Air Quality Issues
Notice of Additional Information - Section 129 Contents for Sewage Sludge Incinerators
Background: On January 14, 1997, EPA published a notice of additional information (NAI) under Section 129 of the Clean Air Act (CAA) establishing new source performance standards and emission guidelines for new and existing solid waste incineration units including units that incinerate municipal sewage sludge. Section 129 requires EPA to promulgate standards and guidelines, for new and existing sources, which include numerical emission limitations for the following substances: particulate matter, opacity, sulfur dioxide, hydrogen chloride, oxides of nitrogen, carbon monoxide, lead, cadmium, mercury, and dioxins and dibenzofurans. In addition, the standards and guidelines are to include requirements for emissions and parameter monitoring and provisions for operator training and certification. On March 17, 1997, AMSA submitted comments in opposition to EPA’s Office of Air & Radiation proposal to subject SSIs to the same regulations as solid waste incinerators. Status: Over the past year, AMSA has worked closely with EPA to encourage them to consider AMSA’s opposition to regulate SSIs under Section 129. In response to the January 1997 NAI, EPA has gathered data on SSIs from the permit compliance system (PCS) database, information from the regions on Part 503 permits, source test data from 97 incinerators and, along with AMSA representatives, visited several test sites in PA and NJ to assess various controls in place at both multiple hearth and fluidized bed incinerators. EPA stated that it will most likely use a technology approach to establish emission levels based on performance of the top 12 percent of control devices in place to determine the maximum achievable control technology (MACT) standard for SSIs under Section 129. Some form of integration with the risk-based approach of Part 503 will be conducted later for each of the eleven pollutants under section 129. EPA’s Offices of Air and Water held an internal meeting on March 18, 1998 to finalize plans for addressing SSIs. EPA is currently in the process of developing a work plan and will meet with AMSA in April. EPA requested dioxin data from the National Office that was solicited from several AMSA member agencies as part of the 1994 Dioxin Assessment Peer Review. CONTACT: Sam Hadeed, AMSA 202/833-4655, or Gene Crumpler, EPA 919/541-0881. POTW MACT Standards Development - Anticipated Proposed Rule Background: On July 16, 1992, as required by the Clean Air Amendments of 1990, EPA published a list of industrial source categories that emit one or more of listed hazardous air pollutants. For listed industrial categories of "major" sources (those that have the potential to emit 10 tons/year or more of a listed pollutant or 25 tons/year or more of a combination of pollutants), EPA is required to develop standards for these sources that will require the application of stringent controls, known as maximum achievable control technology (MACT). The promulgation date for the MACT Standards was established for May 1999. Status: In October 1996, EPA signaled plans to exclude POTWs as a source category under Clean Air Act maximum achievable control technology (MACT) standard development. EPA has cited difficulty in defining a MACT floor for existing POTWs, as relatively few facilities meet the definition of a major source under Section 112. AMSA members should be aware that it remains possible that POTWs may still face regulation as area sources under an urban area air emission control mechanism. In late 1997, AMSA’s Air Quality Committee Leadership reviewed a draft copy of the proposed rule and submitted a preliminary analysis outlining AMSA’s comments and concerns to Bruce Jordan, Director of EPA’s Emissions Standards Division. AMSA’s Air Quality Committee Leadership and the National Office met with EPA in Research Triangle Park, NC on February 23 to review AMSA’s comments on the draft proposal. In March, EPA withdrew their proposed rule for MACT standards POTWs under Section 112, which was undergoing Office of Management & Budget review. In light of recent information provided by AMSA, EPA’s Office of Air Quality Planning & Standards has said it will resubmit a new rule following revisions to the current proposal. CONTACT: Sam Hadeed, AMSA 202/833-4655, or Bob Lucas, EPA 919/541-0884. AMSA Conducts Survey to Support EPA ICCR Process Background: EPA is developing National Emission Standards for Hazardous Air Pollutants (NESHAP) and New Source Performance Standards (NSPS) for certain combustion sources under the Industrial Combustion Coordinated Rulemaking (ICCR) process using an advisory committee consisting of a Coordinating Committee and various workgroups. The ICCR process includes several types of combustion devices operated by AMSA members which utilize digester gas including boilers, Reciprocating Internal Combustion Engines (RICES), Combustion Turbines (CTs), and very likely waste gas flares (under the heading of incineration). Members of AMSA’s Air Quality Committee are represented on the Coordinating Committee and work groups for boilers, RICES, CTs, incinerators and the source testing workgroup. Status: In the summer of 1997, EPA conducted a limited data gathering survey to support development of regulations for the combustion devices. The basis for control of combustion devices will be the average of the top performing 12% of the sources within the category. Due to concerns that the combustion devices operating at POTWs will be considered with all similar combustion categories, AMSA’s Board of Directors approved funding support to conduct a survey of the membership to collect both data inventory and emission data for combustion devices. A major concern was that combustion control devices applicable for burning of natural gas may get applied to the combustion of digester gas, which past experience at several POTWs has shown to be either technically infeasible or not cost-effective. The National Office distributed the survey forms to the membership via Regulatory Alerts RA97-12 and RA97-12a. The results, which indicate that very few AMSA member agencies have conducted emissions testing for hazardous air pollutants (HAPs) and criteria pollutants and will most likely need to conduct such source testing in the future if required by EPA, were submitted to EPA in late September 1997. At the last ICCR meeting, held February 24, committee members discussed a variety of issues including: development of a definition of non-hazardous solid waste with respect to Section 129 regulations; disposition of biogas; pollutants of concern for the upcoming testing program; suggestions for good combustion practices; and whether direct fired process heaters should be handled outside the ICCR in related industry MACT standards. EPA has developed an ICCR Web Site at http://www.epa.gov/ttniccr1/index.cfm. The Web Site provides information on the development of regulations, full workgroup meeting summaries, and workgroup membership lists. The Incinerator Workgroup will met on April 7, 1998. The Workgroups have scheduled the following meetings: April 30 (Fort Collins, CO) -- Incinerators, IC Engines, Boilers, Stationary CTs, and Process Heaters; May 1 (Fort Collins, CO) -- Testing & Monitoring Protocol. CONTACT: Sam Hadeed, AMSA 202/833-4655, or Fred Porter, EPA 919/541-5251.AMSA/EPA Model RMP to Serve as Focus of Upcoming Workshop for POTWs
As required under Section 112(r)(7) of the Clean Air Act, on June 20, 1996, EPA promulgated a final Risk Management Plan (RMP) regulation which requires the owner or operator of stationary sources at which a regulated substance is present to prepare and implement a RMP that must include both a hazard assessment that evaluates the potential effects of an accidental release of any regulated substance and a five-year accident release history. Regulated sources have until June 21, 1999 to comply with the RMP requirements. For more information on the RMP regulation, please visit EPA’s RMP Web Site at http://www.epa.gov/swercepp. AMSA and EPA’s Chemical Emergency Preparedness & Prevention Office are developing a model RMP to help wastewater facilities comply with the June 1999 compliance deadline to implement the CAA’s Section 112(r)(7) requirements. Following completion of the second draft, in March 1998, the guidance document will be pilot tested at several member agencies across the country and undergo a peer review process by various wastewater agencies to ensure its user-friendliness and effectiveness, with completion during Summer 1998.The model RMP provides compliance guidance for regulated chemicals with the highest potential to exceed the threshold quantity and which are most commonly used at wastewater facilities, including: chlorine, ammonia (anhydrous and aqueous), sulfur dioxide, digester gas and propane. The model RMP also covers: 1) developing a five-year accident history; 2) performing a hazard assessment; 3) developing a management system to oversee the implementation of the RMP elements; 4) defining boundaries of processes for which you are implementing prevention and response programs; 5) developing a prevention program; and, 6) implementing an emergency response program. The two-day RMP Implementation Workshop for POTWs, scheduled for June 25-26 at the Milwaukee Hilton in Milwaukee, WI, will focus on which POTWs are subject to the rule and will provide the POTW community with implementation guidance for the chemical accident prevention rule. The workshop will also cover applicable compliance guidance for POTWs who are subject under state law to implement OSHA’s Chemical Process Safety Management Standard (OSHA Program 3 prevention program), which had a 1995 compliance date. AMSA believes the model RMP coupled with the Implementation Workshop will provide POTWs with the necessary tools to assess options for meeting the rapidly approaching deadline. A draft agenda and registration information were forwarded to the membership via Member Update, MU 98-8. Workshop information and online registration is available on AMSA’s Web Site, Clean Water on the Web, at http://www.amsa-cleanwater.org. CONTACT: Sam Hadeed, AMSA 202/833-4655.
Related Items of Interest
On March 13, 1998, EPA issued a notice regarding its decision that CAA Section 112 provides EPA sufficient legal authority to protect public health and the environment from deposition of toxic air pollutants into what is known as the Great Waters, including the Chesapeake Bay, Lake Champlain and many other U.S. coastal waters. At this time, EPA believes further legislative action is unnecessary. In the notice, EPA states that while significant strides have been made to reduce the air toxics affecting the Great Waters, emissions must be further reduced and EPA will continue to develop and implement regulations under the air toxics programs and other authorities to achieve further reductions in pollutants affecting the Great Waters. The March 13 notice is in response to comments received by EPA on a June 1997 EPA report to Congress, Deposition of Air Pollutants to the Great Waters. CONTACT: Dale Evarts, EPA 919/541-5535. For more information, visit EPA’s Office of Air and Radiation Policy Web Site at http://www.epa.gov/ttn/oarpg.