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pf_02856
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Last modified
7/17/2007 12:16:47 PM
Creation date
12/8/2004 1:22:15 PM
Metadata
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Template:
Planning Files
Planning Files - Planning File #
2856
Planning Files - Type
Variance
Address
2660 CIVIC CENTER DR
Applicant
ACI FENCE
PIN
122923310086
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<br />Air Emission Pennit No. 12300387-9 <br />Page 14 of22 <br /> <br />7.4 Compliance Certification Requirement <br /> <br />The Permittee shall submit an annual compliance certification in which the Permittee certifies <br />whether or not the stationary source is in compliance with applicable requirements and permit <br />terms, including emission limitations, standards, or work practices. All compliance certifications <br />shall be submitted to the AQD by January 30th for the preceding year. All compliance <br />certifications shall be made by a responsible official consistent with Minn. R. 7007.0500, subp. 3 <br />(Content of Permit Application), and submitted with Part 10 of this permit. <br /> <br />7.5 Submittal Summary <br /> <br />· Schedule. The Permittee is required by previous parts of this permit to submit to the MPCA <br />the reports and/or other documents listed in this permit according to the schedules identified <br />in Part 5. <br /> <br />The MPCA may extend a deadline in this permit by no more than 120 days, provided that the <br />MPCA has been delegated authority to make such extensions. Written requests for <br />extensions must be postmarked or received 21 days prior to the deadline. <br /> <br />Submittal Certification. All reports and submittals required by this permit must be <br />certified by a responsible official consistent with Minn. R. 70~7.0500, subp. 3, and must <br />be submitted with Part 10 ofthis permit. <br /> <br />7.6 Risk Management Plan <br /> <br />The Permittee may be required to submit a Risk Management Plan pursuant to section 112(r) of <br />the Clean Air Act as amended 1990, under regulations to be promulgated by the U.S. <br />Environmental Protection Agency (EP A). The regulations to be promulgated will require the <br />owner or operator of a stationary source at which a regulated substance is present in more than a <br />threshold quantity to prepare and implement a risk management plan to detect and prevent or <br />minimize accidental releases of such substances from the stationary source, and to provide a <br />prompt emergency response to any such releases in order to protect human health and the <br />environment. <br /> <br />The EPA promulgated the list of regulated substances and threshold quantities in the Federal <br />Register on January 31, 1994, and proposed the risk management plan regulation on <br />October 20th, 1993. The regulations when promulgated will be applicable to a stationary source <br />three years after the date of promulgation of the risk management plan regulations, or three years <br />after the date on which a regulated substance present at the source in more than the threshold <br />amount is fIrst listed under the authority of section 112(r). <br />
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