A. All Class I permits shall contain the following elements with respect to compliance:
1. The elements required by Sections 17.12.040(A)(3), (A)(4), and (A)(5).
2. Requirements for certifications of compliance with terms and conditions contained in a Class I permit, including emissions limitations, standards, and work practices. Permits shall include each of the following:
a. The frequency of submissions of compliance certifications, which shall not be less than annually.
b. The means to monitor the compliance of the source with its emissions limitations, standards, and work practices.
c. A requirement that the compliance certification include all of the following (the identification of applicable information may cross-reference the permit or previous reports, as applicable):
i. The identification of each term or condition of the permit that is the basis of the certification;
ii. The identification of the methods or other means used by the owner or operator for determining the compliance status with each term and condition during the certification period. The methods and other means shall include, at a minimum, the methods, and means required under Section 17.12.040(A)(3). If necessary, the owner or operator also shall identify any other material information that must be included in the certification to comply with Section 113(c)(2) of the Act, which prohibits knowingly making a false certification or omitting material information;
iii. The status of compliance with the terms and conditions of the permit for the period covered by the certification, including whether compliance during the period was continuous or intermittent. The certification shall be based on the methods or means designated in subsection (2)(c)(ii). The certification shall identify each deviation and take it into account in the compliance certification. For emission units subject to 40 CFR 64, the certification shall also identify as possible exceptions to compliance any period during which compliance is required and in which an excursion or exceedance defined under 40 CFR 64 occurred; and
iv. Other facts the control officer may require to determine the compliance status of the source.
d. A requirement that permittees submit all compliance certifications to the control officer. Class I permittees shall also submit compliance certifications to the administrator.
e. Additional requirements specified in Sections 114(a)(3) and 504(b) of the Act (Inspections, Monitoring and Entry or Permit Requirements and Conditions) or pursuant to Section 17.11.190.
3. A requirement for any document required to be submitted by a permittee, including reports, to contain a certification by a responsible official of truth, accuracy, and completeness. This certification and any other certification required under this chapter shall state that, based on information and belief formed after reasonable inquiry, the statements and information in the document are true, accurate, and complete.
4. Inspection and entry provisions that require that, upon presentation of proper credentials, the permittee shall allow the control officer to:
a. Enter upon the permittee's premises where a source is located or emissions-related activity is conducted, or records are required to be kept under the conditions of the permit;
b. Have access to and copy, at reasonable times, any records that are required to be kept under the conditions of the permit;
c. Inspect, at reasonable times, any facilities, equipment (including monitoring and air pollution control equipment), practices, or operations regulated or required under the permit;
d. Sample or monitor, at reasonable times, substances or parameters for the purpose of assuring compliance with the permit or other applicable requirements; and
e. Record any inspection by use of written, electronic, magnetic or photographic media.
5. A compliance plan that contains all the following:
a. A description of the compliance status of the source with respect to all applicable requirements;
b. A description as follows:
i. For applicable requirements with which the source is in compliance, a statement that the source will continue to comply with requirements;
ii. For applicable requirements that will become effective during the permit term, a statement that the source will meet the requirements on a timely basis; and
iii. For requirements for which the source is not in compliance at the time of permit issuance, a narrative description of how the source will achieve compliance with such requirements;
c. A compliance schedule as follows:
i. For applicable requirements with which the source is in compliance, a statement that the source will continue to comply with the requirements;
ii. For applicable requirements that will become effective during the permit term, a statement that the source will meet such requirements on a timely basis. A statement that the source will meet in a timely manner applicable requirements that become effective during the permit term shall satisfy this provision, unless a more detailed schedule is expressly required by the applicable requirement;
iii. A schedule of compliance for sources that are not in compliance with all applicable requirements at the time of permit issuance. The schedule shall include a schedule of remedial measures, including an enforceable sequence of actions with milestones, leading to compliance with any applicable requirement for which the source will be in noncompliance at the time of permit issuance. This compliance schedule shall resemble and be at least as stringent as that contained in any judicial consent decree or administrative order to which the source is subject. The schedule of compliance shall supplement, and shall not sanction noncompliance with, the applicable requirements on which it is based.
d. A schedule for submission of certified progress reports no less frequently than every six months for sources required to have a schedule of compliance to remedy a violation. The progress reports shall contain:
i. Dates for achieving the activities, milestones, or compliance required in the schedule of compliance, and dates when such activities, milestones or compliance were achieved; and
ii. An explanation of why any dates in the schedule of compliance were not or will not be met, and any preventative or corrective measures adopted.
6. The compliance plan content requirements specified in subdivision (A)(5) shall apply and be included in the acid rain portion of a compliance plan for an affected source, except as specifically superseded by regulations promulgated under Title IV of the Act (Acid Deposition Control) and incorporated under Section 17.12.070 with regard to the schedule and each method the source will use to achieve compliance with the acid rain emissions limitations.
7. If there is a Federal Implementation Plan (FIP) applicable to the source, a provision that compliance with the FIP is required.
(Ord. 2017-20 § 2 (part), 2017)
Editor's note— Formerly § 17.12.220.