exceed $100 million in any one year. 
    Therefore, the Agency concludes that it is not required by Section 202 
    of the Unfunded Mandates Reform Act of 1995 to provide a written 
    statement to accompany this proposed regulatory action because 
    promulgation of the rule would not result in the expenditure by State, 
    local, and tribal governments, in the aggregate or by the private 
    sector, of $100,000,000 or more in any one year.
    
    List of Subjects
    
    40 CFR Part 55
    
        Air pollution control, Outer Continental Shelf, operating permits.
    
    40 CFR Part 71
    
        Air pollution control, Prevention of significant deterioration, New 
    source review, Fugitive emissions, Particulate matter, Volatile organic 
    compounds, Nitrogen dioxide, Carbon monoxide, Hydrocarbons, Lead, 
    Operating permits, Indian Tribes, Air pollution control--Tribal 
    authority.
    
        Dated: March 28, 1995.
    Carol Browner,
    Administrator.
        For the reasons set out in the preamble, title 40, chapter I of the 
    Code of Federal Regulations is proposed to be amended as set forth 
    below.
    
        (Note: Material enclosed by brackets and designated as 
    ``Option'' set forth an alternative proposal regarding revision of 
    permit terms that prescribe monitoring or recordkeeping procedures. 
    Material enclosed by brackets and designated as ``alternatives'' set 
    for an alternative proposal regarding processing changes under the 
    administrative amendment procedures and de minimis permit revision 
    procedures.)
    
    PART 55--[AMENDED]
    
        1. The authority citation for part 55 continues to read as follows:
    
        Authority: Section 328 of the Clean Air Act (42 U.S.C. 7401, et 
    seq.) as amended by Public Law 101-549.
    
        2. Section 55.6 is proposed to be amended by adding paragraph 
    (c)(3) to read as follows:
    
    
    Sec. 55.6  Permit requirements.
    
    * * * * *
        (c) * * *
        (3) If the COA does not have an operating permits program approved 
    pursuant to 40 CFR part 70 or if EPA has determined that the COA is not 
    adequately implementing an approved program, the applicable 
    requirements of 40 CFR part 71, the Federal operating permits program, 
    shall apply to the OCS sources. The applicable requirements of 40 CFR 
    part 71 will be implemented and enforced by the Administrator. The 
    Administrator may delegate the authority to implement and enforce all 
    or part of a Federal operating permits program to a State pursuant to 
    Sec. 55.11.
    * * * * *
        3. Section 55.10 is proposed to be amended by revising paragraph 
    (a)(1) and by adding paragraph (b) to read as follows:
    
    
    Sec. 55.10  Fees.
    
        (a) * * *
        (1) EPA will calculate and collect operating permit fees from OCS 
    sources in accordance with the requirements of 40 CFR part 71.
    * * * * *
        (b) OCS sources located beyond 25 miles of States' seaward 
    boundaries. EPA will calculate and collect operating permit fees from 
    OCS sources in accordance with the requirements of 40 CFR part 71.
        4. Section 55.13 is proposed to be amended by adding paragraph (f) 
    to read as follows:
    
    
    Sec. 55.13  Federal requirements that apply to OCS sources.
    
    * * * * *
        (f) 40 CFR part 71 shall apply to OCS sources:
        (1) Located within 25 miles of States' seaward boundaries if the 
    requirements of 40 CFR part 71 are in effect in the COA.
        (2) Located beyond 25 miles of States' seaward boundaries.
        (3) When an operating permits program approved pursuant to 40 CFR 
    part 70 is in effect in the COA and a Federal operating permit is 
    issued to satisfy an EPA objection pursuant to 40 CFR 71.4(e).
    * * * * *
    
    PART 71--[AMENDED]
    
        5. The authority citation for part 71 continues to read as follows:
    
        Authority: 42 U.S.C. 7401 et seq.
    
        6. Part 71 is proposed to be amended by adding subpart A to read as 
    follows:
    
    Subpart A--Operating Permits
    
    Sec.
    71.1  Program overview.
    71.2  Definitions.
    71.3  Sources subject to permitting requirements.
    71.4  Program implementation.
    71.5  Permit applications.
    71.6  Permit content.
    71.7  Permit review, issuance, renewal, reopenings, and revisions.
    71.8  Affected State review.
    71.9  Permit fees.
    71.10  Delegation of part 71 program.
    71.11  Administrative record, public participation, and 
    administrative review.
    71.12  Prohibited acts.
    
    Subpart A--Operating Permits
    
    
    Sec. 71.1  Program overview.
    
        (a) This part sets forth the comprehensive Federal air quality 
    operating permits permitting program consistent with the requirements 
    of title V of the Clean Air Act (Act) (42 U.S.C. 7401 et seq.) and 
    defines the requirements and the corresponding standards and procedures 
    by which the Administrator will issue operating permits. This 
    permitting program is designed to promote timely and efficient 
    implementation of goals and requirements of the Act.
        (b) All sources subject to the operating permit requirements of 
    title V of the Act and this part shall have a permit to operate that 
    assures compliance by the source with all applicable requirements.
        (c) The requirements of this part, including provisions regarding 
    schedules for submission and approval or disapproval of permit 
    applications, shall apply to the permitting of affected sources under 
    the acid rain program, except as provided herein or as modified by 
    title IV of the Act and 40 CFR parts 72 through 78.
        (d) Issuance of permits under this part may be coordinated with 
    issuance of permits under the Resource [[Page 20828]] Conservation and 
    Recovery Act (42 U.S.C. 6901 et seq.) and under the Clean Water Act (33 
    U.S.C. 1251 et seq.), whether issued by the State, the U.S. 
    Environmental Protection Agency (EPA), or the U.S. Army Corps of 
    Engineers.
        (e) Nothing in this part shall prevent a State from administering 
    an operating permits program and establishing more stringent 
    requirements not inconsistent with the Act.
    
    
    Sec. 71.2  Definitions.
    
        The following definitions apply to part 71. Except as specifically 
    provided in this section, terms used in this part retain the meaning 
    accorded them under the applicable requirements of the Act.
        Act means the Clean Air Act, as amended, 42 U.S.C. 7401 et seq.
        Administrator or EPA means the Administrator of the U.S. 
    Environmental Protection Agency (EPA) or his or her designee.
        Affected source shall have the meaning given to it in 40 CFR 72.2.
        Affected States are:
        (1) All States and Tribal areas whose air quality may be affected 
    and that are contiguous to the State or Tribal area in which the 
    permit, permit revision or permit renewal is being proposed; or that 
    are within 50 miles of the permitted source. A Tribe and any associated 
    Tribal area shall be treated as a State under this paragraph (1) only 
    if EPA has determined that the Tribe is eligible to be treated in the 
    same manner as a State.
        (2) The State or Tribal area in which a part 71 permit, permit 
    revision, or permit renewal is being proposed.
        (3) Those areas within the jurisdiction of the air pollution 
    control agency for the area in which a part 71 permit, permit revision, 
    or permit renewal is being proposed.
        (4) Except as provided in paragraph (3) of this definition, the 
    term ``affected State'' does not include any local agency, district, or 
    interstate program.
        Affected unit shall have the meaning given to it in 40 CFR 72.2.
        Applicable requirement means all of the following as they apply to 
    emissions units in a part 71 source (including requirements that have 
    been promulgated or approved by EPA through rulemaking at the time of 
    issuance but have future compliance dates):
        (1) Any standard or other requirement provided for in the 
    applicable implementation plan approved or promulgated by EPA through 
    rulemaking under title I of the Act that implements the relevant 
    requirements of the Act, including any revisions to that plan 
    promulgated in part 52 of this chapter;
        (2) Any requirement enforceable by the Administrator and by 
    citizens under the Act that limits emissions for the purposes of 
    creating offset credits or for complying with or avoiding the 
    applicability of applicable requirements;
        (3) Any term or condition of any preconstruction permits issued 
    pursuant to regulations approved or promulgated through rulemaking 
    under title I, including parts C or D, of the Act;
        (4) Any standard or other requirement under section 111 of the Act, 
    including section 111(d);
        (5) Any standard or other requirement under section 112 of the Act, 
    including any requirement concerning accident prevention under section 
    112(r)(7) of the Act;
        (6) Any standard or other requirement of the acid rain program 
    under title IV of the Act or 40 CFR parts 72 through 78;
        (7) Any requirements established pursuant to section 114(a)(3) or 
    504(b) of the Act;
        (8) Any standard or other requirement governing solid waste 
    incineration, under section 129 of the Act;
        (9) Any standard or other requirement for consumer and commercial 
    products, under section 183(e) of the Act;
        (10) Any standard or other requirement for tank vessels, under 
    section 183(f) of the Act;
        (11) Any standard or other requirement of the program to control 
    air pollution from outer continental shelf sources, under section 328 
    of the Act;
        (12) Any standard or other requirement of the regulations 
    promulgated at 40 CFR part 82, subpart B and subpart F to protect 
    stratospheric ozone under sections 608 or 609 of title VI of the Act, 
    unless the Administrator has determined that such requirements need not 
    be contained in a permit issued under title V of the Act, and any 
    standard or other requirement under any other section(s) of title VI of 
    the Act that the Administrator determines should be contained in a 
    permit issued under title V of the Act; and
        (13) Any national ambient air quality standard or increment or 
    visibility requirement under part C of title I of the Act, but only as 
    it would apply to temporary sources permitted pursuant to section 
    504(e) of the Act.
        Delegate agency means the State air pollution control agency, local 
    agency, other State agency, Tribal agency, or other agency authorized 
    by the Administrator pursuant to Sec. 71.10 to carry out all or part of 
    a permit program under part 71.
        Designated representative shall have the meaning given to it in 40 
    CFR 72.2.
        Draft permit means the version of a permit for which the permitting 
    authority offers public participation under Sec. 71.7 or Sec. 71.11 and 
    affected State review under Sec. 71.8.
        Eligible Indian tribe or Eligible tribe means a tribe that has been 
    determined by EPA to meet the criteria for being treated in the same 
    manner as a State, pursuant to the regulations implementing section 
    301(d)(2) of the Act.1
    
        \1\Proposed rule entitled ``Indian Tribes: Air Quality Planning 
    and Management'', 59 FR 43956 (August 25, 1994).
    ---------------------------------------------------------------------------
    
        Emissions allowable under the permit means a federally enforceable 
    permit term or condition determined at issuance to be required by an 
    applicable requirement that establishes an emissions limit (including a 
    work practice standard) or a federally enforceable emissions cap that 
    the source has assumed to avoid an applicable requirement to which the 
    source would otherwise be subject.
        Emissions unit means any part or activity of a stationary source 
    that emits or has the potential to emit any regulated air pollutant or 
    any pollutant listed under section 112(b) of the Act. This term is not 
    meant to alter or affect the definition of the term ``unit'' for 
    purposes of title IV of the Act.
        Federal Indian reservation, Indian reservation or reservation means 
    all land within the limits of any Indian reservation under the 
    jurisdiction of the United States Government, notwithstanding the 
    issuance of any patent, and including rights-of-way running through the 
    reservation.
        Final action or final permit action means the issuance or denial of 
    a part 71 permit, permit renewal, or permit revision by the permitting 
    authority, which has completed all review procedures required by 
    Secs. 71.7, 71.8, and 71.11, and is subject to administrative appeal 
    and judicial review.
        Fugitive emissions are those emissions which could not reasonably 
    pass through a stack, chimney, vent, or other functionally-equivalent 
    opening.
        General permit means a part 71 permit that meets the requirements 
    of Sec. 71.6(d).
        Indian tribe or tribe means any Indian tribe, band, nation, or 
    other organized group or community, including any Alaskan native 
    village, which is federally recognized as eligible for the special 
    programs and services provided by the United States to Indians because 
    of their status as Indians.
        Insignificant activity or emissions means those activities, 
    operations, and [[Page 20829]] emissions levels which meet the criteria 
    listed in Sec. 71.5(g) for exemption from the documentation and 
    reporting requirements of Sec. 71.5(f).
        Major new source review (major NSR) means a title I program 
    contained in an EPA-approved or promulgated implementation plan for the 
    preconstruction review of changes which are subject to review as new 
    major stationary sources or major modifications under EPA regulations 
    implementing parts C or D of title I of the Act. (40 CFR 51.165 through 
    51.166, 40 CFR part 51, subpart P, 40 CFR 52.21 through 52.29).
        Major source means any stationary source or group of stationary 
    sources as described in paragraph (1), (2), or (3) of this definition. 
    For purposes of paragraphs (2) and (3) of this definition, major 
    stationary source includes any group of stationary sources that are 
    located on one or more contiguous or adjacent properties, and are under 
    common control of the same person (or persons under common control) 
    belonging to a single major industrial grouping. For the purposes of 
    defining ``major source'' in paragraph (2) or (3) of this definition, a 
    stationary source or group of stationary sources shall be considered 
    part of a single industrial grouping if all of the pollutant emitting 
    activities at such source or group of sources on contiguous or adjacent 
    properties belong to the same Major Group (i.e., all have the same two-
    digit code) as described in the Standard Industrial Classification 
    Manual, 1987. In addition, for purposes of paragraphs (2) and (3) of 
    this definition, any facility that supports a source, where both are 
    under the control of the same person (or persons under common control) 
    and on contiguous or adjacent properties, shall be considered a support 
    facility and part of the same source, regardless of the 2-digit code of 
    that facility. A stationary source (or group of stationary sources) is 
    considered a support facility to a source if at least 50 percent of the 
    output of the support facility is dedicated to the source.
        (1) A major source under section 112 of the Act, which is defined 
    as:
        (i) For pollutants other than radionuclides, 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, in the 
    aggregate, 10 tons per year (tpy) or more of any hazardous air 
    pollutant (HAP) (including any fugitive emissions of such pollutant) 
    which has been listed pursuant to section 112(b) of the Act, 25 tpy or 
    more of any combination of such HAP (including any fugitive emissions 
    of such pollutants), or such lesser quantity as the Administrator may 
    establish by rule. Notwithstanding the preceding sentence, emissions 
    from any oil or gas exploration or production well (with its associated 
    equipment) and emissions from any pipeline compressor or pump station 
    shall not be aggregated with emissions from other similar units, 
    whether or not such units are in a contiguous area or under common 
    control, to determine whether such units or stations are major sources; 
    or
        (ii) For radionuclides, ``major source'' shall have the meaning 
    specified by the Administrator by rule.
        (2) A major stationary source of air pollutants or any group of 
    stationary sources as defined in section 302 of the Act, that directly 
    emits, or has the potential to emit, 100 tpy or more of any air 
    pollutant (including any fugitive emissions of any such pollutant, as 
    determined by rule by the Administrator). The fugitive emissions of a 
    stationary source shall not be considered in determining whether it is 
    a major stationary source for the purposes of section 302(j) of the Act 
    or for the purposes of paragraph (3) of this definition, unless the 
    source belongs to one of the following categories of stationary source:
        (i) Coal cleaning plants (with thermal dryers);
        (ii) Kraft pulp mills;
        (iii) Portland cement plants;
        (iv) Primary zinc smelters;
        (v) Iron and steel mills;
        (vi) Primary aluminum ore reduction plants;
        (vii) Primary copper smelters;
        (viii) Municipal incinerators capable of charging more than 250 
    tons of refuse per day;
        (ix) Hydrofluoric, sulfuric, or nitric acid plants;
        (x) Petroleum refineries;
        (xi) Lime plants;
        (xii) Phosphate rock processing plants;
        (xiii) Coke oven batteries;
        (xiv) Sulfur recovery plants;
        (xv) Carbon black plants (furnace process);
        (xvi) Primary lead smelters;
        (xvii) Fuel conversion plants;
        (xviii) Sintering plants;
        (xix) Secondary metal production plants;
        (xx) Chemical process plants;
        (xxi) Fossil-fuel boilers (or combination thereof) totaling more 
    than 250 million British thermal units per hour heat input;
        (xxii) Petroleum storage and transfer units with a total storage 
    capacity exceeding 300,000 barrels;
        (xxiii) Taconite ore processing plants;
        (xxiv) Glass fiber processing plants;
        (xxv) Charcoal production plants;
        (xxvi) Fossil-fuel-fired steam electric plants of more than 250 
    million British thermal units per hour heat input; or
        (xxvii) All other stationary source categories regulated by a 
    standard promulgated as of August 7, 1980, under section 111 or 112 of 
    the Act, but only with respect to those air pollutants that have been 
    regulated for that category;
        (3) A major stationary source as defined in part D of title I of 
    the Act, including:
        (i) For ozone nonattainment areas, sources with the potential to 
    emit 100 tpy or more of volatile organic compounds or oxides of 
    nitrogen in areas classified as ``marginal'' or ``moderate,'' 50 tpy or 
    more in areas classified as ``serious,'' 25 tpy or more in areas 
    classified as ``severe,'' and 10 tpy or more in areas classified as 
    ``extreme;'' except that the references in this paragraph (3)(i) to 
    100, 50, 25, and 10 tpy of nitrogen oxides shall not apply with respect 
    to any source for which the Administrator has made a finding, under 
    section 182 (f)(1) or (f)(2) of the Act, that requirements under 
    section 182(f) of the Act do not apply;
        (ii) For ozone transport regions established pursuant to section 
    184 of the Act, sources with the potential to emit 50 tpy or more of 
    volatile organic compounds;
        (iii) For carbon monoxide nonattainment areas: That are classified 
    as ``serious,'' and in which stationary sources contribute 
    significantly to carbon monoxide levels as determined under rules 
    issued by the Administrator, sources with the potential to emit 50 tpy 
    or more of carbon monoxide; and
        (iv) For particulate matter (PM-10) nonattainment areas classified 
    as ``serious,'' sources with the potential to emit 70 tpy or more of 
    PM-10 or, where applicable, a PM-10 precursor.
        Minor new source review (minor NSR) means a title I program 
    approved by EPA into a State's implementation plan under EPA 
    regulations implementing section 110(a)(2) of title I of the Act for 
    the preconstruction review of changes which are subject to review as 
    new or modified sources (40 CFR 51.160 through 51.164) and which do not 
    qualify as new major stationary sources or major modifications under 
    EPA regulations implementing part C or D of title I of the Act (40 CFR 
    51.165 through 51.166, 40 CFR part 51, subpart P, 40 CFR 52.21 through 
    52.29).
        Part 70 permit means any permit or group of permits covering a part 
    70 source that has been issued, renewed, amended or revised pursuant to 
    40 CFR part 70. [[Page 20830]] 
        Part 70 program or State program means an operating permits program 
    approved by the Administrator under 40 CFR part 70.
        Part 70 source means any source subject to the permitting 
    requirements of 40 CFR part 70.
        Part 71 permit or permit (unless the context suggests otherwise) 
    means any permit or group of permits covering a part 71 source that has 
    been issued, renewed, amended or revised pursuant to this part.
        Part 71 program means a Federal operating permits program under 
    this part.
        Part 71 source means any source subject to the permitting 
    requirements of this part, as provided in Sec. 71.3(a) and 
    Sec. 71.3(b).
        Permit program costs means all reasonable (direct and indirect) 
    costs required to administer an operating permits program, as set forth 
    in Sec. 71.9(b) of this part.
        Permit revision means any administrative permit amendment, de 
    minimis permit revision, minor permit revision, or significant permit 
    revision.
        Permitting authority means one of the following:
        (1) The Administrator, in the case of EPA-implemented programs;
        (2) A delegate agency authorized by the Administrator to carry out 
    a Federal permit program under this part; or
        (3) The State air pollution control agency, local agency, other 
    State agency, Indian Tribe, or other agency with a part 70 program.
        Potential to emit means the maximum capacity of a stationary source 
    to emit any air pollutant under its physical and operational design. 
    Any physical or operational limitation on the capacity of a source to 
    emit an air pollutant, including air pollution control equipment and 
    restrictions on hours of operation or on the type or amount of material 
    combusted, stored, or processed, shall be treated as part of its design 
    if the limitation is enforceable by the Administrator and by citizens 
    under the Act. This term does not alter or affect the use of this term 
    for any other purposes under the Act, or the term ``capacity factor'' 
    as used in title IV of the Act or 40 CFR parts 72 through 78.
        Proposed permit means the version of a permit that the delegate 
    agency proposes to issue and forwards to the Administrator for review 
    in compliance with Sec. 71.10(d).
        Regulated air pollutant means the following:
        (1) Nitrogen oxides or any volatile organic compounds;
        (2) Any pollutant for which a national ambient air quality standard 
    has been promulgated;
        (3) Any pollutant that is subject to any standard promulgated under 
    section 111 of the Act;
        (4) Any Class I or II substance subject to a standard promulgated 
    under or established by title VI of the Act; or
        (5) Any pollutant subject to a standard promulgated under section 
    112 of the Act or other requirements established under section 112 of 
    the Act, including sections 112 (g), (j), and (r) of the Act, including 
    the following:
        (i) Any pollutant subject to requirements under section 112(j) of 
    the Act. If the Administrator fails to promulgate a standard by the 
    date established pursuant to section 112(e) of the Act, any pollutant 
    for which a subject source would be major shall be considered to be 
    regulated on the date 18 months after the applicable date established 
    pursuant to section 112(e) of the Act; and
        (ii) Any pollutant for which the requirements of section 112(g)(2) 
    of the Act have been met, but only with respect to the individual 
    source subject to section 112(g)(2) requirement.
        Regulated pollutant (for fee calculation), which is used only for 
    purposes of Sec. 71.9(c), means any regulated air pollutant except the 
    following:
        (1) Carbon monoxide;
        (2) Any pollutant that is a regulated air pollutant solely because 
    it is a Class I or II substance subject to a standard promulgated under 
    or established by title VI of the Act; or
        (3) Any pollutant that is a regulated air pollutant solely because 
    it is subject to a standard or regulation under section 112(r) of the 
    Act.
        Renewal means the process by which a permit is reissued at the end 
    of its term.
        Responsible official means one of the following: (1) For a 
    corporation: a president, secretary, treasurer, or vice-president of 
    the corporation in charge of a principal business function, or any 
    other person who performs similar policy or decision-making functions 
    for the corporation, or a duly authorized representative of such person 
    if the representative is responsible for the overall operation of one 
    or more manufacturing, production, or operating facilities applying for 
    or subject to a permit and either:
        (i) The facilities employ more than 250 persons or have gross 
    annual sales or expenditures exceeding $25 million (in second quarter 
    1980 dollars); or
        (ii) The delegation of authority to such representative is approved 
    in advance by the permitting authority;
        (2) For a partnership or sole proprietorship: a general partner or 
    the proprietor, respectively;
        (3) For a municipality, State, Federal, or other public agency: 
    either a principal executive officer or ranking elected official. For 
    the purposes of this part, a principal executive officer of a Federal 
    agency includes the chief executive officer having responsibility for 
    the overall operations of a principal geographic unit of the agency 
    (e.g., a Regional Administrator of EPA); or
        (4) For affected sources:
        (i) The designated representative for all actions, standards, 
    requirements, or prohibitions under title IV of the Act or 40 CFR parts 
    72 through 78; or
        (ii) The designated representative or a person meeting the 
    provisions of paragraph (1), (2), or (3) of this definition for any 
    other purposes under part 71.
        State means any non-Federal permitting authority, including any 
    local agency, interstate association, or statewide program. The term 
    ``State'' also includes the District of Columbia, the Commonwealth of 
    Puerto Rico, the Virgin Islands, Guam, American Samoa, and the 
    Commonwealth of the Northern Marianas Islands. Where such meaning is 
    clear from the context, ``State'' shall have its conventional meaning. 
    For purposes of the acid rain program, the term ``State'' shall be 
    limited to authorities within the 48 contiguous States and the District 
    of Columbia as provided in section 402(14) of the Act.
        Stationary source means any building, structure, facility, or 
    installation that emits or may emit any regulated air pollutant or any 
    pollutant listed under section 112(b) of the Act.
        Title I modification or modification under any provision of title I 
    of the Act means any modification under part C or part D of title I or 
    sections 110(a)(2), 111(a)(4), 112(a)(5), or 112(g) of the Act; under 
    regulations codified in this chapter to implement sections 112(a)(5) 
    and 112(g) of the Act or in 40 CFR 51.160 through 51.164, 40 CFR part 
    60, or in 40 CFR 61.07; or under State regulations approved by EPA to 
    meet such requirements.
        Tribal area means, for the purposes of the regulations under this 
    part, those lands over which an Indian Tribe has authority under the 
    Clean Air Act to regulate air quality. These lands include all areas 
    within the exterior boundaries of an Indian reservation and any other 
    areas outside reservation boundaries that EPA determines to be within a 
    Tribe's inherent authority. [[Page 20831]] 
    
    
    Sec. 71.3  Sources subject to permitting requirements.
    
        (a) Part 71 sources. The following sources are subject to the 
    permitting requirements under this part:
        (1) Any major source, except that a source is not required to 
    obtain a permit if it would be classified as a major source solely 
    because it has the potential to emit major amounts of a pollutant 
    listed pursuant to section 112(r)(3) of the Act and is not otherwise 
    required to obtain a permit under this part;
        (2) Any source, including an area source (i.e., a nonmajor source), 
    subject to a standard, limitation, or other requirement under section 
    111 of the Act;
        (3) Any source, including an area source (i.e., a nonmajor source), 
    subject to a standard or other requirement under section 112 of the 
    Act, except that a source is not required to obtain a permit solely 
    because it is subject to regulations or requirements under section 
    112(r) of the Act;
        (4) Any source required to have a permit under part C or D of title 
    I of the Act;
        (5) Any affected source; and
        (6) Any source in a source category designated by the Administrator 
    pursuant to this section.
        (b) Source category exemptions.
        (1) All sources listed in paragraph (a) of this section that are 
    not major sources, affected sources, or solid waste incineration units 
    required to obtain a permit pursuant to section 129(e) of the Act are 
    exempted from the obligation to obtain a part 71 permit until such time 
    as the Administrator completes a rulemaking to determine how the 
    program should be structured for nonmajor sources and the 
    appropriateness of any permanent exemptions in addition to those 
    provided for in paragraph (b)(4) of this section.
        (2) Nonmajor sources subject to a standard or other requirement 
    under either section 111 or 112 of the Act after July 21, 1992 shall be 
    exempted from the obligation to obtain a part 71 permit if the 
    Administrator exempts such sources from the requirement to obtain a 
    part 70 or part 71 permit at the time that the new standard is 
    promulgated.
        (3) Any source listed in paragraph (a) of this section that is 
    exempt from the requirement to obtain a permit under this section may 
    opt to apply for a permit under a part 71 program.
        (4) The following source categories are exempted from the 
    obligation to obtain a part 71 permit:
        (i) All sources and source categories that would be required to 
    obtain a permit solely because they are subject to 40 CFR part 60, 
    Subpart AAA--Standards of Performance for New Residential Wood Heaters; 
    and
        (ii) All sources and source categories that would be required to 
    obtain a permit solely because they are subject to 40 CFR part 61, 
    Subpart M--National Emission Standard for Hazardous Air Pollutants for 
    Asbestos, Sec. 61.145, Standard for Demolition and Renovation.
    
    
    Sec. 71.4  Program implementation.
    
        (a) Part 71 programs for States. The Administrator will administer 
    and enforce a full or partial operating permits program for a State 
    (excluding Tribal areas) in the following situations:
        (1) A program for a State meeting the requirements of part 70 of 
    this chapter has not been granted full approval under Sec. 70.4 of this 
    chapter by the Administrator by November 15, 1995, and the State's part 
    70 program has not been granted interim approval under Sec. 70.4(d) of 
    this chapter for a period extending beyond November 15, 1995. The 
    effective date of such a part 71 program is November 15, 1995.
        (2) An operating permits program for a State which was granted 
    interim approval under Sec. 70.4(d) of this chapter has not been 
    granted full approval by the Administrator by the expiration of the 
    interim approval period or November 15, 1995, whichever is later. Such 
    a part 71 program shall be effective upon expiration of the interim 
    approval or November 15, 1995, whichever is later.
        (3) Any partial part 71 program will be effective only in those 
    portions of a State that are not covered by a partial part 70 program 
    that has been granted full or interim approval by the Administrator 
    pursuant to Sec. 70.4(c) of this chapter.
        (b) Part 71 programs for Tribal areas. The Administrator may 
    administer and enforce an operating permits program for a Tribal area, 
    as defined in Sec. 71.2, when an operating permits program for the area 
    which meets the requirements of part 70 of this chapter has not been 
    granted full or interim approval by the Administrator by November 15, 
    1995.
        (1) Determining the boundaries of a Tribal area. At least 90 days 
    prior to the effective date of a part 71 program for a Tribal area, the 
    Administrator shall notify all appropriate governmental entities of the 
    proposed geographic boundaries of the program.
        (i) For programs solely addressing air resources within the 
    exterior boundaries of the Reservation, EPA's notification of other 
    governmental entities shall specify the geographic boundaries of the 
    Reservation. For programs also addressing off-reservation areas, EPA's 
    notification of other governmental entities shall include the substance 
    and bases of the Tribe's assertions of jurisdiction over such off-
    reservation area(s), including:
        (A) A map or legal description of the off-reservation area(s) over 
    which the Tribe asserts jurisdiction.
        (B) A statement by the Tribe's legal counsel (or equivalent 
    official) which describes the basis for the Tribe's assertion of 
    jurisdiction which may include a copy of documents such as Tribal 
    constitutions, by-laws, charters, executive orders, codes, ordinances, 
    and/or resolutions which support the Tribe's assertion of jurisdiction 
    over the off-reservation area(s).
        (ii) The appropriate governmental entities shall have 15 days to 
    provide written comments to the Administrator regarding any dispute 
    concerning the boundary of the Reservation. Where a Tribe has asserted 
    jurisdiction over off-reservation areas, appropriate governmental 
    entities may request a single 15-day extension to the general 15-day 
    comment period.
        (iii) In all cases, comments must be timely, limited to the scope 
    of the Tribe's jurisdictional assertion, and clearly explain the 
    substance, bases and extent of any objections. If a Tribe's assertion 
    is subject to a conflicting claim, the EPA may request additional 
    information and may consult with the Department of the Interior.
        (iv) The Administrator shall promptly decide the scope of the 
    Tribe's jurisdiction. If a conflicting claim cannot be promptly 
    resolved, the Administrator shall implement a part 71 program 
    encompassing all undisputed areas.
        (v) The part 71 program will extend to all areas within the 
    exterior boundaries of the Tribe's reservation, as determined by the 
    Administrator, and any other areas the Administrator has determined to 
    be within the Tribe's jurisdiction.
        (vi) The Administrator's determination of the scope of the Tribe's 
    jurisdiction shall be published in the Federal Register at least 30 
    days prior to the effective date of the part 71 program.
        (2) The effective date of a part 71 program for a Tribal area shall 
    be November 15, 1997.
        (3) Notwithstanding paragraph (b)(2) of this section, the 
    Administrator, in consultation with the governing body of the Tribal 
    area, may adopt an earlier effective date.
        (4) Notwithstanding paragraph (i)(2) of this section, within two 
    years of the [[Page 20832]] effective date of the part 71 program for 
    the Tribal area, the Administrator shall take final action on permit 
    applications from part 71 sources that are submitted within the first 
    full year after the effective date of the part 71 program.
        (c) Part 71 programs imposed due to inadequate implementation.
        (1) The Administrator will administer and enforce an operating 
    permits program for a permitting authority if the Administrator has 
    notified the permitting authority, in accordance with Sec. 70.10(b)(1) 
    of this chapter, of the Administrator's determination that a permitting 
    authority is not adequately administering or enforcing its approved 
    operating permits program, or any portion thereof, and the permitting 
    authority fails to do either of the following:
        (i) Correct the deficiencies within 18 months after the 
    Administrator issues the notice; or
        (ii) Take significant action to assure adequate administration and 
    enforcement of the program within 90 days of the Administrator's 
    notice.
        (2) The effective date of a part 71 program promulgated in 
    accordance with this paragraph (c) shall be:
        (i) Two years after the Administrator's notice if the permitting 
    authority has not corrected the deficiency within 18 months after the 
    date of the Administrator's notice; or
        (ii) Such earlier time as the Administrator determines appropriate 
    if the permitting authority fails, within 90 days of the 
    Administrator's notice, to take significant action to assure adequate 
    administration and enforcement of the program.
        (d) Part 71 programs for OCS sources.
        (1) Using the procedures of this part, the Administrator will issue 
    permits to any source which is an outer continental shelf (OCS) source, 
    as defined under Sec. 55.2 of this chapter, is subject to the 
    requirements of part 55 of this chapter and section 328(a) of the Act, 
    is subject to the requirement to obtain a permit under title V of the 
    Act, and is either:
        (i) Located beyond 25 miles of States' seaward boundaries; or
        (ii) Located within 25 miles of States' seaward boundaries and a 
    part 71 program is being administered and enforced by the Administrator 
    for the corresponding onshore area, as defined in Sec. 55.2 of this 
    chapter, for that source.
        (2) The requirements of Sec. 71.4(d)(1)(i) shall apply on 
    [Effective date of the final regulations].
        (3) The requirements of Sec. 71.4(d)(1)(ii) apply upon the 
    effective date of a part 71 program for the corresponding onshore area.
        (e) Part 71 program for permits issued to satisfy an EPA objection. 
    Using the procedures of this part and 40 CFR 70.8 (c) or (d), or 40 CFR 
    70.7(g) (4) or (5) (i) and (ii), as appropriate, the Administrator will 
    deny, terminate, revise, revoke or reissue a permit which has been 
    proposed or issued by a permitting authority or will issue a part 71 
    permit when:
        (1) A permitting authority with an approved part 70 operating 
    permits program fails to respond to a timely objection to the issuance 
    of a permit made by the Administrator pursuant to section 505(b) of the 
    Act and Sec. 70.8 (c) and (d) of this chapter;
        (2) The Administrator, under Sec. 70.7(g) of this chapter, finds 
    that cause exists to reopen a permit and the permitting authority fails 
    to either:
        (i) Submit to the Administrator a proposed determination of 
    termination, modification, or revocation and reissuance, as 
    appropriate; or
        (ii) Resolve any objection EPA makes to the permit which the 
    permitting authority proposes to issue in response to EPA's finding of 
    cause to reopen, and to terminate, revise, or revoke and reissue the 
    permit in accordance with that objection.
        (3) The requirements of this paragraph (e) shall apply on 
    [Effective date of the final regulations].
        (f) Use of selected provisions of this part. The Administrator may 
    utilize any or all of the provisions of this part to administer the 
    permitting process for individual sources or take action on individual 
    permits, or may adopt through rulemaking portions of a State or Tribal 
    program in combination with provisions of this part to administer a 
    Federal program for the State or Tribal area in substitution of or 
    addition to the Federal program otherwise required by this part.
        (g) Public notice of part 71 programs. In taking action to 
    administer and enforce an operating permits program under this part, 
    the Administrator will publish a notice in the Federal Register 
    informing the public of such action and the effective date of any part 
    71 program as set forth in Sec. 71.4 (a), (b), (c), or (d)(1)(ii). The 
    promulgation of this part serves as the notice for the part 71 permit 
    programs described in Sec. 71.4(d)(1) (i) and (e). The EPA will also 
    publish a notice in the Federal Register of any delegation of a portion 
    of the part 71 program to a State, eligible Tribe, or local agency 
    pursuant to the provisions of Sec. 71.10. In addition to notices 
    published in the Federal Register under this paragraph (g), the 
    Administrator will, to the extent practicable, publish notice in a 
    newspaper of general circulation within the area subject to the part 71 
    program effectiveness or delegation, and will send a letter to the 
    Tribal governing body for an Indian Tribe or the Governor (or his or 
    her designee) of the affected area to provide notice of such 
    effectiveness or delegation.
        (h) Effect of limited deficiencies in State or Tribal programs. The 
    Administrator may administer and enforce a part 71 program in a State 
    or Tribal area even if only limited deficiencies exist either in the 
    initial program submittal for a State or eligible Tribe under part 70 
    of this chapter or in an existing State or Tribal program that has been 
    approved under part 70 of this chapter.
        (i) Transition plan for initial permit issuance. If a full or 
    partial part 71 program becomes effective in a State or Tribal area 
    prior to the issuance of part 70 permits to all part 70 sources under 
    an existing program that has been approved under part 70 of this 
    chapter, the Administrator shall take final action on initial permit 
    applications for all part 71 sources in accordance with the following 
    transition plan.
        (1) All part 71 sources that have not received part 70 permits 
    shall submit permit applications under this part within 1 year after 
    the effective date of the part 71 program.
        (2) Final action shall be taken on at least one-third of such 
    applications annually over a period not to exceed 3 years after such 
    effective date.
        (3) Any complete permit application containing an early reduction 
    demonstration under section 112(i)(5) of the Act shall be acted on 
    within 12 months of receipt of the complete application.
        (4) Submittal of permit applications and the permitting of affected 
    sources shall occur in accordance with the deadlines in title IV of the 
    Act and 40 CFR parts 72 through 78.
        (j) Delegation of part 71 programs. The Administrator may 
    promulgate a part 71 program in a State or Tribal area and delegate 
    part of the responsibility for administering the part 71 program to the 
    State or eligible Tribe in accordance with the provisions of 
    Sec. 71.10; however, delegation of a part of a program will not 
    constitute any type of approval of a State or Tribal operating permits 
    program under part 70 of this chapter. Where only selected portions of 
    a part 71 program are administered by the Administrator and the State 
    or eligible Tribe is delegated the remaining portions of the program, 
    the notice referred to in paragraph (g) of this section will define the 
    respective roles of the State or eligible Tribe and the 
    [[Page 20833]] Administrator in administering and enforcing the part 71 
    operating permits program.
        (k) EPA administration and enforcement of part 70 permits. When the 
    Administrator administers and enforces a part 71 program after a 
    determination and notice under Sec. 70.10(b)(1) of this chapter that a 
    State or Tribe is not adequately administering and enforcing an 
    operating permits program approved under part 70 of this chapter, the 
    Administrator will administer and enforce permits issued under the part 
    70 program until part 71 permits are issued using the procedures of 
    part 71. Until such time as part 70 permits are replaced by part 71 
    permits, the Administrator will revise, reopen, revise, terminate, or 
    revoke and reissue part 70 permits using the procedures of part 71 and 
    will assess and collect fees in accordance with the provisions of 
    Sec. 71.9.
        (l) Transition to approved part 70 program. The Administrator will 
    suspend the issuance of part 71 permits promptly upon publication of 
    notice of approval of a State or Tribal operating permits program that 
    fully meets the requirements of part 70 of this chapter. The 
    Administrator may retain jurisdiction over the part 71 permits for 
    which the administrative or judicial review process is not complete and 
    will address this issue in the notice of State program approval. After 
    approval of a State or Tribal program and the suspension of issuance of 
    part 71 permits by the Administrator:
        (1) The Administrator, or the permitting authority acting as the 
    Administrator's delegated agent, will continue to administer and 
    enforce part 71 permits until they are replaced by permits issued under 
    the approved part 70 program. Until such time as part 71 permits are 
    replaced by part 70 permits, the Administrator will revise, reopen, 
    revise, terminate, or revoke and reissue part 71 permits using the 
    procedures of the part 71 program. However, if the Administrator has 
    delegated authority to administer part 71 permits to a delegate agency, 
    the delegate agency will revise, reopen, terminate, or revoke and 
    reissue part 71 permits using the procedures of the approved part 70 
    program. If a part 71 permit expires prior to the issuance of a part 70 
    permit, all terms and conditions of the part 71 permit, including any 
    permit shield that may be granted pursuant to Sec. 71.6(n), shall 
    remain in effect until the part 70 permit is issued or denied, provided 
    that a timely and complete application for a permit renewal was 
    submitted to the permitting authority in accordance with the 
    requirements of the approved part 70 program.
        (2) A State or local agency or Indian Tribe with an approved part 
    70 operating permits program may issue part 70 permits for all sources 
    with part 71 permits in accordance with a permit issuance schedule 
    approved as part of the approved part 70 program or may issue part 70 
    permits to such sources at the expiration of the part 71 permits.
        (3) The Administrator shall rescind the part 71 permit for a source 
    when it is replaced by a part 70 permit issued under the approved part 
    70 program.
        (m) Exemption for certain territories. Upon petition by the 
    Governor of Guam, American Samoa, the Virgin Islands, or the 
    Commonwealth of the Northern Marianas Islands, the Administrator may 
    exempt any source or class of sources in such territory from the 
    requirement to have a part 71 permit under this chapter. Such an 
    exemption does not exempt such source or class of sources from any 
    requirement of section 112 of the Act, including the requirements of 
    section 112(g) or (j).
        (1) Such exemption may be granted if the Administrator finds that 
    compliance with part 71 is not feasible or is unreasonable due to 
    unique geographical, meteorological, or economic factors of such 
    territory, or such other local factors as the Administrator deems 
    significant. Any such petition shall be considered in accordance with 
    section 307(d) of the Act, and any exemption granted under this 
    paragraph (m) shall be considered final action by the Administrator for 
    the purposes of section 307(b) of the Act.
        (2) The Administrator shall promptly notify the Committees on 
    Energy and Commerce and on Interior and Insular Affairs of the House of 
    Representatives and the Committees on Environment and Public Works and 
    on Energy and Natural Resources of the Senate upon receipt of any 
    petition under this paragraph (m) and of the approval or rejection of 
    such petition and the basis for such action.
        (n) Retention of records. The records for each draft, proposed, and 
    final permit application, renewal, or modification shall be kept by the 
    Administrator for a period of 5 years.
    
    
    Sec. 71.5  Permit applications.
    
        (a) Duty to apply. The owner or operator of a source required to 
    obtain a permit under Sec. 71.3 shall submit a timely and complete 
    permit application in accordance with this section.
        (b) Timely application.
        (1) A timely application for a source which does not have an 
    existing operating permit issued by a State under the State's approved 
    part 70 program and is applying for a part 71 permit for the first time 
    is one that is submitted within 12 months or an earlier date after the 
    source becomes subject to the part 71 program. Sources required to 
    submit applications earlier than 12 months will be notified in advance 
    by the permitting authority of this paragraph (b)(1) and given a 
    reasonable time to submit their applications. In no case will this 
    notice be given less than 120 days in advance of the submittal date.
        (2) For purposes of changes eligible under Sec. 71.6(q), a timely 
    application is one that is submitted not later than 6 months after the 
    notice required under Sec. 71.6(q)(3).
        (3) For purposes of permit revisions other than changes eligible 
    under Sec. 71.6(g), a timely application is one that is submitted by 
    the relevant deadlines set forth in Sec. 71.7(e), (f), (g), or (h).
        (4) For purposes of permit renewal, a timely application is one 
    that is submitted at least 6 months but no longer than 18 months prior 
    to the date of the part 70 or part 71 permit expiration.
        (5) Applications for initial phase II acid rain permits shall be 
    submitted to the permitting authority by January 1, 1996 for sulfur 
    dioxide, and by January 1, 1998 for nitrogen oxides or by such other 
    deadlines established under title IV of the Act and 40 CFR parts 72 
    through 78.
        (c) Complete application. To be found complete, an application must 
    provide all information required pursuant to paragraph (f) of this 
    section sufficient to allow the permitting authority to begin 
    processing the application, except that an application for a permit 
    revision need supply such information only if it is related to the 
    proposed change. Additionally, an initial applicant must remit payment 
    of any fees owed pursuant to Sec. 71.9 in order for the application to 
    be found complete. The information supplied by the applicant pursuant 
    to paragraph (f) of this section must be sufficient to evaluate the 
    subject source and its application and to determine all applicable 
    requirements. A responsible official shall certify the submitted 
    information consistent with paragraph (i) of this section. Unless the 
    permitting authority determines that an application is not complete 
    within 60 days of receipt of the application, such application shall be 
    deemed to be complete, except as otherwise provided in Sec. 71.7(a)(3). 
    If, while processing an application that has been determined or deemed 
    to be complete, the permitting authority determines that additional 
    information is necessary to evaluate or take final action on that 
    application, the [[Page 20834]] permitting authority may request such 
    information in writing and set a reasonable deadline for a response. 
    The source's ability to operate without a permit, as set forth in 
    Sec. 71.7(b), shall be in effect from the date the application is 
    determined or deemed to be complete until the final permit is issued, 
    provided that the applicant submits any requested additional 
    information by the deadline specified by the permitting authority.
        (d) Confidential information. In a case where a source submits 
    information to the permitting authority under a business 
    confidentiality claim, the permitting authority will follow procedures 
    found at 40 CFR part 2. Pursuant to Sec. 2.301(e) of this chapter, 
    information contained in the permit application regarding emissions 
    data or a standard or limitation is not entitled to confidential 
    treatment.
        (e) Duty to supplement or correct application. Any applicant who 
    fails to submit any relevant facts or who has submitted incorrect 
    information in a permit application shall, upon becoming aware of such 
    failure or incorrect submittal, promptly submit such supplementary 
    facts or corrected information. In addition, an applicant shall provide 
    additional information as necessary to address any requirements that 
    become applicable to the source after the date it filed a complete 
    application but prior to release of a draft permit.
        (f) Standard application form. Part 71 sources shall submit the 
    following information using application forms provided by the 
    permitting authority (or if provided by the permitting authority, an 
    electronic reporting method). Information as described in this 
    paragraph (f) for each emissions unit at a part 71 source shall be 
    included in the application. A complete part 71 permit application 
    shall include the following elements:
        (1) Identifying information, including company name and address (or 
    plant name and address if different from the company name), owner's 
    name and agent, and telephone numbers and names of plant site managers/
    contacts.
        (2) A description of the source's processes and products (by 
    Standard Industrial Classification Code) including any associated with 
    each alternate scenario identified by the source.
        (3) The following emissions-related information:
        (i) All emissions of pollutants for which the source is major, and 
    all emissions of regulated air pollutants. A permit application shall 
    describe all emissions of regulated air pollutants emitted from any 
    emissions unit, except where such units are exempted under paragraph 
    (g) of this section. Fugitive emissions shall be included in the permit 
    application in the same manner as stack emissions for each emissions 
    unit, regardless of whether the source category in question is included 
    in the list of sources contained in the definition of major source. 
    Moreover, information related to the emissions of air pollutants 
    sufficient to verify which requirements are applicable to the source, 
    and other information necessary to collect any permit fees owed under 
    the fee schedule established pursuant to Sec. 71.9 must be provided.
        (ii) Identification and description of all points of emissions 
    described in paragraph (f)(3)(i) of this section in sufficient detail 
    to establish the basis for fees and applicability of requirements of 
    the Act.
        (iii) Emissions rates in tpy and in such additional terms as are 
    necessary to establish compliance consistent with the applicable 
    standard reference test method.
        (iv) The following information to the extent it is needed to 
    determine or regulate emissions: fuels, fuel use, raw materials, 
    production rates, and operating schedules.
        (v) Identification and description of air pollution control 
    equipment and compliance monitoring devices or activities, including 
    brief descriptions of any appropriate operation and maintenance 
    procedures and quality assurance procedures.
        (vi) Limitations on source operation affecting emissions or any 
    work practice standards, where applicable, for all regulated air 
    pollutants at the part 71 source.
        (vii) Other information required by any applicable requirement 
    (including, but not limited to, stack height limitations developed 
    pursuant to section 123 of the Act).
        (viii) Calculations on which the information in paragraphs 
    (f)(3)(i) through (vii) of this section is based.
        (4) The following air pollution control requirements:
        (i) Citation and description of all applicable requirements, and
        (ii) Description of or reference to any applicable test method for 
    determining compliance with each applicable requirement.
        (5) Other specific information that may be necessary to implement 
    and enforce other applicable requirements of the Act or of this part or 
    to determine the applicability of such requirements.
        (6) An explanation of any proposed exemptions from otherwise 
    applicable requirements.
        (7) Additional information as determined to be necessary by the 
    permitting authority to define alternative operating scenarios 
    identified by the source pursuant to Sec. 71.6(a)(8) or to define 
    permit terms and conditions implementing Sec. 71.6(a)(9) or 
    Sec. 71.6(p).
        (8) Identification of those emissions units eligible for emissions 
    trading under Sec. 71.6(a)(9) and those emissions units at which 
    changes may be processed under de minimis permit revision procedures 
    contained in Sec. 71.7(f).
        (9) A compliance plan for all part 71 sources that contains all the 
    following:
        (i) A description of the compliance status of the source with 
    respect to all applicable requirements.
        (ii) A description as follows:
        (A) For applicable requirements with which the source is in 
    compliance, a statement that the source will continue to comply with 
    such requirements.
        (B) For applicable requirements that will become effective during 
    the permit term, a statement that the source will meet such 
    requirements on a timely basis.
        (C) For requirements for which the source is not in compliance at 
    the time of permit issuance, a narrative description of how the source 
    will achieve compliance with such requirements.
        (iii) A compliance schedule as follows:
        (A) For applicable requirements with which the source is in 
    compliance, a statement that the source will continue to comply with 
    such requirements.
        (B) For applicable requirements that will become effective during 
    the permit term, a statement that the source will meet such 
    requirements on a timely basis. A statement that the source will meet 
    in a timely manner applicable requirements that become effective during 
    the permit term shall satisfy this provision, unless a more detailed 
    schedule is expressly required by the applicable requirement.
        (C) A schedule of compliance for sources that are not in compliance 
    with all applicable requirements at the time of permit issuance. Such a 
    schedule shall include a schedule of remedial measures, including an 
    enforceable sequence of actions with milestones, leading to compliance 
    with any applicable requirements for which the source will be in 
    noncompliance at the time of permit issuance. This compliance schedule 
    shall resemble and be at least as stringent as that contained in any 
    judicial consent decree or administrative order to which the source is 
    subject. Any such schedule of compliance shall be supplemental to, and 
    shall not sanction noncompliance [[Page 20835]] with, the applicable 
    requirements on which it is based.
        (iv) A schedule for submission of certified progress reports every 
    6 months for sources required to have a schedule of compliance to 
    remedy a violation, unless more frequent submittals are required in the 
    applicable requirement or by the permitting authority.
        (v) For affected sources applying for part 71 permits, the 
    compliance plan content requirements specified in this paragraph (f)(9) 
    must be met for all applicable requirements, including the applicable 
    requirements of title IV of the Act. For permit applications required 
    under the acid rain program, the compliance plan content requirements 
    of 40 CFR part 72, subpart D must be met.
        (10) Requirements for compliance certification, including the 
    following:
        (i) A certification of compliance with all applicable requirements 
    by a responsible official consistent with paragraph (i) of this section 
    and section 114(a)(3) of the Act;
        (ii) A statement of methods used for determining compliance, 
    including a description of monitoring, recordkeeping, and reporting 
    requirements and test methods;
        (iii) A schedule for annual submissions of compliance 
    certifications during the permit term, or for more frequent submissions 
    if specified by the underlying applicable requirement or by the 
    permitting authority; and
        (iv) A statement indicating the source's compliance status with any 
    applicable enhanced monitoring and compliance certification 
    requirements of the Act.
        (11) The use of nationally-standardized forms for acid rain 
    portions of permit applications and compliance plans, as required by 40 
    CFR part 72.
        (12) Temporary sources requesting a single permit for multiple 
    sites must also provide in the permit application ambient air quality 
    standard and increment and visibility analyses as required under part C 
    of title I of the Act.
        (g) Insignificant activities and emissions levels. The following 
    types of insignificant activities and emissions levels are exempt from 
    the requirements of paragraph (f) of this section. Notwithstanding the 
    preceding sentence, no activity or emission levels shall be exempt from 
    the requirements of paragraph (f) of this section if the information 
    omitted from the application is needed to determine the applicability 
    of or to impose any applicable requirement, to determine whether a 
    source is major, to determine whether a source is subject to the 
    requirement to obtain a part 71 permit, or to calculate the fee amount 
    required under the schedule established pursuant to Sec. 71.9.
        (1) Insignificant activities. Information concerning the following 
    activities need not be provided in the application:
        (i) Mobile sources;
        (ii) Air-conditioning units used for human comfort that do not use 
    a class I or class II ozone depleting substance and do not exhaust air 
    pollutants into the ambient air from any manufacturing or other 
    industrial process;
        (iii) Ventilating units used for human comfort that do not exhaust 
    air pollutants into the ambient air from any manufacturing or other 
    industrial process;
        (iv) Heating units used for human comfort that do not provide heat 
    for any manufacturing or other industrial process;
        (v) Noncommercial food preparation;
        (vi) Consumer use of office equipment and products;
        (vii) Janitorial services and consumer use of janitorial products; 
    and
        (viii) Internal combustion engines used for landscaping purposes.
        (2) Insignificant emissions levels. Emissions meeting the criteria 
    in paragraph (g)(2)(i) or (g)(2)(ii) of this section need not be 
    included in the application consistent with paragraph (f) of this 
    section, but must be listed with sufficient detail to identify the 
    emission unit and indicate that the exemption applies. Similar emission 
    units, including similar capacities or sizes, may be listed under a 
    single description, provided the number of emission units is included 
    in the description. No additional information is required at time of 
    application, but the permitting authority may request additional 
    information during application processing.
        (i) Emission criteria for regulated air pollutants, excluding 
    hazardous air pollutants (HAP). Potential to emit of regulated air 
    pollutants, excluding HAP, for any single emissions unit shall not 
    exceed 1 tpy, except in extreme ozone nonattainment areas, where 
    potential to emit may not exceed 1,000 pounds (lb) per year. Aggregate 
    emissions of any regulated air pollutant, excluding HAP, from all 
    emission units shall not exceed potential to emit of 10 tpy, except in 
    extreme ozone nonattainment areas, where potential to emit may not 
    exceed 5 tpy.
        (ii) Emission criteria for HAP. Potential to emit of any HAP from 
    any single emissions unit shall not exceed 1,000 lb per year or the de 
    minimis level established under section 112(g) of the Act, whichever is 
    less. Aggregate emissions of all HAP from all emission units shall not 
    exceed potential to emit of 5 tpy or the de minimis levels established 
    under section 112(g) of the Act, whichever is less.
        (h) Application for coverage under a general permit. Part 71 
    sources that qualify for a general permit must apply to the permitting 
    authority for coverage under the terms of the general permit or must 
    apply for a part 71 permit consistent with this section. The permitting 
    authority may provide for applications for general permits which 
    deviate from the requirements of this section, provided that such 
    applications meet the requirements of Title V of the Act, and include 
    all information necessary to determine qualification for, and assure 
    compliance with, the general permit.
        (i) Certification by a responsible official. Any application form, 
    report, or compliance certification submitted pursuant to these 
    regulations shall contain certification by a responsible official of 
    truth, accuracy, and completeness. This certification and any other 
    certification required under this part shall state that, based on 
    information and belief formed after reasonable inquiry, the statements 
    and information in the document are true, accurate, and complete.
    
    
    Sec. 71.6  Permit content.
    
        (a) Standard permit requirements. Each permit issued under this 
    part shall include the following elements:
        (1) Emission limitations and standards, including those operational 
    requirements and limitations that assure compliance with all applicable 
    requirements at the time of permit issuance.
        (i) The permit shall specify and reference the origin of and 
    authority for each term or condition, and identify any difference in 
    form as compared to the applicable requirement upon which the term or 
    condition is based.
        (ii) The permit shall state that where an applicable requirement of 
    the Act is more stringent than an applicable requirement of 40 CFR 
    parts 72 through 79, both provisions shall be incorporated into the 
    permit and shall be enforceable by the Administrator.
        (iii) If an applicable implementation plan allows a determination 
    of an alternative emission limit at a part 71 source, equivalent to 
    that contained in the plan, to be made in the permit issuance, renewal, 
    or significant permit revision process, and the permitting authority 
    elects to use such process, any [[Page 20836]] 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.
        (iv) Emission units and part 71 sources.
        (A) For major sources, the permitting authority shall include in 
    the permit all applicable requirements for all relevant emissions units 
    in the major source.
        (B) For any nonmajor source subject to the part 71 program, the 
    permitting authority shall include in the permit all applicable 
    requirements applicable to emissions units that caused the source to be 
    subject to the part 71 program.
        (2) Permit duration. The permitting authority shall issue permits 
    for a fixed term of 5 years in the case of affected sources, and for a 
    term not to exceed 5 years in the case of all other sources. 
    Notwithstanding this requirement, the permitting authority shall issue 
    permits for solid waste incineration units combusting municipal waste 
    subject to standards under section 129(e) of the Act for a period not 
    to exceed 12 years and shall review such permits at least every 5 
    years. The permit shall state when the source's application for renewal 
    must be submitted to the permitting authority consistent with 
    Sec. 71.5.
        (3) For affected sources, a permit condition prohibiting any 
    affected unit from emitting sulfur dioxide in excess of any allowances 
    that the affected unit lawfully holds under title IV of the Act or 40 
    CFR parts 72 through 78.
        (i) No permit revision shall be required for increases in emissions 
    that are authorized by allowances acquired pursuant to the acid rain 
    program, provided that such increases do not require a permit revision 
    under any other applicable requirement.
        (ii) No limit shall be placed on the number of allowances held by 
    the unit. The unit may not, however, use allowances as a defense to 
    noncompliance with any other applicable requirement.
        (iii) Any such allowance shall be accounted for according to the 
    procedures established in regulations 40 CFR parts 72 through 78.
        (4) A severability clause to ensure the continued validity of the 
    various permit requirements in the event of a challenge to any portion 
    of the permit.
        (5) Provisions stating the following:
        (i) The source must comply with all conditions of the part 71 
    permit. Any permit noncompliance constitutes a violation of the Act and 
    is grounds for enforcement action; for permit termination, revocation 
    and reissuance, or modification; or for denial of a permit renewal 
    application.
        (ii) Need to halt or reduce activity not a defense. It shall not be 
    a defense for a source in an enforcement action that it would have been 
    necessary to halt or reduce the permitted activity in order to maintain 
    compliance with the conditions of this permit.
        (iii) The permit may be modified, revoked, reopened and reissued, 
    or terminated for cause. The filing of a request by the source for a 
    permit revision, revocation and reissuance, or termination, or of a 
    notification of planned changes or anticipated noncompliance does not 
    stay any permit condition.
        (iv) The permit does not convey any property rights of any sort, or 
    any exclusive privilege.
        (v) The permittee shall furnish to the permitting authority, within 
    a reasonable time, any information that the permitting authority may 
    request in writing to determine whether cause exists for revising, 
    revoking and reissuing, or terminating the permit or to determine 
    compliance with the permit, including copies of records required to be 
    kept by the permit. The source may assert a claim of confidentiality 
    consistent with section 114(c) of the Act and 40 CFR part 2 with 
    respect to any such requested information.
        (vi) A schedule of compliance does not sanction noncompliance with 
    the applicable requirement on which it is based.
        (6) A provision to ensure that a part 71 source pays fees to the 
    permitting authority consistent with the fee schedule in Sec. 71.9.
        (7) Emissions trading. A provision stating that no permit revision 
    shall be required under any economic incentives, marketable permits, 
    emissions trading or other similar programs or processes approved in an 
    implementation plan or other applicable requirement authorizing such 
    changes to be provided for in the permit and where the permit provides 
    for such changes.
        (8) Terms and conditions for reasonably anticipated operating 
    scenarios identified by the source in its application as approved by 
    the permitting authority. Such terms and conditions:
        (i) Shall require the source, contemporaneously with making a 
    change from one operating scenario to another, to record in a log at 
    the permitted facility a record of the scenario under which it is 
    operating. Provided that each of the alternative scenarios available 
    for a particular unit is monitored in a way that yields objective, 
    contemporaneous measurement and recordation of relevant emissions or 
    parameters and that the means of measurement are sufficiently different 
    for each of the scenarios that the contemporaneous record reveals the 
    scenario under which the source was operating when the record was made, 
    no further notice to the permitting authority is required. Otherwise, 
    the permit shall require that when any change is made between 
    alternative scenarios, the permittee at the beginning of the following 
    week shall place in regular mail to the permitting authority notice of 
    such change(s) between scenarios, which could consist of a copy of the 
    relevant portion of the on-site log indicating the scenario(s) under 
    which the source operated during the previous week;
        (ii) May extend the permit shield described in paragraph (f) of 
    this section to all terms and conditions under each such operating 
    scenario; and
        (iii) Must ensure that the terms and conditions of each such 
    alternative scenario meet all applicable requirements and the 
    requirements of this part.
        (9) Terms and conditions, if the permit applicant requests them, 
    for the trading of emissions increases and decreases in the permitted 
    facility, to the extent that the applicable requirements provide for 
    trading such increases and decreases without a case-by-case approval of 
    any emissions trade. Such terms and conditions:
        (i) Shall include all terms required under paragraphs (a) and (c) 
    of this section to ensure compliance;
        (ii) May extend the permit shield described in paragraph (f) of 
    this section to all terms and conditions that allow such increases and 
    decreases in emissions; and
        (iii) Must meet all applicable requirements and the requirements of 
    this part.
        (b) Federally-enforceable requirements. All terms and conditions in 
    a part 71 permit, including any provisions designed to limit a source's 
    potential to emit, shall be enforceable by the Administrator and 
    citizens under the Act.
        (c) Compliance requirements. All part 71 permits shall contain 
    testing, monitoring, reporting, recordkeeping and compliance 
    certification requirements sufficient to assure compliance with the 
    terms and conditions of the permit consistent with the following 
    provisions of this section. Any document (including reports) required 
    to be submitted by a part 71 permit shall contain a certification by a 
    [[Page 20837]] responsible official that meets the requirements of 
    Sec. 71.5(i).
        (d) Monitoring requirements. Each permit shall contain the 
    following requirements with respect to monitoring:
        (1) All emissions monitoring and analysis procedures or test 
    methods required under the applicable requirements, including any 
    procedures and methods promulgated pursuant to sections 114(a)(3) or 
    504(b) of the Act;
        (2) Where the applicable requirement does not require periodic 
    testing or instrumental or noninstrumental monitoring (which may 
    consist of recordkeeping designed to serve as monitoring), periodic 
    monitoring sufficient to yield reliable data from the relevant time 
    period that are representative of the source's compliance with the 
    permit, as reported pursuant to paragraph (f) of this section. Such 
    monitoring requirements shall assure use of terms, test methods, units, 
    averaging periods, and other statistical conventions consistent with 
    the applicable requirement. Recordkeeping provisions may be sufficient 
    to meet the requirements of this paragraph (d)(2); and
        (3) As necessary, requirements concerning the use, maintenance, 
    and, where appropriate, installation of monitoring equipment or 
    methods.
        (e) Recordkeeping requirements. Each permit shall contain the 
    following requirements with respect to recordkeeping:
        (1) All applicable recordkeeping requirements;
        (2) Where applicable, a requirement to maintain records of required 
    monitoring information that include the following:
        (i) The date, place as defined in the permit, and time of sampling 
    or measurements;
        (ii) The date(s) analyses were performed;
        (iii) The company or entity that performed the analyses;
        (iv) The analytical techniques or methods used;
        (v) The results of such analyses; and
        (vi) The operating conditions as existing at the time of sampling 
    or measurement; and
        (3) Retention of records of all required monitoring data and 
    support information for a period of at least 5 years from the date of 
    the monitoring sample, measurement, report, or application. Support 
    information includes all calibration and maintenance records and all 
    original strip-chart recordings for continuous monitoring 
    instrumentation, and copies of all reports required by the permit.
        (f) Reporting and notification requirements. Each permit shall 
    contain the following requirements with respect to reporting and 
    notification:
        (1) All applicable reporting requirements.
        (2) Submittal of reports of any required monitoring at least every 
    6 months or more frequently if required by the applicable requirement 
    or by the permitting authority. All instance of deviations from permit 
    requirements must be clearly identified in such reports. All required 
    reports must be certified by a responsible official consistent with 
    Sec. 71.5(i).
        (3) Prompt reporting of deviations from permit requirements, 
    including those attributable to upset conditions as defined in the 
    permit, the probable cause of such deviations, and any corrective 
    actions or preventive measures taken. Where the underlying applicable 
    requirement contains a definition of prompt or otherwise specifies a 
    time frame for reporting deviations, that definition or time frame 
    shall govern. Where the underlying applicable requirement fails to 
    address the time frame for reporting deviations, reports of deviations 
    shall be submitted to the permitting authority based on the following 
    schedule:
        (i) For emissions of a hazardous air pollutant or a toxic air 
    pollutant (as identified in an applicable regulation) that continue for 
    more than an hour in excess of permit requirements, the report must be 
    made with 24 hours of the occurrence.
        (ii) For emissions of any regulated air pollutant, excluding those 
    listed in paragraph (f)(3)(i) of this section, that continue for more 
    than two hours in excess of permit requirements, the report must be 
    made within 48 hours.
        (iii) A permit may contain a more stringent reporting requirement 
    than required by paragraphs (f)(3)(i) and (ii) of this section.
        (A) If any of the above conditions are met, the source must notify 
    the permitting authority by telephone or facsimile based on the 
    timetable listed in paragraphs (f)(3)(i) through (iii) of this section. 
    A written notice, certified consistent with Sec. 71.5(i), must be 
    submitted within 10 working days of the occurrence.
        (B) All deviations reported under paragraph (f)(3) of this section 
    must also be identified in the 6 month report required under paragraph 
    (f)(2) of this section.
        (4) For purposes of paragraph (f)(3) of this section, deviation 
    means any condition determined by observation, data from an enhanced 
    monitoring protocol, any other monitoring protocol, or any other 
    monitoring which is required by the permit that can be used to 
    determine compliance, that identifies that an emission unit subject to 
    a part 71 permit term or condition has failed to meet an applicable 
    emission limitation or standard or that a work practice was not 
    complied with or completed. For a condition lasting more than 24 hours 
    which constitutes a deviation, each 24 hour period is considered a 
    separate deviation. Included in the meaning of deviation are any of the 
    following:
        (i) A condition where emissions exceed an emission limitation or 
    standard;
        (ii) A condition where process or control device parameter values 
    demonstrate that an emission limitation or standard has not been met;
        (iii) Any other condition in which observations or data collected 
    demonstrates noncompliance with an emission limitation or standard or 
    any work practice or operating condition required by the permit.
        (g) Compliance certification requirements. Each permit shall 
    contain the following requirements with respect to compliance 
    certifications with the terms and conditions contained in the permit, 
    including emission limitations, standards, or work practices:
        (1) The frequency (not less than annually or more frequently if 
    specified in the applicable requirement or by the permitting authority) 
    of submissions of compliance certifications;
        (2) In accordance with paragraph (d) of this section, a means for 
    monitoring the compliance of the source with its emissions limitations, 
    standards, and work practices;
        (3) A requirement that the compliance certification includes the 
    following:
        (i) The identification of each term or condition of the permit that 
    is the basis of the certification;
        (ii) The compliance status;
        (iii) Whether compliance was continuous or intermittent;
        (iv) The method(s) used for determining the compliance status of 
    the source, currently and over the reporting period consistent with 
    paragraph (d) of this section;
        (v) Such other facts as the permitting authority may require to 
    determine the compliance status of the source; and
        (vi) A requirement that all compliance certifications be submitted 
    to the permitting authority.
        (4) Such additional requirements as may be specified pursuant to 
    sections 114(a)(3) and 504(b) of the Act.
        (h) Inspection and entry requirements. Each permit shall contain 
    inspection and entry requirements that require that, 
    [[Page 20838]] upon presentation of credentials and other documents as 
    may be required by law, the permittee shall allow the permitting 
    authority or an authorized representative to perform the following:
        (1) Enter upon the permittee's premises where a part 71 source is 
    located or emissions-related activity is conducted, or where records 
    must be kept under the conditions of the permit;
        (2) Have access to and copy, at reasonable times, any records that 
    must be kept under the conditions of the permit;
        (3) Inspect at reasonable times any facilities, equipment 
    (including monitoring and air pollution control equipment), practices, 
    or operations regulated or required under the permit; and
        (4) As authorized by the Act, sample or monitor at reasonable times 
    substances or parameters for the purpose of assuring compliance with 
    the permit or applicable requirements.
        (i) Compliance schedule. Each permit shall contain a schedule of 
    compliance consistent with Sec. 71.5(f)(9).
        (j) Progress reports. Each permit shall contain a requirement that 
    the permittee submit progress reports consistent with an applicable 
    schedule of compliance and Sec. 71.5(f)(9) to be submitted at least 
    semiannually, or more frequently if required by the applicable 
    requirement or by the permitting authority. Such progress reports shall 
    contain the following:
        (1) Dates for achieving the activities, milestones, or compliance 
    required in the schedule of compliance, and dates when such activities, 
    milestones or compliance were achieved; and
        (2) An explanation of why any dates in the schedule of compliance 
    were not or will not be met, and any preventive or corrective measures 
    adopted.
        (k) Other provisions. Each permit shall contain such other 
    provisions as the permitting authority may require.
        (l) General permits.
        (1) The permitting authority may, after notice and opportunity for 
    public participation provided under Sec. 71.11, issue a general permit 
    covering numerous similar sources. Any general permit shall comply with 
    all requirements applicable to other part 71 permits and shall identify 
    criteria by which sources may qualify for the general permit. To 
    sources that qualify, the permitting authority shall grant the terms 
    and conditions of the general permit. Notwithstanding the shield 
    provisions of paragraph (n) of this section, the source shall be 
    subject to enforcement action for operation without a part 71 permit if 
    the source is later determined not to qualify for the conditions and 
    terms of the general permit. General permits shall not be authorized 
    for affected sources under the acid rain program unless otherwise 
    provided in regulations promulgated under title IV of the Act (40 CFR 
    part 72).
        (2) Without repeating the public participation procedures required 
    under Sec. 71.11, the permitting authority may grant a source's request 
    for authorization to operate under a general permit, and such a grant 
    shall be a final permit action for purposes of judicial review.
        (3) The permitting authority shall provide timely notice to the 
    public of any authorization given to a source to operate under the 
    terms of a general permit. Such notice may be made on a monthly, 
    summarized basis covering all sources receiving authorization since the 
    time of the last notice.
        (m) Temporary sources. The permitting authority may issue a single 
    permit authorizing emissions from similar operations by the same source 
    owner or operator at multiple temporary locations. The operation must 
    be temporary and involve at least one change of location during the 
    term of the permit. No affected source shall be permitted as a 
    temporary source. Permits for temporary sources shall contain all of 
    the terms and conditions required by this section as well as the 
    following terms and conditions:
        (1) Conditions that will assure compliance with all applicable 
    requirements at all authorized locations;
        (2) Requirements that the owner or operator notify the permitting 
    authority at least 10 days in advance of each change in location; and
        (3) Conditions that assure compliance with all other provisions of 
    this section.
        (n) Permit shield.
        (1) Except as provided in this part, the permitting authority may 
    expressly include in a part 71 permit a provision stating that 
    compliance with the terms and conditions of the permit shall be deemed 
    compliance with any applicable requirements as of the date of permit 
    issuance, provided that:
        (i) Such applicable requirements are included and are specifically 
    identified in the permit; or
        (ii) The permitting authority, in acting on the permit application 
    or revision, determines in writing that other requirements specifically 
    identified are not applicable to the source, and the permit includes 
    the determination or a concise summary thereof.
        (2) A part 71 permit that does not expressly state that a permit 
    shield exists shall be presumed not to provide such a shield.
        (3) Nothing in this paragraph (n) or in any part 71 permit shall 
    alter or affect the following:
        (i) The provisions of sections 112(r)(9) and 303 of the Act 
    (emergency orders), including the authority of the Administrator under 
    those sections;
        (ii) The liability of an owner or operator of a source for any 
    violation of applicable requirements prior to or at the time of permit 
    issuance;
        (iii) The applicable requirements of the acid rain program, 
    consistent with section 408(a) of the Act; or
        (iv) The ability of EPA to obtain information from a source 
    pursuant to section 114 of the Act.
        (o) Emergency provision.
        (1) Definition. An ``emergency'' means any situation arising from 
    sudden and reasonably unforeseeable events beyond the control of the 
    source, including acts of God, which situation requires immediate 
    corrective action to restore normal operation, and that causes the 
    source to exceed a technology-based emission limitation under the 
    permit, due to unavoidable increases in emissions attributable to the 
    emergency. An emergency shall not include noncompliance to the extent 
    caused by improperly designed equipment, lack of preventative 
    maintenance, careless or improper operation, or operator error.
        (2) Effect of an emergency. An emergency constitutes an affirmative 
    defense to an action brought for noncompliance with such technology-
    based emission limitations if the conditions of paragraph (o)(3) of 
    this section are met.
        (3) The affirmative defense of emergency shall be demonstrated 
    through properly signed, contemporaneous operating logs, or other 
    relevant evidence that:
        (i) An emergency occurred and that the permittee can identify the 
    cause(s) of the emergency;
        (ii) The permitted facility was at the time being properly 
    operated;
        (iii) During the period of the emergency the permittee took all 
    reasonable steps to minimize levels of emissions that exceeded the 
    emission standards, or other requirements in the permit; and
        (iv) The permittee submitted notice of the emergency to the 
    permitting authority within 2 working days of the time when emission 
    limitations were exceeded due to the emergency. This notice fulfills 
    the requirement of paragraph (f)(3) of this section. This notice must 
    contain a description of the emergency, any steps taken to mitigate 
    emissions, and corrective actions taken.
        (4) In any enforcement proceeding, the permittee seeking to 
    establish the [[Page 20839]] occurrence of an emergency has the burden 
    of proof.
        (5) This provision is in addition to any emergency or upset 
    provision contained in any applicable requirement.
        (p) Operational flexibility. A permitted facility may make changes 
    without requiring a permit revision, if the changes are not 
    modifications under any provision of title I of the Act and the changes 
    do not exceed the emissions allowable under the permit (whether 
    expressed therein as a rate of emissions or in terms of total 
    emissions), provided that the facility provides the permitting 
    authority with written notification as required below in advance of the 
    proposed changes, which shall be a minimum of 7 days. The source and 
    the permitting authority shall attach each such notice to their copy of 
    the relevant permit.
        (1) Trading under permitted emissions cap. The permitting authority 
    shall include in a permit an emissions cap, pursuant to a request 
    submitted by the applicant, consistent with any specific emission 
    limits or restrictions otherwise required in the permit by any 
    applicable requirements, and permit terms and conditions for emissions 
    trading solely for the purposes of complying with that cap, provided 
    that the permitting authority finds that the request contains adequate 
    terms and conditions, including all terms required under Sec. 71.6, to 
    determine compliance with the cap and with any emissions trading 
    provisions. The permit shall also contain terms and conditions to 
    assure compliance with all applicable requirements. The permit 
    applicant shall include in its application proposed replicable 
    procedures and permit terms that ensure the emissions cap is 
    enforceable and trades pursuant to it are quantifiable and enforceable. 
    Any permit terms and conditions establishing such a cap or allowing 
    such trading may be established or changed only in a full permit 
    issuance, renewal, or significant permit revision procedures. The 
    permitting authority shall not be required to include in the cap or 
    emissions trading provisions any emissions unit where the permitting 
    authority determines that the emissions are not quantifiable or where 
    it determines that there are no replicable procedures or practical 
    means to enforce the emissions trades.
        (i) Under this paragraph (p)(1) of this section, the written 
    notification required above shall state when the change will occur and 
    shall describe the changes in emissions that will result and how these 
    increases and decreases in emissions will comply with the terms and 
    conditions of the permit.
        (ii) The permit shield described in Sec. 71.6(n) may extend to 
    terms and conditions that allow such increases and decreases in 
    emissions.
        (2) Trading under the implementation plan. Permitted sources may 
    trade increases and decreases in emissions in the permitted facility, 
    where the applicable implementation plan provides for such emissions 
    trades without requiring a permit revision and based on the 7-day 
    notice prescribed in paragraph (p) of this section. This provision is 
    available in those cases where the permit does not already provide for 
    such emissions trading provided the permit identifies which permit 
    terms may be replaced with the emission trading provisions in the 
    implementation plan.
        (i) Under paragraph (p)(2) of this section, the written 
    notification required above shall include such information as may be 
    required by the provision in the applicable implementation plan 
    authorizing the emissions trade, including at a minimum, when the 
    proposed change will occur, a description of each such change, any 
    change in emissions, the permit requirements with which the source will 
    comply using the emissions trading provisions of the applicable 
    implementation plan, and the pollutants emitted subject to the 
    emissions trade. The notice shall also refer to the provisions with 
    which the source will comply in the applicable implementation plan and 
    that provide for the emissions trade.
        (ii) The permit shield described in Sec. 71.6(n) shall not extend 
    to any change made under paragraph (p) of this section. Compliance with 
    the permit terms that the source will meet using the emissions trade 
    shall be determined according to requirements of the applicable 
    implementation plan authorizing the emissions trade.
        (q) The permitting authority may allow permittees, without first 
    applying for a permit revision, to make changes that do not result in 
    the source being in violation of any permit term or condition but 
    render the source subject to an applicable requirement to which the 
    source was not previously subject, provided the requirements of 
    paragraphs (q)(1) through (8) of this section are met.
        (1) Each change shall:
        (i) Meet all applicable requirements and shall not violate or 
    result in the violation of any existing permit term or condition; and
        (ii) Not result in a net increase in the allowable emissions of any 
    regulated pollutant at the source.
        (2) The change may not be subject to the requirements of title IV 
    of the Act.
        (3) Sources must provide contemporaneous written notice to the 
    permitting authority of each such change. Such written notice shall 
    describe each such change, the date of the change, any change in 
    emissions, pollutants emitted, and the applicable requirement to which 
    the source becomes subject as a result of the change.
        (4) The change shall not be eligible for the permit shield under 
    Sec. 71.6(n) until such time as a permit shield may be granted in a 
    subsequent permit revision consistent with the provisions of 
    Secs. 71.7(g) or 71.11.
        (5) The permittee shall keep a record describing changes made under 
    this paragraph (q).
        (6) The permittee shall apply for a permit revision by the deadline 
    set forth in Sec. 71.5(b)(2), except that if the deadline would occur 
    after the date on which a renewal application is due, the permitting 
    authority may allow the permittee to incorporate the permit revision 
    request in its renewal application.
        (7) The permit shall be revised under the relevant procedures of 
    Sec. 71.7(e), (f), (g), or Sec. 71.11 for which the change is eligible, 
    except that, notwithstanding provisions in those sections, if the 
    change is subsequently processed under minor permit revision or 
    significant permit revision procedures, and the permitting authority or 
    EPA (in the case of a program delegated pursuant to Sec. 71.10) 
    determines that the change was ineligible under this paragraph (q), 
    then the source shall be liable from the date the change was made for 
    failure to have applied for a permit revision before the change was 
    made as required under Sec. 71.7.
        (8) If eligible for the minor permit revision procedures of 
    Sec. 71.7(g), the following provisions shall apply to changes made 
    under this paragraph (q):
        (i) The public notice required under Sec. 71.7(g)(3)(ii) shall 
    state that if no germane and non-frivolous objection is received within 
    21 days of application, the permitting authority may consider that the 
    change was eligible for processing under this paragraph (q) without 
    further opportunity for public objection. In addition to the provisions 
    of Sec. 71.7(g)(3)(ii) a germane objection is one that objects to the 
    change on the grounds that the source was ineligible under this 
    paragraph (q). [[Page 20840]] 
        (ii) The provisions of Secs. 71.7(g)(5)(i) and (ii) prohibiting the 
    source from making the change do not apply.
        (iii) Notwithstanding the provisions of Sec. 71.7(g)(7), the source 
    must comply with all applicable requirements from the date the change 
    was made.
    
    
    Sec. 71.7   Permit review, issuance, renewal, reopenings, and 
    revisions.
    
        (a) Action on application.
        (1) A permit, permit revision, or renewal may be issued only if all 
    of the following conditions have been met:
        (i) The permitting authority has received a complete application 
    for a permit, permit revision, or permit renewal, except that a 
    complete application need not be received before issuance of a general 
    permit under Sec. 71.6(l);
        (ii) The permitting authority has complied with the applicable 
    requirements for public participation under this section or Sec. 71.11, 
    if applicable;
        (iii) The permitting authority has complied with the requirements 
    for notifying and responding to affected States under Sec. 71.8(a);
        (iv) Except as provided in paragraph (a)(6) of this section, the 
    conditions of the permit provide for compliance with all applicable 
    requirements and the requirements of this part; and
        (v) In the case of a program delegated pursuant to Sec. 71.10, 
    except for revisions qualifying for de minimis permit revision 
    procedures under paragraph (f) of this section or for administrative 
    amendment procedures under paragraphs (e)(1)(i) through (iv) of this 
    section, the Administrator has received a copy of the proposed permit 
    and any notice required under Sec. 71.10(d) and has not objected to the 
    issuance of the permit under Sec. 71.10(g) within the time period 
    specified therein.
        (2) Except as provided under the initial transition plan provided 
    under Sec. 71.4(i) or under 40 CFR part 72 or title V of the Act for 
    the permitting of affected sources under the acid rain program, the 
    permitting authority shall take final action on each permit application 
    (including a request for permit revision or renewal) within 18 months 
    after receiving a complete application. Notwithstanding the preceding 
    sentence, the permitting authority shall take final action within 12 
    months after receipt of a complete application containing an early 
    reduction demonstration under section 112(i)(5) of the Act and 
    regulations promulgated thereunder, and within the time period 
    specified under paragraph (g)(5)(v) of this section for a minor permit 
    revision. Final action may be delayed where an applicant fails to 
    provide additional information in a timely manner as requested by the 
    permitting authority under Sec. 71.5(c) .
        (3) The permitting authority shall promptly provide notice to the 
    applicant of whether the application is complete. Unless the permitting 
    authority requests additional information or otherwise notifies the 
    applicant of incompleteness within 60 days of receipt of an 
    application, the application shall be deemed complete. Notwithstanding 
    the above, for revisions that qualify for and are processed through the 
    procedures of paragraph (e), (f), or (g) of this section, the 
    permitting authority need not undertake a completeness determination 
    before commencing revision procedures.
        (4) The permitting authority shall provide a statement that sets 
    forth the legal and factual basis for the draft permit conditions 
    (including references to the applicable statutory or regulatory 
    provisions). The permitting authority shall send this statement to any 
    person who requests it, and to EPA, in the case of a program delegated 
    pursuant to Sec. 71.10.
        (5) The submittal of a complete application shall not affect the 
    requirement that any source have a preconstruction permit under title I 
    of the Act.
        (6) Any new applicable requirement approved or promulgated by EPA 
    that becomes applicable to a source prior to issuance of a draft permit 
    (whether during issuance or renewal) shall be included in the draft 
    permit. If any new applicable requirement becomes applicable after 
    issuance of a draft permit, and the requirement is not reflected in the 
    draft permit, the permit may be issued without incorporating the new 
    applicable requirement, provided that the permitting authority 
    institutes proceedings no later than the date of permit issuance to 
    reopen the permit consistent with paragraph (i) of this section to 
    incorporate the new applicable requirement and that the permit contains 
    a statement that it is being reopened for this purpose.
        (b) Requirement to apply for a permit. Except as provided in this 
    paragraph and paragraphs (e), (f), and (g) of this section, no part 70 
    or part 71 source may operate after the time that it is required to 
    submit a timely and complete application under an approved permit 
    program or this part, except in compliance with a permit issued under a 
    part 70 program or this part. If a part 70 or part 71 source submits a 
    timely and complete application for permit issuance (including for 
    renewal), the source's failure to have a part 71 permit is not a 
    violation of this part until the permitting authority takes final 
    action on the permit application, except as noted in this section. This 
    protection shall cease to apply if, subsequent to the completeness 
    determination made pursuant to paragraph (a)(3) of this section, and as 
    required by Sec. 71.5(c), the applicant fails to submit by the deadline 
    specified in writing by the permitting authority any additional 
    information identified as being needed to process the application.
        (c) Permit renewal and expiration.
        (1) Permits being renewed are subject to the same procedural 
    requirements that apply to initial permit issuance, including those for 
    public participation, affected State review, and EPA review, in the 
    case of a program delegated pursuant to Sec. 71.10.
        (2) Permit expiration terminates the source's right to operate 
    unless a timely and complete renewal application has been submitted 
    consistent with paragraph (b) of this section and Secs. 71.5(b) and 
    71.5(c).
        (3) If a timely and complete application for a permit renewal is 
    submitted by the permittee consistent with Secs. 71.5(b) and 71.5(c), 
    but the permitting authority has failed to issue or deny the renewal 
    permit before the end of the term of the previous part 70 or part 71 
    permit, then all the terms and conditions of the permit, including any 
    permit shield, shall remain in effect until the permitting authority 
    issues or denies the renewal permit. In the case of a program delegated 
    pursuant to Sec. 71.10, EPA may invoke its authority under section 
    505(e) of the Act to terminate or revoke and reissue the permit.
        (d) Permit revisions. Changes requiring revision of a part 70 or 
    part 71 permit are those that could not be operated without violating 
    an existing permit term or rendering the source subject to an 
    applicable requirement to which the source has not been previously 
    subject. A permit revision for purposes of the acid rain portion of the 
    permit shall be governed by 40 CFR part 72.
        (e) Administrative permit amendments.
        (1) An ``administrative permit amendment'' is a permit revision 
    that:
        (i) Corrects typographical errors;
        (ii) Identifies a change in the name, address, or phone number of 
    any person identified in the permit, or provides a similar minor 
    administrative change;
        (iii) Requires more frequent testing, monitoring, recordkeeping, or 
    reporting;
        (iv) Allows for a change in ownership or operational control of a 
    source where [[Page 20841]] the permitting authority determines that no 
    other change in the permit is necessary, provided that a written 
    agreement containing a specific date for transfer of permit 
    responsibility, coverage, and liability between the current and new 
    permittee has been submitted to the permitting authority;
        (v) In the case of a program delegated pursuant to Sec. 71.10, 
    incorporates the requirements of a minor new source review (NSR) or 
    major NSR preconstruction permit or decision or a determination under 
    section 112(g) of the Act, provided that such permit or determination 
    was issued in accordance with the procedural requirements of paragraph 
    (e)(4) of this section and contains compliance requirements 
    substantially equivalent to those required under Sec. 71.6.
        (vi) Notwithstanding the provisions of paragraph (e)(1)(v) of this 
    section, incorporates a standard promulgated after permit issuance 
    pursuant to section 112 of the Act.
        (2) Administrative permit amendments for purposes of the acid rain 
    portion of the permit shall be governed by 40 CFR part 72.
        (3) Administrative permit amendment procedures for changes meeting 
    the criteria under Sec. 71.7(e)(1)(i) through (iv). Changes meeting the 
    criteria set forth in paragraphs (e)(1)(i) through (iv) of this section 
    may be made to a permit using the following procedures:
        (i) The source shall submit to the permitting authority an 
    application containing a proposed addendum to the source's part 70 or 
    part 71 permit. The application shall demonstrate how the proposed 
    change meets one of the criteria for administrative amendments set 
    forth in paragraphs (e)(1)(i) through (iv) of this section, and include 
    certification by the responsible official consistent with Sec. 71.5(i) 
    that the change is eligible for administrative amendment procedures. 
    The addendum shall:
        (A) Identify the terms of the existing part 70 or part 71 permit 
    that it proposes to change;
        (B) Propose new permit terms consistent with the provisions of this 
    part applicable to the change;
        (C) Designate the addendum as having been processed under the 
    procedures of this paragraph (e)(3); and
        (D) Specify that the addendum will be effective 60 days from the 
    date of permitting authority receipt unless the permitting authority 
    disapproves the change within such period.
        (ii) The permitting authority may allow the source to implement the 
    requested change immediately upon making all required submittals, 
    including the proposed addendum.
        (iii) The proposed addendum will become effective 60 days after the 
    permitting authority receives the submittal, provided the permitting 
    authority has not disapproved the request in writing before the end of 
    the 60-day period. The permitting authority shall record the change by 
    attaching a copy of the addendum to the existing part 70 or part 71 
    permit and, in the case of a program delegated pursuant to Sec. 71.10, 
    shall provide the Administrator with a copy of the addendum.
        (iv) If the permitting authority disapproves the change, it shall 
    notify the source of its reasons for disapproving the change in a 
    timely manner. Upon receiving such notice, the source shall comply with 
    the terms of the permit that it had proposed to change, and thereafter 
    the proposed addendum shall not take effect. The permitting authority 
    may approve a permit addendum for an administrative permit amendment 
    that varies from the source's application without rendering the source 
    liable for violating its existing permit if the permitting authority's 
    revisions are not necessary to make the request eligible for 
    administrative amendment procedures and do not change the applicant's 
    proposed determination of which applicable requirements of the Act 
    apply to the source as a result of the requested change and if the 
    source demonstrates to the satisfaction of the permitting authority its 
    compliance with the applicable requirement to which it is subject as a 
    result of the change. However, the source would remain liable for any 
    violations of the requirements which are applicable as a result of the 
    change and the source's proposed permit revision.
        (v) The process in paragraph (e)(3) of this section may also be 
    used for changes initiated by the permitting authority that meet the 
    criteria under paragraphs (e)(1)(i), (ii), and (iv) of this section. 
    For such changes, the permitting authority shall notify the source of 
    the proposed change and its effective date, and shall attach a copy of 
    the change to the existing permit. On the effective date of the 
    proposed change, the source shall comply with the provisions of the 
    proposed change.
        (vi) The permit shield under Sec. 71.6(n) may not extend to 
    administrative amendments processed under paragraph (e)(3) of this 
    section.
        (4) Administrative amendment procedures for changes meeting the 
    criteria under Sec. 71.7(e)(1)(v). In the case of a program delegated 
    pursuant to Sec. 71.10, a change meeting the criteria of paragraph 
    (e)(1)(v) of this section may be made to a permit using the procedures 
    in the following paragraphs (e)(4) (i) through (iv) of this section.
        (i) An applicant shall submit prior to construction (including 
    modification), a permit application to the permitting authority meeting 
    the requirements for applications of minor NSR, major NSR, 
    determinations under section 112(g) of the Act, and paragraph (e)(3)(i) 
    of this section. The application must:
        (A) Specify draft permit terms governing construction of any 
    proposed new or modified emissions unit or combination thereof, 
    including all applicable requirements;
        (B) Inform the permitting authority that the source is requesting 
    to revise the part 70 or part 71 permit using the process under this 
    paragraph (e)(4);
        (C) Include a proposed addendum to the part 70 or part 71 permit 
    that identifies the terms of the existing part 70 or part 71 permit 
    that will change and the draft terms and conditions which will govern 
    operation of the new or modified unit consistent with part 71 
    (including compliance requirements consistent with Sec. 71.6 ) and any 
    notice requirements contained in paragraph (e)(4)(ii) of this section, 
    and that incorporates relevant terms and conditions from the proposed 
    minor NSR or major NSR or action under section 112(g) of the Act; and
        (D) Include an affidavit signed by a responsible official stating 
    that the source accepts all liability of making the requested change 
    prior to final permitting authority action to revise the source's 
    permit.
        (ii) For any minor NSR or major NSR or action under section 112(g) 
    of the Act and part 71 permit addendum proposed for approval under 
    paragraph (e)(4) of this section, the permitting authority shall:
        (A) Provide a comment period for the public and affected States 
    prior to construction of the change of at least 30 days or, in the case 
    of minor NSR, as many days as required by the applicable implementation 
    plan approved as of November 15, 1993, but not less than 15 days. Where 
    a minor NSR action includes a netting transaction involving either a 
    single emissions increase above applicable title I modification 
    significance levels or a sum of increases above applicable major source 
    thresholds, a public comment period of at least 30 days must be 
    provided for a change to qualify for processing under this paragraph 
    (e)(4);
        (B) Provide notice and a copy of the application filed pursuant to 
    paragraph (e)(4)(i) of this section to EPA by the beginning of the 
    public comment period; [[Page 20842]] 
        (C) Issue a minor NSR or major NSR permit or determination or issue 
    a determination under section 112(g) of the Act and an addendum to the 
    part 70 or part 71 permit for the operation of the change if it 
    determines the requirements of the applicable minor NSR, major NSR, or 
    review program under section 112(g) of the Act and part 71 have been 
    met; and
        (D) Provide an opportunity for EPA objection consistent with the 
    provisions of Sec. 71.10(g), starting either upon receipt of the notice 
    described under paragraph (e)(4)(ii)(D)(1) or (2) of this section as 
    applicable or from the date the permitting authority made its final 
    minor NSR, major NSR, or determination under section 112(g) of the Act, 
    whichever is later.
        (1) For changes approved by the permitting authority under major 
    NSR or review under section 112(g) of the Act, the source shall provide 
    a notice to EPA and the permitting authority which must be postmarked 
    at least 21 days before the anticipated date of initial startup of the 
    new or modified source. For such changes, the source may commence 
    operation at the end of the 21-day period unless EPA objects in writing 
    to the proposed change within the 21-day period. Upon notification of 
    such objection, the source may not operate such a change and must 
    comply with the terms and conditions of the permit that it sought to 
    change.
        (2) For changes approved by the permitting authority under minor 
    NSR, the source shall notify EPA and the permitting authority of the 
    anticipated date for startup of the change. The source may commence 
    operation of such a change upon postmark of such notice.
        (iii) The proposed part 71 permit addendum may become effective 45 
    days after EPA receives notice under paragraph (e)(4)(ii)(D) of this 
    section or 45 days from the date the permitting authority makes its 
    final preconstruction determination, whichever is later, provided that 
    by the end of such period EPA has not objected to the change.
        (iv) If EPA objects to the change, EPA shall notify the permitting 
    authority and the source of its reasons for objecting to the change. 
    Upon receiving such notice, the source shall comply with the terms of 
    the permit that it had proposed to change, and thereafter the proposed 
    addendum shall not take effect. If, subsequent to source implementation 
    of the requested change, EPA objects to the change, the source shall be 
    liable for having operated in violation of its existing permit from the 
    time it implemented the change. Notwithstanding the preceding sentence, 
    the permitting authority may revise a proposed addendum making an 
    administrative permit amendment in response to an EPA objection without 
    rendering the source liable for violating its existing permit if the 
    permitting authority's revisions are not necessary to make the change 
    eligible for administrative amendment procedures and do not change the 
    applicant's proposed determination of which applicable requirements 
    apply to the source as a result of the requested change and if the 
    source demonstrates to the satisfaction of the permitting authority its 
    compliance with the applicable requirement to which it is subject as a 
    result of the change and the source's proposed permit revision. 
    However, the source would remain liable for any violations of the 
    requirements which are applicable as a result of the change and the 
    source's proposed permit revision.
        (v) The permitting authority may provide a permit shield consistent 
    with the provisions of Sec. 71.6(n) .
        (5) Administrative permit amendment procedures for changes meeting 
    the criteria under Sec. 71.7(e)(1)(vi). Changes meeting the criteria 
    set forth in paragraph (e)(1)(vi) of this section may be made to a 
    permit using the following procedures:
        (i) After receipt of the initial notification required under the 
    standard under section 112 of the Act, the permitting authority shall 
    prepare a proposed addendum to the source's part 70 or part 71 permit. 
    The addendum shall contain the following:
        (A) A statement that the standard under section 112 of the Act is 
    an applicable requirement for the permitted source;
        (B) A schedule of compliance, consistent with Sec. 71.5;
        (C) A requirement to submit any implementation plan or report 
    required under the standard;
        (D) A requirement to apply for a minor permit revision by the 
    deadline for the compliance statement, unless the source is exempted 
    from this requirement by the rulemaking promulgating the applicable 
    standard under section 112 of the Act. If the source is utilizing an 
    alternative requiring case-by-case approval, such as emissions 
    averaging, the source shall apply for a significant permit revision in 
    lieu of the minor permit revision required in the preceding sentence. 
    If the compliance statement deadline is within 6 months of the end of 
    the permit term, the source may incorporate its application for the 
    revisions into its application for permit renewal, in lieu of applying 
    for revisions by the compliance statement deadline;
        (E) Any other provisions required to be incorporated into the 
    permit by the applicable standard under section 112 of the Act.
        (ii) The permitting authority shall make available for public 
    review and comment for at least 30 days a list of sources whose permits 
    are reopened under this paragraph (e)(5). Notice of the availability of 
    the list shall be given by such time as to assure that any additional 
    administrative amendments for sources subject to the standard and not 
    on the list take effect within 18 months after publication of the 
    standard under section 112 of the Act. If after considering public 
    comment, the permitting authority determines that permits for other 
    sources must be reopened to incorporate standards under section 112(g) 
    of the Act, it shall notify such sources of its intent to do so at 
    least 30 days before reopening the permit, and may use the provisions 
    of this paragraph (e)(5).
        (iii) The proposed addendum shall become effective not later than 
    18 months after publication of the standard under section 112 of the 
    Act. The permitting authority shall attach a copy of the addendum to 
    the existing part 70 or part 71 permit and shall, in the case of a 
    program delegated pursuant to Sec. 71.10, provide the Administrator 
    with a copy.
        (iv) The permitting authority shall, as soon as practicable, place 
    all information required to be submitted by the permit with respect to 
    the standard under section 112 of the Act in a docket accessible to the 
    public.
        (v) The permit shield under Sec. 71.6(n) may not extend to 
    administrative amendments processed under paragraph (e)(5) of this 
    section.
        (f) De minimis permit revisions.
        (1) A de minimis permit revision may be made by the permitting 
    authority to a part 70 or part 71 permit provided that the permit 
    contains a term or condition authorizing the source to make use of de 
    minimis permit revision procedures for qualifying changes at the 
    applicable unit and such term or condition was established during 
    permit issuance or renewal, or under permit revision procedures 
    contained in Sec. 71.11, and provided the action taken meets the 
    criteria and procedures specified in paragraph (f) of this section.
        (2) Criteria. For the change to be considered de minimis and 
    eligible for de minimis permit revision procedures, the conditions in 
    paragraph (f)(2)(i) of this section and the applicable conditions and 
    limits in paragraphs (f)(2) (ii) and (iii) of this section must be 
    [[Page 20843]] met. The limits in paragraphs (f)(2) (ii) and (iii) of 
    this section are on a single pollutant basis except where a combination 
    of hazardous air pollutants is indicated.
        (i) Conditions limiting de minimis changes.
        (A) The source must not be in violation of the part 70 or part 71 
    permit terms and conditions it seeks to change.
        (B) In the case of existing units, the need for a permit revision 
    must result from a physical or operational change. [OPTION: ADD TO END 
    OF SENTENCE: unless the permit revision solely involves monitoring or 
    recordkeeping requirements.]
        (C) [OPTION: ADD TO BEGINNING OF SENTENCE: Except for permit 
    revisions solely involving monitoring or recordkeeping requirements,] 
    The change may not involve a permit term or condition established to 
    limit emissions which is federally enforceable only as a part 70 or 
    part 71 permit term or condition.
        (D) De minimis emission threshold levels cannot be met by 
    offsetting emission increases with emission decreases at the same 
    source.
        [OPTION: ADD NEW PARAGRAPHS (f)(2)(i) (E) and (F):
        (E) The change may not involve a change to monitoring or 
    recordkeeping requirements unless, prior to the source's submission of 
    a de minimis permit revision application, the permitting authority 
    affirmatively determines that the monitoring or recordkeeping change 
    has been demonstrated by the source:
        (1) To not affect the capability of the method to measure emission 
    results as precisely, accurately, and timely as is provided by the 
    existing monitoring or recordkeeping method;
        (2) To only affect a single source or facility; and
        (3) To not constitute a new or alternative monitoring method or 
    represent a new operating level of the method.
        (F) The criteria for all demonstrations required under paragraph 
    (f)(2)(i)(E) of this section shall include, in addition to the 
    requirements of paragraph (f)(3)(C) of this section, an analysis 
    conducted in accordance with 40 CFR 64.4(b)(5) and 64.4(c) utilizing 
    appendices A, B, C, and D of 40 CFR part 64. [END OF OPTION]
        (ii) Unit-based change limits. For a change at any emissions unit 
    to qualify as a unit-based de minimis permit revision, the total 
    emissions of an entirely new unit and the total emissions at an 
    existing unit after the change (i.e., the sum of the existing emissions 
    before the change plus the emissions increase that results from the 
    change) may not exceed:
        [ALTERNATIVE 1 FOR paragraph (f)(2)(ii)(A):]
        (A) For criteria pollutants, the following emissions over the life 
    of the permit:
        (1) 4 tons of CO;
        (2) 1 ton of NOX;
        (3) 1.6 tons of SO2;
        (4) 0.6 ton of PM-10;
        (5) 1 ton of VOC.
        [ALTERNATIVE 2 to paragraph (f)(2)(ii)(A):]
        (A) For criteria pollutants, 20 percent of the applicable major 
    source threshold, or 5 tpy of VOC or NOX, whichever is greater, 
    but in no event more than 15 tpy PM-10 or 0.6 tpy lead.
        [ALTERNATIVE 3 to paragraph (f)(2)(ii)(A):]
        (A) For criteria pollutants, 5 tpy.
        [ALTERNATIVE 4 to paragraph (f)(2)(ii)(A):]
        (A) For criteria pollutants, 30 percent of the applicable major 
    source threshold or 5 tpy, whichever is greater. [END OF ALTERNATIVES 
    to paragraph (f)(2)(ii)(A)]
        [ALTERNATIVE 1 to paragraph (f)(2)(ii)(B):]
        (B) For HAP's, 0 tpy.
        [ALTERNATIVE 2 to paragraph (f)(2)(ii)(B):]
        (B) For HAP's, 20 percent of the major source thresholds 
    established under section 112 of the Act or 50 percent of the de 
    minimis levels established under section 112(g) of the Act, whichever 
    is less.
        [ALTERNATIVE 3 to paragraph (f)(2)(ii)(B):]
        (B) For HAP's, 75 percent of de minimis levels established under 
    section 112(g) of the Act. [END OF ALTERNATIVES to paragraph 
    (f)(2)(ii)(B)]
        (C) For other pollutants regulated only under section 111 of the 
    Act, the significance levels in Sec. 52.21(b)(23)(i).
        (iii) Increment-based change limits. A change at any emissions unit 
    not qualifying for a unit-based change may still qualify as a de 
    minimis permit revision if the following criteria are met:
        (A) Additional conditions:
        (1) Any resulting emissions limit must be expressed in the same 
    form and units of measure as the previous emissions limit;
        (2) Any associated recalibration of continuous emissions monitors 
    (CEM) or operational parameters must be undertaken in accordance with 
    emission rates-to-CEM or operational parameter ratios established in 
    the operating permit program, in the source's permit, or through permit 
    issuance procedures providing at least as much permitting authority, 
    EPA (in the case of a program delegated pursuant to Sec. 71.10 ), and 
    affected State review and public participation as minor permit revision 
    procedures; [OPTION: DELETE PREVIOUS PARAGRAPH (f)(2)(iii)(A)(2).]
        (B) Size restrictions on individual change. No emissions increase 
    at any unit may exceed:
        [ALTERNATIVE 1 to paragraph (f)(2)(iii)(B)(1):]
        (1) For criteria pollutants, the following emissions over the life 
    of the permit:
        (i) 4 tons of CO;
        (ii) 1 ton of NOX;
        (iii) 1.6 tons of SO2;
        (iv) 0.6 ton of PM-10;
        (v) 1 ton of VOC.
        [ALTERNATIVE 2 to paragraph (f)(2)(iii)(B)(1):]
        (1) For criteria pollutants, 20 percent of the applicable major 
    source threshold, 10 percent of the limit applicable to the unit 
    undergoing the change, or 15 tpy VOC or NOX, whichever is less but 
    in no event less than [2-5] tpy VOC or NOX or greater than 15 tpy 
    PM-10 or 0.6 tpy lead.
        [ALTERNATIVE 3 to paragraph (f)(2)(iii)(B)(1):]
        (1) For criteria pollutants, 30 percent of applicable major source 
    thresholds, or 15 percent of the limit applicable to the unit 
    undergoing the change, whichever is less, but in no event less than 5 
    tpy for VOC or NOX. [END OF ALTERNATIVES FOR paragraph 
    (f)(2)(iii)(B)(1)]
        [ALTERNATIVE 1 to paragraph (f)(2)(iii)(B)(2):]
        (2) For HAP's, 0 tpy.
        [ALTERNATIVE 2 to paragraph (f)(2)(iii)(B)(2):]
        (2) For HAP's, 20 percent of the major source thresholds 
    established under section 112 of the Act, 50 percent of the de minimis 
    levels set pursuant to section 112(g) of the Act, or 10 percent of the 
    limit applicable to the unit undergoing change, whichever is less.
        [ALTERNATIVE 3 to paragraph (f)(2)(iii)(B)(2):]
        (2) For HAP's, 75 percent of de minimis levels established under 
    section 112(g) of the Act. [END OF ALTERNATIVES FOR paragraph 
    (f)(2)(iii)(B)(2)]
        (3) For other pollutants regulated only under section 111 of the 
    Act, the significance levels in Sec. 52.21(b)(23)(i) of this chapter.
        (3) De minimis permit revision procedures.
        (i) Application. A source may submit an application to the 
    permitting authority requesting the use of de minimis permit revision 
    procedures [[Page 20844]] provided that the permit contains a term or 
    condition that authorizes the source to make use of the de minimis 
    permit revision procedures for qualifying changes, the application 
    meets the requirements of Sec. 71.5(f), and the permit application 
    includes the following:
        (A) A description of the change, the emissions resulting from the 
    change, and any new applicable requirements that will apply if the 
    change occurs;
        (B) An addendum containing the terms and conditions of the source's 
    suggested draft permit revision;
        (C) A demonstration that the proposed change meets the criteria for 
    a de minimis permit revision; and
        (D) Certification by a responsible official consistent with 
    Sec. 71.5(i) that:
        (1) The source is in compliance with any permit terms or conditions 
    it seeks to revise;
        (2) The proposed revision meets the criteria for use of de minimis 
    permit revision procedures; and
        (3) The source accepts all liability of making the requested change 
    prior to final permitting authority action to revise the source's 
    permit.
        [OPTION: ADD NEW PARAGRAPH:
        (E) A summary of any required demonstration performed in accordance 
    with paragraphs (f)(2)(i)(E) and (F) of this section, and verification 
    of such demonstration's affirmative approval by the permitting 
    authority.]
        (ii) The permitting authority may allow the source to implement the 
    requested change 7 days after the permitting authority's receipt of the 
    source's de minimis permit revision application. At its discretion, the 
    permitting authority may grant a request by the source to implement the 
    change after less than 7 days.
        (iii) Public notification. Public notice shall be provided by the 
    source of de minimis permit revision applications received by the 
    permitting authority on a monthly, batched basis. At a minimum, the 
    notice shall include: the name and address of the source where the 
    proposed change would occur, a description of the change, the effective 
    date of the permit revision, the emissions resulting from the change, 
    and any new applicable requirements that will apply if the change 
    occurs; reference to the pertinent administrative record/public docket; 
    and the name, address and phone number of a person from whom interested 
    persons may obtain additional information, including the permit 
    application and supporting documentation as described in paragraph 
    (f)(3)(i) of this section. [OPTION: ADD TO END OF PARAGRAPH: In 
    addition, for permit revisions involving changes to monitoring or 
    recordkeeping requirements, the permitting authority shall also submit 
    to the publicly available docket the complete demonstration required by 
    paragraphs (f)(2)(i) (E) and (F) of this section, a summary of the 
    demonstration, and an affirmative statement of the demonstration's 
    adequacy.]
        (iv) Permit amendment. The permit is revised by attaching the 
    proposed addendum to the permit with the addendum specifying when the 
    permit revision takes effect consistent with the following provisions.
        (A) Where the preconstruction permitting agency affirmatively 
    approved the change pursuant to a preconstruction review process that 
    included at least a 21-day public comment period and the 
    preconstruction permitting agency authorized the change to be made 
    under the de minimis permit revision process, the addendum shall take 
    effect upon submission to the part 71 permitting authority of a 
    complete de minimis permit revision application.
        (B) Where the preconstruction permitting agency did not 
    affirmatively approve the change pursuant to a preconstruction review 
    that provided for at least a 21-day public comment period, the addendum 
    shall take effect [30-90] days after the date public notice is given 
    under paragraph (f)(3)(iii) of this section if the part 71 permitting 
    authority does not disapprove the request within that time period. The 
    part 71 permitting authority shall retain the authority to disapprove 
    such a change made through the de minimis permit revision process for a 
    period of [30-90] days following the date public notice is given under 
    paragraph (f)(3)(iii) of this section.
        (v) EPA and affected State notification.
        (A) In the case of a program delegated pursuant to Sec. 71.10, the 
    permitting authority shall send a copy of the addendum to the permit to 
    EPA within 7 days of the date the addendum takes effect.
        (B) In all cases, the permitting authority shall send a copy of the 
    addendum to any affected State within 7 days of the date the addendum 
    takes effect.
        (vi) Public request for disapproval.
        (A) Within [15-45] days of the date public notification is given, 
    any person may request that the permitting authority disapprove the 
    change if the permitting authority retained authority to disapprove the 
    de minimis permit revision as described under paragraph (f)(3)(iv)(B) 
    of this section.
        (B) Where the permitting authority was not required to retain 
    authority to disapprove the de minimis permit revision, the public may 
    petition the permitting authority to revoke the permit revision 
    allowing the change.
        (4) Source liability. If, after a source makes the requested 
    change, the permitting authority disapproves the change or EPA objects 
    to the change (in the case of a program delegated pursuant to 
    Sec. 71.10), the source shall be liable for having operated in 
    violation of its existing permit from the time at which the source made 
    the change. Notwithstanding the preceding sentence, the permitting 
    authority may issue a permit revision that varies from the source's 
    proposed addendum without rendering the source liable for violating its 
    existing permit if the proposed addendum includes enforcement terms 
    sufficient to support an enforcement action and the permitting 
    authority's revisions are not necessary to make the change eligible for 
    de minimis permit revision procedures and do not change the applicant's 
    determination of which requirements of the Act apply to the source as a 
    result of the requested change. The source would remain liable for any 
    violations of the requirements which are applicable as a result of the 
    change and the source's proposed permit revision.
        (5) The permit shield under Sec. 71.6(n) may not extend to de 
    minimis permit revisions.
        (g) Minor permit revision procedures.
        (1) Criteria.
        (i) Minor permit revision procedures may be used only for those 
    permit revisions that:
        (A) Do not affect permit terms or conditions that the source is 
    violating;
        (B) Do not involve changes to existing monitoring, reporting, or 
    recordkeeping requirements in the permit, unless such changes are 
    necessary to implement other changes that qualify for minor permit 
    revision procedures [OPTION: REPLACE PARAGRAPH (g)(1)(i)(B) WITH THE 
    FOLLOWING:
        (B) Involve changes to monitoring or recordkeeping requirements 
    that are:
        (1) Changes in the enforceable operating level of the method that, 
    prior to the source's submission of a minor permit revision 
    application, the permitting authority has affirmatively determined the 
    source has demonstrated to be correlated to the source's existing or 
    proposed compliance emissions rate, but such changes may not involve a 
    switch to a new or alternative monitoring or recordkeeping operating 
    parameter; [[Page 20845]] 
        (2) Changes to a monitoring or recordkeeping method that affect the 
    measurement sensitivity of the method and representativeness of the 
    data (e.g., precision, accuracy, measurement location, or averaging 
    time) such that there may be a measurable effect in relation to the 
    relevant source compliance emissions rate; changes that affect the 
    scope and intent of the existing monitoring method (e.g., modified 
    sample conditioning system, upgraded detector, upgraded data management 
    system); or changes that may be generally applicable to similar 
    monitoring methods in the same or other source categories (e.g., 
    equipment modification for interference avoidance). Such changes may 
    not involve a switch to new or alternative monitoring methods. Prior to 
    the source's submission of a minor permit revision application, the 
    permitting authority shall have affirmatively determined that the 
    monitoring or recordkeeping change has been demonstrated by the source 
    to have a known relationship and ability to determine compliance with 
    the applicable source compliance emissions rate; or
        (3) In the case of a program delegated pursuant to Sec. 71.10, 
    changes to monitoring or recordkeeping methods that have been approved 
    pursuant to major or minor NSR and that are demonstrated therein to 
    have a known relationship and ability to determine compliance with the 
    applicable source compliance emissions rate. The application for the 
    minor permit revision must include supporting documentation from the 
    major or minor NSR permit approval, information regarding the 
    demonstration and approval of the requested monitoring or recordkeeping 
    method, and information in accordance with Sec. 71.7(g)(2) as related 
    to the monitoring change. END OF OPTION];
        (C) Do not involve or depend on netting transactions undertaken to 
    avoid being subject to preconstruction review under part C or D of 
    title I of the Act unless such emissions reductions:
        (1) Have been approved pursuant to a minor NSR process for which a 
    30-day public comment period was provided; or
        (2) Do not involve any single emissions increase that exceeds the 
    applicable threshold for being a major modification under part C or D 
    of title I of the Act, and the sum of all the contemporaneous increases 
    does not exceed the applicable threshold for determining whether a 
    source is major;
        (D) Do not involve offsets or modifications under section 112(g) of 
    the Act, unless the change has been approved pursuant to a review 
    process under section 112(g) of the Act;
        (E) Are not modifications subject to part C or D of title I of the 
    Act, unless the change has been approved pursuant to major NSR and 
    would incorporate all applicable requirements determined therein into 
    the part 70 or part 71 permit;
        (F) [OPTION: ADD TO BEGINNING OF SENTENCE: Except for permit 
    revisions solely involving monitoring or recordkeeping requirements,] 
    Do not seek to establish or change a permit term or condition 
    established to limit emissions which is federally enforceable only as a 
    part 70 or part 71 permit term or condition. Such terms and conditions 
    include:
        (1) A federally-enforceable emissions cap assumed in the part 70 or 
    part 71 permit to avoid classification as a modification under any 
    provision of title I of the Act;
        (2) An alternative emission limit established under the provisions 
    of Sec. 71.6(a)(1)(iii) equivalent to a requirement contained in an 
    applicable implementation plan;
        (3) An alternative emissions limit established in the part 70 or 
    part 71 permit pursuant to regulations promulgated under section 
    112(i)(5) of the Act;
        (4) An emissions limit established in the part 70 or part 71 permit 
    pursuant to regulations promulgated under section 112(j) of the Act; 
    and
        (5) Any other term or condition for which there is no corresponding 
    underlying applicable requirement and the establishment of which allows 
    the source to avoid an applicable requirement to which the source would 
    otherwise be subject.
        (ii) Notwithstanding paragraph (g)(1)(i) of this section, minor 
    permit revision procedures may be used for permit revisions involving 
    the use of economic incentives, marketable permits, emissions trading, 
    and other similar approaches, to the extent that such minor permit 
    revision procedures are explicitly provided for in an applicable 
    implementation plan or in applicable requirements promulgated by EPA.
        [OPTION: ADD NEW PARAGRAPH:
        (iii) Any demonstration required by paragraph (g)(1)(i)(B) of this 
    section shall include an analysis conducted in accordance with 40 CFR 
    64.4(b)(5) and 64.4(c) utilizing appendices A, B, C, and D of 40 CFR 
    part 64.]
        (2) Application. An application requesting the use of minor permit 
    revision procedures shall meet the requirements of Sec. 71.5(f) and 
    shall include the following:
        (i) A description of the change, the emissions resulting from the 
    change, and any new applicable requirements that will apply if the 
    change occurs;
        (ii) An addendum containing the terms and conditions of the 
    source's suggested draft permit revision;
        (iii) A demonstration that the proposed change is eligible to be 
    processed as a minor permit revision;
        (iv) Certification by a responsible official, consistent with 
    Sec. 71.5(i), that:
        (A) The proposed change meets the criteria for use of minor permit 
    revision procedures;
        (B) The source is in compliance with the permit terms or conditions 
    it seeks to revise;
        (C) Public notice of the proposed revision has been provided 
    pursuant to paragraph (g)(3) of this section; and
        (D) Notice to the Administrator (in the case of a program delegated 
    pursuant to Sec. 71.10), and affected States of the proposed revision 
    has been provided pursuant to paragraph (g)(4) of this section; and
        (v) An affidavit signed by a responsible official stating that the 
    source accepts all legal risks of making the requested change prior to 
    final permitting authority action to revise the source's permit.
        [OPTION: ADD NEW PARAGRAPH:
        (vi) For a change involving changes to monitoring or recordkeeping 
    requirements, a summary of any demonstration required by paragraph 
    (g)(1)(i)(B) of this section and performed in accordance with paragraph 
    (g)(1)(iii) of this section and verification of its approval by the 
    permitting authority. If in approving the demonstration the permitting 
    authority determines that subsequent verification testing of the change 
    is necessary, the permitting authority may establish a compliance 
    schedule for performing verification testing to further demonstrate, 
    consistent with paragraph (g)(1)(iii) of this section, the adequacy of 
    the change. Such compliance schedule, after approval by the permitting 
    authority, shall be attached to the addendum described in paragraph 
    (g)(2)(ii) of this section and be processed as a permit term and shall 
    not allow the source to begin verification testing in advance of the 
    time when the source would be allowed to implement the minor permit 
    revision requested change. The approved compliance schedule shall 
    include a commitment by the source to provide the results of the 
    verification testing to the permitting authority within 90 days of 
    submittal of the minor permit revision application. Upon 
    [[Page 20846]] receipt of the verification testing results, the 
    permitting authority shall determine whether the results demonstrate 
    the adequacy of the change consistent with paragraph (g)(1)(iii) of 
    this section. The permitting authority shall promptly notify the source 
    in writing of its determination, and place a copy of such notice in the 
    public docket. The permit shield under Sec. 71.6(n) may extend to minor 
    permit revisions involving monitoring and recordkeeping changes only 
    after any required further verification testing of the change has been 
    completed.]
        (3) Public notification.
        (i) Immediately upon filing an application for a minor permit 
    revision, the source shall provide notice to the public of the 
    requested minor permit revision by:
        (A) Publication of a notice in a newspaper of general circulation 
    in the area where the source is located or in a State publication 
    designed to give the general public notice; and
        (B) Sending a letter to persons on a mailing list developed by the 
    permitting authority, including those who previously participated in 
    any public comment process provided for the source's permit and those 
    who request to be placed on a list to receive notification of permit 
    issuance, revision, reopening, or renewal requests.
        (ii) In addition to the elements required under Sec. 71.11(d)(4), 
    the public notice shall describe the requested change and state that if 
    no germane and non-frivolous objection to the requested change is 
    received by the permitting authority within 21 days of publication of 
    the notice, the source may implement the change without the permitting 
    authority providing further opportunity for public participation. For 
    purposes of this paragraph (g)(3)(ii), a germane objection is one that 
    objects to the use of minor permit revision procedures for the 
    requested change on the grounds that the source has failed to comply 
    with the procedural and notification requirements of paragraphs (g)(3) 
    and (4) of this section or that the requested change is ineligible for 
    the use of minor permit revision procedures under paragraph (g)(1)(i) 
    of this section. For purposes of this paragraph (g)(3)(ii), a non-
    frivolous objection must specify the basis for its objection and 
    present factual or other relevant information in support of its 
    objection.
        (iii) The permitting authority shall place a copy of the minor 
    permit revision request in a public docket. [OPTION: ADD A NEW 
    SENTENCE: The permitting authority shall also place in the docket any 
    complete demonstration required by Sec. 71.7(g)(1)(i)(B), a summary of 
    the demonstration, the permitting authority's analysis of the 
    demonstration, and an affirmative statement of the demonstration's 
    adequacy.]
        (4) EPA and affected State notification.
        (i) In the case of a program delegated pursuant to Sec. 71.10, 
    immediately upon filing an application for a minor permit revision, the 
    source shall notify the Administrator of the requested permit revision 
    in the same manner and subject to the same conditions required of 
    permitting authorities under Sec. 71.10(d). Such notification shall 
    relieve the permitting authority of the requirement to provide notice 
    to the Administrator of the requested minor permit revision under 
    Sec. 71.10(d), but shall not relieve the permitting authority of the 
    requirement to promptly send to the Administrator any notice under 
    Sec. 71.8(b).
        (ii) In all cases, immediately upon filing an application for a 
    minor permit revision, the source shall notify affected States of the 
    requested permit revision in the same manner and subject to the same 
    conditions required of the permitting authority under Sec. 71.8(a). 
    Such notification shall relieve the permitting authority of the 
    requirement to provide notice to affected States of the requested minor 
    permit revision under Sec. 71.8(a), but shall not relieve the 
    permitting authority of the requirement to send any affected State any 
    notice under Sec. 71.8(b).
        (5) Timetable for issuance. Upon receipt of an application for a 
    minor permit revision, the permitting authority shall provide at least 
    21 days for public comment on the requested change, and shall keep a 
    record of the commenters and the issues raised during the public 
    comment period. Such records shall be made available to the public. The 
    minor permit revision shall occur according to the following 
    procedures:
        (i) If the permitting authority receives no public objection to the 
    requested change within 21 days of publication of the public notice, 
    the source may implement the requested change on the 22nd day after 
    publication of the public notice, provided that:
        (A) The permitting authority has neither denied the minor permit 
    revision nor determined that the requested revision does not meet the 
    minor permit revision criteria and should be reviewed under significant 
    permit revision procedures; and
        (B) In the case of a program delegated pursuant to Sec. 71.10, the 
    Administrator has not objected to the proposed minor permit revision.
        (ii) If the permitting authority receives a public objection to the 
    requested change within 21 days after publication of the public notice, 
    the permitting authority must determine within 28 days of publication 
    of the public notice whether the objection is germane and non-
    frivolous, and proceed according to the following procedures:
        (A) If the permitting authority within 28 days of public 
    notification finds the public objection to be either frivolous or not 
    germane, the permitting authority may respond to the public objection 
    in the course of processing the minor permit revision request as a 
    minor permit revision, and the source may implement the requested 
    change on the 29th day after publication of the public notice or upon 
    notification from the permitting authority that the permitting 
    authority has determined the public objection to be frivolous or not 
    germane, whichever is first, provided that:
        (1) The permitting authority has neither denied the minor permit 
    revision application nor determined that the request fails to meet the 
    minor permit revision criteria and should be reviewed under significant 
    permit revision procedures; and
        (2) In the case of a program delegated pursuant to Sec. 71.10, the 
    Administrator has not objected to the proposed minor permit revision.
        (B) If the permitting authority fails to determine within 28 days 
    after publication of the public notice of the request for a minor 
    permit revision whether a public objection submitted within 21 days of 
    such notice is germane and nonfrivolous, the source may implement the 
    requested change on the 29th day after publication of the public 
    notice, provided that:
        (1) The permitting authority has neither denied the minor permit 
    revision application nor determined that the request fails to meet the 
    minor permit revision criteria and should be reviewed under significant 
    permit revision procedures; and
        (2) In the case of a program delegated pursuant to Sec. 71.10, the 
    Administrator has not objected to the proposed minor permit revision.
        (C) If the permitting authority finds the public objection to be 
    germane and nonfrivolous, the permitting authority shall not issue a 
    final minor permit revision for the change, and shall either deny the 
    minor permit revision application or determine that the requested 
    change does not meet the minor permit revision criteria and should be 
    reviewed under significant permit revision procedures. If the 
    permitting authority continues to process the requested change under 
    [[Page 20847]] significant permit revision procedures, public notice of 
    the proposed change must be provided in the manner required for 
    significant permit revisions under Sec. 71.11. Such notice shall 
    provide at least 30 days for public comment on the requested change, 
    shall identify the time and place of any hearing that may be held, and 
    shall include a statement of procedures to request a hearing if a 
    hearing has not already been scheduled. For purposes of this paragraph, 
    such a hearing may be held as soon as 14 days after publication of a 
    notice that the requested change is being processed as a significant 
    permit revision. The source shall not implement the requested change 
    unless and until the permitting authority approves it as a significant 
    permit revision.
        (iii) Any person who filed a public objection pursuant to this 
    paragraph which the permitting authority within 28 days of public 
    notification does not determine to be germane and nonfrivolous may 
    bring suit in Federal court to compel action by the permitting 
    authority and, in accordance with applicable standards for obtaining 
    such relief under Federal law, seek an injunction in Federal court 
    prohibiting the source from implementing the requested change.
        (iv) In the case of a program delegated pursuant to Sec. 71.10, 
    where the minor permit revision has not been denied or required to be 
    reviewed under significant permit revision procedures, the permitting 
    authority may issue a final minor permit revision after EPA's 45-day 
    review period has elapsed provided the Administrator has not objected 
    to the requested change, or after EPA has notified the permitting 
    authority after the close of the public comment period that EPA will 
    not object to issuance of the minor permit revision, whichever is 
    first, provided that the final minor permit revision does not differ 
    from the draft permit except to the extent any changes to the draft 
    permit qualify for administrative permit amendment procedures under 
    paragraph (e) of this section.
        (v) Within 60 days after the permitting authority's receipt of an 
    application for a minor permit revision, or 15 days after the 
    expiration of EPA's 45-day review period (in the case of a program 
    delegated pursuant to Sec. 71.10), whichever is later, the permitting 
    authority shall:
        (A) Issue the minor permit revision as proposed;
        (B) Deny the minor permit revision application;
        (C) Determine that the requested revision does not meet the minor 
    permit revision criteria and should be reviewed under significant 
    permit revision procedures; or
        (D) Revise the draft minor permit revision and, in the case of a 
    program delegated pursuant to Sec. 71.10, if such revision includes any 
    changes that do not qualify for processing as administrative permit 
    amendments under paragraph (e) of this section, transmit to the 
    Administrator the new proposed permit revision as required by 
    Sec. 71.10(d).
        (vi) Any person who objected to a minor permit revision request 
    during the public comment period shall be notified by the permitting 
    authority upon final approval of the request. The permitting authority 
    shall also place a copy of its final approval decision in the public 
    docket in which it places minor permit revision requests when received 
    or provide a substantially equivalent means of public access to its 
    final decision.
        (6) Reopening of the public comment period. If any data, 
    information, or arguments submitted during the public comment period 
    appear to raise substantial new questions concerning a permit, the 
    permitting authority may reopen or extend the comment period to give 
    interested persons an opportunity to comment on the information or 
    arguments submitted. Comments filed during the reopened comment period 
    shall be limited to the substantial new questions that caused its 
    reopening. The public notice shall define the scope of the reopening.
        (7) Issuance and effective date of permit.
        (i) After the close of the public comment period on a draft permit, 
    the permitting authority shall issue a final permit decision. The 
    permitting authority shall notify the applicant and each person who has 
    submitted written comments or requested notice of the final permit 
    decision. This notice shall include reference to the procedures for 
    appealing a decision on a permit.
        (ii) A final permit decision shall become effective immediately 
    upon issuance of the decision unless a later effective date is 
    specified in the decision.
        (8) Source's ability to make change. The source may make the change 
    proposed in its minor permit revision application in accordance with 
    paragraph (g)(5) of this section. After the source makes the change 
    allowed by the preceding sentence, and until the permitting authority 
    takes any of the actions specified in paragraphs (g)(5)(v) (A) through 
    (D) of this section, the source must comply with both the applicable 
    requirements governing the change and the proposed permit terms and 
    conditions. During this time period, the source need not comply with 
    the existing permit terms and conditions it seeks to revise. However, 
    if the source fails to comply with its proposed permit terms and 
    conditions during this time period, the existing permit terms and 
    conditions it seeks to revise may be enforced against it.
        (9) Source liability. If, after a source makes the requested change 
    but prior to a permitting authority's final action to approve the 
    change and revise the permit, the Administrator objects to the proposed 
    minor permit revision (in the case of a program delegated pursuant to 
    Sec. 71.10), or the permitting authority either denies the minor permit 
    revision or determines that the requested revision does not meet the 
    minor permit revision criteria and should be reviewed under significant 
    permit revision procedures, the source shall be liable for having 
    operated in violation of its existing permit from the time at which it 
    implemented the requested change. Notwithstanding the preceding 
    sentence, the permitting authority may issue a permit revision that 
    varies from the source's application without rendering the source 
    liable for violating its existing permit if the permitting authority's 
    revisions are not necessary to make the change eligible for minor 
    permit revision procedures and do not change the applicant's proposed 
    determination of which requirements of the Act apply to the source as a 
    result of the requested change and if the source demonstrates to the 
    satisfaction of the permitting authority its compliance with the 
    applicable requirement to which it is subject as a result of the change 
    and the source's proposed permit revision. However, the source would 
    remain liable for any violations of the requirements of the Act 
    applicable as a result of the change and the source's proposed permit 
    revision. [OPTION: ADD NEW SENTENCE: If, after the permitting 
    authority's final action to revise the permit, any verification testing 
    of the new operating level or revised monitoring approach as required 
    by paragraph (g)(2)(vi) of this section demonstrates that the new 
    operating level or revised monitoring approach fails to demonstrate 
    compliance, the source then shall comply with the monitoring and 
    recordkeeping permit terms and conditions that applied to the source 
    before the minor permit revision, the minor permit revision shall be 
    null and void and cease to have effect, and the source shall be liable 
    for operating in violation of its permit from the time it implemented 
    the change.] [[Page 20848]] 
        (10) Permit shield. The permit shield under Sec. 71.6(n) may extend 
    to minor permit revisions, provided that the permitting authority has 
    taken final action to issue the minor permit revision as a permit 
    revision.
        (h) Significant permit revision procedures.
        (1) Criteria. Significant permit revision procedures shall be used 
    for applications requesting permit revisions that do not qualify as 
    administrative amendments, de minimis permit revisions, or minor permit 
    revisions. At a minimum, every significant change in existing 
    monitoring permit terms or conditions and every relaxation of reporting 
    or recordkeeping permit terms or conditions shall be considered a 
    significant change. [OPTION: DELETE PRECEDING SENTENCE] Nothing herein 
    shall be construed to preclude the permittee from making changes 
    consistent with this part that would render existing permit compliance 
    terms and conditions irrelevant.
        (2) Significant permit revisions shall meet all requirements, 
    including those for applications, public participation, review by 
    affected States, and in the case of a program delegated pursuant to 
    Sec. 71.10, review by EPA, as they apply to permit issuance and permit 
    renewal. The permitting authority shall implement this review process 
    to complete review on the majority of significant permit revisions 
    within 9 months after receipt of a complete application.
        [OPTION: ADD NEW PARAGRAPH (h)(3):
        (3) Changes involving new or alternative monitoring methods that 
    have not been approved pursuant to major or minor NSR under criteria 
    equivalent to those contained in this paragraph (h)(3) shall be 
    processed as significant permit revisions. Permitting authorities may 
    approve such changes only where the new or alternative monitoring or 
    recordkeeping method is demonstrated to have a known relationship and 
    ability to determine compliance with the applicable standard. Such 
    demonstration shall include an analysis conducted in accordance with 40 
    CFR 64.4(b)(5) and 64.4(e) utilizing appendices A, B, C, and D of 40 
    CFR part 64. The permitting authority shall include the demonstration 
    and written evidence of the permitting authority's evaluation of the 
    demonstration in the proposed permit it sends to EPA (in the case of a 
    program delegated pursuant to Sec. 71.10) for review as required by 
    Sec. 71.10.]
        (i) Reopening for cause.
        (1) Each issued permit shall include provisions specifying the 
    conditions under which the permit will be reopened prior to the 
    expiration of the permit. A permit shall be reopened and revised under 
    any of the following circumstances:
        (i) Additional applicable requirements under the Act become 
    applicable to a major part 70 or part 71 source with a remaining permit 
    term of 3 or more years. Such a reopening shall be completed not later 
    than 18 months after promulgation of the applicable requirement. No 
    such reopening is required if the effective date of the requirement is 
    later than the date on which the permit is due to expire, unless the 
    original permit or any of its terms and conditions have been extended 
    pursuant to Sec. 71.6 or paragraph (c)(3) of this section.
        (ii) Additional requirements (including excess emissions 
    requirements) become applicable to an affected source under the acid 
    rain program. Upon approval by the Administrator, excess emissions 
    offset plans shall be deemed to be incorporated into the permit.
        (iii) The permitting authority or EPA (in the case of a program 
    delegated pursuant to Sec. 71.10 ) determines that the permit contains 
    a material mistake or that inaccurate statements were made in 
    establishing the emissions standards or other terms or conditions of 
    the permit.
        (iv) The permitting authority or EPA (in the case of a program 
    delegated pursuant to Sec. 71.10 ) determines that the permit must be 
    revised or revoked to assure compliance with the applicable 
    requirements.
        (2) Proceedings to reopen and issue a permit shall follow the same 
    procedures as apply to initial permit issuance and shall affect only 
    those parts of the permit for which cause to reopen exists, and shall 
    be made as expeditiously as practicable. Notwithstanding the preceding 
    sentence, proceedings to reopen for standards under section 112 of the 
    Act may use the following procedures:
        (i) Where the standard under section 112 of the Act is published 
    after permit issuance, administrative amendment procedures under 
    paragraph (e)(5) of this section may be used.
        (ii) Where the standard under section 112 of the Act is published 
    before permit issuance and a compliance statement required under the 
    standard under section 112 of the Act is due after permit issuance, the 
    source shall apply for a minor permit revision by the compliance 
    statement deadline to incorporate requirements necessary to assure 
    compliance with the standard, unless the source is exempted from this 
    requirement under paragraph (i)(2)(iii) of this section or under the 
    rulemaking promulgating the standard under section 112 of the Act. If 
    the source is utilizing alternatives requiring case-by-case approval, 
    such as emissions averaging, or if required under the rulemaking 
    promulgating the standard under section 112 of the Act, the source 
    shall apply for a significant permit revision by the compliance 
    statement deadline, in lieu of the requirement in the preceding 
    sentence to apply for a minor permit revision.
        (iii) Sources subject to the following standards under section 112 
    of the Act published as of [DATE OF PUBLICATION OF FINAL RULE] are 
    exempt from the requirements in paragraph (i)(2)(ii) of this section to 
    apply for a minor permit revision: NESHAP for Industrial Process 
    Cooling Towers, at 40 CFR part 63, subpart Q.
        (3) Reopenings under paragraph (i)(1) of this section shall not be 
    initiated before a notice of such intent is provided to the part 70 or 
    part 71 source by the permitting authority at least 30 days in advance 
    of the date that the permit is to be reopened, except that the 
    permitting authority may provide a shorter time period in the case of 
    an emergency. Where reopening for standards under section 112 of the 
    Act requiring initial notification by the source, and where the source 
    has provided such notification to the permitting authority by the 
    applicable date, the permitting authority need not provide the notice 
    required by the preceding sentence.
        (j) Reopenings for cause by EPA for delegated programs.
        (1) In the case of a program delegated pursuant to Sec. 71.10 , if 
    the Administrator finds that cause exists to terminate, revise, or 
    revoke and reissue a permit pursuant to paragraph (i) of this section, 
    the Administrator will notify the permitting authority and the 
    permittee of such finding in writing.
        (2) The permitting authority shall, within 90 days after receipt of 
    such notification, forward to EPA a proposed determination of 
    termination, revision, or revocation and reissuance, as appropriate. 
    The Administrator may extend this 90-day period for an additional 90 
    days if he or she finds that a new or revised permit application is 
    necessary or that the permitting authority must require the permittee 
    to submit additional information.
        (3) The Administrator will review the proposed determination from 
    the permitting authority within 90 days of receipt.
        (4) The permitting authority shall have 90 days from receipt of an 
    EPA objection to resolve any objection that [[Page 20849]] EPA makes 
    and to terminate, revise, or revoke and reissue the permit in 
    accordance with the Administrator's objection.
        (5) If the permitting authority fails to submit a proposed 
    determination pursuant to paragraph (j)(2) of this section or fails to 
    resolve any objection pursuant to paragraph (j)(4) of this section, the 
    Administrator will terminate, revise, or revoke and reissue the permit 
    after taking the following actions:
        (i) Providing at least 30 days notice to the permittee in writing 
    of the reasons for any such action. This notice may be given during the 
    procedures in paragraphs (j)(1) through (j)(4) of this section.
        (ii) Providing the permittee an opportunity for comment on the 
    Administrator's proposed action and an opportunity for a hearing.
    
    
    Sec. 71.8  Affected State Review.
    
        (a) Notice of draft permits. When a part 71 operating permits 
    program becomes effective in a State or Tribal area, the permitting 
    authority shall provide notice of each draft permit to any affected 
    State, as defined in Sec. 71.2, on or before the time that the 
    permitting authority provides this notice to the public pursuant to 
    Secs. 71.7(e)(4), 71.7(h), 71.7(i) or 71.11(d) and shall provide any 
    affected State a copy of the addendum for a de minimis permit revision 
    within 7 days of the date on which the addendum takes effect.
        (b) Notice of refusal to accept recommendations. Prior to issuance 
    of the final permit, the permitting authority shall notify any affected 
    State (and the Administrator, in the case of a program delegated 
    pursuant to Sec. 71.10) in writing of any refusal by the permitting 
    authority to accept all recommendations for the proposed permit that 
    the affected State submitted during the public or affected State review 
    period. The notice shall include the permitting authority's reasons for 
    not accepting any such recommendation. The permitting authority is not 
    required to accept recommendations that are not based on applicable 
    requirements or the requirements of this part.
        (c) Waiver of notice requirements. The Administrator may waive the 
    requirements of paragraph (a) of this section for any category of 
    sources (including any class, type, or size within such category) other 
    than major sources by regulation for a category of sources nationwide.
    
    
    Sec. 71.9  Permit Fees.
    
        (a) Fee requirement. The owners or operators of part 71 sources 
    shall pay annual fees, or the equivalent over some other period, that 
    are sufficient to cover the permit program costs, in accordance with 
    the procedures described in this section.
        (b) Permit program costs. These costs include, but are not limited 
    to, the costs of the following activities as they relate to a part 71 
    program:
        (1) Preparing generally applicable guidance regarding the permit 
    program or its implementation or enforcement;
        (2) Reviewing and acting on any application for a permit, permit 
    revision, or permit renewal, including the development of an applicable 
    requirement as part of the processing of a permit, or permit revision 
    or renewal;
        (3) Processing permit reopenings;
        (4) General administrative costs of the permit program, including 
    transition planning, interagency coordination, contract management, 
    training, informational services and outreach activities, assessing and 
    collecting fees, the tracking of permit applications, compliance 
    certifications, and related data entry;
        (5) Implementing and enforcing the terms of any part 71 permit (not 
    including any court costs or other costs associated with an enforcement 
    action), including adequate resources to determine which sources are 
    subject to the program;
        (6) Emissions and ambient monitoring, modeling, analyses, 
    demonstrations, preparation of inventories, and tracking emissions, 
    provided these activities are needed in order to issue and implement 
    part 71 permits; and
        (7) Providing direct and indirect support to small business 
    stationary sources in determining applicable requirements and in 
    receiving permits under this part (to the extent that these services 
    are not provided by a State Small Business Stationary Source Technical 
    and Environmental Compliance Assistance Program).
        (c) Establishment of fee schedule.
        (1) For part 71 programs that are administered by EPA, each part 71 
    source shall pay an annual fee in the amount of $45 dollars per ton (as 
    adjusted pursuant to the criteria set forth in paragraph (n)(1) of this 
    section) times the total tons of the actual emissions of each regulated 
    pollutant (for fee calculation) emitted from the source, including 
    fugitive emissions.
        (2) For part 71 programs that are delegated pursuant to Sec. 71.10, 
    the annual fee for each part 71 source shall be the amount specified in 
    paragraph (c)(1) of this section plus a surcharge of $3 per ton per 
    year. The surcharge will be used to defray the Agency's cost of 
    administering program delegation.
        (3) For part 71 programs that are administered by EPA with 
    contractor assistance, the per ton fee will vary depending on the 
    extent of contractor involvement and the cost to EPA of contractor 
    assistance. The EPA shall establish a per ton fee that is based on the 
    contractor costs for the specific part 71 program that is being 
    administered, using the following formula:
    
    Cost per ton=(E x $45)+[(1-E) x $C]+$3 surcharge
    
    Where E represents EPA's proportion of total effort (expressed as a 
    percentage of total effort) needed to administer the part 71 program, 
    1-E represents the contractor's effort, and C represents the contractor 
    assistance cost on a per ton basis. The $3 surcharge covers EPA's cost 
    for administering contractor permit program activities. C shall be 
    computed by using the following formula:
    
    C=[B+T+N] divided by 12,300,000
    
    Where B represents the base cost (contractor costs), where T represents 
    travel costs, and where N represents non-personnel data management and 
    tracking costs.
        (4) For programs that are delegated in part and that also use 
    contractor assistance, the fee shall be computed using the formula in 
    paragraph (c)(3) of this section, provided that E represents the 
    proportion of total effort (expressed as a percentage) expended by EPA 
    and the delegate agency.
        (5) The following emissions shall be excluded from the calculation 
    of fees under paragraph (c)(1) of this section:
        (i) The amount of a part 71 source's actual emissions of each 
    regulated pollutant (for fee calculation) that the source emits in 
    excess of four thousand (4,000) tpy;
        (ii) A part 71 source's actual emissions of any regulated pollutant 
    (for fee calculation) already included in the fee calculation; and
        (iii) The insignificant quantities of actual emissions not required 
    to be listed or calculated in a permit application pursuant to 
    Sec. 71.5(g).
        (6) ``Actual emissions'' means the actual rate of emissions in tpy 
    of any regulated pollutant (for fee calculation) emitted from a part 71 
    source over the preceding calendar year. Actual emissions shall be 
    calculated using each emissions unit's actual operating hours, 
    production rates, in-place control equipment, and types of materials 
    processed, stored, or combusted during the preceding calendar year. 
    [[Page 20850]] 
        (7) Notwithstanding the above, if the Administrator determines that 
    the fee structures provided in paragraphs (c)(1) through (c)(4) of this 
    section do not reflect the costs of administering a part 71 program, 
    then the Administrator shall by rule set a fee which adequately 
    reflects permit program costs for that program.
        (d) Prohibition on fees with respect to emissions from affected 
    units. Notwithstanding any other provision of this section, during the 
    years 1995 through 1999 inclusive, no fee for purposes of title V of 
    the Act shall be required to be paid with respect to emissions from any 
    affected unit under section 404 of the Act.
        (e) Submission of initial fee calculation work sheets and fees.
        (1) Each part 71 source shall complete and submit an initial fee 
    calculation work sheet as provided in paragraphs (e)(2), (f), and (g) 
    of this section and shall complete and submit fee calculation work 
    sheets thereafter as provided in paragraph (h) of this section. 
    Calculations of actual or estimated emissions and calculation of the 
    fees owed by a source shall be computed by the source on fee 
    calculation work sheets provided by EPA. Fee payment in an amount that 
    equals one-third of the annual fees owed must accompany each initial 
    fee calculation work sheet. The balance of the annual fees owed must be 
    paid within four months of the due date of the initial fee or within 
    one year of the effective date of the part 71 program, whichever is 
    earlier.
        (2) The fee calculation work sheet shall require the source to 
    submit a report of its actual emissions for the preceding calendar year 
    and to compute fees owed based on those emissions. For sources that 
    have been issued part 70 or part 71 permits, actual emissions shall be 
    computed using compliance methods required by the most recent permit. 
    If actual emissions cannot be determined using the compliance methods 
    in the permit, the actual emissions should be determined using 
    federally recognized procedures. If a source commenced operation during 
    the preceding calendar year, the source shall estimate its actual 
    emissions for the current calendar year. In such a case, fees for the 
    source shall be based on the total emissions estimated.
        (f) Deadlines for submission.
        (1) When EPA withdraws approval of a part 70 program and implements 
    a part 71 program, part 71 sources shall submit initial fee calculation 
    work sheets and fees in accordance with the following schedule:
        (i) Sources having SIC codes between 0100 and 2499 inclusive shall 
    complete and submit fee calculation work sheets and fees within 4 
    months of the effective date of the part 71 program;
        (ii) Sources having SIC codes between 2500 and 2999 inclusive shall 
    complete and submit fee calculation work sheets and fees within 5 
    months of the effective date of the part 71 program;
        (iii) Sources having SIC codes between 3000 and 3999 inclusive 
    shall complete and submit fee calculation work sheets and fees within 6 
    months of the effective date of the part 71 program;
        (iv) Sources having SIC codes higher than 3999 shall complete and 
    submit fee calculation work sheets and fees within 7 months of the 
    effective date of the part 71 program.
        (2) Sources that are required under either paragraph (f)(1) or (g) 
    of this section to submit fee calculation work sheets and fees between 
    January 1 and March 31 may estimate their emissions for the preceding 
    calendar year in lieu of submitting actual emissions data. If the 
    source's initial fee calculation work sheet was based on estimated 
    emissions for the source's preceding calendar year, then the source 
    shall reconcile the fees owed when it submits its annual emissions 
    report, as provided in paragraph (h)(3) of this section.
        (3) When EPA implements a part 71 program that does not replace an 
    approved part 70 program, part 71 sources shall submit initial fee 
    calculation work sheets and initial fees when submitting their permit 
    applications in accordance with the requirements of Sec. 71.5(b)(1).
        (4) Notwithstanding the above, sources that become subject to the 
    part 71 program after the program's effective date shall submit an 
    initial fee calculation work sheet and initial fees when submitting 
    their permit applications in accordance with the requirements of 
    Sec. 71.5(b)(1) .
        (g) Fees for sources that are issued part 71 permits following an 
    EPA objection pursuant to Sec. 71.4(e). Fees for such sources shall be 
    determined as provided in paragraph (c) of this section. However, 
    initial fee calculation work sheets for such sources and full payment 
    of annual fees shall be due three months after the date on which the 
    source's part 71 permit is issued.
        (h) Annual emissions reports.
        (1) Deadlines for submission. Each part 71 source shall submit an 
    annual report of its actual emissions for the preceding calendar year, 
    a fee calculation work sheet (based on the report), and full payment of 
    the annual fee each year on the anniversary date of its initial fee 
    calculation work sheet, except that sources that were required to 
    submit initial fee calculation work sheets between January 1 and March 
    31 inclusive shall submit subsequent annual emissions reports and fee 
    calculation work sheets on April 1.
        (2) For sources that have been issued part 70 or part 71 permits, 
    actual emissions shall be computed using methods required by the most 
    current permit for determining compliance.
        (3) If the source's initial fee calculation work sheet was based on 
    estimated emissions for the source's current or preceding calendar 
    year, then the source shall reconcile the fees owed when it submits its 
    annual emissions report. The source shall compare the estimated 
    emissions from the initial work sheet and the actual emissions from the 
    report and shall enter such information on the fee calculation work 
    sheet that accompanies the annual report. The source shall recompute 
    the initial fee accordingly and shall remit any underpayment with the 
    report and work sheet. The EPA shall credit any overpayment to the 
    source's account.
        (i) Recordkeeping requirements. Part 71 sources will retain, in 
    accordance with the provisions of Sec. 71.6(e), all work sheets and 
    other materials used to determine fee payments. Records shall be 
    retained for 5 years following the year in which the emissions data is 
    submitted.
        (j) Fee assessment errors.
        (1) If EPA determines than a source has completed the fee 
    calculation work sheet incorrectly, the permitting authority shall bill 
    the applicant for the corrected fee or credit overpayments to the 
    source's account.
        (2) Each source notified by the permitting authority of additional 
    amounts due shall remit full payment within 30 days of receipt of an 
    invoice from the permitting authority.
        (3) An owner or operator of a part 71 source who thinks that the 
    assessed fee is in error shall provide a written explanation of the 
    alleged error to the permitting authority along with the assessed fee. 
    The permitting authority shall, within 90 days of receipt of the 
    correspondence, review the data to determine whether the assessed fee 
    was in error. If an error was made, the overpayment shall be credited 
    to the account of the part 71 source.
        (k) Remittance procedure.
        (1) Each remittance under this section shall be in United States 
    currency and shall be paid by money order, bank draft, certified check, 
    corporate check, or electronic funds transfer payable to the order of 
    the U.S. Environmental Protection Agency. [[Page 20851]] 
        (2) Each remittance shall be sent to the Environmental Protection 
    Agency to the address designated on the fee calculation work sheet or 
    the invoice.
        (l) Penalty and interest assessment.
        (1) The permitting authority shall assess interest on payments 
    which are received later than the date due. The interest rate shall be 
    the sum of the Federal short-term rate determined by the Secretary of 
    the Treasury in accordance with section 6621(a)(2) of the Internal 
    Revenue Code of 1986, plus 3 percentage points.
        (2) The permitting authority shall assess a penalty charge of 50 
    percent of the fee amount if the fee is not paid within 30 days of the 
    payment due date.
        (3) Part 71 sources shall be assessed a penalty of 50 percent on 
    underpayments computed under paragraph (h)(3) of this section when the 
    underpayment is in excess of 20 percent of the initial estimated fee 
    amount and interest as computed under paragraph (l)(1) of this section 
    on that portion of the underpayment in excess of 20 percent of the 
    initial fee amount.
        (m) Failure to remit fees. The permitting authority shall not issue 
    a final permit or permit revision until all fees, interest and 
    penalties assessed against a source under this section are paid. The 
    initial application of a source shall not be found complete unless the 
    source has paid all fees owed.
        (n) Adjustments of fee schedules.
        (1) The fee schedules provided in paragraphs (c)(1) through (c)(4) 
    of this section shall remain in effect until December 31, 1996. 
    Thereafter, the fee schedules shall be changed annually by the 
    percentage, if any, of any annual increase in the Consumer Price Index.
        (2) Part 71 permit program costs and fees will be reviewed by the 
    Administrator at least every two years, and changes will be made to the 
    fee schedule as necessary to reflect permit program costs.
        (3) When changes to a fee schedule are made based on periodic 
    reviews by the Administrator, the changes will be published in the 
    Federal Register as a rule.
        (o) Use of revenue. All fees, penalties, and interest collected 
    under this part shall be deposited in a special fund in the U.S. 
    Treasury, which thereafter shall be available for appropriation, to 
    remain available until expended, subject to appropriation, to carry out 
    the activities required by this part.
    
    
    Sec. 71.10  Delegation of part 71 program.
    
        (a) Delegation of part 71 program. The Administrator may delegate, 
    in whole or in part, with or without signature authority, the authority 
    to administer a part 71 operating permits program to a State, eligible 
    Tribe, local, or other non-State agency in accordance with the 
    provisions of this section. In order to be delegated authority to 
    administer a part 71 program, the delegate agency must submit a legal 
    opinion from the Attorney General from the State, or the attorney for 
    the State, local, interstate, or eligible Tribal agency that has 
    independent legal counsel, stating that the laws of the State, 
    locality, interstate compact or Indian Tribe provide adequate authority 
    to carry out all aspects of the delegated program. A Delegation of 
    Authority Agreement (Agreement) shall set forth the terms and 
    conditions of the delegation, shall specify the provisions that the 
    delegate agency shall be authorized to implement, and shall be entered 
    into by the Administrator and the delegate agency. The Agreement shall 
    become effective upon the date that both the Administrator and the 
    delegate agency have signed the Agreement. Once delegation becomes 
    effective, the delegate agency will be responsible, to the extent 
    specified in the Agreement, for administering the part 71 program for 
    the area subject to the Agreement.
        (b) Publication of Delegation of Authority Agreement. The Agreement 
    shall be published in the Federal Register.
        (c) Revision or revocation of Delegation of Authority Agreement. An 
    Agreement may be modified, amended, or revoked, in part or in whole, by 
    the Administrator after consultation with the delegate agency.
        (d) Transmission of information to the Administrator.
        (1) When a part 71 program has been delegated in accordance with 
    the provisions of this section, except as provided by 
    Sec. 71.7(a)(1)(v), the delegate agency shall provide to the 
    Administrator a copy of each application for a permit, permit renewal, 
    or permit revision (including any compliance plan, or any portion the 
    Administrator determines to be necessary to review the application and 
    permit effectively), each proposed permit, and each final part 71 
    permit.
        (2) The applicant may be required by the delegate agency to provide 
    a copy of the permit application (including the compliance plan) 
    directly to the Administrator.
        (3) Upon agreement with the Administrator, the delegate agency may 
    submit to the Administrator a permit application summary form and any 
    relevant portion of the permit application and compliance plan, in 
    place of the complete permit application and compliance plan. To the 
    extent practicable, the preceding information shall be provided in 
    computer-readable format compatible with EPA's national database 
    management system.
        (e) Retention of records. The records for each draft, proposed, and 
    final permit, and application for permit renewal or revision shall be 
    kept for a period of 5 years by the delegate agency. The delegate 
    agency shall also submit to the Administrator such information as the 
    Administrator may reasonably require to ascertain whether the delegate 
    agency is implementing, administering, and enforcing the delegated part 
    71 program in compliance with the requirements of the Act and of this 
    part.
        (f) Prohibition of default issuance.
        (1) For the purposes of Federal law and title V of the Act, when a 
    part 71 program has been delegated in accordance with the provisions of 
    this section, no part 71 permit (including a permit renewal or 
    revision) will be issued until affected States have had an opportunity 
    to review the draft permit as required pursuant to Sec. 71.8(a) and EPA 
    has had an opportunity to review the proposed permit.
        (2) To receive delegation of signature authority, the legal opinion 
    submitted by the delegate agency pursuant to paragraph (a) of this 
    section shall certify that no applicable provision of State, local or 
    Tribal law requires that a part 71 permit or renewal be issued after a 
    certain time if the delegate agency has failed to take action on the 
    application (or includes any other similar provision providing for 
    default issuance of a permit), unless EPA has waived such review for 
    EPA and affected States. Notwithstanding this prohibition on default 
    permit issuance, permits may be revised on a default basis pursuant to 
    the procedures in Sec. 71.7 (e) and (f).
        (g) EPA objection.
        (1) No permit for which an application must be transmitted to the 
    Administrator under paragraph (d)(1) of this section shall be issued if 
    the Administrator objects to its issuance in writing within 45 days of 
    receipt of the proposed permit and all necessary supporting 
    information. When a part 71 program has been delegated in accordance 
    with the provisions of this section, failure of the delegate agency to 
    do any of the following shall constitute grounds for an objection by 
    the Administrator:
        (i) Comply with paragraph (d) of this section;
        (ii) Submit any information necessary to review adequately the 
    proposed permit;
        (iii) Process the permit under the procedures required by 
    Secs. 71.7 and 71.11; [[Page 20852]] 
        (iv) Propose or issue a part 71 permit that complies with 
    applicable requirements of the Act or the requirements under this part, 
    except as provided in Sec. 71.7(a)(6); or
        (v) Comply with the requirements of Sec. 71.8(a).
        (2) Any EPA objection under paragraph (g)(1) of this section shall 
    include a statement of the Administrator's reason(s) for objection and 
    a description of the terms and conditions that the permit must include 
    to respond to the objection. The Administrator will provide the permit 
    applicant a copy of the objection.
        (3) If the delegate agency fails, within 90 days after the date of 
    an objection under paragraph (g)(1) of this section, to revise and 
    submit to the Administrator the proposed permit in response to the 
    objection, the proposed permit shall not issue and thereafter the 
    Administrator shall issue a part 71 permit to the applicant in 
    accordance with the requirements of this part.
        (h) Public petitions. In the case of a delegated program, any 
    interested person may petition the Administrator to reopen a permit for 
    cause as provided in Sec. 71.11(n).
        (i) Appeal of permits. When a part 71 program has been delegated 
    with signature authority in accordance with the provisions of this 
    section, any permit applicant and any person or affected State that 
    submitted recommendations or comments on the draft permit, or that 
    participated in the public hearing process may petition the 
    Environmental Appeals Board in accordance with Sec. 71.11(l)(1).
        (j) Non-delegable conditions.
        (1) The Administrator's authority to object to the issuance of a 
    part 71 permit cannot be delegated to an agency not within EPA.
        (2) The Administrator's authority to act upon petitions submitted 
    pursuant to paragraph (h) of this section cannot be delegated to an 
    agency not within EPA.
    
    
    Sec. 71.11  Administrative record, public participation, and 
    administrative review.
    
        The provisions of paragraphs (a) through (j) of this section shall 
    apply to initial permit issuance, permit renewals, permit reopenings, 
    and significant permit revisions but not to permit revisions qualifying 
    for minor permit revision procedures, de minimis permit revision 
    procedures, or administrative amendments. The provisions of paragraphs 
    (k), (l), and (m) of this section shall apply to all permit 
    proceedings.
        (a) Draft permits.
        (1) The permitting authority shall promptly provide notice to the 
    applicant of whether the application is complete pursuant to 
    Sec. 71.7(a)(3).
        (2) Once an application for an initial permit, permit revision, or 
    permit renewal is complete, the permitting authority shall decide 
    whether to prepare a draft permit or to deny the application.
        (3) If the permitting authority initially decides to deny the 
    permit application, it shall issue a notice of intent to deny. A notice 
    of intent to deny the permit application is a type of draft permit and 
    follows the same procedures as any draft permit prepared under this 
    section. If the permitting authority's final decision is that the 
    initial decision to deny the permit application was incorrect, it shall 
    withdraw the notice of intent to deny and proceed to prepare a draft 
    permit under paragraph (a)(4) of this section.
        (4) If the permitting authority decides to prepare a draft permit, 
    it shall prepare a draft permit that contains the permit conditions 
    required under Sec. 71.6.
        (5) All draft permits prepared under this section shall be publicly 
    noticed and made available for public comment.
        (b) Statement of basis. The permitting authority shall prepare a 
    statement of basis for every draft permit subject to this section. The 
    statement of basis shall briefly describe the derivation of the 
    conditions of the draft permit and the reasons for them or, in the case 
    of notices of intent to deny or terminate, reasons supporting the 
    initial decision. The statement of basis shall be sent to the applicant 
    and, on request, to any other person.
        (c) Administrative record for draft permits.
        (1) The provisions of a draft permit shall be based on the 
    administrative record defined in this section.
        (2) For preparing a draft permit, the administrative record shall 
    consist of:
        (i) The application and any supporting data furnished by the 
    applicant;
        (ii) The draft permit or notice of intent to deny the application 
    or to terminate the permit;
        (iii) The statement of basis;
        (iv) All documents cited in the statement of basis; and
        (v) Other documents contained in the supporting file for the draft 
    permit.
        (3) Material readily available at the permitting authority or 
    published material that is generally available, and that is included in 
    the administrative record under paragraphs (b) and (c) of this section 
    need not be physically included with the rest of the record as long as 
    it is specifically referred to in the statement of basis.
        (d) Public notice of permit actions and public comment period.
        (1) Scope.
        (i) The permitting authority shall give public notice that the 
    following actions have occurred:
        (A) A permit application has been initially denied under paragraph 
    (a) of this section;
        (B) A draft permit has been prepared under paragraph (a) of this 
    section;
        (C) A hearing has been scheduled under paragraph (f) of this 
    section;
        (D) A public comment period has been reopened under paragraph (h) 
    of this section;
        (E) An appeal has been granted under paragraph (l)(3) of this 
    section.
        (ii) No public notice is required in the case of administrative 
    permit revisions, or when a request for permit revision, revocation and 
    reissuance, or termination has been denied under paragraph (a)(2) of 
    this section. Written notice of that denial shall be given to the 
    requester and to the permittee.
        (iii) Public notices may describe more than one permit or permit 
    action.
        (2) Timing.
        (i) Public notice of the preparation of a draft permit, (including 
    a notice of intent to deny a permit application), shall allow at least 
    30 days for public comment.
        (ii) Except as provided under Sec. 71.7(g)(5)(ii)(C), public notice 
    of a public hearing shall be given at least 30 days before the hearing. 
    Public notice of the hearing may be given at the same time as public 
    notice of the draft permit and the two notices may be combined.
        (iii) The permitting authority shall provide such notice and 
    opportunity for participation to affected States on or before the time 
    that the permitting authority provides this notice to the public.
        (3) Methods. Public notice of activities described in paragraph 
    (d)(1)(i) of this section shall be given by the following methods:
        (i) By mailing a copy of a notice to the following persons (any 
    person otherwise entitled to receive notice under paragraph (d) of this 
    section may waive his or her rights to receive notice for any permit):
        (A) The applicant;
        (B) Affected States;
        (C) Air pollution control agencies of affected States, Tribal and 
    local air pollution control agencies which have jurisdiction over the 
    area in which the source is located, the chief executives of the city 
    and county where the source is located, any comprehensive regional land 
    use planning agency and any State [[Page 20853]] or Federal Land 
    Manager whose lands may be affected by emissions from the source;
        (D) Any unit of local government including the local emergency 
    planning committee, having jurisdiction over the area where the source 
    is located and to each State agency having any authority under State 
    law with respect to the operation of such source;
        (E) Persons on a mailing list developed by:
        (1) Including those who request in writing to be on the list;
        (2) Soliciting persons for ``area lists'' from participants in past 
    permit proceedings in that area; and
        (3) Notifying the public of the opportunity to be put on the 
    mailing list through periodic publication in the public press and, 
    where deemed appropriate by the permitting authority, in such 
    publications as regional and State funded newsletters, environmental 
    bulletins, or State law journals. The permitting authority may update 
    the mailing list from time to time by requesting written indication of 
    continued interest from those listed. The permitting authority may 
    delete from the list the name of any person who fails to respond to 
    such a request.
        (ii) By publication of a notice in a daily or weekly newspaper of 
    general circulation within the area affected by the source.
        (iii) By any other method reasonably calculated to give actual 
    notice of the action in question to the persons potentially affected by 
    it, including press releases or any other forum or medium to elicit 
    public participation.
        (4) Contents.
        (i) All public notices. All public notices issued under this 
    subpart shall contain the following minimum information:
        (A) The name and address of the permitting authority processing the 
    permit;
        (B) The name and address of the permittee or permit applicant and, 
    if different, of the facility regulated by the permit, except in the 
    case of draft general permits;
        (C) The activity or activities involved in the permit action;
        (D) The emissions change involved in any permit revision;
        (E) The name, address, and telephone number of a person whom 
    interested persons may contact for instructions on how to obtain 
    additional information, such as a copy of the draft permit, the 
    statement of basis, the application, relevant supporting materials, and 
    other materials available to the permitting authority that are relevant 
    to the permitting decision.
        (F) A brief description of the comment procedures required by 
    paragraph (e) of this section, a statement of procedures to request a 
    hearing (unless a hearing has already been scheduled) and other 
    procedures by which the public may participate in the final permit 
    decision;
        (G) The location of the administrative record, the times at which 
    the record will be open for public inspection, and a statement that all 
    data submitted by the applicant are available as part of the 
    administrative record; and
        (H) Any additional information considered necessary or proper.
        (ii) Public notices for hearings. Public notice of a hearing may be 
    combined with other notices required under paragraph (d)(1) of this 
    section. Any public notice of a hearing under paragraph (f) of this 
    section shall contain the following information:
        (A) The information described in paragraph (d)(4)(i) of this 
    section;
        (B) Reference to the date of previous public notices relating to 
    the permit;
        (C) The date, time, and place of the hearing; and
        (D) A brief description of the nature and purpose of the hearing, 
    including the applicable rules and the comment procedures.
        (5) All persons identified in paragraphs (d)(3)(i) (A), (B), (C), 
    (D), and (E) of this section shall be mailed a copy of the public 
    hearing notice described in paragraph (d)(4)(ii) of this section.
        (e) Public comments and requests for public hearings. During the 
    public comment period provided under paragraph (a) of this section, any 
    interested person may submit written comments on the draft permit and 
    may request a public hearing, if no hearing has already been scheduled. 
    A request for a public hearing shall be in writing and shall state the 
    nature of the issues proposed to be raised at the hearing. All comments 
    shall be considered in making the final decision and shall be answered 
    as provided in paragraph (j) of this section. The permitting authority 
    will keep a record of the commenters and of the issues raised during 
    the public participation process, and such records shall be available 
    to the public.
        (f) Public hearings.
        (1) The permitting authority shall hold a hearing whenever it 
    finds, on the basis of requests, a significant degree of public 
    interest in a draft permit.
        (2) The permitting authority may also hold a public hearing at its 
    discretion, whenever, for instance, such a hearing might clarify one or 
    more issues involved in the permit decision.
        (3) Public notice of the hearing shall be given as specified in 
    paragraph (d) of this section.
        (4) Whenever a public hearing is held, the permitting authority 
    shall designate a Presiding Officer for the hearing who shall be 
    responsible for its scheduling and orderly conduct.
        (5) Any person may submit oral or written statements and data 
    concerning the draft permit. Reasonable limits may be set upon the time 
    allowed for oral statements, and the submission of statements in 
    writing may be required. The public comment period under paragraph (d) 
    of this section shall be automatically extended to the close of any 
    public hearing under this section. The hearing officer may also extend 
    the comment period by so stating at the hearing.
        (6) A tape recording or written transcript of the hearing shall be 
    made available to the public.
        (g) Obligation to raise issues and provide information during the 
    public comment period. All persons, including applicants, who believe 
    any condition of a draft permit is inappropriate or that the permitting 
    authority's initial decision to deny an application, terminate a 
    permit, or prepare a draft permit is inappropriate, must raise all 
    reasonably ascertainable issues and submit all reasonably ascertainable 
    arguments supporting their position by the close of the public comment 
    period (including any public hearing). Any supporting materials that 
    are submitted shall be included in full and may not be incorporated by 
    reference, unless they are already part of the administrative record in 
    the same proceeding, or consist of State or Federal statutes and 
    regulations, EPA documents of general applicability, or other generally 
    available reference materials. In the case of a program delegated 
    pursuant to Sec. 71.10, if requested by the Administrator, the 
    permitting authority shall make supporting materials not already 
    included in the administrative record available to EPA. The permitting 
    authority may direct commenters to provide such materials directly to 
    EPA. A comment period longer than 30 days may be necessary to give 
    commenters a reasonable opportunity to comply with the requirements of 
    this section. Additional time shall be granted to the extent that a 
    commenter who requests additional time demonstrates the need for such 
    time.
        (h) Reopening of the public comment period.
        (1) The permitting authority may order the public comment period 
    reopened if the procedures of paragraph (h) of this section could 
    expedite the decision making process. When the public comment period is 
    reopened under paragraph (h) of this section, all 
    [[Page 20854]] persons, including applicants, who believe any condition 
    of a draft permit is inappropriate or that the permitting authority's 
    initial decision to deny an application, terminate a permit, or prepare 
    a draft permit is inappropriate, must submit all reasonably available 
    factual grounds supporting their position, including all supporting 
    material, by a date not less than 30 days after public notice under 
    paragraph (h)(2) of this section, set by the permitting authority. 
    Thereafter, any person may file a written response to the material 
    filed by any other person, by a date, not less than 20 days after the 
    date set for filing of the material, set by the permitting authority.
        (2) Public notice of any comment period under this paragraph shall 
    identify the issues to which the requirements of Sec. 71.11 (h)(1) 
    through (h)(4) shall apply.
        (3) On its own motion or on the request of any person, the 
    permitting authority may direct that the requirements of paragraph 
    (h)(1) of this section shall apply during the initial comment period 
    where it reasonably appears that issuance of the permit will be 
    contested and that applying the requirements of paragraph (h)(1) of 
    this section will substantially expedite the decision making process. 
    The notice of the draft permit shall state whenever this has been done.
        (4) A comment period of longer than 30 days may be necessary in 
    complicated proceedings to give commenters a reasonable opportunity to 
    comply with the requirements of this section. Commenters may request 
    longer comment periods and they may be granted to the extent the 
    permitting authority finds it necessary.
        (5) If any data, information, or arguments submitted during the 
    public comment period appear to raise substantial new questions 
    concerning a permit, the permitting authority may take one or more of 
    the following actions:
        (i) Prepare a new draft permit, appropriately modified;
        (ii) Prepare a revised statement of basis, and reopen the comment 
    period; or
        (iii) Reopen or extend the comment period to give interested 
    persons an opportunity to comment on the information or arguments 
    submitted.
        (6) Comments filed during the reopened comment period shall be 
    limited to the substantial new questions that caused the reopening. The 
    public notice shall define the scope of the reopening.
        (7) Public notice of any of the above actions shall be issued under 
    paragraph (d) of this section.
        (i) Issuance and effective date of permit.
        (1) After the close of the public comment period on a draft permit, 
    the permitting authority shall issue a final permit decision. The 
    permitting authority shall notify the applicant and each person who has 
    submitted written comments or requested notice of the final permit 
    decision. This notice shall include reference to the procedures for 
    appealing a decision on a permit. For the purposes of this section, a 
    final permit decision means a final decision to issue, deny, revise, 
    revoke and reissue, renew, or terminate a permit.
        (2) A final permit decision shall become effective immediately upon 
    issuance of the decision unless a later effective date is specified in 
    the decision.
        (j) Response to comments.
        (1) At the time that any final permit decision is issued, the 
    permitting authority shall issue a response to comments. This response 
    shall:
        (i) Specify which provisions, if any, of the draft permit have been 
    changed in the final permit decision, and the reasons for the change; 
    and
        (ii) Briefly describe and respond to all significant comments on 
    the draft permit raised during the public comment period, or during any 
    hearing.
        (2) Any documents cited in the response to comments shall be 
    included in the administrative record for the final permit decision as 
    defined in paragraph (k) of this section. If new points are raised or 
    new material supplied during the public comment period, the permitting 
    authority may document its response to those matters by adding new 
    materials to the administrative record.
        (3) The response to comments shall be available to the public.
        (4) The permitting authority will notify in writing any affected 
    State of any refusal to accept recommendations for the permit that the 
    State submitted during the public or affected State review period.
        (k) Administrative record for final permits.
        (1) The permitting authority shall base final permit decisions on 
    the administrative record defined in paragraph (k)(2) of this section.
        (2) The administrative record for any final permit shall consist 
    of:
        (i) All comments received during any public comment period, 
    including any extension or reopening;
        (ii) The tape or transcript of any hearing(s) held;
        (iii) Any written material submitted at such a hearing;
        (iv) The response to comments and any new materials placed in the 
    record;
        (v) Other documents contained in the supporting file for the 
    permit;
        (vi) The final permit;
        (vii) The application and any supporting data furnished by the 
    applicant;
        (viii) The draft permit or notice of intent to deny the application 
    or to terminate the permit;
        (ix) The statement of basis for the draft permit;
        (x) All documents cited in the statement of basis;
        (xi) Other documents contained in the supporting file for the draft 
    permit.
        (3) The additional documents required under paragraph (k)(2) of 
    this section should be added to the record as soon as possible after 
    their receipt or publication by the permitting authority. The record 
    shall be complete on the date the final permit is issued.
        (4) Material readily available at the permitting authority, or 
    published materials which are generally available and which are 
    included in the administrative record under the standards of paragraph 
    (j) of this section need not be physically included in the same file as 
    the rest of the record as long as it is specifically referred to in the 
    statement of basis or in the response to comments.
        (l) Appeal of permits.
        (1) Within 30 days after a final permit decision has been issued, 
    any person who filed comments on the draft permit or participated in 
    the public hearing may petition the Environmental Appeals Board to 
    review any condition of the permit decision. Any person who failed to 
    file comments or failed to participate in the public hearing on the 
    draft permit may petition for administrative review only to the extent 
    of the changes from the draft to the final permit decision. Except for 
    revisions qualifying for minor permit revision procedures, de minimis 
    permit revision procedures, or administrative amendments, the 30-day 
    period within which a person may request review under this section 
    begins with the service of notice of the permitting authority's action 
    unless a later date is specified in that notice. For revisions 
    processed pursuant to minor permit revision procedures, the 30-day 
    period within which a person may request review under this section 
    begins on the date after the permitting authority notifies the source 
    and commenters of the final permit action. For revisions processed 
    pursuant to de minimis permit revision procedures, the 30-day period 
    within which a person may request review under this section begins 
    [[Page 20855]] on the date after the expiration of the permitting 
    authority's period to disapprove the revision or revoke the revision in 
    response to a citizen petition, whichever is applicable. For revisions 
    processed pursuant to administrative amendment procedures, the 30-day 
    period within which a person may request review under this section 
    begins on the date following the expiration of the 60-day period after 
    which the administrative amendment is effective. The petition shall 
    include a statement of the reasons supporting that review, including a 
    demonstration that any issues raised were raised during the public 
    comment period (including any public hearing) to the extent required by 
    these regulations unless the petitioner demonstrates that it was 
    impracticable to raise such objections within such period or unless the 
    grounds for such objection arose after such period, and, when 
    appropriate, a showing that the condition in question is based on:
        (i) A finding of fact or conclusion of law which is clearly 
    erroneous; or
        (ii) An exercise of discretion or an important policy consideration 
    which the Environmental Appeals Board should, in its discretion, 
    review.
        (2) The Board may also decide on its initiative to review any 
    condition of any permit issued under this part. The Board must act 
    under paragraph (l) of this section within 30 days of the service date 
    of notice of the permitting authority's action.
        (3) Within a reasonable time following the filing of the petition 
    for review, the Board shall issue an order either granting or denying 
    the petition for review. To the extent review is denied, the conditions 
    of the final permit decision become final agency action. Public notice 
    of any grant of review by the Board under paragraph (l) (1) or (2) of 
    this section shall be given as provided in paragraph (d) of this 
    section. Public notice shall set forth a briefing schedule for the 
    appeal and shall state that any interested person may file an amicus 
    brief. Notice of denial of review shall be sent only to the permit 
    applicant and to the person(s) requesting review.
        (4) A petition to the Board under paragraph (l)(1) of this section 
    is, under 42 U.S.C. 307(b), a prerequisite to seeking judicial review 
    of the final agency action.
        (5) For purposes of judicial review, final agency action occurs 
    when a final permit is issued or denied by the permitting authority and 
    agency review procedures are exhausted. A final permit decision shall 
    be issued by the permitting authority:
        (i) When the Board issues notice to the parties that review has 
    been denied;
        (ii) When the Board issues a decision on the merits of the appeal 
    and the decision does not include a remand of the proceedings; or
        (iii) Upon the completion of remand proceedings if the proceedings 
    are remanded, unless the Board's remand order specifically provides 
    that appeal of the remand decision will be required to exhaust 
    administrative remedies.
        (6) Neither the filing of a petition for review of any condition of 
    the permit or permit decision nor the granting of an appeal by the 
    Environmental Appeals Board shall stay the effect of any contested 
    permit or permit condition.
        (m) Computation of time.
        (1) Any time period scheduled to begin on the occurrence of an act 
    or event shall begin on the day after the act or event.
        (2) Any time period scheduled to begin before the occurrence of an 
    act or event shall be computed so that the period ends on the day 
    before the act or event, except as otherwise provided.
        (3) If the final day of any time period falls on a weekend or legal 
    holiday, the time period shall be extended to the next working day.
        (4) Whenever a party or interested person has the right or is 
    required to act within a prescribed period after the service of notice 
    or other paper upon him or her by mail, 3 days shall be added to the 
    prescribed time.
        (n) Public petitions to the Administrator.
        (1) Any interested person (including the permittee) may petition 
    the Administrator to reopen a permit for cause, and the Administrator 
    may commence a permit reopening on his or her own initiative. However, 
    the Administrator shall not revise, revoke and reissue, or terminate a 
    permit except for the reasons specified in Sec. 71.7(i)(1) or 
    Sec. 71.6(a)(5)(i). All requests shall be in writing and shall contain 
    facts or reasons supporting the request.
        (2) If the Administrator decides the request is not justified, he 
    or she shall send the requester a brief written response giving a 
    reason for the decision. Denials of requests for revision, revocation 
    and reissuance, or termination are not subject to public notice, 
    comment, or hearings. Denials by the Administrator may be informally 
    appealed to the Environmental Appeals Board by a letter briefly setting 
    forth the relevant facts. The Board may direct the Administrator to 
    begin revision, revocation and reissuance, or termination proceedings 
    under paragraph (n)(3) of this section. The appeal shall be considered 
    denied if the Board takes no action within 60 days after receiving it. 
    This informal appeal is, under 42 U.S.C. 307, a prerequisite to seeking 
    judicial review of EPA action in denying a request for revision, 
    revocation and reissuance, or termination.
        (3) If the Administrator decides the request is justified and that 
    cause exists to revise, revoke and reissue or terminate a permit, he or 
    she shall initiate proceedings to reopen the permit pursuant to 
    Sec. 71.7(i) or Sec. 71.7(j).
    
    
    Sec. 71.12  Prohibited acts.
    
        Violations of any applicable requirement; any permit term or 
    condition; any fee or filing requirement; any duty to allow or carry 
    out inspection, entry, or monitoring activities; or any regulation or 
    order issued by the permitting authority pursuant to this part are 
    violations of the Act and are subject to full Federal enforcement 
    authorities available under the Act.
    
    [FR Doc. 95-10054 Filed 4-26-95; 8:45 am]
    BILLING CODE 6560-50-P
    
    

Document Information

Published:
04/27/1995
Department:
Environmental Protection Agency
Entry Type:
Proposed Rule
Action:
Proposed rule; notice of opportunity for public hearing.
Document Number:
95-10054
Dates:
Comments. Comments on the proposed regulations must be received by EPA's Air Docket on or before June 26, 1995.
Pages:
20804-20855 (52 pages)
Docket Numbers:
FRL 5183-1
RINs:
2060-AD68: Federal Operating Permit Rules
RIN Links:
https://www.federalregister.gov/regulations/2060-AD68/federal-operating-permit-rules
PDF File:
95-10054.pdf
CFR: (49)
40 CFR 52.29)
40 CFR 71.10)
40 CFR 71.10)
40 CFR 71.10.]
40 CFR 71.7(a)(3)
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