35 Ill. Adm. Code 2260.226.185
Recordkeeping and Reporting
TITLE 35: ENVIRONMENTAL PROTECTION
SUBTITLE B: AIR POLLUTION
CHAPTER I: POLLUTION CONTROL BOARD
SUBCHAPTER c: EMISSION STANDARDS AND LIMITATIONS FOR STATIONARY SOURCES
PART 226 STANDARDS AND LIMITATIONS FOR CERTAIN SOURCES OF LEAD
SECTION 226.185 RECORDKEEPING AND REPORTING
Section 226.185 Recordkeeping and Reporting
a) An
owner or operator of a lead emission unit subject to this Part must keep and
maintain all records used to demonstrate initial compliance and ongoing
compliance with the requirements of this Part.
1) Except
as otherwise provided under this Part, copies of the records must be submitted
by the owner or operator of the source to the Agency within 30 days after
receipt of a written request by the Agency.
2) The
owner or operator must keep and maintain all records required by this Section
at the source for at least 5 years from the date the document is created and
must make all records available to the Agency for inspection and copying upon
request.
b) Notification
of the initial startup of any new lead emission unit subject to this Part must
be submitted to the Section Manager no later than 30 days after initial
startup.
c) The
owner or operator of a lead emission unit subject to this Part must maintain
records that demonstrate compliance with the requirements of this Part, as
applicable, that include the following:
1) Calendar
date of the record;
2) Reports
for all applicable emissions tests for lead conducted on the lead emission
unit, including the date of the test and the results;
3) The
date, time, and duration of any malfunction in the operation of any lead
emission unit, any lead emission unit's control equipment, or any emissions
monitoring equipment subject to this Part if the malfunction could cause an
increase in emissions. The records must include a description of the
malfunction, the probable cause of the malfunction, the date and nature of the
corrective action taken, and any preventative action taken to avoid future
malfunctions;
4) A log
of all inspections, cleanings, maintenance, and repair activities performed on
a lead emission unit's control equipment. The records must document the
performance of the inspection, including the date of the inspection and the
observed condition and operation of the control equipment. The records must
also include the date and nature of the cleaning and the maintenance and repair
activities performed on the lead emission unit's control equipment;
5) Records,
including the date and nature of all pavement cleanings, and any reason for not
cleaning pavement (e.g., equipment breakdown);
6) The
date, time, and quantity of any spillage of dust containing lead. The records
must include the date, time, and nature of the cleaning activity in response to
the spill;
7) A log
of all battery storage inspection activities, including the date of the
inspection, a description of any broken batteries discovered during the
inspections, and the date and nature of any required cleaning activities to
control dust;
8) A log
of all maintenance activities that could generate dust containing lead. The log
must include the date of the maintenance activity, a description of the
maintenance activity, and those measures implemented to minimize emissions of
dust; and
9) A log
of the hours of operation for all quenching operations.
d) The
owner or operator of a lead emission unit subject to this Part must maintain
records to demonstrate compliance with Section 226.150(a) and (b).
e) The
owner or operator of a lead emission unit subject to this Part must maintain
the CDMP required by Section 226.150(c). Records must be maintained
demonstrating compliance with the CDMP.
f) The
owner or operator of a lead emission unit subject to this Part must maintain
records of changes in pressure that could indicate a leak or other problem and,
if applicable, every alarm from the leak detection system. A log must be
maintained of all investigations into the cause of the pressure changes and, if
applicable, every alarm from the leak detection system, and any maintenance and
repair activities performed as a result of the investigation. The records must
also include the date of each aforementioned activity. Records must be
maintained in order to demonstrate compliance with Section 226.150(d).
g) The
owner or operator of a lead emission unit subject to this Part must maintain
records demonstrating compliance with the lead fugitive dust operating program
and with the activities required by Section 226.170.
h) The
owner or operator of a lead emission unit subject to this Part must maintain
records that include the following information for each period when the
affected emission unit operated without the lead emission unit's control
equipment for lead and had the potential for emissions:
1) The
date, time, and duration of the outage;
2) The
length of time that the affected lead emission unit subject to this Part operated
uncontrolled before required control measures were in place or the affected
lead emission unit was shut down (to resume operations only after required
control measures were in place) and an explanation why the time the affected
lead emission unit operated uncontrolled was not shorter, including a
description of any mitigation measures that were implemented;
3) A
discussion of the probable cause of the outage of the control equipment; and
4) A
discussion of the date and nature of any preventative measures taken to avoid
future outage.
i) The
owner or operator of a lead emission unit subject to this Part must maintain
records demonstrating compliance with Section 226.175.
j) The
owner or operator of a lead emission unit subject to this Part must maintain a
log of all inspections of control devices for the control of lead particulate.
The records must document the date of the inspection, the observed condition
and operation of the control devices, and the date and nature of any corrective
action taken. Records must be maintained demonstrating compliance with
Sections 226.165(a) and (c).
k) The
owner or operator of a lead emission unit subject to this Part must maintain a
log of all inspections of any total enclosures and source structures. The
records must document the date of the inspection, the observed condition and
operation of the total enclosure, and the date and nature of any corrective
action taken. Records must be maintained demonstrating compliance with Sections
226.155(e), 226.160(a), and 226.165(b) and (c).
l) The
owner or operator of a lead emission unit subject to this Part must maintain
records that include any data or information necessary to demonstrate
compliance with the CPMP, including, but not limited to, records demonstrating
compliance with Sections 226.155(c) and 226.160.
m) The
owner or operator of a lead emission unit subject to this Part must notify the
Section Manager within 5 days after discovery of deviations from any of the
requirements of this Part or any exceedance of an applicable emission
limitation. At a minimum, and in addition to any permitting obligations, these
notifications must include a description of the deviations, a discussion of the
possible cause of the deviations, any corrective actions, and any preventative
measures taken.
n) The
owner or operator of a lead emission unit subject to this Part must submit
semiannual reports to the Section Manager. The reports must include all
monitoring reports summarizing monitoring as required by this Part, as well as
summaries of all instances of deviations from the requirements of this Part.
For the January through June monitoring period, the owner or operator shall submit
the monitoring report by July 31
of that year. For the July through
December monitoring period, the owner or operator shall submit the monitoring
report by January 31 of the following year. All reports must be certified by a
responsible official that the information submitted is complete, true, and
accurate.