WAC 173-200-070
Early warning value. (1) The purpose of
an early warning value is to provide early detection of
increasing contaminant concentrations that may approach or
exceed enforcement limits.
(2) Whenever an enforcement limit is established above
background groundwater quality, an early warning value may be
established, as appropriate.
(3) An early warning value shall be required when an
alternative point of compliance is established unless
technical constraints would prohibit establishment of an early
warning value.
(4) An early warning value shall be established as a
percentage of the enforcement limit upon consideration by the
department of factors including, but not limited to, the
following:
(a) The enforcement limit relative to background
groundwater quality;
(b) The availability, reliability, and reasonableness of
analytical methods;
(c) The chemical, physical, and biological
characteristics of the contaminants;
(d) The reliability of all known, available, and
reasonable methods of prevention, control, and treatment;
(e) The anticipated increases in contaminant levels at
the point of compliance; and
(f) The potential harm to existing and future beneficial
uses.
(5) It shall not be considered a violation of these rules
when contaminants are detected in concentrations exceeding an
early warning value, but not exceeding an enforcement limit,
unless there is failure to notify the department or respond as
required in accordance with subsection (6) of this section.
(6) The following procedures apply when a contaminant is
detected at a point of compliance or an alternative point of
compliance and an early warning value is attained or exceeded.
(a) The permit holder or responsible person shall notify
the department, in writing, within ten calendar days from
detection of the early warning value, that the early warning
value has been attained or exceeded. The notification shall
contain, at a minimum, the following information:
(i) The concentrations of contaminants that attained or
exceeded early warning values;
(ii) Concentrations of other contaminants monitored;
(iii) The location(s) and date(s) sampled; and
(iv) Concentrations of contaminants determined during
previous sampling events.
(b) When notification is received, the department may
require the permit holder or responsible person to perform one
or more of the following:
(i) Take no action.
(ii) Resample to verify results.
(iii) Increase monitoring or modify the monitoring plan
or evaluation procedures.
(iv) Develop and implement a trend analysis to determine
the likelihood of exceeding the enforcement limit.
(v) Prepare and submit a report documenting the changes
in groundwater quality and discuss and propose alternative
methods of operation that will reduce impacts to groundwater.
(vi) Take such actions as the department deems necessary,
if the department determines that there is a likelihood of
exceeding an enforcement limit at the point of compliance.
[Statutory Authority: RCW 90.48.035. 90-22-023, §
173-200-070, filed 10/31/90, effective 12/1/90.]