UNITED STATES
ENVIRONMENTAL PROTECTION AGENCY
BEFORE THE ADMINISTRATOR
IN THE MATTER OF )
)
StanChem, Incorporated ) DOCKET NO. CWA 2-I-95-1040
)
)
RESPONDENT )
ORDER DENYING CROSS-MOTIONS FOR ACCELERATED DECISION
AND
GRANTING IN PART MOTION FOR DISCOVERY
The complaint in this Class II civil penalty proceeding under
Section 309(g) of the Clean Water Act ("CWA" or "the Act"), 33 U.S.C.
§ 1319(g), issued on May 1, 1995, charged Respondent, StanChem,
Incorporated ("StanChem") with violating CWA Section 307(d), 33
U.S.C. § 1317(d), by operating its facility in violation of
pretreatment standards.
The complaint alleges that StanChem's wastewater discharges
into a Publicly Owned Treatment Works ("POTW") must comply with the
Categorical Pretreatment Standards for the Organic Chemicals,
Plastics and Synthetic Fibers ("OCPSF") category, appearing at 40
CFR Part 414. The complaint further alleges that, since at least
November 1990, StanChem's discharges violated the OCPSF
pretreatment standards for existing sources ("PSES") by: 1)
periodically exceeding the daily maximum and monthly average
effluent limitations for five chemicals: methylene chloride,
ethylbenzene, trichloroethylene, tetrachloroethylene, and lead; and
2) regularly exceeding the daily maximum and monthly average
effluent limitations for two chemicals: toluene and 1,1,1-trichloroethane. For these alleged violations, Complainant
proposes to assess StanChem a civil penalty of $125,000, the
maximum which may be administratively assessed under the Act.
StanChem's answer, filed on May 22, 1995, admitted that it
discharged wastewater into a POTW, denied that it violated the
pretreatment standards alleged in the complaint, and requested a
hearing. StanChem raised six defenses: 1) the proposed penalty
amount is inappropriate and unsupported; 2) 40 CFR § 414 does not
apply to StanChem pursuant to Rule 414.11; 3) StanChem was unable
to address issues which are the subject of the complaint pending
formal approval, from the Connecticut Department of Environmental
Protection ("CTDEP"), of proposed modifications to StanChem's
pretreatment system; 4) compliance with any allegedly applicable
requirements under 40 CFR § 414 was impossible pending renewal of
StanChem's discharge permit by the CTDEP; 5) the complaint violated
Respondent's rights to due process and equal protection because
Complainant did not seek penalties from other, similarly situated
permittees; 6) Complainant is estopped from alleging the violations
in the complaint because it approved the CTDEP proposals to enforce
requirements under the CWA and declined to object to the CTDEP
decisions regarding enforcement of the underlying CWA
requirements.(1)
On February 21, 1996, Complainant filed a motion for partial
accelerated decision, and memorandum in support thereof ("EPA's
Motion"), seeking judgment as to liability only. The motion
asserts that StanChem's facility is subject to the OCPSF PSES, that
StanChem's own monitoring data show numerous and significant
violations of OCPSF PSES, and that none of the defenses StanChem
raised establishes an affirmative defense to liability for the
violations alleged in the complaint.(2)
Under date of March 4, 1996, StanChem submitted a motion for
an accelerated decision of dismissal, a motion for discovery, an
objection to Complainant's motion for partial accelerated decision,
and a single memorandum in support of the three motions
("StanChem's Motion"). StanChem's motion is based upon six
assertions: 1) the OCPSF rules require the delegated control
authority, CTDEP in this instance, to make certain discretionary
decisions regarding the discharger's mass flow limits as a
prerequisite to enforceability of the OCPSF PSES; 2) EPA's formula
to determine mass limits does not address the portion of StanChem's
discharges that came from non-regulated wastewater; 3) genuine
issues of material fact exist regarding whether StanChem
manufactured the OCPSF product groups, as alleged by Complainant,
and whether Standard Industrial Classification ("SIC") Codes 2821
or 2869 applied to StanChem at the time of discharge; 4) StanChem
could not have been required to comply with the OCPSF PSES any
earlier than September 11, 1995 because EPA revised the OCPSF rules
several times since their initial publication, extending the date
by which indirect discharges were required to come into compliance
with any applicable OCPSF PSES as well as modifying certain PSES
standards; 5) EPA is equitably estopped from seeking a penalty due
to the affirmative misconduct of EPA and CTDEP, its delegated
control authority; and 6) StanChem could not have modified its
pretreatment system to meet OCPSF standards until CTDEP determined
the specific level at which it would set the standards and issued
an approval for StanChem to install additional pretreatment.
StanChem also requested discovery to establish its estoppel and
selective enforcement defenses.
On March 21, 1996, Complainant filed an objection to
Respondent's motions for accelerated decision and discovery, and a
memorandum in support thereof ("Complainant's Reply"). StanChem
submitted a reply memorandum on April 4, 1996 ("StanChem's Reply").
The parties' positions will be set forth in greater detail, below.
For the reasons hereinafter appearing, the cross-motions for
accelerated decisions will be denied and StanChem's motion for
discovery will be granted in part. By a separate order the parties
will be directed to exchange prehearing information.
DISCUSSION
StanChem manufactures specialty paints, fireproofing, and
polymer products at a facility in East Berlin, Connecticut.
StanChem's production, research and development, and maintenance
activities produce wastewater containing organic compounds. This
organic wastewater is discharged to the Mattabassett District sewer
system, a POTW, in Cromwell, Connecticut. CTDEP issued a permit to
StanChem, for its discharges into the POTW, on February 28, 1977.
The permit in effect at the time of the alleged violations had last
been renewed on December 16, 1982.
On November 3, 1980, CTDEP approved the installation by
StanChem of equipment for collecting and pretreating wastewater
(CTDEP letter to StanChem, dated November 3, 1980, entitled
"Approval", Exh C to StanChem's motion). The letter specifically
authorized the installation of "one 11,820 gallon fiberglass batch
treatment tank, one 6,000 gallon stainless steel batch treatment
tank, two mixers together with appurtenant pumps, piping, and pH
control system for the treatment of an average flow of 7,000
gallons per day of polymer production, P.P. Process, and tank truck
interior washdown wastewaters prior to being discharged....."(3)
StanChem collected, pretreated, and monitored its wastewater in one
central system prior to each discharge into the POTW.
In the 1982 permit, CTDEP required StanChem to monitor its
combined wastewater discharges for organic compounds through a
monthly hydrocarbon scan, but did not impose any limits on the
levels of organics discharged to the POTW. StanChem submitted a
permit renewal application in July, 1987.(4) The application
identified StanChem as a producer of polymers, paints, and
fireproofing (SIC 2851) and the processes which generate the
wastewater as Polymer and Melamine Pyrophosphate production (Form
1 at 6). Specific products produced were identified as Melamine
Pyrophosphate and Polymer and Copolymer products (Form 1 at 7). The
application answered in the negative the question of whether any
effluent limitations [categorical limits] adopted in Section 22a-430-4(1) of the regulations of Connecticut State Agencies by
reference to the Clean Water Act apply to the discharge (Id. 3).
EPA issued a final rule establishing categorical pretreatment
standards and effluent limitations guidelines for the OCPSF
category on November 5, 1987.(5) The OCPSF limitations are
technology-based and apply to categories of dischargers based on
industrial characteristics.(6) The OCPSF limits provide maximum
daily limits and maximum monthly average limits for the discharge
of designated pollutants. CTDEP was the Control Authority
responsible for administering the General Pretreatment Regulations,
40 CFR Part 403, including baseline reporting and other
requirements related to categorical pretreatment standards.
I. Issues of Fact Preclude Granting Complainant's Motion For an
Accelerated Decision as to Liability and StanChem's Motion for
an Accelerated Decision of Dismissal
Complainant asserts that StanChem's facility is subject to the
OCPSF PSES because StanChem manufactures products that are covered
by subparts D, E and H of the OCPSF regulations, and SIC Codes 2821
and 2869. In its motion for accelerated decision, Complainant
alleges that StanChem's products include "acrylic resins" and
"polyvinyl acetate resins," specifically listed in Subpart D, 40 CFR
§ 414.40; "melamine resins," specifically listed in Subpart E, 40
CFR § 414.50; and "melamine pyrophosphate," a SIC 2869 organic
chemical that is covered by Subpart H, which applies to "all SIC
2865 and SIC 2869 organic chemicals and organic chemical groups not
defined as commodity or bulk organic chemicals in §§ 414.60 and
414.70...[subparts F and G]," 40 CFR § 414.80 (Motion at 7-9).
In support of these assertions, Complainant cites the Lombardo
affidavit (supra note 2), which states, inter alia, that StanChem's
308 response indicates that it manufactures acrylic and vinyl
acetate latex polymers, products falling within SIC 2821, that
acrylic polymers are included in the acrylic resins product group
and that vinyl acetate latex polymers are included in the polyvinyl
acetate resins product group. Because acrylic resins and polyvinyl
acetate resins are specifically listed under Subpart D,
Ms. Lombardo concludes that Subpart D is applicable to wastewater
discharges resulting from StanChem's acrylic polymer and vinyl
acetate latex polymer production (Affidavit at 3).
Ms. Lombardo states that Thermosetting Resins, 40 CFR Part
414, Subpart E, are also included within SIC 2821 and that included
within the products and product groups covered by Subpart E (§
414.50) are the melamine resins product group. StanChem's 308
response indicates that it manufactured urea formaldehyde melamine
condensate. According to Ms. Lombardo, urea formaldehyde melamine
condensate is included in the melamine resins product group. She
concludes, therefore, that Subpart E is applicable to wastewater
discharges resulting from StanChem's urea formaldehyde melamine
condensate production.(7)
Regarding Speciality Organic Chemicals, 40 CFR Part 414,
Subpart H, which applies to "process wastewater discharges
resulting from the manufacture of all SIC 2865 and 2869 organic
chemicals and organic chemical groups that are not defined as
commodity or bulk organic chemicals in §§ 414.60 and 414.70,
respectively," Ms. Lombardo states that melamine pyrophosphate is
an SIC 2869 chemical that is not defined as a commodity or bulk
organic chemical. She concludes, therefore, that StanChem's
melamine pyrophosphate manufacturing process is within Subpart H
and that Subpart H is applicable to wastewater discharges resulting
from StanChem's melamine pyrophosphate production (Affidavit at 4). StanChem points out (Motion at 17) that the provisions of the
OCPSF rule are applicable to only those process wastewater
discharges that are from establishments or portions of
establishments that manufacture the OCPSF products or product
groups covered by the rule and that are included within {Standard
Industrial Classification) (SIC) major groups specified in the rule
(40 C.F.R. § 414.11(a)). Accordingly, StanChem asserts that an
essential component to applicability of the OCPSF rule is the
existence of an establishment or a portion of an establishment that
is included within one of the designated SIC codes.
StanChem emphasizes that Complainant's motion is based not
only on the factual assumption that StanChem manufactured the
products listed in these SIC codes, but also on the factual
assumption that the portion of StanChem's establishment involved
with these operations was included within SIC code 2821 or SIC code
2869 and was therefore potentially subject to the OCPSF rule.(8)
StanChem further points out that the 1987 SIC Manual (portions
of which are attached as Exh I) defines an establishment according
to its "primary activity, which is determined by its principal
product or group of products produced or distributed, or services
rendered."(9) StanChem says that in most instances an
establishment's SIC code applies to all departments included within
an establishment (even those not engaged in the establishment's
primary activity). According to the Manual, "[D]istinct and
separate economic activities [that] are performed at a single
physical location" are only assigned separate SIC codes "where (1)
no one industry description in the classification includes such
combined activities; (2) the employment in each such activity is
significant; and (3) separate reports can be prepared on the number
of employees, their wages and salaries, sales or receipts, and
other types of establishment data." Id. 11-13. Because none of its
departments assertedly meet the listed criteria for a separate
establishment at a single location, StanChem contends that each are
included within the SIC code defining StanChem's primary activity,
i.e., SIC Code 2851, the code applicable to facilities "primarily
engaged in manufacturing paints..... and allied paint products."
(Motion at 19).
StanChem notes that Complainant does not contest [the fact]
that StanChem produces speciality coatings (e.g., paints) and
fireproofing, as well as polymer products. StanChem further notes
that Complainant fails to recognize that StanChem listed SIC code
2851, the code applicable to facilities" primarily engaged in
manufacturing paint.....and allied paint products", in its 1987
permit application. Section 414.11(c) provides that Part 414 is not
applicable to wastewaters from the production of OCPSF products in
listed SIC subgroups, if the products are included within
identified SIC subgroups and have in the past been reported by the
establishment under those SIC groups rather than under the groups
listed under § 414.11(a). SIC code 2851 is not listed as an
excluded code in § 414.11(c).
Pursuant to 40 CFR § 414.11(d), the provisions of Part 414,
with exceptions not here relevant, are not applicable to any
discharges for which a different set of previously promulgated
effluent limitation guidelines and standards in this subchapter
apply.(10) While StanChem has not identified any previously
promulgated effluent limitations guidelines and standards
applicable to SIC 2851, and it does not appear that any such
standards have been issued, it should be noted that in the preamble
to the initial regulation (52 Fed. Reg. 42524) the Agency
identified SIC 2851 as among codes for which a conscious decision
was made not to establish national regulations [categorical
standards] for priority pollutants.(11) Although the preamble
language is ambiguous, it's thrust is that discharge limitations
for OCPSF activities at plants manufacturing products within the
SIC groups for which a decision was made not to establish
categorical standards are subject to the "best professional
judgment" of the permit writer (supra note 10). Moreover, it is
clear that the Agency's information gathering activities to support
the rule do not include plants having OCPSF activities, but which
are otherwise within SIC 2851 and other codes listed at 52 Fed.
Reg. 42524.
In view of the foregoing, it is concluded that, although
whether StanChem's OCPSF activities are primary or secondary in the
sense of the percentage of the plant's manufacturing capacity
devoted to such activities or the output by weight of OCPSF
manufacture are not controlling, there is merit in StanChem's
assertion that genuine issues of material fact exist as to whether
it was subject to SIC 2821 or SIC 2869 at the time of discharge.
Otherwise stated, the issue is whether StanChem was within SIC code
2851 and thus its OCPSF activities were within an apparent
exclusion to the OCPSF rule.
As indicated infra at 20, 21, the Agency in its 1990 proposal
to eliminate alleged unintended restrictions as to the coverage of
the rule stated that the applicability of §§ 414.30, 414.40, and
414.50 should be governed solely by SIC code definitions.
StanChem's assertion that it listed SIC code 2821 in its
December 1993 revision to its permit application pursuant to the
instructions of CTDEP, who had reassessed the OCPSF rule and
concluded that StanChem was subject to the rule because it made
products listed in SIC 2821, appears be true because StanChem was
informed in February 1993 that compliance with OCPSF pretreatment
standards would be required (supra note 4). Complainant's reliance
on StanChem's amended permit application as an admission that the
OCPSF rule applied to its manufacturing activities is, therefore,
misplaced. Subsequent statements or reports regarding the
applicability of the OCPSF rule by StanChem may not be relied upon
as admissions for the same reason.
If, in fact, StanChem is within an exclusion to the OCPSF
rule, its motion to dismiss should, of course, be granted. There
are, however, factual issues as to whether StanChem was within SIC
code 2851 and the extent of the apparent exclusion for plants
having OCPSF activities but otherwise within SIC code 2851 or other
codes applicable to paint and ink formulation and printing (supra
note 10). Additionally, StanChem appears to be disputing
Complainant's position that urea formaldehyde melamine condensate,
which it manufactures, is a melamine resin (supra note 7). The fact
that "melamine resins" are a product group (40 CFR § 414.50)
indicates that more than one chemical formulation is involved.
Although Complainant has explained in some detail why urea
formaldehyde melamine condensate is considered to be a melamine
resin in the "2nd Lombardo Affidavit", attached to its "Object" to
StanChem's motion for an accelerated decision of dismissal, and
StanChem has not countered with an affidavit from a scientist or
technical person, it is concluded that resolution of this issue on
a motion for summary judgment is inappropriate.
Moreover, although Complainant may well be correct that the
"tiered flow rates" (2,000, 4,000, and 6,000 mgd) used by
Ms. Lombardo to calculate daily average and monthly maximum
discharge limits for the chemicals at issue are conservative and
favorable to StanChem, StanChem properly notes that the Agency's
complaint omitted any reference to specific mass limits allegedly
applicable to its discharges and points out that by assigning these
tiered flow rates the Agency is for the first time making factual
decisions concerning StanChem's discharges (Motion at 11, 14, 15).
Although for the reasons discussed below, this approach may be
justified (assuming the applicability of the OCPSF rule) in the
absence of the submission of a baseline monitoring report by
StanChem, it raises issues which should not be resolved on summary
judgment. This is especially true here, because Complainant
acknowledges that StanChem's flow rates varied significantly on
occasion.
The foregoing conclusions require that Complainant's motion
for an accelerated decision as to liability and StanChem's motion
for an accelerated decision of dismissal be denied. Remaining for
discussion, however, are StanChem's assertions that the rule was
not enforceable until the designated control authority, CTDEP in
this instance, made certain discretionary determinations regarding
the mass flow limits applicable to StanChem and issued an approval
for StanChem to install additional pretreatment [equipment] (Motion
at 11, 13-15).
Pursuant to § 307(d) of the Act (33 U.S.C. § 1317(d)), it is
unlawful for the owner or operator of any source, after the
effective date of any effluent standard, prohibition, or
pretreatment standard promulgated under that section, to operate
such source in violation of any effluent standard, prohibition, or
pretreatment standard. This language is straight forward and
indicates that after the effective date of effluent or pretreatment
standards, violations of such standards are not dependent upon
further action by the Agency or the control authority. In this
regard, the regulation (40 CFR § 403.12(b)) provides that within
180 days after the effective date of a pretreatment standard
existing industrial users subject to such standards and currently
discharging or scheduled to discharge to a POTW shall be required
to submit to the control authority a report containing the
information specified in paragraphs (b)(1)-(7) of that section
(baseline monitoring report). StanChem appears to have submitted
such a report for the first time in July 1994 in response to a
request from CTDEP (308 Response ¶¶ 14-17). Although nothing in the
regulation (Part 403) appears to expressly so state, as a matter of
logic, it is the submission of this report that triggers any
necessary determinations by the control authority.(12) In the absence
of a baseline monitoring report, enforcement of the Act may require
reconstruction of prior wastewater flows and calculation of the
discharge limits applicable thereto.
StanChem describes categorical standards (Electroplating Point
Source Category, 40 CFR Part 413, and the Metal Finishing Point
Source Category, Part 433) in cases cited by Complainant, e.g.,
Public Interest Research Group of New Jersey v. Ferro Merchandising
Equipment Corp., 29 ERC 1197, 1202 (D.N.J. 1988); reconsideration
denied, 29 ERC 1202 (D.N.J. 1989), as "self-implementing" in
contrast to the OCPSF rule at issue here (Reply at 2-5). The
limitations in Part 413 do not require any flow determinations or
estimates (discharges above 38,000 liters per day are, however,
subject to more stringent limits) and the only calculations
apparently necessary are those required to determine whether daily
and monthly average per liter concentrations of particular
pollutants in the discharges are within specified limits.
Similarly, the limits in Part 433 do not require calculation of
mass limits based on flows. Accordingly, the Part 413 and Part 433
limits are purely concentration based and provide support for
StanChem's argument that the standards in the cases cited by
Complainant involving these parts, and other standards are self-implementing or at least distinguishable from the OCPSF rule which
requires calculation of mass limits based on flows.(13) Although the
preamble to the final rule states that the OCPSF rule is
concentration based, it expressly requires the permitting or
control authority to multiply a reasonable estimate of a plant's
regulated wastewater discharge by the concentration limitations to
develop mass limitations for each NPDES or industrial user
permit.(14) These determinations cannot be made in a vacuum and, of
necessity, must be based on information obtained from the permit
applicant by means of a base-line monitoring report or otherwise.
The Clean Water Act is a strict liability statute and
enforcement of the Act may not be precluded by StanChem's failure
to submit a base-line monitoring report as required by the
regulation, § 403.12(b). StanChem's argument that the Agency may
not impose what are in effect "retroactive limits" on its discharges
(Reply at 6, 7), is, therefore, rejected. Whether the tiered flow
rates used by Complainant are reasonable involves factual issues to
be addressed at a hearing.
StanChem also focuses in particular on 40 CFR § 414.111,
paragraph (b) of which provides in part that in the case of lead,
zinc, and total cyanide the discharge quantity (mass) shall be
determined by multiplying the concentrations listed in the
following table for these pollutants times the flow from metal-bearing wastestreams for metals and times the flow from cyanide-bearing wastestreams for total cyanide. The metal-bearing waste-
streams are defined as those wastestreams listed in Appendix A of
this part, plus any additional OCPSF process wastewater streams
identified by the control authority on a case-by-case basis.
Although Complainant argues that StanChem misinterprets the
regulation, it relies on a 1993 "clarification" which allegedly made
it clear that the allowance for metals in OCPSF wastestreams
applied only to metal-bearing wastestreams specifically listed as
such in the regulation and that other wastestreams not so
designated have a zero discharge allowance for these pollutants.(15)
StanChem also points out that the OCPSF rule was the subject
of complex and protracted litigation under which portions of the
original rule were remanded, resulting in revocations and
amendments to the rule and that there were revisions and
extensions of the compliance dates for portions of the rule.(16)
Although Complainant says that this litigation did not alter
StanChem's obligation to comply with the OCPSF rule and is
irrelevant here, StanChem correctly points out that the coverage of
the OCPSF PSES prior to a 1992 amendment was limited to wastewaters
from the products and product groups specifically listed in §§
414.30, 414.40 and 414.50 (Reply at 9, note 4). The Agency stated
that the applicability of these three subcategories should be based
solely on SIC code definitions and acknowledged that the mentioned
limitation was incorrect, stating that the listings were intended
to be illustrative rather than exclusive. See 55 Fed. Reg. 42336
(October 18, 1990) and 57 Fed. Reg. 41841 (September 11, 1992). As
indicated supra note 7, StanChem disputes Complainant's position
that the urea formaldehyde melamine concentrate, produced by
StanChem, is a melamine resin within the scope of the initial OCPSF
rule. Resolution of such issues on a motion for summary judgment
is simply inappropriate.
II. The Compliance Deadline For the OCPSF Rules
EPA issued the OCPSF final rule on November 5, 1987. In
accordance with § 307(a)(6) of the Act, compliance was required not
later than three years after promulgation. "Promulgation" was deemed
to be synonymous with publication in the Federal Register, 40 CFR
§ 414.12. Existing sources, therefore, were required to comply
with limits specified in the November 5, 1987 Federal Register (40
CFR Part 414) no later than November 5, 1990.
StanChem points out that the Agency issued revisions to the
OCPSF PSES rule in 1992, 57 Fed. Reg. 41836 (September 11, 1992)
(Motion at 8, 20, 21). This revision unequivocally stated that:
"The compliance date for PSES is September 11, 1995." (Id.).
Although this language could and should have been more precise, §
307(a)(6) of the Act requires that the effective date of effluent
standards or prohibitions under that section be not later than
three years after promulgation. It is therefore concluded that the
amendment was not intended to and did not change the compliance
date for previously promulgated standards. This conclusion is
supported by the statement, 57 Fed. Reg. 41842: "The compliance
dates for today's amendment will follow the same statutory
requirements as any new rule."
As noted previously, the 1992 amendment, inter alia,
eliminated assertedly unintended restrictions as to the scope of
the products and product groups covered by §§ 414.30, 414.40, and
414.50. StanChem asserts that at least urea formaldehyde melamine
condensate, which it produced, was not covered by the initial rule.
There can be no question that the compliance date of the rule for
products first included within the OCPSF rule by the 1992 amendment
is September 11, 1995. Whether any of StanChem's products were so
included by the 1992 amendment are questions of fact to be
addressed at a hearing.
As noted above, lead is one of the pollutants which StanChem
is alleged to have discharged in excess of the limits set forth in
the table at 40 CFR § 111(b). StanChem points out that revisions
for metals including lead were added to the OCPSF rule in the 1992
amendment which authorized the control authority to allow credit,
i.e., establish alternative effluent limitations, for metals
incidentally present in non-metal-bearing wastestreams (§
414.11(h)) and argues that this revision in effect extends the
compliance date for the OCPSF rule to September 11, 1995 (Motion at
20, 21; Reply at 8, 9). The mentioned amendment was to allow for
metals not reasonably avoidable in the wastestreams because of
sources such as intake water, corrosion of construction materials
and contamination of raw materials. This amendment and others
resulted from the OCPSF litigation (see 55 Fed. Reg. 42232), making
questionable indeed Complainant's contention that in the absence of
the amendment the allowance for wastestreams not designated as
metal-bearing could reasonably be zero. Be that as it may, the
amendment logically extends the compliance date only for
wastestreams thereby affected. This is dependent on a showing by
StanChem that it is entitled to an alternate effluent limitation
for metals which might obviate some or all of the alleged
violations for lead. These are issues to be addressed at a hearing.
III. StanChem's Estoppel Defense
In its answer, StanChem pointed out that Complainant had
approved CTDEP proposals to enforce [administer] requirements of
the Clean Water Act and argued that EPA should be equitably
estopped from seeking a penalty for the alleged violations because
it declined to object to CTDEP''s decisions concerning enforcement
of the requirements alleged in the complaint (Id. 6, 7). Citing
memoranda of understanding between EPA and CTDEP (MOUs), e.g. Exh
K, StanChem says CTDEP had primary responsibility for applying and
enforcing national pretreatment standards in Connecticut
(Memorandum at 22). StanChem alleges that EPA permitted its
delegated agent, CTDEP, to continue a prolonged and misleading
permitting process under which StanChem reasonably concluded that
its discharges were fully authorized to continue under the terms of
its existing permit (Id. 23).
StanChem contends that Complainant cannot avoid responsibility
for its misconduct and the misconduct of its authorized control
authority, CTDEP, by allowing such conduct to take place and then
initiating an enforcement action to take advantage of such
misconduct (Reply at 11). StanChem cites Heckler v. Community
Health Services of Crawford County, 467 U.S. 51 (1984) at 61
(citizens are entitled to a "minimum standard of decency, honor,
and reliability in dealings with their Government"). Although
StanChem maintains that CTDEP's alleged misconduct may be imputed
to Complainant irrespective of an agency relationship with EPA, it
argues that the MOUs between EPA and CTDEP prove that such a
relationship exists.
Factually, StanChem points out that CTDEP has been authorized
to administer the CWA including the pretreatment program since
1981, that StanChem submitted its application for a renewal of its
permit in July 1987, that the Region was well aware that CTDEP was
not processing permit applications in a timely manner, and that
StanChem was repeatedly assured by CTDEP that it was authorized to
discharge in accordance with its existing permit (Memorandum at 22-26). Supporting these assertions, StanChem relies, inter alia, on
an Executive Summary of a management review of CTDEP, for the
period ending April 30, 1994 (Exh J), which refers to a backlog of
expired NPDES and municipal permits and CTDEP's efforts to improve
the rate of permit application review and issuance, and to a letter
from CTDEP, dated July 22, 1988 (Exh D), which, among other things,
acknowledged receipt of a complete application for a renewal permit
from StanChem and enclosed a copy of the draft permit.
StanChem also relies on the fact that on March 14, 1989, CTDEP
faxed it a copy of Part 414, Subpart G "Bulk Organic Chemicals"
under a cover sheet entitled "Re: Organic chem. Regulations-List of
product groups to determine applicability." (Exh E). The
circumstances under which this subpart and not other subparts came
to be sent to StanChem have not been explained. StanChem alleges
that its engineer reviewed this list and made a good faith
determination that the OCPSF regulations were not applicable. This
is confirmed by a letter to CTDEP, dated May 18, 1989, signed by
StanChem's environmental engineer (Exh F), which states that the
Organic Chemical Regulations, Subpart G, § 414.70 have been
reviewed [for the purpose of determining] the applicability of the
regulation to its [pending] wastewater discharge application and
that "we" do not manufacture any of the bulk organic chemicals or
any of the materials which would fall under the bulk organic
chemical groups listed in the referenced regulations. The letter
further states that this information should help you in completing
and issuing our new discharge permit.
It should be noted that CTDEP's advice, and StanChem's belief,
that it was authorized to continue discharges in accordance with
its existing permit pending action on its permit application were
in accordance with the Administrative Procedure Act.(17) Presumably,
Connecticut has a similar provision in its statutes or regulations.
Although it is concluded that the cited APA provision does not
relieve StanChem of the necessity of complying with the OCPSF rule,
which became effective subsequent to the submission of StanChem's
application for a renewal of its permit, if, in fact, the rule
applies to StanChem, the APA provision highlights the significance
of CTDEP's apparent confusion or indecision as to the applicability
of the OCPSF rule. CTDEP was not alone in this regard.(18)
It is, of course, well settled that estoppel against the U.S.
government will be permitted only in the most extraordinary
circumstances. (U.S. v. Buccanfuso, 882 F.2d 666, 670 (2d Cir.
1989)). "A party seeking to estop the government bears a heavy
burden of demonstrating the traditional elements of estoppel and
some 'affirmative misconduct' on the part of the government" upon
which the party "reasonably relied to its detriment." (In re B.J.
Carney Industries, Inc., CWA Appeal No. 96-2, 35 (EAB June 9, 1997)
quoting U.S. v. Hemmen, 51 F.3d 883, 892 (9th Cir. 1995) and In re
Wego Chemical & Mineral Corp., TSCA Appeal No. 92-4, 4 EAD 513, 522
(EAB February 24, 1993)). Estoppel is not available when the party
claiming estoppel "should...have known that the conduct upon which
it bases the estoppel is misleading." (Heckler v. Community Health
Services of Crawford County, Inc., supra.
StanChem "bears a heavy burden" to demonstrate affirmative
misconduct by CTDEP and Complainant and its reasonable reliance
thereon so that estoppel may be warranted. It has, however, prima
facie presented a compelling case that a penalty of the magnitude
sought by Complainant is not justified. These and other issues are
matters appropriate for decision only after a hearing.
V. StanChem's Motion for an Order of Discovery
Concomitant with its other pleadings, StanChem filed a motion
for discovery pursuant to Rule 22.19(f) (40 CFR Part 22), on
March 6, 1997. The motion seeks information allegedly in the
possession of, or known to, members of EPA and/or CTDEP which is
material to questions of fact with respect to StanChem's defenses.
Specifically, StanChem asks for the production of Executive
Summaries of the Agency's Mid Year Reviews of CTDEP for the periods
ending April 30, 1988; April 30, 1989; April 30, 1990; and
April 30, 1995; a copy of the MOU for Pretreatment and NPDES Permit
Issuance and Compliance (1994), and copies of reports of CTDEP
inspections of StanChem conducted in 1990, 1991, and 1992.
Additionally, StanChem asks that Complainant and CTDEP be
ordered to disclose the names, addresses, and phone numbers of all
individuals under their control with knowledge, information, or
access to information related to StanChem's equitable estoppel and
selective enforcement special defenses, including but not limited
to review of StanChem's 1987 permit renewal application; referral
of this enforcement action to Complainant; CTDEP's assessment in
1989 that the OCPSF rule did not apply to StanChem and its
subsequent change of position in that regard. StanChem proposes to
depose the individuals so disclosed and asks for the production of
relevant documents available to the deponents which have not
previously been provided StanChem.
Complainant opposes StanChem's motion upon the ground that
discovery is unnecessary, because Complainant is entitled to an
accelerated decision as to liability (Objection, dated March 20,
1996). This argument has been rejected for reasons discussed above.
In the prehearing exchange which is being directed by a
contemporaneous order, Complainant will be directed to provide the
specific documents requested by StanChem and to identify
individuals employed by CTDEP and EPA having knowledge of the
matters listed by StanChem involving the review of StanChem's
permit application. Rule 22.19(f) is, however, not hospitable to
discovery by means of depositions, requiring in addition to a
showing of good cause, a finding that the information cannot be
obtained by alternate methods (Rule 22.19(f)(2)(i)). StanChem's
motion for discovery insofar as it seeks to depose employees of
CTDEP or EPA will be denied. StanChem may, of course, renew the
motion, if considered necessary, after the receipt of Complainant's
prehearing exchange.
Order
1. Complainant's motion for a partial accelerated decision as to
liability is denied.
2. Respondent's motion for an accelerated decision of dismissal
is denied.
3. Respondent's motion for discovery is granted in part as
specified in the contemporaneous order directing the parties
to submit prehearing exchanges.
Dated this 26th day of September 1997.
Spencer T. Nissen
Administrative Law Judge
1. This Order only addresses the principal defenses raised in
StanChem's motion for an accelerated decision.
2. The alleged violations occurred during the period November
8,1990 through April 1995, and are set forth in a "Table of
Violations" attached to an affidavit, dated February 5, 1996, by
Virginia A. Lombardo, an EPA environmental engineer, which was
submitted in support of EPA's motion. The table does not include
ethylbenzene as a chemical discharged in excess of daily or monthly
average limitations, and although it does include trichloroethane,
it does not include 1,1,1-Trichloroethane. Limitations applicable
to indirect discharges of these and other chemicals are set forth
in a table at 40 CFR § 414.111(b).
3. Exh B to StanChem's motion."P.P. Process" in the approval
letter refers to "Melamine Pyrophosphate process" (Memorandum in
Support of Respondent's Motion for an Accelerated Decision of
Dismissal, Motion for an Order of Discovery, and Objection to
Complainant's Motion for a Partial Accelerated Decision (StanChem's
Motion at 4).
4. Exh. 5 to Complainant's motion; Exh C to StanChem's motion.
On February 26, 1993, after some of the violations at issue in this
action allegedly occurred, CTDEP informed StanChem that it did not
intend to renew StanChem's discharge permit until StanChem upgraded
its pretreatment system to achieve levels consistent with the OCPSF
pretreatment standards and submitted a corresponding amendment to
its 1987 permit renewal application. StanChem submitted a renewal
application under date of December 2, 1993, which unlike the 1987
permit application, specifically acknowledged that effluent
limitations adopted in regulations of Connecticut State Agencies by
reference to the Clean Water Act applied to its discharges (Exh 6).
On November 14, 1995, CTDEP renewed StanChem's permit, under which
StanChem agreed to reduce the levels of organics in its discharge
to levels consistent with the OCPSF PSES.
5. 52 Fed. Reg. 42522 (November 5, 1987). The Clean Water Act
requires EPA to establish pretreatment standards for the
introduction of pollutants into POTWs that would interfere with the
operation of a POTW or which are not susceptible to treatment by
the POTW. 33 U.S.C. § 1317(b)(1). The Act also instructs the
Agency to designate categories of sources to which pretreatment
standards shall apply. 33 U.S.C. § 1317(b)(3).
6. The Best Practicable Technology (BPT) limitations in the
final OCPSF regulations are divided into seven, product-based
subcategories of the OCPSF industry (40 CFR Part 414). The
categories at issue in this proceeding are: (3) thermoplastic
resins, SIC 28213 (Subpart D); (4) thermosetting resins, SIC 28214
(Subpart E); and (7) specialty organic chemicals which fall within
SIC 2865 and SIC 2869 which are not listed as commodity or bulk
organic chemicals in subparts F and G (Subpart H).
7. Affidavit at 3, 4. Alluding to Ms. Lombardo's assertion that
the production of urea formaldehyde melamine condensate constitutes
production of a "melamine resin" specifically included within
Subpart E "Thermosetting Resins" (§ 414.50) and SIC 2821, StanChem
asserts that the type of urea formaldehyde melamine condensate,
which it produced, was not specifically listed in the original
OCPSF rule, 40 CFR §§ 414.30, 414.40, and 414.50, citing 52 Fed.
Reg. 42574 (November 5, 1987) (StanChem's Reply at 9, note 4).
Melamine resins are among product groups listed in the initial
OCPSF rule, § 414.50 (52 Fed. Reg. 42574), and, although it is not
clear, StanChem appears to be disputing Complainant's contention
that urea formaldehyde melamine condensate is a melamine resin.
8. Motion at 17,18. StanChem asserts that genuine issues of
material fact exist as to whether it manufactures the OCPSF product
groups as alleged by Complainant. For example, Complainant alleges
that "melamine pyrophosphate is an SIC 2869 organic chemical"
included within the OCPSF rule [because of Subpart H, which is
applicable to the process wastewater discharges resulting from the
manufacture of all SIC 2865 and 2869 chemicals and chemical groups
which are not defined as commodity or bulk organic chemicals in §§
414.60 [Subpart F] and 414.70 [Subpart G].StanChem alleges,
however, that the manufacturing and product descriptions under
these SIC codes in the SIC Manual do not describe any operations,
products, nor any intermediates made by StanChem (Motion at 18,
note 6). Moreover, StanChem asserts that, even if the ALJ should
find that certain materials which it makes as an intermediate for
use in certain fireproofing products (melamine pyrophosphate and
urea formaldehyde melamine condensate) are equivalent in chemical
makeup to the products described in SIC code 2821, the only other
allegedly applicable SIC code, genuine issues of material fact
exist as to whether the materials made by StanChem are products,
and whether StanChem's corresponding processes are equivalent to
the manufacture of OCPSF products covered by the rule.
9. SIC Manual at 15. As used in the preamble to the regulations
the terms primary and secondary manufacture refer to the percentage
of a plant's capacity devoted to OCPSF activities rather than
whether a product is an intermediate stage or step to the
production of another product. See 52 Fed. Reg. 42525 (November 5,
1987). See also 55 Fed. Reg. 42336 (October 18, 1990) (OCPSF
production is primary if OCPSF products comprise one-half or more
by weight of a plant's total production). In the SIC Manual,
primary for manufacturing establishments is determined by the value
of production (Id. 15, 16).
10. Section 414.11(d) provides:
(d) Notwithstanding paragraph (a) of this section,
the provisions of this part are not applicable to any
discharges for which a different set of previously
promulgated effluent limitations guidelines and standards
in this subchapter apply, unless the facility reports
OCPSF products under SIC codes 2865, 2869, or 2821, and
the facility's OCPSF wastewaters are treated in a
separate treatment system or discharged separately to a
publicly owned treatment works.
11. Under the heading "Scope of This Rulemaking",the Agency
stated (52 Fed. Reg. at 42524) in part: Some of the non-OCPSF
subgroups were the subject of prior EPA decisions not to establish
national regulations for priority pollutants under the terms of
Paragraph 8 of the Settlement Agreement [National Resources Defense
Council v. Train, 8 ERC 2120 (D.D.C. 1976)]. Such action was taken
for adhesive and sealant manufacturing (SIC 2891), as well as
plastic molding and forming (SIC 3079), paint and ink formulation
and printing (which industries were within SIC 2851, 2893, 2711,
2721, 2731 and ten other SIC 27 groups) and soap and detergent
manufacturing (SIC 2841). However, it should be noted that in
specific instances where a plant in these categories has OCPSF
production activities, toxic pollutants may be present in the
discharges in amounts that warrant best professional judgment (BPJ)
regulatory control. The adhesives and sealants, plastic molding and
forming, and paint and ink formulation and printing exclusions do
not include process wastewater from the secondary manufacture of
synthetic resins. Similarly, the soaps and detergents Paragraph 8
exclusions do not include process wastewater from the manufacture
of surface active agents (SIC 2843). In these cases, and even in
cases where priority pollutants from OCPSF production covered by
other categorical standards (e.g., petroleum refining and
pharmaceuticals) have been excluded from these regulations under he
terms of Paragraph 8 of the Settlement Agreement, BPJ priority
pollutant regulation for individual plants having OCPSF production
may be appropriate.
12. See, however, § 403.6(a) specifying procedures under which
an industrial user or a POTW may request a determination as to the
applicability of any particular subcategory. Additionally, it is
clear that alternative discharge limits under the combined
wastestream formula may only be calculated by the control authority
or by the industrial user with the concurrence of the control
authority (§ 403.6(e)).
13. The Agency has, however, described the the OCPSF rule as
"concentration based" in contrast to the "mass-based" approach
adopted in other unnamed guidelines. 58 Fed. Reg. 36874 (July 9,
1993). See also Id. 36890, apparently regarding as concentration
based all standards which do not regulate flow. Be that as it may,
it is clear that the limits in § 414.111 require determination of
the mass, calculated by multiplying flows subject to the 0CPSF rule
by concentrations listed in the accompanying table. No such mass
determination appears to be necessary for the Electroplating Point
Source Category, 40 CFR Part 413 or the Metal Finishing Point
Source Category, Part 433.
14. The Agency stated in part at 58 Fed. Reg. 36890: Regarding
the first issue-the appropriate flow basis for establishing permit
limits-the promulgated OCPSF effluent limitations guidelines and
standards listed in 40 CFR [Part] 414 are concentration-based and
thus do not regulate flow. As required by the regulation, the
permitting authority must multiply a reasonable estimate of a
plant's regulated process wastewater discharge by the concentration
limitations to develop mass limitations for each NPDES or
industrial user permit. The appropriate process wastewater flow to
be used must be determined by the permitting or control authority
on a case-by-case basis using current information provided by the
applicant and other available data. The Agency went on to state
that the permitting or control authority is advised to establish a
flow rate that is expected to be representative during the entire
term of the permit or other control mechanism. Id. 36891.
Additionally, the preamble alluded to guidance for determining
appropriate process wastewater flow as being available from the
Office of Wastewater Enforcement and acknowledged that confusion in
this respect has arisen because of OCPSF guidance memoranda which
are in conflict with the OCPSF preamble and the mentioned guidance
documents.
15. Complainant's "Object" at 4,5, citing 58 Fed. Reg. 36872,
36877 (July 9, 1993).
16. Motion at 5, note 2. Numerous petitions for review of the
regulations were consolidated in the Fifth Circuit, Chemical
Manufacturers Assn. v. U.S. EPA, 870 F.2d 177 (5th Cir. 1989); on
rehearing, 885 F.2d 253 (1989), remanding portions of the rule;
cert. denied, sub. nom. PPG Industries v. U.S. EPA, 495 U.S. 910
(1990). Subsequent EPA action on the rule is reflected in 55 Fed.
Reg. 26691 (June 29, 1990); 55 Fed. Reg. 42332 (October 18, 1990);
56 Fed. Reg. 63897 (December 6, 1991); 57 Fed. Reg. 2238
(January 21, 1992); 57 Fed. Reg. 41836 (September 11, 1992); 57
Fed. Reg. 56883 (December 1, 1992) and 58 Fed. Reg. 36872 (July 9,
1993).
17. See 5 USCS § 558(c) providing in part: When the licensee
has made timely and sufficient application for a renewal or a new
license in accordance with agency rules, a license with reference
to an activity of a continuing nature does not expire until the
application has been finally determined by the agency.
18. Confusion and doubt as to the scope of the OCPSF rule is
illustrated by the rescissions, revisions, amendments,
explanations, and clarifications of the rule engendered by the
OCPSF litigation and comments of affected parties (supra note 16).
Moreover, in rejecting an argument that the Agency was not
proceeding with amendments as expeditiously as possible as it had
agreed to do in settling aspects of the OCPSF litigation, the
Agency noted the "complex issues raised by today's amendment". 57
Fed. Reg. 41842 (September 11, 1992). See also supra note 14,
wherein the Agency acknowledged conflicting guidance as to the
manner of determining process wastewater flow.
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