SB-0717, As Passed Senate, April 12, 2016

 

 

 

 

 

 

 

 

 

 

SUBSTITUTE FOR

 

SENATE BILL NO. 717

 

 

 

 

 

 

 

 

     A bill to amend 1994 PA 451, entitled

 

"Natural resources and environmental protection act,"

 

by amending sections 21303, 21304c, 21310a, 21323a, and 21325 (MCL

 

324.21303, 324.21304c, 324.21310a, 324.21323a, and 324.21325),

 

sections 21303, 21304c, 21310a, and 21323a as amended by 2012 PA

 

446 and section 21325 as added by 2012 PA 108, and by adding

 

section 21325a.

 

THE PEOPLE OF THE STATE OF MICHIGAN ENACT:

 

     Sec. 21303. As used in this part:

 

     (a) "NAPL" means a nonaqueous-phase liquid or a nonaqueous-

 

phase liquid solution composed of 1 or more organic compounds that

 

are immiscible or sparingly soluble in water. NAPL includes both

 

DNAPL and LNAPL.

 

     (b) "Operator" means a person who is presently, or was at the

 

time of a release, in control of, or responsible for, the operation

 

of an underground storage tank system.

 


     (c) "Owner" means a person who holds, or at the time of a

 

release who held, a legal, equitable, or possessory interest of any

 

kind in an underground storage tank system or in the property on

 

which an underground storage tank system is or was located

 

including, but not limited to, a trust, vendor, vendee, lessor, or

 

lessee.

 

     (d) "Property" means real estate that is contaminated by a

 

release from an underground storage tank system.

 

     (e) "Public highway" means a road or highway under the

 

jurisdiction of the state transportation department, the road

 

commission of a county, or a local unit of government.

 

     (f) (e) "Qualified underground storage tank consultant" means

 

a person who meets the requirements established in section 21325.

 

     (g) (f) "RBCA" means the American society Society for testing

 

Testing and materials Materials (ASTM) document entitled standard

 

guide for risk-based corrective action applied at petroleum release

 

sites, designation E 1739-95 (reapproved 2010) E1; standard guide

 

for risk-based corrective action designation E 2081-00 (reapproved

 

2010) E1; and standard guide for development of conceptual site

 

models and remediation strategies for light nonaqueous-phase

 

liquids released to the subsurface designation E 2531-06 E1, all of

 

which are hereby incorporated by reference.

 

     (h) (g) "Regulated substance" means any of the following:

 

     (i) A substance defined in section 101(14) of title I of the

 

comprehensive environmental response, compensation, and liability

 

act of 1980, Public Law 96-510, 42 USC 9601, but not including a

 

substance regulated as a hazardous waste under subtitle C of the


solid waste disposal act, title II of Public Law 89-272, 42 USC

 

6921 to 6939e.

 

     (ii) Petroleum, including crude oil or any fraction of crude

 

oil that is liquid at standard conditions of temperature and

 

pressure (60 degrees Fahrenheit and 14.7 pounds per square inch

 

absolute). Petroleum includes but is not limited to mixtures of

 

petroleum with de minimis quantities of other regulated substances

 

and petroleum-based substances composed of a complex blend of

 

hydrocarbons derived from crude oil through processes of

 

separation, conversion, upgrading, or finishing such as motor

 

fuels, jet fuels, distillate fuel oils, residual fuel oils,

 

lubricants, and petroleum solvents.

 

     (iii) A substance listed in section 112 of part A of title I

 

of the clean air act, chapter 360, 84 Stat. Stat 1685, 42 USC 7412.

 

     (i) (h) "Release" means any spilling, leaking, emitting,

 

discharging, escaping, or leaching from an underground storage tank

 

system into groundwater, surface water, or subsurface soils.

 

     (j) (i) "Residual NAPL saturation" means the range of NAPL

 

saturations greater than zero NAPL saturation up to the NAPL

 

saturation at which NAPL capillary pressure equals pore entry

 

pressure and includes the maximum NAPL saturation, below which NAPL

 

is discontinuous and immobile under the applied gradient.

 

     (k) (j) "Risk-based screening level" or "RBSL" means the

 

unrestricted residential and nonresidential generic cleanup

 

criteria developed by the department pursuant to part 201.

 

     (l) (k) "Saturated zone" means a soil area where the soil

 

pores are filled with groundwater and can include the presence of


LNAPL.

 

     (m) (l) "Site" means a location where a release has occurred

 

or a threat of release exists from an underground storage tank

 

system, excluding any location where corrective action was

 

completed which satisfies the applicable RBSL or SSTL.

 

     (n) (m) "Surface water" means all of the following, but does

 

not include groundwater or an enclosed sewer, other utility line,

 

storm water retention basin, or drainage ditch:

 

     (i) The Great Lakes and their connecting waters.

 

     (ii) All inland lakes.

 

     (iii) Rivers.

 

     (iv) Streams.

 

     (v) Impoundments.

 

     (o) (n) "Site-specific target level" or "SSTL" means an RBCA

 

risk-based remedial action target level for contamination developed

 

for a site under RBCA tier II and tier III evaluations.

 

     (p) (o) "Threat of release" or "threatened release" means any

 

circumstance that may reasonably be anticipated to cause a release.

 

Threat of release or threatened release does not include the

 

ownership or operation of an underground storage tank system if the

 

underground storage tank system is operated in accordance with part

 

211 and rules promulgated under that part.

 

     (q) (p) "Tier I", "tier II", and "tier III" mean those terms

 

as they are used in RBCA.

 

     (r) (q) "Underground storage tank system" means a tank or

 

combination of tanks, including underground pipes connected to the

 

tank or tanks, which is, was, or may have been used to contain an


accumulation of regulated substances, and the volume of which,

 

including the volume of the underground pipes connected to the tank

 

or tanks, is 10% or more beneath the surface of the ground. An

 

underground storage tank system does not include any of the

 

following:

 

     (i) A farm or residential tank of 1,100 gallons or less

 

capacity used for storing motor fuel for noncommercial purposes.

 

     (ii) A tank used for storing heating oil for consumptive use

 

on the premises where the tank is located.

 

     (iii) A septic tank.

 

     (iv) A pipeline facility, including gathering lines regulated

 

under either of the following:

 

     (A) The natural gas pipeline safety act of 1968, Public Law

 

90-481, 49 USC Appx 1671 to 1677, 1679a to 1682, and 1683 to 1687.

 

     (B) Sections 201 to 215 and 217 of the hazardous liquid

 

pipeline safety act of 1979, title II of Public Law 96-129, 49 USC

 

Appx 2001 to 2015.

 

     (v) A surface impoundment, pit, pond, or lagoon.

 

     (vi) A storm water or wastewater collection system.

 

     (vii) A flow-through process tank.

 

     (viii) A liquid trap or associated gathering lines directly

 

related to oil or gas production and gathering operations.

 

     (ix) A storage tank situated in an underground area such as a

 

basement, cellar, mineworking, drift, shaft, or tunnel if the

 

storage tank is situated upon or above the surface of the floor.

 

     (x) Any pipes connected to a tank that is described in

 

subdivisions (i) to (ix).


     (xi) An underground storage tank system holding hazardous

 

wastes listed or identified under subtitle C of the solid waste

 

disposal act, title II of Public Law 89-272, 42 USC 6921 to 6939e,

 

or a mixture of such hazardous waste and other regulated

 

substances.

 

     (xii) A wastewater treatment tank system that is part of a

 

wastewater treatment facility regulated under section 307(b) of

 

title III or section 402 of title IV of the federal water pollution

 

control act, 33 USC 1317 and 1342.

 

     (xiii) Equipment or machinery that contains regulated

 

substances for operational purposes such as hydraulic lift tanks

 

and electrical equipment tanks.

 

     (xiv) An underground storage tank system that has a capacity

 

of 110 gallons or less.

 

     (xv) An underground storage tank system that contains a de

 

minimis concentration of regulated substances.

 

     (xvi) An emergency spill or overflow containment underground

 

storage tank system that is expeditiously emptied after use.

 

     (s) (r) "Vadose zone" means the soil between the land surface

 

and the top of the capillary fringe. Vadose zone is also known as

 

an unsaturated zone or a zone of aeration.

 

     Sec. 21304c. (1) A person that owns or operates property that

 

the person has knowledge is contaminated shall do all of the

 

following with respect to regulated substances at the property:

 

     (a) Undertake measures as are necessary to prevent

 

exacerbation.

 

     (b) Exercise due care by undertaking corrective action


necessary to mitigate unacceptable exposure to regulated

 

substances, mitigate fire and explosion hazards due to regulated

 

substances, and allow for the intended use of the property in a

 

manner that protects the public health and safety.

 

     (c) Take reasonable precautions against the reasonably

 

foreseeable acts or omissions of a third party and the consequences

 

that foreseeably could result from those acts or omissions.

 

     (d) Provide reasonable cooperation, assistance, and access to

 

the persons that are authorized to conduct corrective action

 

activities at the property, including the cooperation and access

 

necessary for the installation, integrity, operation, and

 

maintenance of any complete or partial corrective action activity

 

at the property. Nothing in this subdivision shall be interpreted

 

to provide any right of access not expressly authorized by law,

 

including access authorized pursuant to a warrant or a court order,

 

or to preclude access allowed pursuant to a voluntary agreement.

 

     (e) Comply with any land use or resources use restrictions

 

established or relied on in connection with the corrective action

 

activities at the property.

 

     (f) Not impede the effectiveness or integrity of any

 

corrective action or land use or resource use restriction employed

 

at the property in connection with corrective action activities.

 

     (2) A person's obligations under this section shall be based

 

upon the applicable RBSL or SSTL.

 

     (3) A person that violates subsection (1) that is not

 

otherwise liable under this part for the release at the property is

 

liable for corrective action activity costs and natural resource


damages attributable to any exacerbation and any fines or penalties

 

imposed under this part resulting from the violation of subsection

 

(1) but is not liable for performance of additional corrective

 

action activities unless the person is otherwise liable under this

 

part for performance of additional corrective action activities.

 

The burden of proof in a dispute as to what constitutes

 

exacerbation shall be borne by the party seeking relief.

 

     (4) Compliance with this section does not satisfy a person's

 

obligation to perform corrective action activities as otherwise

 

required under this part.

 

     (5) Subsection (1)(a) to (c) does not apply to the state or to

 

a local unit of government that is not liable under section

 

21323a(3)(a), (b), (c), or (e) or to the state or local unit of

 

government that acquired property by purchase, gift, transfer, or

 

condemnation or to a person that is exempt from liability under

 

section 21323a(4)(b). However, if the state or local unit of

 

government, other than those exempt from liability under section

 

21323a(4)(b), acting as the owner or operator of a parcel of

 

property that the state or local unit of government has knowledge

 

is contaminated by a release from an underground storage tank

 

system, offers access to that parcel the property on a regular or

 

continuous basis pursuant to an express for a public purpose and

 

invites the general public to use that the property for the express

 

public purpose, the state or local unit of government is subject to

 

this section but only with respect to that portion of the property

 

that is opened to and used by the general public for that express

 

the public purpose, and not the entire property. Express public


Public purpose includes, but is not limited to, activities such as

 

a public park, municipal office building, or municipal public works

 

operation, or a public highway. Express public Public purpose does

 

not include activities surrounding the acquisition or compilation

 

of parcels for the purpose of future development.

 

     (6) Subsection (1)(a) to (c) does not apply to a person that

 

is exempt from liability under section 21323a(3)(c) or (d) except

 

with regard to that person's activities at the property.

 

     (7) Subsection (1)(a) to (f) applies to an owner or operator

 

who is liable under section 21323a with respect to regulated

 

substances present within a public highway above applicable RBSLs

 

or SSTLs.

 

     Sec. 21310a. (1) If the corrective action activities at a site

 

result in a final remedy that relies on a nonresidential RBSL or an

 

SSTL, institutional controls shall be implemented as provided in

 

this subsection. A notice of corrective action shall be recorded

 

with the register of deeds for the county in which the site is

 

located prior to submittal of a closure report under section

 

21312a. A notice shall be filed under this subsection only by the

 

person that owns the property or with the express written

 

permission of the person that owns the property. A notice of

 

corrective action recorded under this subsection shall state the

 

land use that was the basis of the corrective action. The notice

 

shall state that if there is a proposed change in the land use at

 

any time in the future, that change may necessitate further

 

evaluation of potential risks to the public health, safety, and

 

welfare and to the environment and that the department shall be


contacted regarding any proposed change in the land use. Additional

 

requirements for monitoring or operation and maintenance shall not

 

apply if contamination levels do not exceed the levels established

 

in the tier I evaluation.

 

     (2) If corrective action activities at a site rely on

 

institutional controls other than as provided in subsection (1),

 

the institutional controls shall be implemented as provided in this

 

subsection. The restrictive covenant shall be recorded with the

 

register of deeds for the county in which the property is located

 

within 30 days from submittal of the final assessment report

 

pursuant to section 21311a, unless otherwise agreed to by the

 

department. The restrictive covenant shall be filed only by the

 

person that owns the property or with the express written

 

permission of the person that owns the property. The restrictions

 

shall run with the land and be binding on the owner's successors,

 

assigns, and lessees. The restrictions shall apply until regulated

 

substances no longer present an unacceptable risk to the public

 

health, safety, or welfare or to the environment. The restrictive

 

covenant shall include a survey and property description which

 

define the areas addressed by the corrective action plan and the

 

scope of any land use or resource use limitations. The form and

 

content of the restrictive covenant shall include provisions to

 

accomplish all of the following:

 

     (a) Restrict activities at the site that may interfere with

 

corrective action, operation and maintenance, monitoring, or other

 

measures necessary to assure the effectiveness and integrity of the

 

corrective action.


     (b) Restrict activities that may result in exposure to

 

regulated substances above levels established in the corrective

 

action plan.

 

     (c) Prevent a conveyance of title, an easement, or other

 

interest in the property from being consummated by the person that

 

owns the property without adequate and complete provision for

 

compliance with the corrective action plan and prevention of

 

exposure to regulated substances described in subdivision (b).

 

     (d) Grant to the department and its designated representatives

 

the right to enter the property at reasonable times for the purpose

 

of determining and monitoring compliance with the corrective action

 

plan, including, but not limited to, the right to take samples,

 

inspect the operation of the corrective action measures, and

 

inspect records.

 

     (e) Allow the state to enforce restrictions set forth in the

 

covenant by legal action in a court of appropriate jurisdiction.

 

     (f) Describe generally the uses of the property that are

 

consistent with the corrective action plan.

 

     (3) If the owner or operator that is liable under section

 

21323a determines that exposure to regulated substances may be

 

reliably restricted by a means other than a restrictive covenant

 

and that imposition of land use or resource use restrictions

 

through restrictive covenants is impractical, in a manner that

 

protects against exposure to regulated substances as defined by the

 

RBSLs and SSTLs, the owner or operator that is liable under section

 

21323a may select a corrective action plan that relies on

 

alternative mechanisms. Mechanisms that may be considered under


this subsection include, but are not limited to, an ordinance that

 

prohibits the use of groundwater in a manner and to a degree that

 

protects against unacceptable exposure to a regulated substance as

 

defined by the RBSLs or SSTLs identified in the corrective action

 

plan. An ordinance that serves as an exposure control under this

 

subsection shall include both any of the following:

 

     (a) A requirement that the local unit of government notify the

 

department 30 days before adopting a modification to the ordinance

 

or the lapsing or revocation of the ordinance.

 

     (b) A requirement that the ordinance be filed with the

 

register of deeds as an ordinance affecting multiple properties.

 

     (a) Compliance with an ordinance, state law, or rule that

 

limits or prohibits the use of contaminated groundwater above the

 

RBSLs or SSTLs identified in the corrective action plan, prohibits

 

the raising of livestock, prohibits development in certain

 

locations, or restricts property to certain uses. An ordinance

 

under this subdivision shall be filed with the register of deeds on

 

the affected property or shall be filed as an ordinance affecting

 

multiple properties. An ordinance adopted after the effective date

 

of the 2016 amendatory act that amended this section shall include

 

a requirement that the local unit of government notify the

 

department 30 days before adopting a modification to the ordinance

 

or the lapsing or revocation of the ordinance.

 

     (b) A license or license agreement with the state

 

transportation department if regulated substances are proposed to

 

be left in place within a public highway owned or controlled by the

 

state transportation department.


     (c) If the state transportation department fails or refuses to

 

grant a license or enter into a license agreement within 120 days

 

after submission of a request to issue a license or enter into a

 

license agreement, and for public highways owned or controlled by a

 

county road commission or a local unit of government, reliance on

 

the existence of a public highway, if the owner or operator that is

 

liable under section 21323a does all of the following:

 

     (i) Provides the person that owns or operates the public

 

highway with the following information related to the release and

 

site:

 

     (A) The site name, address, and facility identification

 

number, and the name and contact information of the person relying

 

on the alternative mechanism.

 

     (B) Identification of the department district office with

 

jurisdiction over the site.

 

     (C) The name of the affected public highway and the nearest

 

intersection.

 

     (D) Identification of known or suspected contaminants.

 

     (E) A statement that residual or mobile NAPL is or is not

 

present at the affected public highway.

 

     (F) The media affected, including depth of contaminated soil,

 

depth of groundwater, and predominate groundwater flow direction.

 

     (G) A scale drawing of the portion of the public highway

 

subject to the alternate mechanism that depicts the area impacted

 

by regulated substances and the location of utilities in the

 

impacted area, including storm water systems and municipal separate

 

storm water systems.


     (H) Identification of all ownership and possessory or use

 

property interests related to the public highway and whether they

 

are affected by the contamination and whether they have received

 

notification of the existing conditions as part of a corrective

 

action plan or pursuant to the due care requirements under section

 

21304c.

 

     (I) Identification of exposure risks from drinking water,

 

direct contact, groundwater, soil excavation, or relocation.

 

     (ii) Confirms that there are no current plans to relocate,

 

vacate, or abandon the public highway.

 

     (iii) Either provides a certification to the person that owns

 

or operates the public highway that any contamination present as a

 

result of the release from the underground storage tank system does

 

not enter a storm sewer system or provides all information

 

necessary to clearly identify the nature and extent of the

 

contamination that enters or has the potential to enter the storm

 

sewer system.

 

     (4) Notwithstanding subsections (1), (2), and (3), if a

 

mechanism other than a notice of corrective action, an ordinance,

 

or a restrictive covenant is requested by an owner or operator that

 

is liable under section 21323a and the department determines that

 

the alternative mechanism is appropriate, the department may

 

approve of the alternate mechanism.

 

     (4) A person that owns or operates a public highway that is

 

being used as an alternative mechanism pursuant to section

 

21310a(b) or (c) shall notify the owner or operator that is liable

 

under section 21312a that is relying on an alternate mechanism


under this section at least 30 days before any activity is

 

performed that has the potential to disturb or expose the

 

environmental contamination left in place within the public

 

highway.

 

     (5) Reliance on a public highway as an alternative mechanism

 

under subsection (3)(b) does not affect an owner's or operator's

 

liability under section 21323a or impose liability for corrective

 

action on either the state transportation department or a local

 

unit of government.

 

     (6) (5) A person that implements corrective action activities

 

that relies on land use restrictions shall provide notice of the

 

land use restrictions that are part of the corrective action plan

 

to the local unit of government in which the site is located within

 

30 days of filing of the land use restrictions with the county

 

register of deeds.

 

     Sec. 21323a. (1) Notwithstanding any other provision of this

 

act, and except as otherwise provided in this section and section

 

21323c, the following persons are liable under this part:

 

     (a) The owner or operator if the owner or operator is

 

responsible for an activity causing a release or threat of release.

 

     (b) An owner or operator who became an owner or operator on or

 

after March 6, 1996, unless the owner or operator complies with

 

both of the following:

 

     (i) A baseline environmental assessment is conducted prior to

 

or within 45 days after the earlier of the date of purchase,

 

occupancy, or foreclosure. For purposes of this section, assessing

 

property to conduct a baseline environmental assessment does not


constitute occupancy.

 

     (ii) The owner or operator provides a baseline environmental

 

assessment to the department and subsequent purchaser or transferee

 

within 6 months after the earlier of the date of purchase,

 

occupancy, or foreclosure.

 

     (iii) If the owner or operator fails to meet the time frames

 

in subparagraphs (i) and (ii), the owner or operator requests and

 

receives from the department a determination that its failure to

 

comply with the time frames was inconsequential.

 

     (c) The estate or trust of a person described in subdivisions

 

(a) and (b).

 

     (2) Subject to section 21304c, an owner or operator who

 

complies with subsection (1)(b) is not liable for contamination

 

existing at the property on which an underground storage tank

 

system is located at the earlier of the date of purchase,

 

occupancy, or foreclosure, unless the person is responsible for an

 

activity causing the contamination. Subsection (1)(b) does not

 

alter a person's liability with regard to a subsequent release or

 

threat of release from an underground storage tank system if the

 

person is responsible for an activity causing the subsequent

 

release or threat of release.

 

     (3) Notwithstanding subsection (1), the following persons are

 

not liable under this part with respect to contamination at

 

property on which an underground storage tank system is located

 

resulting from a release or threat of release unless the person is

 

responsible for an activity causing that release or threat of

 

release:


     (a) The state or a local unit of government that acquired

 

ownership or control of the property involuntarily through

 

bankruptcy, tax delinquency, abandonment, a transfer from a lender

 

or other circumstances in which the government involuntarily

 

acquires title or control by virtue of its governmental function or

 

as provided in this part, a local unit of government to which

 

ownership or control of property is transferred by the state or by

 

another local unit of government that is not liable under

 

subsection (1), or the state or a local unit of government that

 

acquired ownership or control of property by seizure, receivership,

 

or forfeiture pursuant to the operation of law or by court order.

 

     (b) A state or local unit of government that holds or acquires

 

an easement interest in property, holds or acquires an interest in

 

property by dedication in a plat, or by dedication pursuant to the

 

public highways and private roads act, 1909 PA 283, MCL 220.1 to

 

239.6, or otherwise holds or acquires an interest in property for a

 

transportation or utility corridor, including sewers, pipes, and

 

pipelines, or public rights-of-way.

 

     (c) A person that holds an easement interest in property or

 

holds a utility franchise to provide service, for the purpose of

 

conveying or providing goods or services, including, but not

 

limited to, utilities, sewers, roads, railways, and pipelines; or a

 

person that acquires access through an easement.

 

     (d) A person that owns severed subsurface mineral rights or

 

severed subsurface formations or who leases subsurface mineral

 

rights or formations.

 

     (e) The state or a local unit of government that leases


property to a person if the state or the local unit of government

 

is not liable under this part for environmental contamination at

 

the property.

 

     (f) A person that acquires property as a result of the death

 

of the prior owner or operator of the property, whether by

 

inheritance, devise, or transfer from an inter vivos or

 

testamentary trust.

 

     (g) A person that did not know and had no reason to know that

 

the property was contaminated. To establish that the person did not

 

know and did not have a reason to know that the property was

 

contaminated, the person shall have undertaken at the time of

 

acquisition all appropriate inquiry into the previous ownership and

 

uses of the property consistent with good commercial or customary

 

practice. A determination of liability under this section shall

 

take into account any specialized knowledge or experience on the

 

part of the person, the relationship of the purchase price to the

 

value of the property if uncontaminated by a regulated substance,

 

commonly known or reasonable ascertainable information about the

 

property, the obviousness of the presence or likely presence of a

 

release or threat of release at the property, and the ability to

 

detect a release or threat of release by appropriate inspection.

 

     (h) A utility performing normal construction, maintenance, and

 

repair activities in the normal course of its utility service

 

business. This subdivision does not apply to property owned by the

 

utility.

 

     (i) A lessee who uses the leased property for a retail,

 

office, or commercial purpose regardless of the level of the


lessee's regulated substance use unless the lessee is otherwise

 

liable under this section.

 

     (4) Notwithstanding subsection (1), the following persons are

 

not liable under this part:

 

     (a) A lender that engages in or conducts a lawful marshaling

 

or liquidation of personal property if the lender does not cause or

 

contribute to the environmental contamination. This includes

 

holding a sale of personal property on a portion of the property.

 

     (b) A person that owns or operates property onto which

 

contamination has migrated unless that person is responsible for an

 

activity causing the release that is the source of the

 

contamination.

 

     (c) A person that owns or operates property on which the

 

release or threat of release was caused solely by 1 or more of the

 

following:

 

     (i) An act of God.

 

     (ii) An act of war.

 

     (iii) An act or omission of a third party other than an

 

employee or agent of the person or a person in a contractual

 

relationship existing either directly or indirectly with a person

 

that is liable under this section.

 

     (d) Any person for environmental contamination addressed in a

 

closure report that is approved by the department or is considered

 

approved under section 21315(4). Notwithstanding this subdivision,

 

a person may be liable under this part for the following:

 

     (i) A subsequent release not addressed in the closure report

 

if the person is otherwise liable under this part for that release.


     (ii) Environmental contamination that is not addressed in the

 

closure report and for which the person is otherwise liable under

 

this part.

 

     (iii) If the closure report relies on land use or resource use

 

restrictions, a person who desires to change those restrictions is

 

responsible for any corrective action necessary to comply with this

 

part for any land use or resource use other than the land use or

 

resource use that was the basis for the closure report. However, if

 

the closure report relies on an alternate mechanism as provided for

 

in section 21310a and the ordinance, state law, or rule is

 

modified, lapses, or is revoked or the public highway is relocated,

 

vacated, or abandoned, the owner or operator that is liable under

 

section 21323a for the environmental contamination addressed in the

 

closure report shall notify the department 30 days before the

 

ordinance, state law, or rule is modified, lapses, or is revoked or

 

the public highway is relocated, vacated, or abandoned. In such

 

cases, the owner or operator is liable under this part for

 

additional corrective action activities necessary to address any

 

increased risk of exposure to the environmental contamination.

 

     (iv) If the closure report relies on monitoring necessary to

 

assure the effectiveness and integrity of the corrective action, an

 

owner or operator that is liable under section 21323a for

 

environmental contamination addressed in a closure report is liable

 

under this part for additional corrective action activities

 

necessary to address any potential exposure to the environmental

 

contamination demonstrated by the monitoring in excess of the

 

levels relied on in the closure report.


     (v) If the corrective actions that were the basis for the

 

closure report fail to meet performance objectives that are

 

identified in the closure report or section 21304a, an owner or

 

operator that is liable under section 21323a for environmental

 

contamination addressed in the closure report is liable under this

 

part for corrective action necessary to satisfy the performance

 

objectives or otherwise comply with this part.

 

     (5) Notwithstanding any other provision of this part, the

 

state or a local unit of government or a lender who has not

 

participated in the management of the property is not liable under

 

this part for costs or damages as a result of corrective action

 

taken in response to a release or threat of release. For a lender,

 

this subsection applies only to corrective action undertaken prior

 

to foreclosure. This subsection does not preclude liability for

 

costs or damages as a result of gross negligence, including

 

reckless, willful, or wanton misconduct, or intentional misconduct

 

by the state or local unit of government.

 

     (6) In establishing liability under this section, the

 

department bears the burden of proof.

 

     (7) An owner or operator who was in compliance with subsection

 

(1)(b) prior to May 1, 2012 is considered to be in compliance with

 

subsection (1)(b).

 

     Sec. 21325. A person shall be considered a qualified

 

underground storage tank consultant if the person meets all of the

 

following requirements:

 

     (a) Experience Has experience in all phases of underground

 

storage tank work, including RBCA, tank removal oversight, site


assessment, soil removal, feasibility, design, remedial system

 

installation, remediation management activities, and site closure

 

and possesses or employs at least 1 of the following:

 

     (i) A professional engineer license with 3 or more years of

 

relevant corrective action experience, preferably involving

 

underground storage tanks.

 

     (ii) A professional geologist certification or a similar

 

approved designation such as a professional hydrologist or a

 

certified groundwater professional, with 3 or more years of

 

relevant corrective action experience, preferably involving

 

underground storage tanks.

 

     (iii) A person with a master's degree from an accredited

 

institution of higher education in a discipline of engineering or

 

science and 8 years of full-time relevant experience or a person

 

with a baccalaureate degree from an accredited institution of

 

higher education in a discipline of engineering or science and 10

 

years of full-time relevant experience. This experience shall be

 

documented with professional and personal references, past

 

employment references and histories, and documentation that all

 

requirements of the occupational safety and health act of 1970,

 

Public Law 91-596, 84 Stat. Stat 1590, and regulations promulgated

 

under that act, and the Michigan occupational safety and health

 

act, 1974 PA 154, MCL 408.1001 to 408.1094, and rules promulgated

 

under that act have been met.

 

     (iv) A person that was certified by the department as an

 

underground storage tank professional pursuant to section 21543 at

 

the time of the effective date of the amendatory act that added


this subparagraph.on May 1, 2012.

 

     (b) The person has Has all of the following insurance policies

 

written by carriers authorized to write such business, or approved

 

as an eligible surplus lines insurer, by the state and which are

 

placed with an insurer listed in a.m. best's with a rating of no

 

less than B+ VII:

 

     (i) Worker's compensation insurance.

 

     (ii) Professional liability errors and omissions insurance.

 

This policy may not exclude bodily injury, property damage, or

 

claims arising out of pollution for environmental work and shall be

 

issued with a limit of not less than $1,000,000.00 per occurrence.

 

     (iii) Contractor pollution liability insurance with limits of

 

not less than $1,000,000.00 per occurrence, if not included under

 

the professional liability errors and omissions insurance required

 

under subparagraph (ii). The insurance requirement under this

 

subparagraph is not required for consultants who do not perform

 

contracting functions.

 

     (iv) Commercial general liability insurance with limits of not

 

less than $1,000,000.00 per occurrence and $2,000,000.00 aggregate.

 

     (v) Automobile liability insurance with limits of not less

 

than $1,000,000.00 per occurrence.

 

     (c) Has demonstrated compliance with the occupational safety

 

and health act of 1970, Public Law 91-596, 84 Stat. Stat 1590, and

 

the regulations promulgated under that act, and the Michigan

 

occupational safety and health act, 1974 PA 154, MCL 408.1001 to

 

408.1094, and the rules promulgated under that act, and is able to

 

demonstrate that all such rules and regulations have been complied


with during the person's previous corrective action activity.

 

     Sec. 21325a. Department employees who are responsible for the

 

oversight of corrective action or the audits conducted under

 

section 21315 shall be formally trained and demonstrate proficiency

 

in RBCA.

 

     Enacting section 1. This amendatory act takes effect 90 days

 

after the date it is enacted into law.