| (i) |
Before beginning actual construction of the
project, the owner or operator shall document and
maintain a record of the following information: |
| (A) |
A description of the project; |
| (B) |
Identification of the emissions unit(s) whose
emissions of a regulated NSR pollutant could be
affected by the project; and |
| (C) |
A description of the applicability test used to
determine that the project is not a major
modification for any regulated NSR pollutant,
including the baseline actual emissions, the
projected actual emissions, the amount of
emissions excluded under paragraph 40 CFR 52.21
(b)(41)(ii)(c) and an explanation for why such
amount was excluded, and any netting calculations,
if applicable. |
| (ii) |
The owner or operator shall submit a copy of the
information set out in paragraph 40 CFR 52.21
(r)(6)(i) to the permitting authority before
beginning actual construction. This information
may be submitted in conjunction with any NOC
application required under the provisions of WAC 173-400-110. Nothing in this paragraph (r)(6)(ii)
shall be construed to require the owner or
operator of such a unit to obtain any PSD
determination from the permitting authority before
beginning actual construction. |
| (iii) |
The owner or operator shall monitor the emissions
of any regulated NSR pollutant that could increase
as a result of the project and that is emitted by
any emissions unit identified in paragraph 40 CFR
52.21 (r)(6)(i)(b); and calculate and maintain a
record of the annual emissions, in tons per year
on a calendar year basis, for a period of 5 years
following resumption of regular operations after
the change, or for a period of 10 years following
resumption of regular operations after the change
if the project increases the design capacity of or
potential to emit that regulated NSR pollutant at
such emissions unit. For purposes of this
paragraph (r)(6)(iii), fugitive emissions (to the
extent quantifiable) shall be monitored if the
emissions unit is part of one of the source
categories listed in 40 CFR 52.21 (b)(1)(iii) or
if the emissions unit is located at a major
stationary source that belongs to one of the
listed source categories. |
| (iv) |
The owner or operator shall submit a report to the
permitting authority within 60 days after the end
of each year during which records must be
generated under paragraph 40 CFR 52.21 (r)(6)(iii)
setting out the unit's annual emissions, as
monitored pursuant to 40 CFR 52.21 (r)(6)(iii),
during the calendar year that preceded submission
of the report. |
| (v) |
The owner or operator shall submit a report to the
permitting authority if the annual emissions, in
tons per year, from the project identified in
paragraph 40 CFR 52.21 (r)(6)(i), exceed the
baseline actual emissions (as documented and
maintained pursuant to paragraph 40 CFR 52.21
(r)(6)(i)(c)), by a significant amount (as defined
in paragraph 40 CFR 52.21 (b)(23)) for that
regulated NSR pollutant, and if such emissions
differ from the preconstruction projection as
documented and maintained pursuant to paragraph 40
CFR 52.21 (r)(6)(i)(c). Such report shall be
submitted to the permitting authority within 60
days after the end of such year. The report shall
contain the following: |
| (a) |
The name, address and telephone number of the
major stationary source; |
| (b) |
The annual emissions as calculated pursuant to
paragraph (r)(6)(iii) of this section; and |
| (c) |
Any other information that the owner or operator
wishes to include in the report (e.g., an
explanation as to why the emissions differ from
the preconstruction projection)." |
(E) 40 CFR 52.21 (r)(7) The owner or operator of the source
shall submit the information required to be documented and
maintained pursuant to paragraphs 40 CFR 52.21 (r)(6)(iv) and (v)
annually within 60 days after the anniversary date of the
original analysis. The original analysis and annual reviews
shall also be available for review upon a request for inspection
by the permitting authority or the general public pursuant to the
requirements contained in 40 CFR 70.4 (b)(3)(viii).