(1) Except as provided in subsection (3) of this
section, it shall be unlawful for the owner or operator to
knowingly and intentionally operate in this state or on the
waters of this state an onshore or offshore facility without an
approved contingency plan or an approved prevention plan as
required by this chapter, or financial responsibility in
compliance with chapter 88.40 RCW and the federal oil pollution
act of 1990.
(2)(a) The first conviction under this section is a gross
misdemeanor under chapter 9A.20 RCW.
(b) A second or subsequent conviction is a class C felony
under chapter 9A.20 RCW.
(3) It shall not be unlawful for the owner or operator to
operate an onshore or offshore facility if:
(a) The facility is not required to have a contingency plan,
spill prevention plan, or financial responsibility; or
(b) All required plans have been submitted to the department
as required by RCW 90.56.210 and rules adopted by the department
and the department is reviewing the plan and has not denied
approval.
(4) A person may rely on a copy of the statement issued by
the department pursuant to RCW 90.56.210(7) as evidence that a
facility has an approved contingency plan and the statement
issued pursuant to RCW 90.56.200(4) that a facility has an
approved prevention plan.
[2003 c 53 § 420; 1992 c 73 § 34; 1991 c 200 § 301; 1990 c 116 § 8. Formerly RCW 90.48.376.]
NOTES:
Intent -- Effective date -- 2003 c 53: See notes following RCW 2.48.180.
Effective dates -- 1992 c 73: See RCW 82.23B.902.
Findings -- Severability -- 1990 c 116: See notes following RCW 90.56.210.