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HomeMy WebLinkAboutMULBERRY CONNECTION - FDP200030 - - STORMWATER MANAGEMENT PLANMulberry Connection AT Redman Drive and I-25 Frontage Road STORMWATER MANAGEMENT PLAN (SWMP) REPORT DECEMBER 2020 Prepared By: Mulberry Connection│SWMP REPORT 2 TABLE OF CONTENTS SWMP PREPARER CERTIFICATION ........................................................................................ 5 PERMITTEE / OPERATOR RESPONSIBILITIES ....................................................................... 6 OWNER/PERMITTEE CERTIFICATION ..................................................................................... 7 OPERATOR/PERMITTEE CERTIFICATION............................................................................... 7 SUBCONTRACTOR CERTIFICATION ....................................................................................... 8 SUBCONTRACTOR CERTIFICATION ........................................................................................ 8 SUBCONTRACTOR CERTIFICATION ........................................................................................ 8 SUBCONTRACTOR CERTIFICATION ........................................................................................ 8 GENERAL REQUIREMENTS ......................................................Error! Bookmark not defined. INTRODUCTION AND PURPOSE ................................................Error! Bookmark not defined. PERMIT COVERAGE AND APPLICATIONS .................................Error! Bookmark not defined. DEFINITIONS ...............................................................................Error! Bookmark not defined. SITE DESCRIPTION....................................................................Error! Bookmark not defined. GENERAL PROJECT DESCRIPTION ...........................................Error! Bookmark not defined. PROJECT CONTACTS ............................................................................................................. 13 PROJECT LOCATION ..................................................................Error! Bookmark not defined. VICINITY MAP ..............................................................................Error! Bookmark not defined. HISTORICAL LAND USE ..............................................................Error! Bookmark not defined. EXISTING SITE CONDITIONS ....................................................Error! Bookmark not defined. THREATENED AND ENDANGERED SPECIES ............................Error! Bookmark not defined. WETLANDS ..................................................................................Error! Bookmark not defined. DRAINAGE CHARACTERISTICS .................................................Error! Bookmark not defined. VEGETATION ...............................................................................Error! Bookmark not defined. SOILS Error! Bookmark not defined. SITE AND DISTRUBED AREAS ...................................................Error! Bookmark not defined. RAINFALL DATA ..........................................................................Error! Bookmark not defined. RECEIVING WATERS ..................................................................Error! Bookmark not defined. PROPOSED SITE CONDITIONS.................................................Error! Bookmark not defined. 3 Mulberry Connection │SWMP REPORT PROJECT DESCRIPTION ............................................................Error! Bookmark not defined. TOPOGRAPHY AND DRAINAGE CHARACTERISTICS ...............Error! Bookmark not defined. PROPOSED CONSTRUCTION ACTIVITIES ............................................................................ 14 EROSION CONTROL PLAN REQUIREMENTS ....................................................................... 22 STORMWATER MANAGEMENT CONTROLS ............................Error! Bookmark not defined. QUALIFIED STORMWATER MANAGER ......................................Error! Bookmark not defined. SITE SPECIFIC POLLUTION SOURCES......................................Error! Bookmark not defined. IDENTIFICATION OF POLLUTANT SOURCES ............................Error! Bookmark not defined. BEST MANAGEMENT PRACTICES FOR STORMWATER POLLUTION PREVENTION .....Error! Bookmark not defined. FINAL STABILIZATION AND LONG TERM STORMWATER MANAGEMENT .Error! Bookmark not defined. INSPECTION REQUIREMENTS..................................................Error! Bookmark not defined. INSPECTION SCHEDULE REQUIREMENTS ........................................................................... 22 INSPECTION PROCEDURES .................................................................................................. 22 CONTROL MEASURE MAINTENANCE / REPLACEMENT AND FAILED CONOTROL MEASURESS ........................................................................................................................... 24 CONCLUSIONS ...........................................................................Error! Bookmark not defined. REFERENCES ............................................................................Error! Bookmark not defined. APPENDIX ................................................................................................................................ 26 Mulberry Connection│SWMP REPORT 4 APPENDIX A –SITE SPECIFIC REPORTS · SOIL INFORMATION · FIRM MAP · THREATENED AND ENDANGERED SPECIES APPENDIX B –EROSION CONTROL PLANS APPENDIX C –PERMIT INFORMATION · SITE SPECIFIC CDPHE PERMIT (TO BE INCLUDED UPON RECEIPT) · SITE SPECIFIC CDPHE FACT SHEET TO BE INCLUDED UPON RECEIPT) · CDPHE CDPS GENERAL PERMIT – CONSTRUCTION ACTIVITY · CDPHE CDPS GENERAL PERMIT – CONSTRUCTION DEWATERING ACTIVITIES · CDPHE CDPS GENERAL PERMIT – APPLICATION GUIDANCE DOCUMENT APPENDIX D –EXAMPLE LOGS · OUTDOOR STORAGE OF MATERIALS LOG · VEHICLE EQUIPMENT MAINTENANCE AND FUEING LOG · ROUTINE MAINTENANCE LOG · ONSITE WASTE MANAGEMENT LOG · NON-INDUSTRIAL WASTE SOURCES LOG · ADDITIONAL POLLUTANT SOURCES LOG · LAND DISTURBANCE / CONTROL MEASURE INSTALLATION / STABILIZATION LOG · CONSTRUCTION STORMWATER SITE INSPECTION REPORT · CONTROL MEASURE CORRECTIVE ACTION LOG APPENDIX E –Spill reporting · CDPHE ENVIRONMENTAL SPILL REPORTING APPENDIX F –CONTROL MEASURE DETAILS 5 Mulberry Connection │SWMP REPORT SWMP PREPARER CERTIFICATION This Stormwater Management Plan (SWMP) has been prepared by me, or under my direct supervision, in substantial accordance with the requirements of the City of Fort Collins, (the “City”) Stormwater Criteria Manual. Daniel L. Skeehan, P.E Colorado Registered PE # 46391 Project Design Engineer Mulberry Connection│SWMP REPORT 6 PERMITTEE / OPERATOR RESPONSIBILITIES This Stormwater Management Plan (SWMP) is prepared for Armie Management, LLC (the “Site Developer”) to fulfill the erosion control requirements for the City of Fort Collins (the “City”) and the State of Colorado Department of Public Health and Environment (CDPHE) for the Mulberry Connection Project (the “Project”). This narrative, in conjunction with the Erosion Control Plans included in Appendix A, examines measures taken onsite to improve stormwater quality leaving the site, and also addresses important erosion control measures implemented prior to and during construction. A general overview of the procedures outlined in the SWMP which the Operator (the “Contractor”) shall follow is provided below for reference. Responsibility Operator 1. Submit the applicable City and CDPHE Permit Applications, copies of which is provided in the Appendices.¨ 2. Complete the Permittee / Operator SWMP Certifications provided within the SWMP Narrative.¨ 3. Complete the Operator / SWMP Administrator Contact Information identified in the SWMP Narrative.¨ 4. Post the Site in accordance with the requirements identified on the Erosion Control Plans included in the appendices of this report.¨ 5. Commence Control Measure installation and construction in accordance with the Phased Control Measure Implementation.¨ 6. Schedule and Complete a Stormwater Management Pre- Construction Meeting. ¨ 7. Complete Land Disturbance / Control Measure / Site Stabilization Log, a copy of which is included in the appendices of this report.¨ 8. Complete Inspections in accordance with the SWMP Inspection Schedule and Procedures outlined within the SWMP Narrative.¨ 9. Complete field maintenance or field modifications to Stormwater Management Practices based upon the results of the Inspection.¨ 10. Maintain current records of the SWMP Inspections in accordance with the Inspection Record Keeping identified in the SWMP Narrative. ¨ 11. Maintain current records of the Land Disturbance / Control Measure / Site Stabilization Log, a copy of which is included in the appendices of this report. ¨ 12. Maintain current records of the Control Measure Corrective Action Log, a copy of which is included in the appendices of this report.¨ 13. Maintain current records of the SWMP Amendment Log, a copy which is included in the appendices of this report.¨ 14. Achieve Final Stabilization in accordance with the Final Stabilization practices outlined within the SWMP Narrative.¨ 15. File the applicable City/CDPHE Construction Stormwater Inactivation Notice.¨ This summary is provided for Permittee / Operator convenience only and shall not be considered all inclusive with respect to stormwater management responsibilities. The Permittee / Operator shall familiarize themselves with the City requirements and SWMP, and implement stormwater management strategies based upon the recommendations identified herein and varying site conditions. 7 Mulberry Connection │SWMP REPORT OWNER/PERMITTEE CERTIFICATION I certify under penalty of law that this document and all attachments were prepared under my direction or supervision in accordance with a system designed to assure that qualified personnel properly gather and evaluate the information submitted. Based on my inquiry of the person or persons who manage the system, or those persons directly responsible for gathering the information, the information submitted is to the best of my knowledge and belief, true, accurate and complete. I am aware that there are significant penalties for submitting false information, including the possibility of fine and imprisonment for knowing violations. Site Developer’s Authorized Agent:Date: OPERATOR/PERMITTEE CERTIFICATION I certify under penalty of law that this document and all attachments were prepared under my direction or supervision in accordance with a system designed to assure that qualified personnel properly gather and evaluate the information submitted. Based on my inquiry of the person or persons who manage the system, or those persons directly responsible for gathering the information, the information submitted is to the best of my knowledge and belief, true, accurate and complete. I am aware that there are significant penalties for submitting false information, including the possibility of fine and imprisonment for knowing violations. Site Developer’s Authorized Agent:Date: Mulberry Connection│SWMP REPORT 8 SUBCONTRACTOR CERTIFICATION SUBCONTRACTOR CERTIFICATION I certify under penalty of law that this document and all attachments were prepared under my direction or supervision in accordance with a system designed to assure that qualified personnel properly gather and evaluate the information submitted. Based on my inquiry of the person or persons who manage the system, or those persons directly responsible for gathering the information, the information submitted is to the best of my knowledge and belief, true, accurate and complete. I am aware that there are significant penalties for submitting false information, including the possibility of fine and imprisonment for knowing violations. Subcontractor’s Authorized Agent:Date: SUBCONTRACTOR CERTIFICATION I certify under penalty of law that this document and all attachments were prepared under my direction or supervision in accordance with a system designed to assure that qualified personnel properly gather and evaluate the information submitted. Based on my inquiry of the person or persons who manage the system, or those persons directly responsible for gathering the information, the information submitted is to the best of my knowledge and belief, true, accurate and complete. I am aware that there are significant penalties for submitting false information, including the possibility of fine and imprisonment for knowing violations. Subcontractor’s Authorized Agent:Date: SUBCONTRACTOR CERTIFICATION I certify under penalty of law that this document and all attachments were prepared under my direction or supervision in accordance with a system designed to assure that qualified personnel properly gather and evaluate the information submitted. Based on my inquiry of the person or persons who manage the system, or those persons directly responsible for gathering the information, the information submitted is to the best of my knowledge and belief, true, accurate and complete. I am aware that there are significant penalties for submitting false information, including the possibility of fine and imprisonment for knowing violations. Subcontractor’s Authorized Agent:Date: Note: Additional Subcontractor Certifications shall be completed as necessary. 9 Mulberry Connection │SWMP REPORT PROJECT DESCRIPTION AND NATURE OF CONSTRUCTION SITE LOCATION The proposed Mulberry Connection Project is located within the Northeast Quarter of Section 9, Township 7 North, Range 68 West of the Sixth Principal Meridian, City of Fort Collins, County of Larimer, Colorado. The site is on the parcel of land #8709000042, at approximate latitude and longitude (decimal degrees): 40.591728, 105.004278. The site is bound by: · North: Existing Farmland · East: Interstate 25 (“I-25”) Frontage Road · South: Redman Drive · West: Existing Farmland A vicinity map is provided below. Mulberry Connection│SWMP REPORT 10 EXISTING SITE CONDITIONS The site is approximately 12.94 acres of existing farmland, with an approximate disturbed area of 14.53 acres. SOILS The soil on the site is primarily Nunn loam and Garrett loam, which have the following characteristics, per the NRCS Web Soil Survey (included in Appendix A): Soil Characteristic Nunn Loam1 Garrett Loam1 Soil Type2 Clay Loam Clay Loam Typical Particle Size (Percent Passing No. 200)2 18% - 98% Dry Density2 102.0 – 119.9 PCF Permeability1 Well Drained Well Drained Hydrologic Soul Group1 C B Soil Structure2 Moist, stiff, sandy lean clay/fat clay Soil Erodibility (K-Factor)1 0.32 0.32 Soil Texture2 Moist, stiff, sandy lean clay/fat clay Soil Depth2 2 to 9 feet below ground surface 1. Data from the NRCS Web Soil Survey report. 2. Data from Geotechnical Evaluation performed by Ninyo & Moore According to the Geotechnical Evaluation performed by Ninyo & Moore on July 2, 2019 (included in Appendix A), alluvium was encountered in each boring beneath the loam and extended to the boring’s termination, approximately 20.5 feet below ground surface. EXISTING DRAINAGES AND DISCHARGE POINTS The Site is located within the Boxelder Creek and Cooper Slough Basins. The Master Plan for these basins is currently being updated, according to the City of Fort Collins website. According to the Problem Identification Map, the Site is not within a high or moderate risk floodplain. The Flooding Solutions Map 11 Mulberry Connection │SWMP REPORT indicates that upgrades to pipes and open channels are recommended south of the Site along E. Mulberry Street. No flooding or water quality improvements are recommended within the vicinity of the Site. The site is located within City of Fort Collins Federal Emergency Management Agency (FEMA) Flood Insurance Rate Map Number 08069C0984H and the property being developed is designated as an area outside of the 100-year floodplain. The updated FEMA maps is included in Appendix A. The existing Site is relativity flat with slopes ranging from 0.5% to 3%. There are currently no existing on- site water quality or detention improvements. The majority of the site currently slopes to the southwest, conveying water into an existing roadside ditch adjacent to Redman Drive, which discharges into Cooper Slough approximately 600 feet west of the Site. The property directly north of the Site is collected by an existing drainage ditch along the northern property line, routing all discharges around the Site, west to Cooper Slough. I-25 Frontage Road is adjacent to the Site to the east. The width of the Frontage Road drains west into an existing drainage ditch adjacent to the Site in the existing condition. Flows in this existing ditch are routed south. PATHWAY TO NEAREST STATE WATER The existing discharge point for this site is the existing roadside swale along the southern property line, which routes flows west to Cooper Slough. From the site, flows are within this existing drainage swale for approximately 300 linear feet before reach Cooper Slough. EXISTING VEGETATION The existing site is utilized as agricultural land with ground cover primarily made up of crop. There is no existing impervious cover within the site property boundary. Based on field visual inspections, it is estimated the existing vegetative ground cover is 70-80%. GROUNDWATER According to the Geotechnical Evaluation performed by Ninyo & Moore on July 2, 2019, groundwater was encountered at depths ranging between approximately 8.5 to 12 feet below ground surface, included in Appendix A. There is no known groundwater contamination. SOIL EROSION POTENTIAL The soil erodibility K-Factor ranges from 0.02 to 0.69, with higher values indicating higher potential for erosion. The soils on this site have a K-Factor of 0.32, which indicates moderate potential for soil erosion. Additionally, both the NRCS Soil Report and Geotechnical Evaluation indicate that the existing soils have high infiltration potential and therefore moderate erosion can be expected. PROPOSED CONSTRUCTION ACTIVITIES The proposed site includes two industrial buildings with associated parking and landscape improvements. Utilities will be installed in support if the new buildings, along with appropriate stormwater facilities, Water quality to mitigate and treat stormwater runoff from the site is provided in two on-site rain gardens, one underground water quality facility, and one detention pond. Concurrently, the Project also includes expansion of the I-25 Frontage Road east of the site property. Site and disturbance areas anticipated for the project construction activities are indicted below: Mulberry Connection│SWMP REPORT 12 · Site Property: ±12.94 Acres · Limits of Construction (including off-site): ±14.53 Acres · Disturbance Area: ±14.53 Acres These areas are as indicated on the Erosion Control Plan included in Appendix B. POSSIBLE ENVIRONMENTAL IMPACTS Impacts to downstream Cooper Slough may be possible with the construction of this site. This location could also impact the following threatened and endangered species, as listed by the U.S. Fish & Wildlife Service’s IPaC resource list (included in Appendix A): · Canada Lynx (threatened) · Preble’s Meadow Jumping Mouse (threatened) · Least Tern (endangered) · Mexican Spotted Owl (threatened) · Piping Plover (threatened) · Whooping Crane (endangered) · Greenback Cutthroat Trout (threatened) · Pallid Sturgeon (endangered) · Ute Ladies’-tresses (threatened) · Western Prairie Fringed Orchid (threatened) STATE AND FEDERAL PERMITS The following table identifies possible State and Federal permits related to development and the applicability to this project. Permit Applicability To This Project State CDPHE Stormwater Permit associated with Construction Activities Will be required US Army Corps of Engineers 404 Permits for Stream Crossing Not Applicable State CDPHE Construction Dewatering Permits Not anticipated, but may be required depending on groundwater conditions at the time of construction State CDPHE Air Pollution Emission Notification (APEN) Permit Not Applicable NEPA Regulations Not Applicable 13 Mulberry Connection │SWMP REPORT State CDPHE 401 Water Quality Certifications Stream Crossing Not Applicable State Division of Water Resources Dewatering and other water use permits Not anticipated, but may be required depending on groundwater conditions at the time of construction PROJECT CONTACTS SWMP PREPARER Company:Kimley-Horn and Associates, Inc. Contact:Dan Skeehan, P.E. Address:4582 South Ulster Street – Suite 1500 Denver, CO 80237 Phone:303.228.2318 Email:dan.skeehan@kimley-horn.com OWNER/PERMITTEE Company:Armie Management, LLC. Contact:Josh Heiney Address:1855 South Pearl Street, Suite 20 Denver, CO 80210 Phone:720.414.5210 Email:jheiney@thejredgroup.com OPERATOR/PERMITTEE Company:Alcorn Construction, Inc. Contact: Address:12477 W Cedar Drive Lakewood, CO 80228 Phone: Email: Mulberry Connection│SWMP REPORT 14 POTENTIAL POLLUTANT SOURCES The below table identifies whether or not the most commonly identified sources of pollutants will be present on this construction site. The following sections provide descriptions of the pollutant sources likely to be present at this site and proposed control measures to mitigate the potential pollution. Logs for the identification of pollutant sources are included in Appendix D for reference and use. Pollutant Source Anticipated to be Present on This Project All disturbed and stored soils Yes Vehicle tacking of sediments Yes Management of contaminated soils No Loading and unloading operations Yes Outdoor storage of construction site material, building materials, fertilizers, and chemicals Yes Bulk storage of materials Yes Vehicle and equipment maintenance and fueling No Significant dust or particulate generating processes Yes Routine maintenance activities involving fertilizers, pesticides, detergents, fuels, solvents, and oils No On-site waste management practices Yes Concrete truck/equipment washing, including the concrete truck chute and associated fixtures and equipment Yes Dedicated asphalt and concrete batch plants No Non-industrial waste sources such as worker trash and portable toilets Yes Saw cutting and grading Yes 15 Mulberry Connection │SWMP REPORT Other non-stormwater discharges including construction dewatering not covered under the Construction Dewatering Discharges general permit No Other areas of operations where spills can occur No DISTURBED AND STORED SOILS Approximately 100% percent of this site (on-site and off-site) will be disturbed with the Construction Activities. Once soils have been disturbed they do not retain the same compaction as in their native state, therefore surface runoff can cause more soil erosion than was historically observed. Based upon the site design, this site will not disturb all areas of construction until it is required to as part of the Construction Activities (phasing). Once exposed those areas of exposed soils will be kept in a roughened condition (surface roughening). In the event that these erosion control practices do not keep sediment on site, a structural barrier (silt fence) will be used and is called out for on the perimeter. If soil manages to migrate from the disturbed areas onto the hard surfaces it will be swept or scraped (street sweeping) to prevent the migration of sediment. In case that sediment is washed away too quickly the curb inlets will need protection (rock sock style inlet protection). Stockpiles in the same respect do not retain the same compaction and are more susceptible to soil erosion. Stockpiles on this site shall be placed in or near the center of the site and away from any drainage swales to not require perimeter run off controls (Materials/Site Management Control). The Erosion Control Plans in Appendix B show the location of stockpiles near the northwest corner of the site. The stockpile will be kept loose, not compacted, and watered as needed to prevent dust issues (site watering). The stockpile will be monitored for signs of erosion displacement and sediment accumulation and if conditions warrant it, the stockpile will be structurally covered or if it is going to sit a long while will be reseeded (temporary seeding). VEHICLE TRACKING OF SEDIMENTS Vehicle tracking of sediment may occur throughout the construction process and along all areas where the pavement meets the disturbed dirt. This occurs most often after any melt off or rain conditions when mud collects on vehicles tires and is tracked out onto the road consequently leaving site. This increases the possibility of sediment discharging to the storm system. To prevent tracking, construction fence (site barrier/site management control) will be used on the two accessible sides of the site to limit the access by the Contractor and their Subs to only two construction entrances (vehicle tracking pads to be installed). There will be a gate at the entrances that will be closed before Contractors come on site during the muddy days (site management control) and will only be opened to let larger deliveries drop off, otherwise Subcontractor parking will be kept to the street. All Contractors have signed contracts that will have them clean the streets if they are found to be tracking dirt onto the street (site management control). The tracking pad will be monitored visually every day and if track-out becomes a significant problem a larger or more robust tracking pad may be installed. Otherwise, all track-out that reaches the street will be scraped and swept (street sweeping). Secondary controls at the closest affected drainage structures will have protection (inlet protection) to capture sediment not swept up in a timely manner. LOADING AND UNLOADING OPERATIONS During this project there will be a diverse amount of loading and unloading going on. There foundation workers will have to deliver forms to the site and deliver premixed concrete. Building materials will have to Mulberry Connection│SWMP REPORT 16 be staged around the site and Landscapers will have to pile the materials on site to complete the landscape work. Though the loading and unloading vehicles will be contributing to the track out of materials, depending on the material being delivered to the site they may have a significant spill potential. In addition to the vehicle tracking of sediments section of this report, (VTC, Sweeping, etc.) Contractors may be required to park their vehicles on the adjacent roadways (site management control). Where the project is mostly dirt and not stable semi-trailers will be directed to pull alongside the project and site loaders will be used to off load the trailers. Where the trailers must access the site an attempt will be made to keep the vehicle on the VTC or other stabilized storage areas. Where the site parking lot and private drives have been installed materials will be placed in piles along the hardscape where the use of site forklifts will be more heavily used. When loading and unloading is occurring, depending on the materials, there may be an increased problem of containers being dropped, punctured, or broken. These off-loading activities will be done under roofs or awnings where possible, locating away from storm drains and will have nearby spill kits accessible. Spills on site will be addressed using spill prevention and response procedures. OUTDOOR STORAGE OF CONSTRUCTION SITE MATERIAL, BUILDING MATERIALS, FERTILIZERS, AND CHEMICALS It is anticipated that inert material like wood, shingles, tiles, siding insulation and stone will be stored on site and outside in the elements. It is also anticipated that materials that do not weather well (cement, mortar, etc.) will also be located outside. Chemicals are not anticipated to be left outside. As the inert materials have a lower potential to leave the site they will be monitored during inspection to make sure they are not being impacted by the exposure to the elements (site management control). The materials that will need added attention are the cements and mortars as they quickly mix with water and cause pollution issues. These materials when not stored inside will be placed on pallets to get above potential surface runoff and covered with tarps or plastic to prevent mixing with stormwater (materials management control). Very small quantities of chemical are needed to contaminate stormwater so the fertilizers, paints, form oils, petroleum products, and other typical chemicals, will be stored in the construction connex box, trailers, vehicles, or the like out of contact with precipitation (materials management control). If not stored in a location as described, secondary containment will be required. BULK STORAGE OF MATERIALS Any bulk storage of materials will be stored inside if possible (site management). If stored outside, bulk storage will require secondary containment. Any materials stored that could rupture and cause a spill shall be stored in an area that allows the adequate room from spread without impacting drainage infrastructure (materials management). SIGNIFICANT DUST OR PARTICULATE GENERATING PROCESSES This project will result in earth moving activities, street sweeping, and track-out and carry out, bulk materials transport, and saw cutting. As these activities will result in offsite transport of atmospheric pollution; reasonable precautions shall be taken. The project will follow all required “BMPs” articulated in the Fugitive Dust Manual and a least one additional BMP included during each of the identified activities in accordance with City Ordinance No. 044,2016. Also a copy of the Dust Control Manual will be kept in the trailer during construction for reference. Such activities will include but not limited to watering the site, covering trucks, slower site speeds, and vehicle tracking mentioned above. 17 Mulberry Connection │SWMP REPORT ON-SITE WASTE MANAGEMENT PRACTICES All large and heavy weighted waste piles (concrete chunks, excavated pipes, etc.) will be kept in a neat grouped pile until the material is to be disposed of properly. These piles will only be stored a short duration 5-10 days and will be kept 50 feet from any drainage course or inlet (Administrative Control). All dry wastes will be maintained through dumpsters and monthly hauler removal (hauler will be notified if dumpster becomes full and hauled off as needed). Where available by the hauling company the dumpster will be covered. If not practical or available by the haul company, an increased removal schedule will be followed and the “Max fill line” on the dumpster will be strictly followed. Corners of the dumpsters will be monitored for “Dumpster Juice” leaking into the soil in dry conditions and rain/melt off conditions looking for it mixing with the runoff. Dumpsters, like the waste piles, will be located at least 50 feet from any drainage course or inlet. Workers will be sent around at the end of the day to collect trash to prevent trash being left out overnight. No construction debris (including broken concrete) will be buried on site. CONCRETE TRUCK/EQUIPMENT WASHING, INCLUDING THE CONCRETE TRUCK CHUTE AND ASSOCIATED FIXTURES AND EQUIPMENT Concrete will be a portion of this project. It is anticipated that it will be used with the joints around the manholes, pour in place inlets, curb and gutter installation, sidewalks, pavement, building walls, and foundations. Pre mixed concrete trucks will be used in this process and will be delivered to the site and when pouring the foundation a pump truck will be used all of which will need to be maintained through the washing of their chutes and pump arms to prevent the concrete from hardening and ruining the equipment. This concrete wash water has a high alkaline content which is hazardous material to terrestrial and aquatic wildlife. A section of dirt near the entrance will be excavated and compacted around the sides formed to retain the concrete wash water on site (as an acceptable practice by the State) so long as the wash water is kept in the washout (concrete washout). There will be a rock pad for the truck to park on while washing as to prevent tracking from this washout (VTC). Later in the project after the parking lots curb and gutter has been poured the use of a mobile washout facility will be used on site in a similar location and after the ground has been leveled (concrete washout – mobile). The Contractor (including all masonry and concrete tradesmen) shall clean out equipment within the washout area so that the runoff is not allowed to leave the washout. The only exception would be for them to wash in the next day’s pour location. All concrete workers will be made aware of the where they are to wash (site management controls & education). If there is a significant amount of spillage when the transfer from concrete truck to pump truck occurs, a tarp or other ground cloth should be used to collect spillage (ground cover control). NON-INDUSTRIAL WASTE SOURCES SUCH AS WORKER TRASH AND PORTABLE TOILETS Since facilities are not located nearby for workers to use, trash and sanitary facilities will be required on the site. Worker trash will be comingled with the industrial trash and will follow the same controls with the caveat that a trashcan will be located near the entrance of the site as the Contractor will need to dump their trash from lunch, etc. and this will be emptied weekly or more frequently, if needed. If tipped over and when being cleaned, portable toilet facilities become a potential discharge if not cleaned up. If human waste is spilled, it will need to be treated as a biological hazard of untreated sewage and will need to be cleaned up in accordance with Larimer County Health Department Guidance. The toilets will be staked in a way to prevent tipping on a dirt surface and located at least 50 feet from a drainage course or inlet. If the site cannot accommodate a portable toilet on dirt, a containment pan or other secondary containment Mulberry Connection│SWMP REPORT 18 will be provided. They will also be anchored prevent from tipping. All materials shall be properly disposed of in accordance with the law. SAW CUTTING AND GRADING The trench work will require cutting into Redman Drive and the I-25 Frontage Road. This project will need the use of hardened saws. These saws generate a significant amount of dust. Watering the cutting surface to prevent airborne particulates (BMP in the City’s Fugitive Dust Manual) is required. The cutting slurry has a high content of fine particulates (Silica Dust, Metals, etc.) that is not allowed to discharge as runoff from the site. To prevent slurry from discharging offsite, Contractors will use the minimum amount of water needed to prevent dust and blades from overheating (site management control). Cutting slurry will be collected via vacuum or allowed to dry out and be scraped and swept up after the cutting has finished (saw cutting). GROUNDWATER DEWATERING (AS APPLICABLE) Based upon the geotechnical data, ground water levels indicate that groundwater dewatering may be required during some of the deeper excavations. Groundwater has in most excavations mixed with the dirt and as they are pumped they will add an increased velocity coming out of the out flow end contributing to erosion and speeding the transport of the suspended sediment particles. Also, construction dewatering activities must be identified in the Erosion Control Report if they are to be infiltrated on site. If the material is anticipated to be pumped to a stormwater conveyance the proper Construction Dewatering Permit must be pulled from the State of Colorado. If pumping activities are to occur on the site, the use of rock packs on the intake end of the pump will be used and a silt bag will be used on the outflow end of the pump to reduce the silt and sediment from leaving the activity (dewatering Control Measure). If this will be under a Dewatering Permit water samples will be collected in accordance with that permit. CONTROL MEASURE DESCRIPTIONS AND INSTALLATION/REMOVAL SEQUENCE The operator shall utilize the following general construction practices which are required throughout the project at locations shown on the SWMP or as dictated by construction activities. · Materials handling and spill prevention · Waste management and disposal · Hazardous material storage and containment area · Vehicle maintenance fueling and storage · Solid waste containment facility · Sanitary waste facility · Street Sweeping (SS) · SWMP Information Sign (S) These practices shall remain active and operational throughout the duration of construction and be identified on the SWMP. Due to any phasing required for the Project, it is understood that these control measures may be relocated as needed to facilitate construction operations. The Operator shall locate and identify the original and current location of these control measures on the SWMP throughout the construction of the Project. General construction sequencing and activities associated with this Project consist of the following: 19 Mulberry Connection │SWMP REPORT Initial Phase 1. Prepare and submit the City of Fort Collins Excavation Permit and the CDPHE Construction Stormwater Discharge Permit as required. A copy of the permit(s) shall be provided to the Site Developer upon receipt from the City/CDPHE. 2. Install SWMP Information Sign (S) in accordance with applicable City, State, and Site Developer requirements. 3. Install Vehicle Tracking Control (VTC). 4. Prepare Stabilized Staging Area (SSA). Contractor shall coordinate location with the Overall Developer and note the actual size and location of this area. 5. Install and denote on the plan any of the following areas: trailer, parking, lay down, porta-potty, wheel wash, concrete washout, mason's area, fuel and material storage containers, solid waste containers, etc. 6. Install perimeter controls including Silt Fence (SF) and Rock Sock Perimeter Control (RS) around limits as shown on plan. Ensure that the Limits of Construction (LOC) are defined as necessary or known by all parties which will be responsible for construction on the Site. Construction Fence (CF) shall also be installed and modified, if applicable, on the plan. Limits of Construction may be located outside of this construction fence. 7. Install Inlet Protection (IP) at the existing culvert inlet, south of the Site. 8. Upon completion of the initial control measure installation the Operator shall schedule a Pre- Construction Meeting with the City and Site Developer to confirm control measures installed are adequate prior to proceeding with additional land disturbing activities. Interim/Final Phase 9. Install Concrete Washout Area (CWA) prior to construction of concrete improvements. 10. Install utilities, storm sewers, curb and gutters. 11. Install Inlet Protection (IP) at each proposed inlet. 12. Begin fine grading the Site. Stockpile materials in accordance with the Soil Stockpile Management (SP) control measure. Permanently stabilize areas to be vegetated as they are brought to final grade. 13. Start construction of building pad and structures. 14. Grade and install Rain Gardens and Detention Pond, ensuring no compaction of existing soils within these areas. 15. Install appropriate Inlet Protection and Outlet Protection at Rain Garden and Detention Pond infrastructure. 16. Complete grading and installation of Permanent Stabilization (PS) over all areas in accordance with approved Landscape Plans. 17. Remove remaining control measures once Permanent Stabilization has been achieved and accepted by City Inspector. Repair and stabilize areas disturbed through control measure removal. 18. Notify the Site Developer of intent to file the Notice of Inactivation with the City/CDPHE and receive Site Developer acceptance to proceed with stormwater management close-out. 19. Notify the City/CDPHE of the intent to file the Notice of Inactivation and receive City/CDPHE acceptance prior to proceeding with filing the Notice of Inactivation. 20. Proceed with filing the Notice of Inactivation. 21. Provide the Site Developer with a copy of all stormwater documentation (permits, inspection reports, logs, etc.) upon completion of project stormwater Notice of Inactivation. Mulberry Connection│SWMP REPORT 20 STRUCTURAL PRACTICES FOR EROSION AND SEDIMENT CONTROL Structural control measures shall be implemented onsite to minimize erosion and sediment transport. Recommended control measures based upon a limited site review may be seen within the Erosion Control Plan included in the appendices of this report. Additional control measures shall be implemented by the Qualified Stormwater Manager if necessary to prevent sediment laden runoff from leaving the project site. The SWMP and Erosion Control Plan shall be updated to reflect any changes or revisions enacted in the field. Details of the control measures proposed for the Site are included in Appendix B. NON-STRUCTURAL PRACTICES FOR EROSION AND SEDIMENT CONTROL Non-Structural control measures shall be implemented onsite to minimize erosion and sediment transport. Recommended control measures based upon a limited site review may be seen within the Erosion Control Plan included in the appendices of this report. Additional control measures shall be implemented by the Qualified Stormwater Manager if necessary to prevent sediment laden runoff from leaving the project site. The SWMP and Erosion Control Plan shall be updated to reflect any changes or revisions enacted in the field. Details of the control measures proposed for the Site are included in Appendix B. PHASED CONTROL MEASURE IMPLEMENTATION Since the Project will not require any major demolition, construction of the identified improvements will take place under two phases of construction as identified within the construction sequencing included within this report. A Land Disturbance, Control Measure Installation, and Stabilization Log is provided in Appendix D and shall be filled out accordingly during Control Measure implementation. MATERIALS HANDLING AND SPILL PREVENTION Any hazardous or potentially hazardous material that is brought onto the construction site shall be handled properly in order to reduce the potential for stormwater pollution. In an effort to minimize the potential for a spill of petroleum product or hazardous materials to come in contact with stormwater, the following steps shall be implemented: · Material Safety Data Sheets (MSDS) information shall be kept on site for any and all applicable materials. · All materials with hazardous properties (such as pesticides, petroleum products, fertilizers, detergents, construction chemicals, acids, paints, paint solvents, additives for soil stabilization, concrete, curing compounds and additives, etc.) shall be stored in a secure location, under cover and in appropriate, tightly sealed containers when not in use. · The minimum practical quantity of all such materials shall be kept on the job site and scheduled for delivery as close to time of use as practical. · A spill control and containment kit shall be provided on the construction site and location(s) shown on the Erosion Control Plan. · All of the product in a container shall be used before the container is disposed of. All such containers shall be triple rinsed, with water prior to disposal. The rinse water used in these containers shall be disposed of in a manner in compliance with State and Federal regulations and shall not be allowed to mix with stormwater discharges. · All products shall be stored in and used from the original container with the original product label and used in strict compliance with the instructions on the product label. 21 Mulberry Connection │SWMP REPORT · The disposal of excess or used products shall be in strict compliance with instructions on the product label. If utilized, temporary onsite fuel tanks for construction vehicles shall meet all state and federal regulations. Tanks shall have approved spill containment with the capacity required by the applicable regulations. From NFPA 30: All tanks shall be provided with secondary containment (i.e. containment external to and separate from primary containment). Secondary containment shall be constructed of materials of sufficient thickness, density and composition so as not to be structurally weakened as a result of contact with the fuel stored and capable of containing discharged fuel for a period of time equal to or longer than the maximum anticipated time sufficient to allow recovery of discharged fuel. The tanks shall be in sound condition free of rust or other damage which might compromise containment. Fuel storage areas shall meet all Environmental Protection Agency (EPA), OSHA and other regulatory requirements for signage, fire extinguisher, etc. Hoses, valves, fittings, caps, filler nozzles and associated hardware shall be maintained in proper working condition at all times. The location of fuel tanks shall be shown on the Erosion Control Plan and shall be located to minimize exposure to weather and surface water drainage features. The Operator shall develop and implement a Materials Handling and Spill Prevention Plan (MHSPP) in accordance with the EPA and State of Colorado requirements. In the event of an accidental spill, immediate action shall be undertaken by the Operator to contain and remove the spilled material. All hazardous materials, including contaminated soil, shall be disposed of by the Operator in the manner specified by federal, state and local regulations and by the manufacturer of such products. As soon as possible, the spill shall be reported to the appropriate agencies. As required under the provisions of the Clean Water Act, any spill or discharge entering waters of the United States shall be properly reported. The Operator shall prepare a written record of any spill and associated clean-up activities of petroleum products or hazardous materials in excess of 1 gallon or reportable quantities, whichever is less. Any spills of petroleum products or hazardous materials in excess of Reportable Quantities as defined by EPA or the state or local agency regulations, shall be immediately reported to the Colorado Department of Public Health and Environment spill reporting lines. · CDPHE Environmental Release and Incident Reporting Line (877) 518-5608. For reference, a bulletin on Environmental Spill Reporting published by the CDPHE, has been included in Appendix E of this report. VEHICLE TRACKING AND DUST CONTROL Vehicle Tracking Control Measures (structural and non-structural) shall be implemented in order to control potential sediment discharges from vehicle tracking. Practices shall be implemented for all areas of potential vehicle tracking which include, but are not limited to reduced site access and utilization of designated haul routes. Areas of soil that are denuded of vegetation and have little protection from particles being picked up and carried by wind should be protected with a temporary cover or kept under control with water or other soil adhering products to limit wind transported particles exiting the site perimeter. Mulberry Connection│SWMP REPORT 22 WASTE MANAGEMENT AND DISPOSAL An effective first step towards preventing pollution in stormwater from work sites involves using a common sense approach to improve the facility’s basic housekeeping methods. Poor housekeeping practices result in increased waste and potential for stormwater contamination. No solid materials are allowed to be discharged from the site with stormwater. All solid waste, including disposable materials incidental to the construction activities, must be collected and placed in containers. Secure covers for the containers shall be provided at all times to meet state and local requirements. The location of solid waste receptacles shall be identified on the Erosion Control Plan by the Operator. Concrete waste is anticipated with this project; and therefore, a dedicated concrete washout is required. The Qualified Stormwater Manager shall take appropriate containment and treatment measures and document as necessary. GROUNDWATER AND STORMWATER DEWATERING Except as noted below, all discharges covered by this permit shall be composed entirely of stormwater associated with construction activity. · Emergency Fire Fighting Activities · Uncontaminated Spring Water · Landscape Irrigation Return Flow Groundwater dewatering is not anticipated. If encountered, the operator shall file for appropriate permits with the CDPHE. MAINTENANCE AND INSPECTION REQUIREMENTS INSPECTION SCHEDULE REQUIREMENTS A thorough inspection of the stormwater management system shall be performed and documented at least once every 7 calendar days, or once every 14 days, with post-storm event inspections conducted within 24 hours after the end of any precipitation or snowmelt. If more frequent inspections are required to ensure that control measures are properly maintained and operated, the inspection schedule shall be modified to meet this need. INSPECTION PROCEDURES The inspection shall include observations of: · The Construction Site Perimeter and Discharge Points; · All Disturbed Areas; · Areas Used for Material / Waste Storage That are Exposed to Precipitation; · Other Areas Determined to Have a Significant Potential for Stormwater Pollution; · Erosion and Sediment Control Measures Identified in the SWMP; and · Any Other Structural Control Measures That May Require Maintenance. 23 Mulberry Connection │SWMP REPORT The inspection must determine if there is evidence of, or the potential for, pollutants entering the drainage system. Control measures should be reviewed to determine if they still meet the design intent and operational criteria in the SWMP and if they continue to adequately control pollutants at the site. Any control measures not operating in accordance with the SWMP must be addressed as soon as possible, immediately in most cases, to minimize the discharge of pollutants and the SWMP must be updated and inspections must be documented. Examples of specific items to evaluate during site inspections are listed below. This list is not intended to be comprehensive. During each inspection, the inspector shall evaluate overall pollutant control system performance as well as particular details of individual system components. Additional factors should be considered as appropriate to the circumstances. · Vehicle Tracking Control - Locations where vehicles enter and exit the site shall be inspected for evidence of offsite sediment tracking. Exits shall be maintained as necessary to prevent the release of sediment from vehicles leaving the site. Any sediment deposited on the adjacent roadway shall be removed as necessary throughout the day or at the end of every day and disposed of in an appropriate manner. Sediment shall not be washed into storm sewer systems. · Erosion Control Devices - Rolled erosion control products (nets, blankets, turf reinforcement mats) and marginally vegetated areas (areas not meeting required vegetative densities for final stabilization) must be inspected frequently. Rilling, rutting and other signs of erosion indicate the erosion control device is not functioning properly and additional erosion control devices are warranted. · Sediment Control Devices - Sediment barriers (silt fence, sediment control logs, etc.), traps and basins must be inspected and they must be cleaned out at such time as their original capacity has been reduced by 50 percent. All material excavated from behind sediment barriers or in traps and basins shall be incorporated into onsite soils or spread out on an upland portion of the site and stabilized. To minimize the potential for sediment releases from the Project, site perimeter control devices shall be inspected with consideration given to changing up-gradient conditions. · Material Storage Areas - Material storage areas should be located to minimize exposure to weather. Inspections shall evaluate disturbed areas and areas used for storing materials that are exposed to rainfall for evidence of, or the potential for, pollutants entering the drainage system or discharging from the site. If necessary, the materials must be covered or original covers must be repaired or supplemented. Also, protective berms must be constructed, if needed, in order to contain runoff from material storage areas. All state and local regulations pertaining to material storage areas shall be adhered to. · Vegetation - Seed/Sod shall be free of weedy species and appropriate for site soils and regional climate. Seeding, sodding, tacking, and mulching shall be completed, in accordance with the requirements outlined within the Project Manual and locations identified within the plans, immediately after topsoil is applied and final grade is reached. Grassed areas shall be inspected to confirm that a healthy stand of grass is maintained. Rip-rap, mulch, gravel, decomposed granite or other equivalent permanent stabilization measures may be employed in lieu of vegetation based on site-specific conditions and Site Developer approval. · Discharge Points - All discharge points must be inspected to determine whether erosion and sediment control measures are effective in preventing discharge of sediment from the site or impacts to receiving waters. Mulberry Connection│SWMP REPORT 24 All necessary maintenance and repair shall be completed immediately. The inspection reports must be completed after each inspection. An important aspect of the inspection report is the description of additional measures that need to be taken to enhance plan effectiveness. The inspection report must identify whether the site was in compliance with the SWMP at the time of inspection and specifically identify all incidents of non-compliance. The Qualified Stormwater Manager shall ensure that, at a minimum, the following is recorded for each inspection and kept onsite for reference: · Inspection Date · Name(s) and Title(s) of Inspection Personnel · Location(s) of Discharges of Sediment and Other Pollutants from the Site · Location(s) of control measures Requiring Maintenance · Location(s) of Failed control measures · Location(s) of Additional Required control measures · Deviations from the Minimum Inspections Schedule (If Applicable) · Description of Corrective Actions · Certification of SWMP Compliance after adequate corrective action(s) taken, or where a report does not identify any incidents requiring corrective action, this certification shall be made by the inspector indicating compliance with the permit The use and maintenance of log books, photographs, field notebooks, drawings or maps should also be included in the SWMP records when appropriate. Copies of the Inspection Form and Control Measure Corrective Action Log have been included in Appendix D for reference and use. CONTROL MEASURE MAINTENANCE / REPLACEMENT AND FAILED CONOTROL MEASURESS Site inspection procedures noted above must address maintenance of control measures that are found to no longer function as needed and designed, as well as preventive measures to proactively ensure continued operation. The Qualified Stormwater Manager shall implement a preventative maintenance program to ensure that control measure breakdowns and failures are handled proactively. Site inspections should uncover any conditions which could result in the discharge of pollutants to storm sewers and surface waters and shall be rectified. For example, sediment shall be removed from silt fences on a regular basis to prevent failure of the control measure. Sediment shall be removed to an appropriate location so that it will not become an additional pollutant source. The inspection process must also include replacement of control measures when needed or the addition of new control measures in order to adequately manage the pollutant sources at the site. Any control measure deficiencies, replacement or additional control measures that may be required shall be documented on the Erosion Control Plans and on the appropriate Inspection Form. If amendments to the control measure are required, these amendments shall be documented on the Control Measure Amendment Log included in Appendix K for reference and use. 25 Mulberry Connection │SWMP REPORT FINAL VEGETATION AND STABILIZATION In the natural condition, the site soil is stabilized by means of native vegetation. Therefore, the final stabilization technique to be used at this project for stabilizing soils shall be to provide a protective cover of native vegetation, gravel road base, and granular stabilization material. Seeding should be conducted after final grade is achieved and soils are prepared to take advantage of soil moisture and seed germination. The SWMP Administrator should evaluate the short and long-term forecasts prior to applying permanent seed. Final site stabilization is achieved when vegetative cover provides permanent stabilization with a density greater than 70 percent of the pre-disturbance levels, or equivalent permanent, physical erosion reduction methods have been employed over the entire area to be stabilized by vegetative cover. This area is exclusive of areas that are covered with rock (crushed granite, gravel, etc.) or landscape mulch, paved or have a building or other permanent structure on them. Mulberry Connection│SWMP REPORT 26 APPENDIX MULBERRY CONNECTION │SWMP REPORT APPENDIX A – SITE SPECIFIC REPORTS United States Department of Agriculture A product of the National Cooperative Soil Survey, a joint effort of the United States Department of Agriculture and other Federal agencies, State agencies including the Agricultural Experiment Stations, and local participants Custom Soil Resource Report for Larimer County Area, ColoradoNatural Resources Conservation Service August 15, 2019 6 Custom Soil Resource Report Soil Map 44932804493330449338044934304493480449353044935804493280449333044933804493430449348044935304493580499430 499480 499530 499580 499630 499680 499730 499780 499830 499880 499430 499480 499530 499580 499630 499680 499730 499780 499830 499880 40° 35' 35'' N 105° 0' 25'' W40° 35' 35'' N105° 0' 4'' W40° 35' 24'' N 105° 0' 25'' W40° 35' 24'' N 105° 0' 4'' WN Map projection: Web Mercator Corner coordinates: WGS84 Edge tics: UTM Zone 13N WGS84 0 100 200 400 600 Feet 0 30 60 120 180 Meters Map Scale: 1:2,260 if printed on A landscape (11" x 8.5") sheet. Soil Map may not be valid at this scale. MAP LEGEND MAP INFORMATION Area of Interest (AOI) Area of Interest (AOI) Soils Soil Map Unit Polygons Soil Map Unit Lines Soil Map Unit Points Special Point Features Blowout Borrow Pit Clay Spot Closed Depression Gravel Pit Gravelly Spot Landfill Lava Flow Marsh or swamp Mine or Quarry Miscellaneous Water Perennial Water Rock Outcrop Saline Spot Sandy Spot Severely Eroded Spot Sinkhole Slide or Slip Sodic Spot Spoil Area Stony Spot Very Stony Spot Wet Spot Other Special Line Features Water Features Streams and Canals Transportation Rails Interstate Highways US Routes Major Roads Local Roads Background Aerial Photography The soil surveys that comprise your AOI were mapped at 1:24,000. Warning: Soil Map may not be valid at this scale. Enlargement of maps beyond the scale of mapping can cause misunderstanding of the detail of mapping and accuracy of soil line placement. The maps do not show the small areas of contrasting soils that could have been shown at a more detailed scale. Please rely on the bar scale on each map sheet for map measurements. Source of Map: Natural Resources Conservation Service Web Soil Survey URL: Coordinate System: Web Mercator (EPSG:3857) Maps from the Web Soil Survey are based on the Web Mercator projection, which preserves direction and shape but distorts distance and area. A projection that preserves area, such as the Albers equal-area conic projection, should be used if more accurate calculations of distance or area are required. This product is generated from the USDA-NRCS certified data as of the version date(s) listed below. Soil Survey Area: Larimer County Area, Colorado Survey Area Data: Version 13, Sep 10, 2018 Soil map units are labeled (as space allows) for map scales 1:50,000 or larger. Date(s) aerial images were photographed: Aug 11, 2018—Aug 12, 2018 The orthophoto or other base map on which the soil lines were compiled and digitized probably differs from the background imagery displayed on these maps. As a result, some minor shifting of map unit boundaries may be evident. Custom Soil Resource Report 7 Map Unit Legend Map Unit Symbol Map Unit Name Acres in AOI Percent of AOI 40 Garrett loam, 0 to 1 percent slopes 5.6 27.8% 53 Kim loam, 1 to 3 percent slopes 0.0 0.0% 63 Longmont clay, 0 to 3 percent slopes 0.6 2.8% 73 Nunn clay loam, 0 to 1 percent slopes 13.9 69.4% 76 Nunn clay loam, wet, 1 to 3 percent slopes 0.0 0.1% Totals for Area of Interest 20.0 100.0% Map Unit Descriptions The map units delineated on the detailed soil maps in a soil survey represent the soils or miscellaneous areas in the survey area. The map unit descriptions, along with the maps, can be used to determine the composition and properties of a unit. A map unit delineation on a soil map represents an area dominated by one or more major kinds of soil or miscellaneous areas. A map unit is identified and named according to the taxonomic classification of the dominant soils. Within a taxonomic class there are precisely defined limits for the properties of the soils. On the landscape, however, the soils are natural phenomena, and they have the characteristic variability of all natural phenomena. Thus, the range of some observed properties may extend beyond the limits defined for a taxonomic class. Areas of soils of a single taxonomic class rarely, if ever, can be mapped without including areas of other taxonomic classes. Consequently, every map unit is made up of the soils or miscellaneous areas for which it is named and some minor components that belong to taxonomic classes other than those of the major soils. Most minor soils have properties similar to those of the dominant soil or soils in the map unit, and thus they do not affect use and management. These are called noncontrasting, or similar, components. They may or may not be mentioned in a particular map unit description. Other minor components, however, have properties and behavioral characteristics divergent enough to affect use or to require different management. These are called contrasting, or dissimilar, components. They generally are in small areas and could not be mapped separately because of the scale used. Some small areas of strongly contrasting soils or miscellaneous areas are identified by a special symbol on the maps. If included in the database for a given area, the contrasting minor components are identified in the map unit descriptions along with some characteristics of each. A few areas of minor components may not have been observed, and consequently they are not mentioned in the descriptions, especially where the pattern was so complex that it was impractical to make enough observations to identify all the soils and miscellaneous areas on the landscape. Custom Soil Resource Report 8 19 Custom Soil Resource Report Map—Hydrologic Soil Group 44932804493330449338044934304493480449353044935804493280449333044933804493430449348044935304493580499430 499480 499530 499580 499630 499680 499730 499780 499830 499880 499430 499480 499530 499580 499630 499680 499730 499780 499830 499880 40° 35' 35'' N 105° 0' 25'' W40° 35' 35'' N105° 0' 4'' W40° 35' 24'' N 105° 0' 25'' W40° 35' 24'' N 105° 0' 4'' WN Map projection: Web Mercator Corner coordinates: WGS84 Edge tics: UTM Zone 13N WGS84 0 100 200 400 600 Feet 0 30 60 120 180 Meters Map Scale: 1:2,260 if printed on A landscape (11" x 8.5") sheet. Soil Map may not be valid at this scale. MAP LEGEND MAP INFORMATION Area of Interest (AOI) Area of Interest (AOI) Soils Soil Rating Polygons A A/D B B/D C C/D D Not rated or not available Soil Rating Lines A A/D B B/D C C/D D Not rated or not available Soil Rating Points A A/D B B/D C C/D D Not rated or not available Water Features Streams and Canals Transportation Rails Interstate Highways US Routes Major Roads Local Roads Background Aerial Photography The soil surveys that comprise your AOI were mapped at 1:24,000. Warning: Soil Map may not be valid at this scale. Enlargement of maps beyond the scale of mapping can cause misunderstanding of the detail of mapping and accuracy of soil line placement. The maps do not show the small areas of contrasting soils that could have been shown at a more detailed scale. Please rely on the bar scale on each map sheet for map measurements. Source of Map: Natural Resources Conservation Service Web Soil Survey URL: Coordinate System: Web Mercator (EPSG:3857) Maps from the Web Soil Survey are based on the Web Mercator projection, which preserves direction and shape but distorts distance and area. A projection that preserves area, such as the Albers equal-area conic projection, should be used if more accurate calculations of distance or area are required. This product is generated from the USDA-NRCS certified data as of the version date(s) listed below. Soil Survey Area: Larimer County Area, Colorado Survey Area Data: Version 13, Sep 10, 2018 Soil map units are labeled (as space allows) for map scales 1:50,000 or larger. Date(s) aerial images were photographed: Aug 11, 2018—Aug 12, 2018 The orthophoto or other base map on which the soil lines were compiled and digitized probably differs from the background imagery displayed on these maps. As a result, some minor shifting of map unit boundaries may be evident. Custom Soil Resource Report 20 Table—Hydrologic Soil Group Map unit symbol Map unit name Rating Acres in AOI Percent of AOI 40 Garrett loam, 0 to 1 percent slopes B 5.6 27.8% 53 Kim loam, 1 to 3 percent slopes B 0.0 0.0% 63 Longmont clay, 0 to 3 percent slopes D 0.6 2.8% 73 Nunn clay loam, 0 to 1 percent slopes C 13.9 69.4% 76 Nunn clay loam, wet, 1 to 3 percent slopes C 0.0 0.1% Totals for Area of Interest 20.0 100.0% Rating Options—Hydrologic Soil Group Aggregation Method: Dominant Condition Component Percent Cutoff: None Specified Tie-break Rule: Higher Custom Soil Resource Report 21 11/29/2020 IPaC: Explore Location https://ecos.fws.gov/ipac/location/DXV52Z2H3VC23CWFJ7WNJ5AUKA/resources 1/13 IPaC resource list This report is an automatically generated list of species and other resources such as critical habitat (collectively referred to as trust resources) under the U.S. Fish and Wildlife Service's (USFWS) jurisdiction that are known or expected to be on or near the project area referenced below. The list may also include trust resources that occur outside of the project area, but that could potentially be directly or indirectly aected by activities in the project area. However, determining the likelihood and extent of eects a project may have on trust resources typically requires gathering additional site-specic (e.g., vegetation/species surveys) and project-specic (e.g., magnitude and timing of proposed activities) information. Below is a summary of the project information you provided and contact information for the USFWS oce(s) with jurisdiction in the dened project area. Please read the introduction to each section that follows (Endangered Species, Migratory Birds, USFWS Facilities, and NWI Wetlands) for additional information applicable to the trust resources addressed in that section. Location Larimer County, Colorado Local oce Colorado Ecological Services Field Oce  (303) 236-4773  (303) 236-4005 MAILING ADDRESS Denver Federal Center P.O. Box 25486 Denver, CO 80225-0486 PHYSICAL ADDRESS U.S. Fish & Wildlife ServiceIPaC 11/29/2020 IPaC: Explore Location https://ecos.fws.gov/ipac/location/DXV52Z2H3VC23CWFJ7WNJ5AUKA/resources 2/13 134 Union Boulevard, Suite 670 Lakewood, CO 80228-1807 http://www.fws.gov/coloradoES http://www.fws.gov/platteriver 11/29/2020 IPaC: Explore Location https://ecos.fws.gov/ipac/location/DXV52Z2H3VC23CWFJ7WNJ5AUKA/resources 3/13 Endangered species This resource list is for informational purposes only and does not constitute an analysis of project level impacts. The primary information used to generate this list is the known or expected range of each species. Additional areas of inuence (AOI) for species are also considered. An AOI includes areas outside of the species range if the species could be indirectly aected by activities in that area (e.g., placing a dam upstream of a sh population, even if that sh does not occur at the dam site, may indirectly impact the species by reducing or eliminating water ow downstream). Because species can move, and site conditions can change, the species on this list are not guaranteed to be found on or near the project area. To fully determine any potential eects to species, additional site-specic and project-specic information is often required. Section 7 of the Endangered Species Act requires Federal agencies to "request of the Secretary information whether any species which is listed or proposed to be listed may be present in the area of such proposed action" for any project that is conducted, permitted, funded, or licensed by any Federal agency. A letter from the local oce and a species list which fullls this requirement can only be obtained by requesting an ocial species list from either the Regulatory Review section in IPaC (see directions below) or from the local eld oce directly. For project evaluations that require USFWS concurrence/review, please return to the IPaC website and request an ocial species list by doing the following: 1. Draw the project location and click CONTINUE. 2. Click DEFINE PROJECT. 3. Log in (if directed to do so). 4. Provide a name and description for your project. 5. Click REQUEST SPECIES LIST. Listed species and their critical habitats are managed by the Ecological Services Program of the U.S. Fish and Wildlife Service (USFWS) and the sheries division of the National Oceanic and Atmospheric Administration (NOAA Fisheries ). Species and critical habitats under the sole responsibility of NOAA Fisheries are not shown on this list. Please contact NOAA Fisheries for species under their jurisdiction. 1. Species listed under the Endangered Species Act are threatened or endangered; IPaC also shows species that are candidates, or proposed, for listing. See the listing status page for more information. 2. NOAA Fisheries, also known as the National Marine Fisheries Service (NMFS), is an oce of the National Oceanic and Atmospheric Administration within the Department of Commerce. The following species are potentially aected by activities in this location: Mammals 1 2 NAME STATUS 11/29/2020 IPaC: Explore Location https://ecos.fws.gov/ipac/location/DXV52Z2H3VC23CWFJ7WNJ5AUKA/resources 4/13 Birds Fishes Canada Lynx Lynx canadensis There is nal critical habitat for this species. Your location is outside the critical habitat. https://ecos.fws.gov/ecp/species/3652 Threatened Preble's Meadow Jumping Mouse Zapus hudsonius preblei There is nal critical habitat for this species. Your location is outside the critical habitat. https://ecos.fws.gov/ecp/species/4090 Threatened NAME STATUS Least Tern Sterna antillarum This species only needs to be considered if the following condition applies: Water-related activities/use in the N. Platte, S. Platte and Laramie River Basins may aect listed species in Nebraska. No critical habitat has been designated for this species. https://ecos.fws.gov/ecp/species/8505 Endangered Mexican Spotted Owl Strix occidentalis lucida There is nal critical habitat for this species. Your location is outside the critical habitat. https://ecos.fws.gov/ecp/species/8196 Threatened Piping Plover Charadrius melodus There is nal critical habitat for this species. Your location is outside the critical habitat. https://ecos.fws.gov/ecp/species/6039 Threatened Whooping Crane Grus americana This species only needs to be considered if the following condition applies: Water-related activities/use in the N. Platte, S. Platte and Laramie River Basins may aect listed species in Nebraska. There is nal critical habitat for this species. Your location is outside the critical habitat. https://ecos.fws.gov/ecp/species/758 Endangered NAME STATUS Greenback Cutthroat Trout Oncorhynchus clarkii stomias No critical habitat has been designated for this species. https://ecos.fws.gov/ecp/species/2775 Threatened 11/29/2020 IPaC: Explore Location https://ecos.fws.gov/ipac/location/DXV52Z2H3VC23CWFJ7WNJ5AUKA/resources 5/13 Flowering Plants Critical habitats Potential eects to critical habitat(s) in this location must be analyzed along with the endangered species themselves. THERE ARE NO CRITICAL HABITATS AT THIS LOCATION. Migratory birds Pallid Sturgeon Scaphirhynchus albus This species only needs to be considered if the following condition applies: Water-related activities/use in the N. Platte, S. Platte and Laramie River Basins may aect listed species in Nebraska. No critical habitat has been designated for this species. https://ecos.fws.gov/ecp/species/7162 Endangered NAME STATUS Ute Ladies'-tresses Spiranthes diluvialis No critical habitat has been designated for this species. https://ecos.fws.gov/ecp/species/2159 Threatened Western Prairie Fringed Orchid Platanthera praeclara This species only needs to be considered if the following condition applies: Water-related activities/use in the N. Platte, S. Platte and Laramie River Basins may aect listed species in Nebraska. No critical habitat has been designated for this species. https://ecos.fws.gov/ecp/species/1669 Threatened Certain birds are protected under the Migratory Bird Treaty Act and the Bald and Golden Eagle Protection Act . Any person or organization who plans or conducts activities that may result in impacts to migratory birds, eagles, and their habitats should follow appropriate regulations and consider implementing appropriate conservation measures, as described below. 1. The Migratory Birds Treaty Act of 1918. 2. The Bald and Golden Eagle Protection Act of 1940. Additional information can be found using the following links: 1 2 11/29/2020 IPaC: Explore Location https://ecos.fws.gov/ipac/location/DXV52Z2H3VC23CWFJ7WNJ5AUKA/resources 6/13 The birds listed below are birds of particular concern either because they occur on the USFWS Birds of Conservation Concern (BCC) list or warrant special attention in your project location. To learn more about the levels of concern for birds on your list and how this list is generated, see the FAQ below. This is not a list of every bird you may nd in this location, nor a guarantee that every bird on this list will be found in your project area. To see exact locations of where birders and the general public have sighted birds in and around your project area, visit the E-bird data mapping tool (Tip: enter your location, desired date range and a species on your list). For projects that occur o the Atlantic Coast, additional maps and models detailing the relative occurrence and abundance of bird species on your list are available. Links to additional information about Atlantic Coast birds, and other important information about your migratory bird list, including how to properly interpret and use your migratory bird report, can be found below. For guidance on when to schedule activities or implement avoidance and minimization measures to reduce impacts to migratory birds on your list, click on the PROBABILITY OF PRESENCE SUMMARY at the top of your list to see when these birds are most likely to be present and breeding in your project area. Birds of Conservation Concern http://www.fws.gov/birds/management/managed-species/ birds-of-conservation-concern.php Measures for avoiding and minimizing impacts to birds http://www.fws.gov/birds/management/project-assessment-tools-and-guidance/ conservation-measures.php Nationwide conservation measures for birds http://www.fws.gov/migratorybirds/pdf/management/nationwidestandardconservationmeasures.pdf NAME BREEDING SEASON (IF A BREEDING SEASON IS INDICATED FOR A BIRD ON YOUR LIST, THE BIRD MAY BREED IN YOUR PROJECT AREA SOMETIME WITHIN THE TIMEFRAME SPECIFIED, WHICH IS A VERY LIBERAL ESTIMATE OF THE DATES INSIDE WHICH THE BIRD BREEDS ACROSS ITS ENTIRE RANGE. "BREEDS ELSEWHERE" INDICATES THAT THE BIRD DOES NOT LIKELY BREED IN YOUR PROJECT AREA.) Bald Eagle Haliaeetus leucocephalus This is not a Bird of Conservation Concern (BCC) in this area, but warrants attention because of the Eagle Act or for potential susceptibilities in oshore areas from certain types of development or activities. https://ecos.fws.gov/ecp/species/1626 Breeds Oct 15 to Jul 31 11/29/2020 IPaC: Explore Location https://ecos.fws.gov/ipac/location/DXV52Z2H3VC23CWFJ7WNJ5AUKA/resources 7/13 Probability of Presence Summary The graphs below provide our best understanding of when birds of concern are most likely to be present in your project area. This information can be used to tailor and schedule your project activities to avoid or minimize impacts to birds. Please make sure you read and understand the FAQ “Proper Interpretation and Use of Your Migratory Bird Report” before using or attempting to interpret this report. Probability of Presence () Cassin's Sparrow Aimophila cassinii This is a Bird of Conservation Concern (BCC) only in particular Bird Conservation Regions (BCRs) in the continental USA https://ecos.fws.gov/ecp/species/9512 Breeds Aug 1 to Oct 10 Chestnut-collared Longspur Calcarius ornatus This is a Bird of Conservation Concern (BCC) throughout its range in the continental USA and Alaska. Breeds May 1 to Aug 10 Golden Eagle Aquila chrysaetos This is a Bird of Conservation Concern (BCC) only in particular Bird Conservation Regions (BCRs) in the continental USA https://ecos.fws.gov/ecp/species/1680 Breeds Jan 1 to Aug 31 Lark Bunting Calamospiza melanocorys This is a Bird of Conservation Concern (BCC) only in particular Bird Conservation Regions (BCRs) in the continental USA Breeds May 10 to Aug 15 Lesser Yellowlegs Tringa avipes This is a Bird of Conservation Concern (BCC) throughout its range in the continental USA and Alaska. https://ecos.fws.gov/ecp/species/9679 Breeds elsewhere Lewis's Woodpecker Melanerpes lewis This is a Bird of Conservation Concern (BCC) throughout its range in the continental USA and Alaska. https://ecos.fws.gov/ecp/species/9408 Breeds Apr 20 to Sep 30 Willet Tringa semipalmata This is a Bird of Conservation Concern (BCC) throughout its range in the continental USA and Alaska. Breeds Apr 20 to Aug 5 Willow Flycatcher Empidonax traillii This is a Bird of Conservation Concern (BCC) only in particular Bird Conservation Regions (BCRs) in the continental USA https://ecos.fws.gov/ecp/species/3482 Breeds May 20 to Aug 31 11/29/2020 IPaC: Explore Location https://ecos.fws.gov/ipac/location/DXV52Z2H3VC23CWFJ7WNJ5AUKA/resources 8/13  no data survey eort breeding season probability of presence Each green bar represents the bird's relative probability of presence in the 10km grid cell(s) your project overlaps during a particular week of the year. (A year is represented as 12 4-week months.) A taller bar indicates a higher probability of species presence. The survey eort (see below) can be used to establish a level of condence in the presence score. One can have higher condence in the presence score if the corresponding survey eort is also high. How is the probability of presence score calculated? The calculation is done in three steps: 1. The probability of presence for each week is calculated as the number of survey events in the week where the species was detected divided by the total number of survey events for that week. For example, if in week 12 there were 20 survey events and the Spotted Towhee was found in 5 of them, the probability of presence of the Spotted Towhee in week 12 is 0.25. 2. To properly present the pattern of presence across the year, the relative probability of presence is calculated. This is the probability of presence divided by the maximum probability of presence across all weeks. For example, imagine the probability of presence in week 20 for the Spotted Towhee is 0.05, and that the probability of presence at week 12 (0.25) is the maximum of any week of the year. The relative probability of presence on week 12 is 0.25/0.25 = 1; at week 20 it is 0.05/0.25 = 0.2. 3. The relative probability of presence calculated in the previous step undergoes a statistical conversion so that all possible values fall between 0 and 10, inclusive. This is the probability of presence score. To see a bar's probability of presence score, simply hover your mouse cursor over the bar. Breeding Season () Yellow bars denote a very liberal estimate of the time-frame inside which the bird breeds across its entire range. If there are no yellow bars shown for a bird, it does not breed in your project area. Survey Eort () Vertical black lines superimposed on probability of presence bars indicate the number of surveys performed for that species in the 10km grid cell(s) your project area overlaps. The number of surveys is expressed as a range, for example, 33 to 64 surveys. To see a bar's survey eort range, simply hover your mouse cursor over the bar. No Data () A week is marked as having no data if there were no survey events for that week. Survey Timeframe Surveys from only the last 10 years are used in order to ensure delivery of currently relevant information. The exception to this is areas o the Atlantic coast, where bird returns are based on all years of available data, since data in these areas is currently much more sparse. SPECIES JAN FEB MAR APR MAY JUN JUL AUG SEP OCT NOV DEC 11/29/2020 IPaC: Explore Location https://ecos.fws.gov/ipac/location/DXV52Z2H3VC23CWFJ7WNJ5AUKA/resources 9/13 Bald Eagle Non-BCC Vulnerable (This is not a Bird of Conservation Concern (BCC) in this area, but warrants attention because of the Eagle Act or for potential susceptibilities in oshore areas from certain types of development or activities.) Cassin's Sparrow BCC - BCR (This is a Bird of Conservation Concern (BCC) only in particular Bird Conservation Regions (BCRs) in the continental USA) Chestnut-collared Longspur BCC Rangewide (CON) (This is a Bird of Conservation Concern (BCC) throughout its range in the continental USA and Alaska.) Golden Eagle BCC - BCR (This is a Bird of Conservation Concern (BCC) only in particular Bird Conservation Regions (BCRs) in the continental USA) Lark Bunting BCC - BCR (This is a Bird of Conservation Concern (BCC) only in particular Bird Conservation Regions (BCRs) in the continental USA) Lesser Yellowlegs BCC Rangewide (CON) (This is a Bird of Conservation Concern (BCC) throughout its range in the continental USA and Alaska.) Lewis's Woodpecker BCC Rangewide (CON) (This is a Bird of Conservation Concern (BCC) throughout its range in the continental USA and Alaska.) 11/29/2020 IPaC: Explore Location https://ecos.fws.gov/ipac/location/DXV52Z2H3VC23CWFJ7WNJ5AUKA/resources 10/13 Willet BCC Rangewide (CON) (This is a Bird of Conservation Concern (BCC) throughout its range in the continental USA and Alaska.) Willow Flycatcher BCC - BCR (This is a Bird of Conservation Concern (BCC) only in particular Bird Conservation Regions (BCRs) in the continental USA) Tell me more about conservation measures I can implement to avoid or minimize impacts to migratory birds. Nationwide Conservation Measures describes measures that can help avoid and minimize impacts to all birds at any location year round. Implementation of these measures is particularly important when birds are most likely to occur in the project area. When birds may be breeding in the area, identifying the locations of any active nests and avoiding their destruction is a very helpful impact minimization measure. To see when birds are most likely to occur and be breeding in your project area, view the Probability of Presence Summary. Additional measures and/or permits may be advisable depending on the type of activity you are conducting and the type of infrastructure or bird species present on your project site. What does IPaC use to generate the migratory birds potentially occurring in my specied location? The Migratory Bird Resource List is comprised of USFWS Birds of Conservation Concern (BCC) and other species that may warrant special attention in your project location. The migratory bird list generated for your project is derived from data provided by the Avian Knowledge Network (AKN). The AKN data is based on a growing collection of survey, banding, and citizen science datasets and is queried and ltered to return a list of those birds reported as occurring in the 10km grid cell(s) which your project intersects, and that have been identied as warranting special attention because they are a BCC species in that area, an eagle (Eagle Act requirements may apply), or a species that has a particular vulnerability to oshore activities or development. Again, the Migratory Bird Resource list includes only a subset of birds that may occur in your project area. It is not representative of all birds that may occur in your project area. To get a list of all birds potentially present in your project area, please visit the AKN Phenology Tool. What does IPaC use to generate the probability of presence graphs for the migratory birds potentially occurring in my specied location? The probability of presence graphs associated with your migratory bird list are based on data provided by the Avian Knowledge Network (AKN). This data is derived from a growing collection of survey, banding, and citizen science datasets . Probability of presence data is continuously being updated as new and better information becomes available. To learn more about how the probability of presence graphs are produced and how to interpret them, go the Probability of Presence Summary and then click on the "Tell me about these graphs" link. How do I know if a bird is breeding, wintering, migrating or present year-round in my project area? To see what part of a particular bird's range your project area falls within (i.e. breeding, wintering, migrating or year-round), you may refer to the following resources: The Cornell Lab of Ornithology All About Birds Bird Guide, or (if you are unsuccessful in locating the bird of interest there), the Cornell Lab of Ornithology Neotropical Birds 11/29/2020 IPaC: Explore Location https://ecos.fws.gov/ipac/location/DXV52Z2H3VC23CWFJ7WNJ5AUKA/resources 11/13 guide. If a bird on your migratory bird species list has a breeding season associated with it, if that bird does occur in your project area, there may be nests present at some point within the timeframe specied. If "Breeds elsewhere" is indicated, then the bird likely does not breed in your project area. What are the levels of concern for migratory birds? Migratory birds delivered through IPaC fall into the following distinct categories of concern: 1. "BCC Rangewide" birds are Birds of Conservation Concern (BCC) that are of concern throughout their range anywhere within the USA (including Hawaii, the Pacic Islands, Puerto Rico, and the Virgin Islands); 2. "BCC - BCR" birds are BCCs that are of concern only in particular Bird Conservation Regions (BCRs) in the continental USA; and 3. "Non-BCC - Vulnerable" birds are not BCC species in your project area, but appear on your list either because of the Eagle Act requirements (for eagles) or (for non-eagles) potential susceptibilities in oshore areas from certain types of development or activities (e.g. oshore energy development or longline shing). Although it is important to try to avoid and minimize impacts to all birds, eorts should be made, in particular, to avoid and minimize impacts to the birds on this list, especially eagles and BCC species of rangewide concern. For more information on conservation measures you can implement to help avoid and minimize migratory bird impacts and requirements for eagles, please see the FAQs for these topics. Details about birds that are potentially aected by oshore projects For additional details about the relative occurrence and abundance of both individual bird species and groups of bird species within your project area o the Atlantic Coast, please visit the Northeast Ocean Data Portal. The Portal also oers data and information about other taxa besides birds that may be helpful to you in your project review. Alternately, you may download the bird model results les underlying the portal maps through the NOAA NCCOS Integrative Statistical Modeling and Predictive Mapping of Marine Bird Distributions and Abundance on the Atlantic Outer Continental Shelf project webpage. Bird tracking data can also provide additional details about occurrence and habitat use throughout the year, including migration. Models relying on survey data may not include this information. For additional information on marine bird tracking data, see the Diving Bird Study and the nanotag studies or contact Caleb Spiegel or Pam Loring. What if I have eagles on my list? If your project has the potential to disturb or kill eagles, you may need to obtain a permit to avoid violating the Eagle Act should such impacts occur. Proper Interpretation and Use of Your Migratory Bird Report The migratory bird list generated is not a list of all birds in your project area, only a subset of birds of priority concern. To learn more about how your list is generated, and see options for identifying what other birds may be in your project area, please see the FAQ “What does IPaC use to generate the migratory birds potentially occurring in my specied location”. Please be aware this report provides the “probability of presence” of birds within the 10 km grid cell(s) that overlap your project; not your exact project footprint. On the graphs provided, please also look carefully at the survey eort (indicated by the black vertical bar) and for the existence of the “no data” indicator (a red horizontal bar). A high survey eort is the key component. If the survey eort is high, then the probability of presence score can be viewed as more dependable. In contrast, a low survey eort bar or no data bar means a lack of data and, therefore, a lack of certainty about presence of the species. This list is not perfect; it is simply a starting point for identifying what birds of concern have the potential to be in your project area, when they might be there, and if they might be breeding (which means nests might be present). The list helps you know what to look for to conrm presence, and helps guide you in knowing when to implement conservation measures to avoid or 11/29/2020 IPaC: Explore Location https://ecos.fws.gov/ipac/location/DXV52Z2H3VC23CWFJ7WNJ5AUKA/resources 12/13 minimize potential impacts from your project activities, should presence be conrmed. To learn more about conservation measures, visit the FAQ “Tell me about conservation measures I can implement to avoid or minimize impacts to migratory birds” at the bottom of your migratory bird trust resources page. Facilities National Wildlife Refuge lands Any activity proposed on lands managed by the National Wildlife Refuge system must undergo a 'Compatibility Determination' conducted by the Refuge. Please contact the individual Refuges to discuss any questions or concerns. THERE ARE NO REFUGE LANDS AT THIS LOCATION. Fish hatcheries THERE ARE NO FISH HATCHERIES AT THIS LOCATION. Wetlands in the National Wetlands Inventory Impacts to NWI wetlands and other aquatic habitats may be subject to regulation under Section 404 of the Clean Water Act, or other State/Federal statutes. For more information please contact the Regulatory Program of the local U.S. Army Corps of Engineers District. Please note that the NWI data being shown may be out of date. We are currently working to update our NWI data set. We recommend you verify these results with a site visit to determine the actual extent of wetlands on site. This location overlaps the following wetlands: Data limitations FRESHWATER EMERGENT WETLAND PEM1A PEM1C A full description for each wetland code can be found at the National Wetlands Inventory website 11/29/2020 IPaC: Explore Location https://ecos.fws.gov/ipac/location/DXV52Z2H3VC23CWFJ7WNJ5AUKA/resources 13/13 The Service's objective of mapping wetlands and deepwater habitats is to produce reconnaissance level information on the location, type and size of these resources. The maps are prepared from the analysis of high altitude imagery. Wetlands are identied based on vegetation, visible hydrology and geography. A margin of error is inherent in the use of imagery; thus, detailed on-the-ground inspection of any particular site may result in revision of the wetland boundaries or classication established through image analysis. The accuracy of image interpretation depends on the quality of the imagery, the experience of the image analysts, the amount and quality of the collateral data and the amount of ground truth verication work conducted. Metadata should be consulted to determine the date of the source imagery used and any mapping problems. Wetlands or other mapped features may have changed since the date of the imagery or eld work. There may be occasional dierences in polygon boundaries or classications between the information depicted on the map and the actual conditions on site. Data exclusions Certain wetland habitats are excluded from the National mapping program because of the limitations of aerial imagery as the primary data source used to detect wetlands. These habitats include seagrasses or submerged aquatic vegetation that are found in the intertidal and subtidal zones of estuaries and nearshore coastal waters. Some deepwater reef communities (coral or tubercid worm reefs) have also been excluded from the inventory. These habitats, because of their depth, go undetected by aerial imagery. Data precautions Federal, state, and local regulatory agencies with jurisdiction over wetlands may dene and describe wetlands in a dierent manner than that used in this inventory. There is no attempt, in either the design or products of this inventory, to dene the limits of proprietary jurisdiction of any Federal, state, or local government or to establish the geographical scope of the regulatory programs of government agencies. Persons intending to engage in activities involving modications within or adjacent to wetland areas should seek the advice of appropriate federal, state, or local agencies concerning specied agency regulatory programs and proprietary jurisdictions that may aect such activities. MULBERRY CONNECTION │SWMP REPORT APPENDIX B – EROSION CONTROL PLANS AND DETAILS MULBERRY CONNECTIONCITY OF FORT COLLINSUTILITY PLANS AND CONSTRUCTION DOCUMENTSFOR REVIEW ONLY NOT FOR Kimley-Horn and Associates, Inc. CONSTRUCTION OF 39 R Know what's below. Call before you dig. 4 EROSION CONTROL PLAN - INITIAL096501004_CD_EC NORTH LEGEND APPLICABLE CONTROL MEASURE DETAILS EROSION CONTROL ADDITIONAL NOTES MULBERRY CONNECTIONCITY OF FORT COLLINSUTILITY PLANS AND CONSTRUCTION DOCUMENTSFOR REVIEW ONLY NOT FOR Kimley-Horn and Associates, Inc. CONSTRUCTION OF 39 R Know what's below. Call before you dig. 5 EROSION CONTROL PLAN - FINAL096501004_CD_EC NORTH LEGEND APPLICABLE CONTROL MEASURE DETAILSEROSION CONTROL ADDITIONAL NOTES RRMULBERRY CONNECTIONCITY OF FORT COLLINSUTILITY PLANS AND CONSTRUCTION DOCUMENTSFOR REVIEW ONLY NOT FOR Kimley-Horn and Associates, Inc. CONSTRUCTION OF 39 R Know what's below. Call before you dig.NORTHAPPLICABLE CONTROL MEASURE DETAILSEROSION CONTROL ADDITIONAL NOTES LEGEND 6 OFF-SITE INITIAL EROSION CONTROL096501004_CD_EC_OFF MULBERRY CONNECTIONCITY OF FORT COLLINSUTILITY PLANS AND CONSTRUCTION DOCUMENTSFOR REVIEW ONLY NOT FOR Kimley-Horn and Associates, Inc. CONSTRUCTION OF 39 R Know what's below. Call before you dig.NORTHLEGEND APPLICABLE CONTROL MEASURE DETAILSEROSION CONTROL ADDITIONAL NOTES 7 OFF-SITE FINAL EROSION CONTROL096501004_CD_EC_OFF MULBERRY CONNECTIONCITY OF FORT COLLINSUTILITY PLANS AND CONSTRUCTION DOCUMENTSFOR REVIEW ONLY NOT FOR Kimley-Horn and Associates, Inc. CONSTRUCTION OF 39 R Know what's below. Call before you dig. 8 EROSION CONTROL DETAILS096501004_CD_EC_DT SWMP INFORMATION MULBERRY CONNECTIONCITY OF FORT COLLINSUTILITY PLANS AND CONSTRUCTION DOCUMENTSFOR REVIEW ONLY NOT FOR Kimley-Horn and Associates, Inc. CONSTRUCTION OF 39 R Know what's below. Call before you dig. 9 EROSION CONTROL DETAILS096501004_CD_EC_DT MULBERRY CONNECTIONCITY OF FORT COLLINSUTILITY PLANS AND CONSTRUCTION DOCUMENTSFOR REVIEW ONLY NOT FOR Kimley-Horn and Associates, Inc. CONSTRUCTION OF 39 R Know what's below. Call before you dig. 10 EROSION CONTROL DETAILS096501004_CD_EC_DT MULBERRY CONNECTIONCITY OF FORT COLLINSUTILITY PLANS AND CONSTRUCTION DOCUMENTSFOR REVIEW ONLY NOT FOR Kimley-Horn and Associates, Inc. CONSTRUCTION OF 39 R Know what's below. Call before you dig.096501004_CD_EC_DT 11 MULBERRY CONNECTION │SWMP REPORT APPENDIX C – PERMIT INFORMATION COLORADO DEPARTMENT OF PUBLIC HEALTH AND ENVIRONMENT Water Quality Control Division CDPS GENERAL PERMIT STORMWATER DISCHARGES ASSOCIATED WITH CONSTRUCTION ACTIVITY AUTHORIZATION TO DISCHARGE UNDER THE COLORADO DISCHARGE PERMIT SYSTEM (CDPS) In compliance with the provisions of the Colorado Water Quality Control Act, (25-8-101 et seq., CRS, 1973 as amended) and the Federal Water Pollution Control Act, as amended (33 U.S.C. 1251 et seq.; the "Act"), this permit authorizes the discharge of stormwater associated with construction activities (and specific allowable non-stormwater discharges in accordance with Part I.A.1. of the permit) certified under this permit, from those locations specified throughout the State of Colorado to specified waters of the State. Such discharges shall be in accordance with the conditions of this permit. This permit specifically authorizes the facility listed on the certification to discharge in accordance with permit requirements and conditions set forth in Parts I and II hereof. All discharges authorized herein shall be consistent with the terms and conditions of this permit. This permit becomes effective on April 1, 2019, and shall expire at midnight March 31, 2024. Issued and signed this 1st day of November 2018. COLORADO DEPARTMENT OF PUBLIC HEALTH AND ENVIRONMENT Ellen Howard Kutzer, Permits Section Manager Water Quality Control Division Permit History Originally signed and issued October 31, 2018; effective April 1, 2019. Table of Contents Part I ........................................................................................................................... 1 COVERAGE UNDER THIS PERMIT...................................................................................... 1 Authorized Discharges ............................................................................................ 1 Limitations on Coverage .......................................................................................... 1 Permit Certification and Submittal Procedures ............................................................... 2 EFFLUENT LIMITATIONS ............................................................................................... 6 Requirements for Control Measures Used to Meet Effluent Limitations ................................... 6 Discharges to an Impaired Waterbody .......................................................................... 9 General Requirements ........................................................................................... 10 STORMWATER MANAGEMENT PLAN (SWMP) REQUIREMENTS .................................................... 11 SWMP General Requirements ................................................................................... 11 SWMP Content .................................................................................................... 11 SWMP Review and Revisions .................................................................................... 13 SWMP Availability ................................................................................................. 14 SITE INSPECTIONS ..................................................................................................... 14 Person Responsible for Conducting Inspections .............................................................. 14 Inspection Frequency ............................................................................................ 14 Inspection Frequency for Discharges to Outstanding Waters ............................................... 15 Reduced Inspection Frequency ................................................................................. 15 Inspection Scope .................................................................................................. 16 DEFINITIONS ........................................................................................................... 17 MONITORING ........................................................................................................... 20 Oil and Gas Construction ............................................................................................ 21 Part II: Standard Permit Conditions ...................................................................................... 22 DUTY TO COMPLY ..................................................................................................... 22 DUTY TO REAPPLY .................................................................................................... 22 NEED TO HALT OR REDUCE ACTIVITY NOT A DEFENSE ........................................................... 22 DUTY TO MITIGATE ................................................................................................... 22 PROPER OPERATION AND MAINTENANCE .......................................................................... 22 PERMIT ACTIONS ...................................................................................................... 22 PROPERTY RIGHTS .................................................................................................... 22 DUTY TO PROVIDE INFORMATION ................................................................................... 23 INSPECTION AND ENTRY ............................................................................................. 23 MONITORING AND RECORDS ......................................................................................... 23 SIGNATORY REQUIREMENTS ......................................................................................... 24 PART I Permit No.: COR400000 Authorization to Sign: ............................................................................................ 24 Electronic Signatures ............................................................................................ 25 Change in Authorization to Sign ................................................................................ 25 REPORTING REQUIREMENTS ......................................................................................... 25 Planned Changes .................................................................................................. 25 Anticipated Non-Compliance ................................................................................... 25 Transfer of Ownership or Control .............................................................................. 25 Monitoring reports ................................................................................................ 26 Compliance Schedules ........................................................................................... 26 Twenty-four hour reporting ..................................................................................... 26 Other non-compliance ........................................................................................... 27 Other information ................................................................................................ 27 BYPASS ................................................................................................................. 27 Bypass not exceeding limitations .............................................................................. 27 Notice of bypass .................................................................................................. 27 Prohibition of Bypass ............................................................................................. 27 UPSET................................................................................................................... 28 Effect of an upset ................................................................................................ 28 Conditions necessary for demonstration of an Upset ....................................................... 28 Burden of Proof ................................................................................................... 28 RETENTION OF RECORDS ............................................................................................. 28 Post-Expiration or Termination Retention .................................................................... 28 On-site Retention ................................................................................................. 29 REOPENER CLAUSE .................................................................................................... 29 Procedures for modification or revocation ................................................................... 29 Water quality protection ........................................................................................ 29 SEVERABILITY .......................................................................................................... 29 NOTIFICATION REQUIREMENTS ...................................................................................... 29 Notification to Parties ........................................................................................... 29 RESPONSIBILITIES ..................................................................................................... 30 Reduction, Loss, or Failure of Treatment Facility ........................................................... 30 Oil and Hazardous Substance Liability ............................................................................. 30 Emergency Powers .................................................................................................... 30 Confidentiality ........................................................................................................ 30 Fees ..................................................................................................................... 30 PART I Permit No.: COR400000 Duration of Permit .................................................................................................... 30 Section 307 Toxics .................................................................................................... 30 PART I Permit No.: COR400000 Page 1 of 33 Part I Note: At the first mention of terminology that has a specific connotation for the purposes of this permit, the terminology is electronically linked to the definitions section of the permit in Part I.E. COVERAGE UNDER THIS PERMIT Authorized Discharges This general permit authorizes permittee(s) to discharge the following to state waters: stormwater associated with construction activity and specified non-stormwater associated with construction activity. The following types of stormwater and non-stormwater discharges are authorized under this permit: Allowable Stormwater Discharges i. Stormwater discharges associated with construction activity. ii. Stormwater discharges associated with producing earthen materials, such as soils, sand, and gravel dedicated to providing material to a single contiguous site, or within ¼ mile of a construction site (i.e. borrow or fill areas) iii. Stormwater discharges associated with dedicated asphalt, concrete batch plants and masonry mixing stations (Coverage under this permit is not required if alternative coverage has been obtained.) Allowable Non-Stormwater Discharges The following non-stormwater discharges are allowable under this permit if the discharges are identified in the stormwater management plan in accordance with Part I.C. and if they have appropriate control measures in accordance with Part I.B.1. i. Discharges from uncontaminated springs that do not originate from an area of land disturbance. ii. Discharges to the ground of concrete washout water associated with the washing of concrete tools and concrete mixer chutes. Discharges of concrete washout water must not leave the site as surface runoff or reach receiving waters as defined by this permit. iii. Discharges of landscape irrigation return flow. Emergency Fire Fighting Discharges resulting from emergency firefighting activities are authorized by this permit. Limitations on Coverage Discharges not authorized by this permit include, but are not limited to, the discharges and activities listed below. Permittees may seek individual or alternate general permit coverage for the discharges, as appropriate and available. Discharges of Non-Stormwater PART I Permit No.: COR400000 Page 2 of 33 Discharges of non-stormwater, except the authorized non-stormwater discharges listed in Part I.A.1.b., are not eligible for coverage under this permit. Discharges Currently Covered by another Individual or General Permit Discharges Currently Covered by a Water Quality Control Division (division) Low Risk Guidance Document Permit Certification and Submittal Procedures Duty to apply The following activities shall apply for coverage under this permit: i. Construction sites that will disturb one acre or more; or ii. Construction sites that are part of a common plan of development or sale; or iii. Stormwater discharges that are designated by the division as needing a stormwater permit because the discharge: (a) Contributes to a violation of a water quality standard; or (b) is a significant contributor of pollutants to state waters. Application Requirements To obtain authorization to discharge under this permit, applicants applying for coverage following the effective date of the renewal permit shall meet the following requirements: i. Owners and operators submitting an application for permit coverage will be co- permittees subject to the same benefits, duties, and obligations under this permit. ii. Signature requirements: Both the owner and operator (permittee) of the construction site, as defined in Part I.E., must agree to the terms and conditions of the permit and submit a completed application that includes the signature of both the owner and the operator. In cases where the duties of the owner and operator are managed by the owner, both application signatures may be completed by the owner. Both the owner and operator are responsible for ensuring compliance with all terms and conditions of the permit, including implementation of the stormwater management plan. iii. Applicants must use the paper form provided by the division or the electronic form provided on the division’s web-based application platform when applying for coverage under this permit. iv. The applicant(s) must develop a stormwater management plan (SWMP) in accordance with the requirements of Part I.C. The applicant(s) must also certify that the SWMP is complete, or will be complete, prior to commencement of any construction activity. PART I Permit No.: COR400000 Page 3 of 33 v. The applicant(s) must submit a complete, accurate, and signed permit application electronically, by mail or hand delivery to the division at least 10 days prior to the commencement of construction activity except that construction activities that are in response to a public emergency related site shall apply for coverage no later than 14 days after the commencement of construction activities. The provisions of this part in no way remove a violation of the Colorado Water Quality Control Act if a point source discharge occurs prior to the issuance of a CDPS permit. vi. The application must be signed in accordance with the requirements of Part IA. Applications submitted by mail or hand delivered should be directed to: Colorado Department of Public Health and Environment Water Quality Control Division Permits Section, WQCD-PS-B2 4300 Cherry Creek Drive South Denver, CO 80246 vii. The applicant(s) must receive written notification that the division granted permit coverage prior to conducting construction activities except for construction activities that are in response to a public emergency related site Division Review of Permit Application Within 10 days of receipt of the application, and following review of the application, the division may: i. Issue a certification of coverage; ii. request additional information necessary to evaluate the discharge; iii. delay the authorization to discharge pending further review; iv. notify the applicant that additional terms and conditions are necessary; or v. deny the authorization to discharge under this general permit. Alternative Permit Coverage i. Division Required Alternate Permit Coverage: The Division may require an applicant or permittee to apply for an individual permit or an alternative general permit if it determines the discharge does not fall under the scope of this general permit. In this case, the Division will notify the applicant or permittee that an individual permit application is required. ii. Permittee Request for alternate permit coverage: A permittee authorized to discharge stormwater under this permit may request to be excluded from coverage under this general permit by applying for an individual permit. In this case, the permittee must submit an individual application, with reasons supporting the request, to the Division at least 180 days prior to any discharge. When an individual permit is issued, the permittee’s authorization to discharge under this permit is terminated on the effective date of the individual permit. Submittal Signature Requirements PART I Permit No.: COR400000 Page 4 of 33 Documents required for submittal to the division in accordance with this permit, including applications for permit coverage and other documents as requested by the division, must include signatures by both the owner and the operator, except for instances where the duties of the owner and operator are managed by the owner. Signatures on all documents submitted to the division as required by this permit must meet the Standard Signatory Requirements in Part II.K. of this permit in accordance with 40 C.F.R. 122.41(k). i. Signature Certification Any person(s) signing documents required for submittal to the Division must make the following certification: “I certify under penalty of law that this document and all attachments were prepared under my direction or supervision in accordance with a system designed to assure that qualified personnel properly gather and evaluate the information submitted. Based on my inquiry of the person or persons who manage the system, or those persons directly responsible for gathering the information, the information submitted is, to the best of my knowledge and belief, true, accurate, and complete. I am aware that there are significant penalties for submitting false information, including the possibility of fine and imprisonment for knowing violations.” Compliance Document Signature Requirements Documents which are required for compliance with the permit, but for which submittal to the division is not required unless specifically requested by the division, must be signed by the individual(s) designated as the Qualified Stormwater Manager, as defined in Part I.E. i. Any person(s) signing inspection documents required for compliance with the permit must make the following statement: “I verify that, to the best of my knowledge and belief, all corrective action and maintenance items identified during the inspection are complete, and the site is currently in compliance with the permit.” Field Wide Permit Coverage for Oil and Gas Construction At the discretion of the division, a single permit certification may be issued to a single oil and gas permittee to cover construction activity related discharges from an oil and gas field at multiple locations that are not necessarily contiguous. Permit Coverage without Application Qualifying Local Program: When a small construction site is within the jurisdiction of a qualifying local program, the owner and operator of the construction activity are authorized to discharge stormwater associated with small construction activity under this general permit without the submittal of an application to the division. Sites covered by a qualifying local program are exempt from the following sections of this general permit: PART I Permit No.: COR400000 Page 5 of 33 Part I.A.3.a.; Part I.A.3.b.; Part I.A.3.c.; Part I.A.3.d.; Part I.A.3.g.; Part I.A.3.i.; Part I.A.3.j.; Part I.A.3.k. Sites covered by a qualifying local program are subject to the following requirements: i. Local Agency Authority: This permit does not pre-empt or supersede the authority of local agencies to prohibit, restrict, or control discharges of stormwater to storm drain systems or other water courses within their jurisdiction. ii. Permit Coverage Termination: When a site under a Qualifying Local Program is finally stabilized, coverage under this permit is automatically terminated. iii. Compliance with Qualifying Local Program: Qualifying Local Program requirements that are equivalent to the requirements of this permit are incorporated by reference. Permittees authorized to discharge under this permit, must comply with the equivalent requirements of the Qualifying Local Program that has jurisdiction over the site as a condition of this permit. iv. Compliance with Remaining Permit Conditions. Requirements of this permit that are in addition to or more stringent than the requirements of the Qualifying Local Program apply in addition to the requirements of the Qualifying Local Program. v. Written Authorization of Coverage: The division or local municipality may require any permittee within the jurisdiction of a Qualifying Local Program covered under this permit to apply for, and obtain written authorization of coverage under this permit. The permittee must be notified in writing that an application for written authorization of coverage is required. Permittee Initiated Permit Actions Permittee initiated permit actions, including but not limited to modifications, contact changes, transfers, reassignments, and terminations, shall be conducted following division guidance and using appropriate division-provided forms. Sale of Residence to Homeowner Residential construction sites only: The permittee may remove residential lots from permit coverage once the lot meets the following criteria: i. the residential lot has been sold to the homeowner(s) for private residential use; ii. a certificate of occupancy, or equivalent, is maintained on-site and is available during division inspections; iii. the lot is less than one acre of disturbance; iv. all construction activity conducted on the lot by the permittee is complete; v. the permittee is not responsible for final stabilization of the lot; and vi. the SWMP was modified to indicate the lot is no longer part of the construction activity. If the residential lot meets the criteria listed above then activities occurring on the lot are no longer considered to be construction activities with a duty to apply and maintain permit coverage. Therefore, the permittee is not required to meet the final stabilization requirements and may terminate permit coverage for the lot. PART I Permit No.: COR400000 Page 6 of 33 Permit Expiration and Continuation of Permit Coverage Authorization to discharge under this general permit shall expire at midnight on March 31, 2024. While Regulation 61.4 requires a permittee to submit an application for continuing permit coverage 180 days before the permit expires, the division is requiring that permittees desiring continued coverage under this general permit must reapply at least 90 days in advance of this permit expiration. The Division will determine if the permittee may continue to discharge stormwater under the terms of the general permit. An individual permit may be required for any facility not reauthorized to discharge under the reissued general permit. If this permit is not reissued or replaced prior to the expiration date, it will be administratively continued and remain in force and effect. For permittees that have applied for continued permit coverage, discharges authorized under this permit prior to the expiration date will automatically remain covered by this permit until the earliest of: i. An authorization to discharge under a reissued permit, or a replacement of this permit, following the timely and appropriate submittal of a complete application requesting authorization to discharge under the new permit and compliance with the requirements of the new permit; or ii. The issuance and effect of a termination issued by the Division; or iii. The issuance or denial of an individual permit for the facility’s discharges; or iv. A formal permit decision by the Division not to reissue this general permit, at which time the Division will identify a reasonable time period for covered dischargers to seek coverage under an alternative general permit or an individual permit. Coverage under this permit will cease when coverage under another permit is granted/authorized; or v. The Division has informed the permittee that discharges previously authorized under this permit are no longer covered under this permit. EFFLUENT LIMITATIONS Requirements for Control Measures Used to Meet Effluent Limitations The permittee must implement control measures to minimize the discharge of pollutants from all potential pollutant sources at the site. Control measures must be installed prior to commencement of activities that may contribute pollutants to stormwater discharges. Control measures must be selected, designed, installed and maintained in accordance with good engineering, hydrologic and pollution control practices. Control measures implemented at the site must be designed to prevent pollution or degradation of state waters. Stormwater Pollution Prevention The permittee must implement structural and/or nonstructural control measures that effectively minimize erosion, sediment transport, and the release of other pollutants related to construction activity. i. Control Measures for Erosion and Sediment Control PART I Permit No.: COR400000 Page 7 of 33 Control measures for erosion and sediment control may include, but are not limited to, wattles/sediment control logs, silt fences, earthen dikes, drainage swales, sediment traps, subsurface drains, pipe slope drains, inlet protection, outlet protection, gabions, sediment basins, temporary vegetation, permanent vegetation, mulching, geotextiles, sod stabilization, slope roughening, maintaining existing vegetation, protection of trees, and preservation of mature vegetation. Specific non-structural control measures must meet the requirements listed below. Specific control measures must meet the requirements listed below. (a) Vehicle tracking controls shall either be implemented to minimize vehicle tracking of sediment from disturbed areas, or the areas where vehicle tracking occurs shall meet subsection Part I.B.1.a.i(b); (b) Stormwater runoff from all disturbed areas and soil storage areas for which permanent or temporary stabilization is not implemented, must flow to at least one control measure to minimize sediment in the discharge. This may be accomplished through filtering, settling, or straining. The control measure must be selected, designed, installed and adequately sized in accordance with good engineering, hydrologic and pollution control practices. The control measure(s) must contain or filter flows in order to prevent the bypass of flows without treatment and must be appropriate for stormwater runoff from disturbed areas and for the expected flow rate, duration, and flow conditions (i.e., sheet or concentrated flow); (c) Outlets that withdraw water from or near the surface shall be installed when discharging from basins and impoundments, unless infeasible. (d) Maintain pre-existing vegetation or equivalent control measures for areas within 50 horizontal feet of receiving waters as defined by this permit, unless infeasible. (e) Soil compaction must be minimized for areas where infiltration control measures will occur or where final stabilization will be achieved through vegetative cover. (f) Unless infeasible, topsoil shall be preserved for those areas of a site that will utilize vegetative final stabilization. (g) Minimize the amount of soil exposed during construction activity, including the disturbance of steep slopes. ii. Practices for Other Common Pollutants (a) Bulk storage, 55 gallons or greater, for petroleum products and other liquid chemicals must have secondary containment, or equivalent protection, in order to contain spills and to prevent spilled material from entering state waters. (b) Control measures designed for concrete washout waste must be implemented. This includes washout waste discharged to the ground as authorized under this permit and washout waste from concrete trucks and masonry operations contained on site. The permittee must ensure the washing activities do not contribute pollutants to stormwater runoff, or receiving waters in accordance Part I.A.1.b.ii. Discharges that may reach groundwater must flow through soil PART I Permit No.: COR400000 Page 8 of 33 that has buffering capacity prior to reaching groundwater, as necessary to meet the effluent limits in this permit, including Part I.B.3.a. The concrete washout location shall be not be located in an area where shallow groundwater may be present and would result in buffering capacity not being adequate, such as near natural drainages, springs, or wetlands. This permit authorizes discharges to the ground of concrete washout waste. iii. Stabilization Requirements The following requirements must be implemented for each site. (a) Temporary stabilization must be implemented for earth disturbing activities on any portion of the site where ground disturbing construction activity has permanently ceased, or temporarily ceased for more than 14 calendar days. Temporary stabilization methods may include, but are not limited to, tarps, soil tackifier, and hydroseed. The permittee may exceed the 14-day schedule when either the function of the specific area of the site requires it to remain disturbed, or, physical characteristics of the terrain and climate prevent stabilization. The SWMP must document the constraints necessitating the alternative schedule, provide the alternate stabilization schedule, and identify all locations where the alternative schedule is applicable on the site map. (b) Final stabilization must be implemented for all construction sites. Final stabilization is reached when all ground surface disturbing activities at the construction site are complete; and, for all areas of ground surface disturbing activities, either a uniform vegetative cover with an individual plant density of at least 70 percent of pre-disturbance levels is established, or equivalent permanent alternative stabilization methods are implemented. The division may approve alternative final stabilization criteria for specific operations. (c) Final stabilization must be designed and installed as a permanent feature. Final stabilization measures for obtaining a vegetative cover or alternative stabilization methods include, but are not limited to, the following as appropriate: (1) Seed mix selection and application methods; (2) Soil preparation and amendments; (3) Soil stabilization methods (e.g., crimped straw, hydro mulch or rolled erosion control products); (4) Appropriate sediment control measures as needed until final stabilization is achieved; (5) Permanent pavement, hardscape, xeriscape, stabilized driving surfaces; (6) Other alternative stabilization practices as applicable; PART I Permit No.: COR400000 Page 9 of 33 (d) The permittee(s) must ensure all temporary control measures are removed from the construction site once final stabilization is achieved, except when the control measure specifications allow the control measure to be left in place (i.e., bio-degradable control measures). Maintenance The permittee must ensure that all control measures remain in effective operating condition and are protected from activities that would reduce their effectiveness. Control measures must be maintained in accordance with good engineering, hydrologic and pollution control practices. Observations leading to the required maintenance of control measures can be made during a site inspection, or during general observations of site conditions. The necessary repairs or modifications to a control measure requiring routine maintenance, as defined in Part I.E., must be conducted to maintain an effective operating condition. This section is not subject to the requirements in Part I.B.1.c. below. Corrective Actions The permittee must assess the adequacy of control measures at the site, and the need for changes to those control measures, to ensure continued effective performance. When an inadequate control measure, as defined in Part I.E., is identified (i.e., new or replacement control measures become necessary), the following corrective action requirements apply. The permittee is in noncompliance with the permit until the inadequate control measure is replaced or corrected and returned to effective operating condition in compliance with Part I.B.1. and the general requirements in Part I.B.3. If the inadequate control measure results in noncompliance that meets the conditions of Part II.L., the permittee must also meet the requirements of that section. i. The permittee must take all necessary steps to minimize or prevent the discharge of pollutants, until a control measure is implemented and made operational and/or an inadequate control measure is replaced or corrected and returned to effective operating condition. If it is infeasible to install or repair of control measure immediately after discovering the deficiency, the following must be documented and kept on record in accordance with the recordkeeping requirements in Part II. (a) Describe why it is infeasible to initiate the installation or repair immediately; and (b) Provide a schedule for installing or repairing the control measure and returning it to an effective operating condition as soon as possible. ii. If applicable, the permittee must remove and properly dispose of any unauthorized release or discharge (e.g., discharge of non-stormwater, spill, or leak not authorized by this permit.) The permittee must also clean up any contaminated surfaces to minimize discharges of the material in subsequent storm events. Discharges to an Impaired Waterbody Total Maximum Daily Load (TMDL) If the permittee’s discharge flows to or could reasonably be expected to flow to any water body for which a TMDL has been approved, and stormwater discharges PART I Permit No.: COR400000 Page 10 of 33 associated with construction activity were assigned a pollutant-specific Wasteload Allocation (WLA) under the TMDL, the division may: i. ensure the WLA is implemented properly through alternative local requirements, such as by a municipal stormwater permit; or ii. notify the permittee of the WLA and amend the permittee’s certification to add specific effluent limits and other requirements, as appropriate. The permittee may be required to do the following: (a) under the permittee’s SWMP, implement specific control measures based on requirements of the WLA, and evaluate whether the requirements are met through implementation of existing stormwater control measures or if additional control measures are necessary. Document the calculations or other evidence demonstrating that the requirements are expected to be met; and (b) if the evaluation shows that additional or modified control measures are necessary, describe the type and schedule for the control measure additions or modifications. iii. Discharge monitoring may also be required. The permittee may maintain coverage under the general permit provided they comply with the applicable requirements outlined above. The division reserves the right to require individual or alternate general permit coverage. General Requirements Discharges authorized by this permit shall not cause, have the reasonable potential to cause, or measurably contribute to an exceedance of any applicable water quality standard, including narrative standards for water quality. The division may require sampling and testing, on a case-by-case basis, in the event that there is reason to suspect that the SWMP is not adequately minimizing pollutants in stormwater or in order to measure the effectiveness of the control measures in removing pollutants in the effluent. Such monitoring may include Whole Effluent Toxicity testing. The permittee must comply with the lawful requirements of federal agencies, municipalities, counties, drainage districts and other local agencies including applicable requirements in Municipal Stormwater Management Programs developed to comply with CDPS permits. The permittee must comply with local stormwater management requirements, policies and guidelines including those for erosion and sediment control. All construction site wastes must be properly managed to prevent potential pollution of state waters. This permit does not authorize on-site waste disposal. This permit does not relieve the permittee of the reporting requirements in 40 CFR 110, 40 CFR 117 or 40 CFR 302. Any discharge of hazardous material must be handled in accordance with the division's Noncompliance Notification Requirements (see Part II.L. of the permit). PART I Permit No.: COR400000 Page 11 of 33 STORMWATER MANAGEMENT PLAN (SWMP) REQUIREMENTS SWMP General Requirements A SWMP shall be developed for each construction site covered by this permit. The SWMP must be prepared in accordance with good engineering, hydrologic and pollution control practices. i. For public emergency related sites a SWMP shall be created no later than 14 days after the commencement of construction activities. The permittee must implement the provisions of the SWMP as written and updated, from commencement of construction activity until final stabilization is complete. The division may review the SWMP. A copy of the SWMP must be retained onsite or be onsite when construction activities are occurring at the site unless the permittee specifies another location and obtains approval from the division. SWMP Content The SWMP, at a minimum, must include the following elements. i. Qualified Stormwater Manager. The SWMP must list individual(s) by title and name who are designated as the site’s qualified stormwater manager(s) responsible for implementing the SWMP in its entirety. This role may be filled by more than one individual. ii. Spill Prevention and Response Plan. The SWMP must have a spill prevention and response plan. The plan may incorporate by reference any part of a Spill Prevention Control and Countermeasure (SPCC) plan under section 311 of the Clean Water Act (CWA) or a Spill Prevention Plan required by a separate CDPS permit. The relevant sections of any referenced plans must be available as part of the SWMP consistent with Part I.C.4. iii. Materials Handling. The SWMP must describe and locate all control measures implemented at the site to minimize impacts from handling significant materials that could contribute pollutants to runoff. These handling procedures can include control measures for pollutants and activities such as, exposed storage of building materials, paints and solvents, landscape materials, fertilizers or chemicals, sanitary waste material, trash and equipment maintenance or fueling procedures. iv. Potential Sources of Pollution. The SWMP must list all potential sources of pollution which may reasonably be expected to affect the quality of stormwater discharges associated with construction activity from the site. This shall include, but is not limited to, the following pollutant sources: (a) disturbed and stored soils; (b) vehicle tracking of sediments; (c) management of contaminated soils; (d) loading and unloading operations; PART I Permit No.: COR400000 Page 12 of 33 (e) outdoor storage activities (erodible building materials, fertilizers, chemicals, etc.); (f) vehicle and equipment maintenance and fueling; (g) significant dust or particulate generating processes (e.g., saw cutting material, including dust); (h) routine maintenance activities involving fertilizers, pesticides, herbicides, detergents, fuels, solvents, oils, etc.; (i) on-site waste management practices (waste piles, liquid wastes, dumpsters); (j) concrete truck/equipment washing, including washing of the concrete truck chute and associated fixtures and equipment; (k) dedicated asphalt, concrete batch plants and masonry mixing stations; (l) non-industrial waste sources such as worker trash and portable toilets. v. Implementation of Control Measures. The SWMP must include design specifications that contain information on the implementation of the control measure in accordance with good engineering hydrologic and pollution control practices; including as applicable drawings, dimensions, installation information, materials, implementation processes, control measure-specific inspection expectations, and maintenance requirements. The SWMP must include a documented use agreement between the permittee and the owner or operator of any control measures located outside of the permitted area, that are utilized by the permittee’s construction site for compliance with this permit, but not under the direct control of the permittee. The permittee is responsible for ensuring that all control measures located outside of their permitted area, that are being utilized by the permittee’s construction site, are properly maintained and in compliance with all terms and conditions of the permit. The SWMP must include all information required of and relevant to any such control measures located outside the permitted area, including location, installation specifications, design specifications and maintenance requirements. vi. Site Description. The SWMP must include a site description which includes, at a minimum, the following: (a) the nature of the construction activity at the site; (b) the proposed schedule for the sequence for major construction activities and the planned implementation of control measures for each phase. (e.g.: clearing, grading, utilities, vertical, etc.); (c) estimates of the total acreage of the site, and the acreage expected to be disturbed by clearing, excavation, grading, or any other construction activities; (d) a summary of any existing data used in the development of the construction site plans or SWMP that describe the soil or existing potential for soil erosion; PART I Permit No.: COR400000 Page 13 of 33 (e) a description of the percent of existing vegetative ground cover relative to the entire site and the method for determining the percentage; (f) a description of any allowable non-stormwater discharges at the site, including those being discharged under a division low risk discharge guidance policy; (g) a description of areas receiving discharge from the site. Including a description of the immediate source receiving the discharge. If the stormwater discharge is to a municipal separate storm sewer system, the name of the entity owning that system, the location of the storm sewer discharge, and the ultimate receiving water(s); and (h) a description of all stream crossings located within the construction site boundary. vii. Site Map. The SWMP must include a site map which includes, at a minimum, the following: (a) construction site boundaries; (b) flow arrows that depict stormwater flow directions on-site and runoff direction; (c) all areas of ground disturbance including areas of borrow and fill; (d) areas used for storage of soil; (e) locations of all waste accumulation areas, including areas for liquid, concrete, masonry, and asphalt; (f) locations of dedicated asphalt, concrete batch plants and masonry mixing stations; (g) locations of all structural control measures; (h) locations of all non-structural control measures; (i) locations of springs, streams, wetlands and other state waters, including areas that require pre-existing vegetation be maintained within 50 feet of a receiving water, where determined feasible in accordance with Part I.B.1.a.i.(d).; and (j) locations of all stream crossings located within the construction site boundary. viii. Final Stabilization and Long Term Stormwater Management. The SWMP must describe the practices used to achieve final stabilization of all disturbed areas at the site and any planned practices to control pollutants in stormwater discharges that will occur after construction operations are completed. Including but not limited to, detention/retention ponds, rain gardens, stormwater vaults, etc. ix. Inspection Reports. The SWMP must include documented inspection reports in accordance with Part ID. SWMP Review and Revisions PART I Permit No.: COR400000 Page 14 of 33 Permittees must keep a record of SWMP changes made that includes the date and identification of the changes. The SWMP must be amended when the following occurs: a change in design, construction, operation, or maintenance of the site requiring implementation of new or revised control measures; the SWMP proves ineffective in controlling pollutants in stormwater runoff in compliance with the permit conditions; control measures identified in the SWMP are no longer necessary and are removed; and corrective actions are taken onsite that result in a change to the SWMP. For SWMP revisions made prior to or following a change(s) onsite, including revisions to sections addressing site conditions and control measures, a notation must be included in the SWMP that identifies the date of the site change, the control measure removed, or modified, the location(s) of those control measures, and any changes to the control measure(s). The permittee must ensure the site changes are reflected in the SWMP. The permittee is noncompliant with the permit until the SWMP revisions have been made. SWMP Availability A copy of the SWMP must be provided upon request to the division, EPA, and any local agency with authority for approving sediment and erosion plans, grading plans or stormwater management plans within the time frame specified in the request. If the SWMP is required to be submitted to any of these entities, the submission must include a signed certification in accordance with Part I.A.3.e., certifying that the SWMP is complete and compliant with all terms and conditions of the permit. All SWMPs required under this permit are considered reports that must be available to the public under Section 308(b) of the CWA and Section 61.5(4) of the CDPS regulations. The permittee must make plans available to members of the public upon request. However, the permittee may claim any portion of a SWMP as confidential in accordance with 40 CFR Part 2. SITE INSPECTIONS Site inspections must be conducted in accordance with the following requirements. The required inspection schedules are a minimum frequency and do not affect the permittee’s responsibility to implement control measures in effective operating condition as prescribed in the SWMP. Proper maintenance of control measures may require more frequent inspections. Site inspections shall start within 7 calendar days of the commencement of construction activities on site. Person Responsible for Conducting Inspections The person(s) inspecting the site may be on the permittee’s staff or a third party hired to conduct stormwater inspections under the direction of the permittee(s). The permittee is responsible for ensuring that the inspector is a qualified stormwater manager. Inspection Frequency PART I Permit No.: COR400000 Page 15 of 33 Permittees must conduct site inspections in accordance with one of the following minimum frequencies, unless the site meets the requirements of Part ID.3 At least one inspection every 7 calendar days. Or At least one inspection every 14 calendar days, if post-storm event inspections are conducted within 24 hours after the end of any precipitation or snowmelt event that causes surface erosion. Post-storm inspections may be used to fulfill the 14-day routine inspection requirement. When site conditions make the schedule required in this section impractical, the permittee may petition the Division to grant an alternate inspection schedule. The alternative inspection schedule may not be implemented prior to written approval by the division and incorporation into the SWMP. Inspection Frequency for Discharges to Outstanding Waters Permittees must conduct site inspections at least once every 7 calendar days for sites that discharge to a water body designated as an Outstanding Water by the Water Quality Control Commission. Reduced Inspection Frequency The permittee may perform site inspections at the following reduced frequencies when one of the following conditions exists: Post-Storm Inspections at Temporarily Idle Sites For permittees choosing to combine 14-day inspections and post-storm-event- inspections, if no construction activities will occur following a storm event, post-storm event inspections must be conducted prior to re-commencing construction activities, but no later than 72 hours following the storm event. The delay of any post-storm event inspection must be documented in the inspection record. Routine inspections must still be conducted at least every 14 calendar days. Inspections at Completed Sites/Areas When the site, or portions of a site are awaiting establishment of a vegetative ground cover and final stabilization, the permittee must conduct a thorough inspection of the stormwater management system at least once every 30 days. Post-storm event inspections are not required under this schedule. This reduced inspection schedule is allowed if all of the following criteria are met: i. all construction activities resulting in ground disturbance are complete; ii. all activities required for final stabilization, in accordance with the SWMP, have been completed, with the exception of the application of seed that has not occurred due to seasonal conditions or the necessity for additional seed application to augment previous efforts; and iii. the SWMP has been amended to locate those areas to be inspected in accordance with the reduced schedule allowed for in this paragraph. Winter Conditions Inspections Exclusion PART I Permit No.: COR400000 Page 16 of 33 Inspections are not required for sites that meet all of the following conditions: construction activities are temporarily halted, snow cover exists over the entire site for an extended period, and melting conditions posing a risk of surface erosion do not exist. This inspection exception is applicable only during the period where melting conditions do not exist, and applies to the routine 7-day, 14-day and monthly inspections, as well as the post-storm-event inspections. When this inspection exclusion is implemented, the following information must be documented in accordance with the requirements in Part II: i. dates when snow cover existed; ii. date when construction activities ceased; and iii. date melting conditions began. Inspection Scope Areas to be Inspected When conducting a site inspection the following areas, if applicable, must be inspected for evidence of, or the potential for, pollutants leaving the construction site boundaries, entering the stormwater drainage system, or discharging to state waters: i. construction site perimeter; ii. all disturbed areas; iii. designated haul routes; iv. material and waste storage areas exposed to precipitation; v. locations where stormwater has the potential to discharge offsite; and vi. locations where vehicles exit the site. Inspection Requirements i. Visually verify whether all implemented control measures are in effective operational condition and are working as designed in their specifications to minimize pollutant discharges. ii. Determine if there are new potential sources of pollutants. iii. Assess the adequacy of control measures at the site to identify areas requiring new or modified control measures to minimize pollutant discharges. iv. Identify all areas of non–compliance with the permit requirements and, if necessary, implement corrective action in accordance with Part IB.1.c. Inspection Reports The permittee must keep a record of all inspections conducted for each permitted site. Inspection reports must identify any incidents of noncompliance with the terms and conditions of this permit. Inspection records must be retained in accordance with Part II.O. and signed in accordance with Part I.A.3.f. At a minimum, the inspection report must include: i. the inspection date; PART I Permit No.: COR400000 Page 17 of 33 ii. name(s) and title(s) of personnel conducting the inspection; iii. weather conditions at the time of inspection; iv. phase of construction at the time of inspection; v. estimated acreage of disturbance at the time of inspection vi. location(s) of discharges of sediment or other pollutants from the site; vii. location(s) of control measures needing maintenance; viii. location(s) and identification of inadequate control measures; ix. location(s) and identification of additional control measures are needed that were not in place at the time of inspection; x. description of the minimum inspection frequency (either in accordance with Part I.D.2., I.D.3. or I.D.4.) utilized when conducting each inspection. xi. deviations from the minimum inspection schedule as required in Part I.D.2.; xii. after adequate corrective action(s) and maintenance have been taken, or where a report does not identify any incidents requiring corrective action or maintenance, the report shall contain a statement as required in Part I.A.3.f. DEFINITIONS For the purposes of this permit: (1) Bypass - the intentional diversion of waste streams from any portion of a treatment facility in accordance with 40 CFR 122.41(m)(1)(i) and Regulation 61.2(12). (2) Common Plan of Development or Sale - A contiguous area where multiple separate and distinct construction activities may be taking place at different times on different schedules, but remain related. The Division has determined that “contiguous” means construction activities located in close proximity to each other (within ¼ mile). Construction activities are considered to be “related” if they share the same development plan, builder or contractor, equipment, storage areas, etc. “Common plan of development or sale” includes construction activities that are associated with the construction of field wide oil and gas permits for facilities that are related. (3) Construction Activity - Ground surface disturbing and associated activities (land disturbance), which include, but are not limited to, clearing, grading, excavation, demolition, installation of new or improved haul roads and access roads, staging areas, stockpiling of fill materials, and borrow areas. Construction does not include routine maintenance to maintain the original line and grade, hydraulic capacity, or original purpose of the facility. Activities to conduct repairs that are not part of routine maintenance or for replacement are construction activities and are not routine maintenance. Repaving activities where underlying and/or surrounding soil is exposed as part of the repaving operation are considered construction activities. Construction activity is from initial ground breaking to final stabilization regardless of ownership of the construction activities. (4) Control Measure - Any best management practice or other method used to prevent or reduce the discharge of pollutants to state waters. Control measures include, but are not limited to, best management practices. Control measures can include other methods such as the installation, operation, and maintenance of structural controls and treatment devices. PART I Permit No.: COR400000 Page 18 of 33 (5) Control Measure Requiring Routine Maintenance - Any control measure that is still operating in accordance with its design and the requirements of this permit, but requires maintenance to prevent a breach of the control measure. See also inadequate control measure. (6) Dedicated Asphalt, Concrete Batch Plants and Masonry Mixing Stations – are batch plants or mixing stations located on, or within ¼ mile of, a construction site and that provide materials only to that specific construction site. (7) Final Stabilization - The condition reached when all ground surface disturbing activities at the site have been completed, and for all areas of ground surface disturbing activities where a uniform vegetative cover has been established with an individual plant density of at least 70 percent of pre- disturbance levels, or equivalent permanent, physical erosion reduction methods have been employed. (8) Good Engineering, Hydrologic and Pollution Control Practices: are methods, procedures, and practices that: a. Are based on basic scientific fact(s). b. Reflect best industry practices and standards. c. Are appropriate for the conditions and pollutant sources. d. Provide appropriate solutions to meet the associated permit requirements, including practice based effluent limits. (9) Inadequate Control Measure - Any control measure that is not designed or implemented in accordance with the requirements of the permit and/or any control measure that is not implemented to operate in accordance with its design. See also Control Measure Requiring Routine Maintenance. (10) Infeasible – Not technologically possible, or not economically practicable and achievable in light of best industry practices. (11) Minimize - reduce or eliminate to the extent achievable using control measures that are technologically available and economically practicable and achievable in light of best industry practice. (12) Municipality - A city, town, county, district, association, or other public body created by, or under, State law and having jurisdiction over disposal of sewage, industrial wastes, or other wastes, or a designated and approved management agency under section 208 of CWA (1987). (13) Municipal Separate Storm Sewer System (MS4) - A conveyance or system of conveyances (including roads with drainage systems, municipal streets, catch basins, curbs, gutters, ditches, man-made channels, or storm drains): a) owned or operated by a State, city, town, county, district, association, or other public body (created by or pursuant to State law) having jurisdiction over disposal of sewage, industrial wastes, stormwater, or other wastes, including special districts under State law such as a sewer district, flood control district or drainage district, or similar entity, or a designated and approved management agency under section 208 of the CWA that discharges to state waters; i. designed or used for collecting or conveying stormwater; ii. are not a combined sewer; and iii. are not part of a Publicly Owned Treatment Works (POTW). See 5 CCR 1002-61.2(62). (14) Municipal Stormwater Management Program - A stormwater program operated by a municipality, typically to meet the requirements of the municipalities MS4 discharge certification. PART I Permit No.: COR400000 Page 19 of 33 (15) Operator - The party that has operational control over day-to-day activities at a project site which are necessary to ensure compliance with the permit. This party is authorized to direct individuals at a site to carry out activities required by the permit.(e.g. the general contractor) (16) Owner - The party that has overall control of the activities and that has funded the implementation of the construction plans and specifications. This is the party with ownership of, a long term lease of, or easements on the property on which the construction activity is occurring (e.g., the developer). (17) Permittee(s) - The owner and operator named in the discharge certification issued under this permit for the construction site specified in the certification. (18) Point Source - Any discernible, confined, and discrete conveyance, including, but not limited to, any pipe, ditch, channel, tunnel, conduit, well, discrete fissure, container, rolling stock, concentrated animal feeding operation, or vessel or other floating craft, from which pollutants are or may be discharged. Point source does not include irrigation return flow. See 5 CCR 102-61.2(75). (19) Pollutant - Dredged spoil, dirt, slurry, solid waste, incinerator residue, sewage, sewage sludge, garbage, trash, chemical waste, biological nutrient, biological material, radioactive material, heat, wrecked or discarded equipment, rock, sand, or any industrial, municipal or agricultural waste. See 5 CCR 1002-61.2(76). (20) Presentation of credentials – a government issued form of identification, if in person; or (ii) providing name, position and purpose of inspection if request to enter is made via telephone, email or other form of electronic communication. A Permittee’s non-response to a request to enter upon presentation of credentials constitutes a denial to such request, and may result in violation of the Permit. (21) Process Water - Any water which, during manufacturing or processing, comes into contact with or results from the production of any raw material, intermediate product, finished product, by product or waste product. (22) Public Emergency Related Site - a project initiated in response to an unanticipated emergency (e.g., mud slides, earthquake, extreme flooding conditions, disruption in essential public services), for which the related work requires immediate authorization to avoid imminent endangerment to human health or the environment, or to reestablish essential public services. (23) Qualified Stormwater Manager - An individual knowledgeable in the principles and practices of erosion and sediment control and pollution prevention, and with the skills to assess conditions at construction sites that could impact stormwater quality and to assess the effectiveness of stormwater controls implemented to meet the requirements of this permit. (24) Qualifying Local Program - A municipal program for stormwater discharges associated with small construction activity that was formally approved by the division as a qualifying local program. (25) Receiving Water - Any classified or unclassified surface water segment (including tributaries) in the State of Colorado into which stormwater associated with construction activities discharges. This definition includes all water courses, even if they are usually dry, such as borrow ditches, arroyos, and other unnamed waterways. (26) Severe Property Damage - substantial physical damage to property, damage to the treatment facilities which causes them to become inoperable, or substantial and permanent loss of natural resources which can reasonably be expected to occur in the absence of a bypass. Severe property damage does not mean economic loss caused by delays in production. See 40 CFR 122.41(m)(1)(ii). PART I Permit No.: COR400000 Page 20 of 33 (27) Significant Materials - Include, but not limited to, raw materials; fuels; materials such as solvents, detergents, and plastic pellets; finished materials such as metallic products; raw materials used in food processing or production; hazardous substances designated under section 101(14) of CERCLA; any chemical the permittee is required to report under section 313 of Title III of the Superfund Amendments and Reauthorization Act (SARA); fertilizers; pesticides; and waste products such as ashes, slag and sludge that have the potential to be released with stormwater discharges. (28) Small Construction Activity - The discharge of stormwater from construction activities that result in land disturbance of equal to, or greater than, one acre and less than five acres. Small construction activity also includes the disturbance of less than one acre of total land area that is part of a larger common plan of development or sale, if the larger common plan ultimately disturbs equal to, or greater than, one acre and less than five acres. (29) Spill - An unintentional release of solid or liquid material which may pollute state waters. (30) State Waters - means any and all surface and subsurface waters which are contained in or flow in or through this state, but does not include waters in sewage systems, waters in treatment works of disposal systems, waters in potable water distribution systems, and all water withdrawn for use until use and treatment have been completed. (31) Steep Slopes: where a local government, or industry technical manual (e.g., stormwater BMP manual) has defined what is to be considered a “steep slope”, this permit’s definition automatically adopts that definition. Where no such definition exists, steep slopes are automatically defined as those that are 3:1 or greater. (32) Stormwater - Precipitation runoff, snow melt runoff, and surface runoff and drainage. See 5 CCR 1002-61.2(103). (33) Total Maximum Daily Loads (TMDLs) -The sum of the individual wasteload allocations (WLA) for point sources and load allocations (LA) for nonpoint sources and natural background. For the purposes of this permit, a TMDL is a calculation of the maximum amount of a pollutant that a waterbody can receive and still meet water quality standards, and an allocation of that amount to the pollutant's sources. A TMDL includes WLAs, LAs, and must include a margin of safety (MOS), and account for seasonal variations. See section 303(d) of the CWA and 40 C.F.R. 130.2 and 130.7. (34) Upset - an exceptional incident in which there is unintentional and temporary noncompliance with permit effluent limitations because of factors beyond the reasonable control of the permittee. An upset does not include noncompliance to the extent caused by operational error, improperly designed treatment facilities, inadequate treatment facilities, lack of preventative maintenance, or careless or improper operation in accordance with 40 CFR 122.41(n) and Regulation 61.2(114). MONITORING The division may require sampling and testing, on a case-by-case basis. If the division requires sampling and testing, the division will send a notification to the permittee. Reporting procedures for any monitoring data collected will be included in the notification. If monitoring is required, the following applies: 1. the thirty (30) day average must be determined by the arithmetic mean of all samples collected during a thirty (30) consecutive-day period; and 2. a grab sample, for monitoring requirements, is a single “dip and take” sample. PART I Permit No.: COR400000 Page 21 of 33 Oil and Gas Construction Stormwater discharges associated with construction activities directly related to oil and gas exploration, production, processing, and treatment operations or transmission facilities are regulated under the Colorado Discharge Permit System Regulations (5 CCR 1002-61), and require coverage under this permit in accordance with that regulation. However, references in this permit to specific authority under the CWA do not apply to stormwater discharges associated with these oil and gas related construction activities, to the extent that the references are limited by the federal Energy Policy Act of 2005. PART II Permit No.: COR400000 Page 22 of 33 Part II: Standard Permit Conditions DUTY TO COMPLY The permittee must comply with all conditions of this permit. Any permit noncompliance constitutes a violation of the Water Quality Control Act and is grounds for: enforcement action; permit termination, revocation and reissuance, or modification; or denial of a permit renewal application. DUTY TO REAPPLY If the permittee wishes to continue an activity regulated by this permit after the expiration date of this permit, the permittee must apply for and obtain authorization as required by Part I.A.3.k. of the permit. NEED TO HALT OR REDUCE ACTIVITY NOT A DEFENSE It shall not be a defense for a permittee in an enforcement action that it would have been necessary to halt or reduce the permitted activity in order to maintain compliance with the conditions of this permit. DUTY TO MITIGATE A permittee must take all reasonable steps to minimize or prevent any discharge in violation of this permit which has a reasonable likelihood of adversely affecting human health or the environment. PROPER OPERATION AND MAINTENANCE A permittee must at all times properly operate and maintain all facilities and systems of treatment and control (and related appurtenances) that are installed or used by the permittee to achieve compliance with the conditions of this permit. Proper operation and maintenance also includes adequate laboratory controls and appropriate quality assurance procedures. This provision requires the operation of backup or auxiliary facilities or similar systems which are installed by the permittee only when the operation is necessary to achieve compliance with the conditions of this permit. This requirement can be met by meeting the requirements for Part I.B., I.C., and I.D. above. See also 40 C.F.R. § 122.41(e). PERMIT ACTIONS This permit may be modified, revoked and reissued, or terminated for cause. The permittee request for a permit modification, revocation and reissuance, or termination, or a notification of planned changes or anticipated noncompliance does not stay any permit condition. Any request for modification, revocation, reissuance, or termination under this permit must comply with all terms and conditions of Regulation 61.8(8). PROPERTY RIGHTS In accordance with 40 CFR 122.41(g) and 5 CCR 1002-61, 61.8(9): 1. The issuance of a permit does not convey any property or water rights in either real or personal property, or stream flows or any exclusive privilege. PART II Permit No.: COR400000 Page 23 of 33 2. The issuance of a permit does not authorize any injury to person or property or any invasion of personal rights, nor does it authorize the infringement of federal, state, or local laws or regulations. 3. Except for any toxic effluent standard or prohibition imposed under Section 307 of the Federal act or any standard for sewage sludge use or disposal under Section 405(d) of the Federal act, compliance with a permit during its term constitutes compliance, for purposes of enforcement, with Sections 301, 302, 306, 318, 403, and 405(a) and (b) of the Federal act. However, a permit may be modified, revoked and reissued, or terminated during its term for cause as set forth in Section 61.8(8) of the Colorado Discharge Permit System Regulations. DUTY TO PROVIDE INFORMATION The permittee shall furnish to the division, within a reasonable time, any information which the division may request to determine whether cause exists for modifying, revoking and reissuing, or terminating this permit, or to determine compliance with this permit. The permittee shall also furnish to the division, upon request, copies of records required to be kept by this permit in accordance with 40 CFR 122.41(h) and/or Regulation 61.8(3)(q). INSPECTION AND ENTRY The permittee shall allow the division and the authorized representative, upon the presentation of credentials as required by law, to allow for inspections to be conducted in accordance with 40 CFR 122.41(i), Regulation 61.8(3), and Regulation 61.8(4): 1. to enter upon the permittee's premises where a regulated facility or activity is located or in which any records are required to be kept under the terms and conditions of this permit; 2. at reasonable times to have access to and copy any records required to be kept under the terms and conditions of this permit; 3. at reasonable times, inspect any monitoring equipment or monitoring method required in the permit; and 4. to enter upon the permittee's premises in a reasonable manner and at a reasonable time to inspect or investigate, any actual, suspected, or potential source of water pollution, or any violation of the Colorado Water Quality Control Act. The investigation may include: sampling of any discharges, stormwater or process water, taking of photographs, interviewing site staff on alleged violations and other matters related to the permit, and assessing any and all facilities or areas within the site that may affect discharges, the permit, or an alleged violation. The permittee shall provide access to the division or other authorized representatives upon presentation of proper credentials. A permittee’s non-response to a request to enter upon presentation of credentials constitutes a denial of such request, and may result in a violation of the permit. MONITORING AND RECORDS 1. Samples and measurements taken for the purpose of monitoring must be representative of the volume and nature of the monitored activity. PART II Permit No.: COR400000 Page 24 of 33 2. The permittee must retain records of all monitoring information, including all calibration and maintenance records and all original strip chart recordings for continuous monitoring instrumentation, copies of all reports required by this permit, and records of all data used to complete the application for this permit, for a period of at least three years from the date the permit expires or the date the permittee’s authorization is terminated. This period may be extended by request of the division at any time. 3. Records of monitoring information must include: a. The date, exact place, and time of sampling or measurements; b. The individual(s) who performed the sampling or measurements; c. The date(s) analyses were performed d. The individual(s) who performed the analyses; e. The analytical techniques or methods used; and f. The results of such analyses. 4. Monitoring must be conducted according to test procedures approved under 40 CFR Part 136, unless other test procedures have been specified in the permit. SIGNATORY REQUIREMENTS Authorization to Sign: All documents required to be submitted to the division by the permit must be signed in accordance with the following criteria: For a corporation: By a responsible corporate officer. For the purpose of this subsection, a responsible corporate officer means: i. a president, secretary, treasurer, or vice president of the corporation in charge of a principal business function, or any other person who performs similar policy- or decision-making functions for the corporation, or ii. the manager of one or more manufacturing, production, or operating facilities, provided, the manager is authorized to make management decisions which govern the operation of the regulated facility including having the explicit or implicit duty of making major capital investment recommendations, and initiating and directing other comprehensive measures to assure long term environmental compliance with environmental laws and regulations; the manager can ensure that the necessary systems are established or actions taken to gather complete and accurate information for permit application requirements; and where authority to sign documents has been assigned or delegated to the manager in accordance with corporate procedures. For a partnership or sole proprietorship: By a general partner or the proprietor, respectively; or For a municipality, state, federal, or other public agency: By either a principal executive officer or ranking elected official. For purposes of this subsection, a principal executive officer of a federal agency includes i. (i) the chief executive officer of the agency, or PART II Permit No.: COR400000 Page 25 of 33 ii. (ii) a senior executive officer having responsibility for the overall operations of a principal geographic unit of the agency. (e.g., Regional Administrator of EPA) Electronic Signatures For persons signing applications for coverage under this permit electronically, in addition to meeting other applicable requirements stated above, such signatures must meet the same signature, authentication, and identity-proofing standards set forth at 40 CFR § 3.2000(b) for electronic reports (including robust second-factor authentication). Compliance with this requirement can be achieved by submitting the application using the Colorado Environmental Online Service (CEOS) system. Change in Authorization to Sign If an authorization is no longer accurate because a different individual or position has responsibility for the overall operation of the facility, a new authorization must be submitted to the division, prior to the re-authorization, or together with any reports, information, or applications to be signed by an authorized representative. REPORTING REQUIREMENTS Planned Changes The permittee shall give advance notice to the division, in writing, of any planned physical alterations or additions to the permitted facility in accordance with 40 CFR 122.41(l) and Regulation 61.8(5)(a). Notice is required only when: The alteration or addition to a permitted facility may meet one of the criteria for determining whether a facility is a new source in 40 CFR 122.29(b); or The alteration or addition could significantly change the nature or increase the quantity of pollutants discharged. This notification applies to pollutants which are subject neither to effluent limitations in the permit, nor to notification requirements under 40 CFR 122.41(a)(1). Anticipated Non-Compliance The permittee shall give advance notice to the division, in writing, of any planned changes in the permitted facility or activity that may result in noncompliance with permit requirements. The timing of notification requirements differs based on the type of non-compliance as described in subparagraphs 5, 6, 7, and 8 below. Transfer of Ownership or Control The permittee shall notify the division, in writing, ten (10) calendar days in advance of a proposed transfer of the permit. This permit is not transferable to any person except after notice is given to the division. PART II Permit No.: COR400000 Page 26 of 33 Where a facility wants to change the name of the permittee, the original permittee (the first owner or operators) must submit a Notice of Termination. The new owner or operator must submit an application. See also signature requirements in Part II.K, above. A permit may be automatically transferred to a new permittee if: i. The current permittee notifies the Division in writing 30 calendar days in advance of the proposed transfer date; and ii. The notice includes a written agreement between the existing and new permittee(s) containing a specific date for transfer of permit responsibility, coverage and liability between them; and iii. The division does not notify the existing permittee and the proposed new permittee of its intent to modify, or revoke and reissue the permit. iv. Fee requirements of the Colorado Discharge Permit System Regulations, Section 61.15, have been met. Monitoring reports Monitoring results must be reported at the intervals specified in this permit per the requirements of 40 CFR 122.41(l)(4). Compliance Schedules Reports of compliance or noncompliance with, or any progress reports on, interim and final requirements contained in any compliance schedule in the permit, shall be submitted on the date listed in the compliance schedule section. The fourteen (14) calendar day provision in Regulation 61.8(4)(n)(i) has been incorporated into the due date. Twenty-four hour reporting In addition to the reports required elsewhere in this permit, the permittee shall report the following circumstances orally within twenty-four (24) hours from the time the permittee becomes aware of the circumstances, and shall mail to the division a written report containing the information requested within five (5) working days after becoming aware of the following circumstances: Circumstances leading to any noncompliance which may endanger health or the environment regardless of the cause of the incident; Circumstances leading to any unanticipated bypass which exceeds any effluent limitations in the permit; Circumstances leading to any upset which causes an exceedance of any effluent limitation in the permit; PART II Permit No.: COR400000 Page 27 of 33 Daily maximum violations for any of the pollutants limited by Part I of this permit. This includes any toxic pollutant or hazardous substance or any pollutant specifically identified as the method to control any toxic pollutant or hazardous substance. The division may waive the written report required under subparagraph 6 of this section if the oral report has been received within 24 hours. Other non-compliance A permittee must report all instances of noncompliance at the time monitoring reports are due. If no monitoring reports are required, these reports are due at least annually in accordance with Regulation 61.8(4)(p). The annual report must contain all instances of non-compliance required under either subparagraph 5 or subparagraph 6 of this subsection. Other information Where a permittee becomes aware that it failed to submit any relevant facts in a permit application, or submitted incorrect information in a permit application, or in any report to the Permitting Authority, it has a duty to promptly submit such facts or information. BYPASS Bypass not exceeding limitations The permittees may allow any bypass to occur which does not cause effluent limitations to be exceeded, but only if it also is for essential maintenance to assure efficient operation. These bypasses are not subject to the provisions of Part II.M.2 of this permit. See 40 CFR 122.41(m)(2). Notice of bypass Anticipated bypass. If the permittee knows in advance of the need for a bypass, the permittee must submit prior notice, if possible at least ten days before the date of the bypass. ee 40 CFR §122.41(m)(3)(i) and/or Regulation 61.9(5)(c). Unanticipated bypass. The permittee must submit notice of an unanticipated bypass in accordance with Part II.L.6. See 40 CFR §122.41(m)(3)(ii) . Prohibition of Bypass Bypasses are prohibited and the division may take enforcement action against the permittee for bypass, unless: i. the bypass is unavoidable to prevent loss of life, personal injury, or severe property damage; PART II Permit No.: COR400000 Page 28 of 33 ii. There were no feasible alternatives to the bypass, such as the use of auxiliary treatment facilities, retention of untreated wastes, or maintenance during normal periods of equipment downtime. This condition is not satisfied if adequate backup equipment should have been installed in the exercise of reasonable engineering judgment to prevent a bypass which occurred during normal periods of equipment downtime or preventive maintenance; and iii. proper notices were submitted to the division. UPSET Effect of an upset An upset constitutes an affirmative defense to an action brought for noncompliance with permit effluent limitations if the requirements of Part II.N.2. of this permit are met. No determination made during administrative review of claims that noncompliance was caused by upset, and before an action for noncompliance, is final administrative action subject to judicial review in accordance with Regulation 61.8(3)(j). Conditions necessary for demonstration of an Upset A permittee who wishes to establish the affirmative defense of upset shall demonstrate through properly signed contemporaneous operating logs, or other relevant evidence that an upset occurred and the permittee can identify the specific cause(s) of the upset; the permitted facility was at the time being properly operated and maintained; and the permittee submitted proper notice of the upset as required in Part II.L.6.(24- hour notice); and the permittee complied with any remedial measure necessary to minimize or prevent any discharge or sludge use or disposal in violation of this permit which has a reasonable likelihood of adversely affecting human health or the environment. In addition to the demonstration required above, a permittee who wishes to establish the affirmative defense of upset for a violation of effluent limitations based upon water quality standards shall also demonstrate through monitoring, modeling or other methods that the relevant standards were achieved in the receiving water. Burden of Proof In any enforcement proceeding, the permittee seeking to establish the occurrence of an upset has the burden of proof. RETENTION OF RECORDS Post-Expiration or Termination Retention Copies of documentation required by this permit, including records of all data used to complete the application for permit coverage to be covered by this permit, must be PART II Permit No.: COR400000 Page 29 of 33 retained for at least three years from the date that permit coverage expires or is terminated. This period may be extended by request of EPA at any time. On-site Retention The permittee must retain an electronic version or hardcopy of the SWMP at the construction site from the date of the initiation of construction activities to the date of expiration or inactivation of permit coverage; unless another location, specified by the permittee, is approved by the division. REOPENER CLAUSE Procedures for modification or revocation Permit modification or revocation of this permit or coverage under this permit will be conducted according to Regulation 61.8(8). Water quality protection If there is evidence indicating that the stormwater discharges authorized by this permit cause, have the reasonable potential to cause or contribute to an excursion above any applicable water quality standard, the permittee may be required to obtain an individual permit, or the permit may be modified to include different limitations and/or requirements. SEVERABILITY The provisions of this permit are severable. If any provisions or the application of any provision of this permit to any circumstances, is held invalid, the application of such provision to other circumstances and the application of the remainder of this permit shall not be affected. NOTIFICATION REQUIREMENTS Notification to Parties All notification requirements, excluding information submitted using the CEOS portal, shall be directed as follows: Oral Notifications, during normal business hours shall be to: Clean Water Compliance Section Water Quality Control Division Telephone: (303) 692-3500 Written notification shall be to: Clean Water Compliance Section Water Quality Control Division Colorado Department of Public Health and Environment WQCD-WQP-B2 4300 Cherry Creek Drive South Denver, CO 80246-1530 PART II Permit No.: COR400000 Page 30 of 33 RESPONSIBILITIES Reduction, Loss, or Failure of Treatment Facility The permittee has the duty to halt or reduce any activity if necessary to maintain compliance with the effluent limitations of the permit. It shall not be a defense for a permittee in an enforcement action that it would be necessary to halt or reduce the permitted activity in order to maintain compliance with the conditions of this permit. Oil and Hazardous Substance Liability Nothing in this permit shall be construed to preclude the institution of any legal action or relieve the permittee from any responsibilities, liabilities, or penalties to which the permittee is or may be subject to under Section 311 (Oil and Hazardous Substance Liability) of the CWA. Emergency Powers Nothing in this permit shall be construed to prevent or limit application of any emergency power of the division. Confidentiality Any information relating to any secret process, method of manufacture or production, or sales or marketing data which has been declared confidential by the permittee, and which may be acquired, ascertained, or discovered, whether in any sampling investigation, emergency investigation, or otherwise, shall not be publicly disclosed by any member, officer, or employee of the Water Quality Control Commission or the division, but shall be kept confidential. Any person seeking to invoke the protection of of this section shall bear the burden of proving its applicability. This section shall never be interpreted as preventing full disclosure of effluent data. Fees The permittee is required to submit payment of an annual fee as set forth in the 2016 amendments to the Water Quality Control Act. Section 25-8-502 (1.1) (b), and the Colorado Discharge Permit System Regulations 5 CCR 1002-61, Section 61.15 as amended. Failure to submit the required fee when due and payable is a violation of the permit and will result in enforcement action pursuant to Section 25-8-601 et. seq., C.R.S.1973 as amended. Duration of Permit The duration of a permit shall be for a fixed term and shall not exceed five (5) years. If the permittee desires to continue to discharge, a permit renewal application shall be submitted at least ninety (90) calendar days before this permit expires. Filing of a timely and complete application shall cause the expired permit to continue in force to the effective date of the new permit. The permit's duration may be extended only through administrative extensions and not through interim modifications. If the permittee anticipates there will be no discharge after the expiration date of this permit, the division should be promptly notified so that it can terminate the permit in accordance with Part I.A.3.i. Section 307 Toxics If a toxic effluent standard or prohibition, including any applicable schedule of compliance specified, is established by regulation pursuant to Section 307 of the Federal Act for a toxic pollutant which is present in the permittee's discharge and such standard or prohibition is more stringent than any limitation upon such pollutant in the discharge permit, the division PART II Permit No.: COR400000 Page 31 of 33 shall institute proceedings to modify or revoke and reissue the permit to conform to the toxic effluent standard or prohibition CDPS GENERAL PERMIT CONSTRUCTION DEWATERING DISCHARGES TO DISCHARGE UNDER THE COLORADODISCHARGE PERMIT SYSTEM PERMIT NUMBER COG070000 In compliance with the provisions of the Colorado Water Quality Control Act, (25-8-101 et seq., CRS, 1973 as amended) and the Federal Water Pollution Control Act, as amended (33 U.S.C. 1251 et seq.; the "Act"), entities engaged in construction dewatering are authorized to discharge source water from authorized locations throughout the State of Colorado to specified waters of the State. Such discharges shall be in accordance with the conditions of this general permit. This permit specifically authorizes the entity(s) listed on page 1 of this document (also known as the permit certification) to discharge process generated wastewaters, as of the effective dates stated on page 1 of the certification, in accordance with the permit requirements and conditions set forth in Parts I and II hereof. All discharges authorized herein shall be consistent with the terms and conditions of this permit. The applicant may demand an adjudicatory hearing within thirty (30) days of the date of issuance of the final permit determination, per the Colorado Discharge Permit System Regulations, 61.7(1). Should the applicant choose to contest any of the effluent limitations, monitoring requirements or other conditions contained herein, the applicant must comply with Section 24-4-104 CRS and the Colorado Discharge Permit System Regulations. Failure to contest any such effluent limitation, monitoring requirement, or other condition, constitutes consent to the condition by the Applicant. This permit and the authorization to discharge shall expire at midnight AUGUST 31, 2018 Modified and signed this 24th day of July, 2014. COLORADO DEPARTMENT OF PUBLIC HEALTH AND ENVIRONMENT Janet Kieler, Permits Section Manager WATER QUALITY CONTROL DIVISION Permit Action Summary: Minor Modification #2 – Issued July 24. 2014, Effective July 24, 2014: Part I.C.1.b Minor Modification #1—Issued May 16, 2014, Effective May 16, 2014: Part I.E.1; Table B.1 Originally Issued and Signed: July 22, 2013, Effective September 1, 2013 Page 3 of 32 Permit No.:COG070000 Table of Contents PART I ..................................................................................................................................................................................... 5 A. COVERAGE UNDER THIS PERMIT ............................................................................................................................... 5 1. Activities Covered .................................................................................................................................................... 5 2. Limitations on Coverage .......................................................................................................................................... 5 3. Application Requirements ........................................................................................................................................ 6 4. Terminating Coverage .............................................................................................................................................. 7 5. Modifying Existing Permit Coverage ....................................................................................................................... 7 B. EFFLUENT LIMITATIONS AND MONITORING REQUIREMENTS .......................................................................... 7 1. Permitted Outfall(s) .................................................................................................................................................. 7 2. Numeric Effluent Limitations, Monitoring Frequencies, and Sample Types ........................................................... 7 C. TERMS AND CONDITIONS ........................................................................................................................................... 11 1. Discharge Log ........................................................................................................................................................ 11 2. Practice Based Requirements ................................................................................................................................. 11 3. Practices for Discharges in Exceedance of Applicable Water Quality Standards .................................................. 11 4. Chemical Additions ................................................................................................................................................ 12 4. Discharge Point ...................................................................................................................................................... 12 5. Discharges to Conveyances .................................................................................................................................... 12 6. Mixing Zone ........................................................................................................................................................... 12 7. Discharges to Waters with Total Maximum Daily Loads (TMDLs) ...................................................................... 13 8. Discharges to 303(d) Listed Waters ....................................................................................................................... 13 D. DEFINITIONS OF TERMS ............................................................................................................................................. 13 E. GENERAL MONITORING, SAMPLING AND REPORTING REQUIREMENTS ........................................................ 17 1. Routine Reporting of Data ..................................................................................................................................... 17 2. Reporting for Undefined Outfalls........................................................................................................................... 18 3. Representative Sampling ........................................................................................................................................ 18 4. Analytical and Sampling Methods for Monitoring and Reporting......................................................................... 18 5. Records .................................................................................................................................................................. 20 6. Additional Monitoring by Permittee ...................................................................................................................... 21 7. Flow Measuring Device ........................................................................................................................................ 21 8. Signatory and Certification Requirements ............................................................................................................ 21 Part II ...................................................................................................................................................................................... 23 A. NOTIFICATIONREQUIREMNTS ................................................................................................................................... 23 1. Notification to Parties ............................................................................................................................................ 23 2. Change in Discharge or Wastewater Treatment ..................................................................................................... 23 3. Special Notifications Definitions ........................................................................................................................... 24 4. Noncompliance Notification .................................................................................................................................. 24 5. Other Notification Requirements ........................................................................................................................... 25 6. Bypass Notification ................................................................................................................................................ 25 7. Upsets .................................................................................................................................................................... 26 8. Discharge Point ...................................................................................................................................................... 26 9. Proper Operation and Maintenance ........................................................................................................................ 26 10. Minimization of Adverse Impact........................................................................................................................ 26 11. Removed Substances .......................................................................................................................................... 27 12. Submission of Incorrect or Incomplete Information .......................................................................................... 27 13. Bypass ................................................................................................................................................................ 27 14. Reduction, Loss, or Failure of Treatment Facility .............................................................................................. 27 B. RESPONSIBILITIES ......................................................................................................................................................... 28 1. Inspections and Right to Entry ............................................................................................................................... 28 2. Duty to Provide Information .................................................................................................................................. 28 3. Transfer of Ownership or Control .......................................................................................................................... 28 4. Availability of Reports ........................................................................................................................................... 29 5. Modification, Suspension, Revocation, or Termination of Permits By the Division ............................................. 29 6. Oil and Hazardous Substance Liability .................................................................................................................. 31 7. State Laws .............................................................................................................................................................. 31 8. Permit Violations .................................................................................................................................................... 31 9. Property Rights ....................................................................................................................................................... 32 10. Severability......................................................................................................................................................... 32 11. Renewal Application .......................................................................................................................................... 32 12. Confidentiality .................................................................................................................................................... 32 13. Fees ..................................................................................................................................................................... 32 14. Duration of Permit .............................................................................................................................................. 32 15. Section 307 Toxics ............................................................................................................................................. 32 16. Effect of Permit Issuance ................................................................................................................................... 33 Page 5 of 34 Permit No.:COG070000 PART I A. COVERAGE UNDER THIS PERMIT 1. Activities Covered This permit authorizes the discharge of construction dewatering source water throughout the State of Colorado to waters of the state. Construction dewatering source water means groundwater, surface water, and stormwater that has mixed with the groundwater and/ or surface water (i.e. commingled stormwater runoff) that has come into contact with Construction Activities. This permit only authorizes discharges for which the source water is drawn from the specific area(s) identified in the application, or in subsequent notification(s) in accordance with Part II.A.2 and II.B.5 of the permit. 2. Limitations on Coverage All effluent limitations for this permit are applied at the point of discharge. Dilution (i.e., mixing zone) considerations are not applicable in this permit. A discharge that would meet any of the following conditions at the time of the effective date of the permit authorization are not eligible for coverage under this permit and must apply for coverage under another general permit or under an individual permit: a. The Division has determined that there is a reasonable potential for a pollutant to be present in the source water at a concentration that is greater than a numeric water quality standard of the receiving water. Note that a numeric water quality standard does not exist for Total Suspended Solids, and therefore permit coverage is available for discharges that require treatment to meet the Total Suspended Solid limitation in this permit. The Division’s evaluation to identify potential pollutants will include, but is not limited to: • known areas of contamination at or near the facility (e.g., hazardous waste site, leaking underground storage tanks, or additional sources other than what is normally encountered at excavation and construction sites), • naturally occurring pollutants that potentially exist in the source water, and • pollutants that have the potential to be added to the source water prior to discharge. An exception to this limitation will be allowed for discharges with a reasonable potential for Benzene, Toluene, Ethylbenzene, and Xylene to be present in the source water at a concentration that is greater than a numeric water quality standard of the receiving water when the applicant can demonstrate that the construction dewatering source water does not have concentrations of these parameters that are greater than the water quality standard of the receiving water. A discharge subject to this limitation following the effective date of the permit authorization shall be determined to be inconsistent with the conditions of the permit and the Division shall require a new or revised permit application and shall follow the procedures specified in Sections 61.5 through 61.6, and 61.15 of the Colorado Discharge Permit System Regulations. b. The discharge(s) is to a receiving water designated as “outstanding waters.” c. Discharges to ground water only cannot be covered under this general permit if subject to regulation by the EPA or by implementing agencies under Senate Bill 181. This exclusion does not apply to discharges to surface waters, including discharges to groundwater that are tributary to surface waters and for which the Division determines that the requirements of Regulation 61 applicable to surface waters apply. Page 6 of 34 Permit No.:COG070000 Discharges that fall under the regulating authority of other agencies include: i. Discharges to Class V Injection Wells—Discharges to Class V Injection Wells within the state of Colorado are regulated by the Environmental Protection Agency (EPA), Region 8, through the Underground Injection Control (UIC) program. In accordance with of Colorado Discharge Permit System Regulations Section 61.14(1)(b)(vii), facilities operating under a permit issued pursuant to the UIC provisions are specifically exempt from coverage under the ground water discharge provisions of Regulation 61. A Class V Injection well is defined by EPA as any bored, drilled, or driven shaft, or dug hole that is deeper than its widest surface dimension, or an improved sinkhole, or a subsurface fluid distribution system. ii. Discharges to Surface Impoundments or Other Engineered Units—Facilities discharging wastewaters into surface impoundments and associated pipelines or other engineered units, even those designed for purposeful seepage (e.g. no liner or a seeping liner) shall be regulated by the Hazardous Materials Waste Management Division (HMWMD), Solid Waste Program. 3. Application Requirements In order to apply for certification under this general permit, the applicant shall submit an application form as provided by the Division by mail or hand delivery at least 30 days before the anticipated date of discharge. The application in its entirety shall be submitted to: Colorado Department of Public Health and Environment Water Quality Control Division Permits Section, WQCD-PCP-B2 4300 Cherry Creek Drive South Denver, Colorado 80246-1530 Following review of the application, the Division may request additional information or deny the authorization to discharge under this general permit. If the Division determines that a new facility does not fall under the authority of the general permit, then the information received will be processed for an individual permit or the applicant may apply for coverage under an alternative general permit, and the applicant shall be notified of such a determination. If during the renewal process, the Division determines that a facility no longer qualifies for the general permit, then the certification may be revoked or the facility may be allowed to discharge under the general permit, with additional conditions in the amended certification, until an individual permit or alternative general permit is issued. A permittee desiring continued coverage under the general permit must reapply at least 180 days in advance of this permit expiration. If this permit is not reissued or replaced prior to the expiration date, it will be administratively continued and remain in force and effect. If a permittee was authorized to discharge under this permit prior to the expiration date, any discharges authorized under this permit will automatically remain covered by this permit until the earliest of: a. Authorization for coverage under a reissued permit or a replacement of this permit following the timely and appropriate submittal of a complete application requesting authorization to discharge under the new permit and compliance with the requirements of the application; b. The issuance and effect of a termination issued by the Division; c. The issuance or denial of an individual permit for the facility’s discharges; d. A formal permit decision by the Division not to reissue this general permit, at which time the Division will identify a reasonable time period for covered dischargers to seek coverage under an Page 7 of 34 Permit No.:COG070000 alternative general permit or an individual permit. Coverage under this permit will cease when coverage under another permit is granted/authorized; or e. The Division has informed the permittee that they are no longer covered under this permit. 4 . Terminating Coverage To terminate permit coverage, the legal permit applicant or duly authorized agent must submit a complete and accurate Notice of Termination Form, to the address listed in Part I.A.3. The authorization to discharge under this permit terminates at midnight of the day that the termination is effective as notified by the Division. The permittee is responsible for meeting the terms of this permit until the authorization is terminated. The Notice of Termination must be signed in accordance with Part I.E.8 of this permit. 5. Modifying Existing Permit Coverage To modify an existing permit certification, the legal permit contact or duly authorized agent must submit a complete and accurate Modification Form, to the address listed in Part I.A.3. This form must be submitted to the Division at least 30 days prior to implementing any requested modifications that result in a discharge to state waters. The permittee is not authorized to discharge under the modified conditions until the modified certification is issued and effective. Modifications include but are not limited to: adding or removing discharge outfalls, adding new or additional chemicals to the treatment process or effluent, modifying treatment in a manner that would result in a new or altered discharge in terms of location or effluent quality, etc. The modification form must be signed in accordance with Part I.E.8 of this permit. B. EFFLUENT LIMITATIONS AND MONITORING REQUIREMENTS 1. Permitted Outfall(s) Beginning no earlier than the effective date listed on the permit certification and lasting through the expiration date of this permit, the permittee identified on the permit certification is authorized to discharge from the Outfall(s) listed on the permit certification in accordance with the conditions and limitations of this permit. If requested in the permit application, the permit certification may identify an outfall as an undefined outfall, and the location of the discharge outfall will not be identified on the permit certification. For all undefined outfalls, the permittee must comply with the record keeping requirements in Part I.C.1.c (Discharge Log), reporting requirements in Part I .E.2 (Reporting for Undefined Outfalls), and the outfall location shall not be changed after a discharge has occurred except through a modification in accordance with Part I.A.5. In order to keep permit certifications, discharge monitoring reports, and administration manageable, the Division is limiting the number of outfalls per permit certification to twenty (20). If the applicant has reason to request more than twenty outfall locations the Division may grant more outfalls on a case-by- case basis. 2. Numeric Effluent Limitations, Monitoring Frequencies, and Sample Types In accordance with the Water Quality Control Commission Regulations for Effluent Limitations, Section 62.4, and the Colorado Discharge Permit System Regulations, Section 61.8(2), 5.C.C.R. 1002-61, the permitted discharge shall not contain effluent parameter concentrations that exceed the limitations specified in Table B.1 or B.2 below, as applicable to the outfall(s). For parameters for which the applicable note states that the analysis or monitoring will be included in the permit certification based on meeting specific Page 8 of 34 Permit No.:COG070000 conditions, limitations and monitoring requirements are only applicable if identified in the permit certification for the specified outfall. The permittee must monitor the effluent for all listed parameters at the frequency and sample types specified in Table B.1 or B.2 below, as applicable to the outfall(s). Report only monitoring requirements for additional site-specific parameters may be included in the permit certification. Such additional monitoring may be required where this additional information will help the Division verify whether any anticipated changes or additional uncertainties reveal data that more accurately predicts actual effluent concentrations. All required monitoring will begin immediately and last for the life of the permit unless otherwise noted. The results of such monitoring must be reported on the Discharge Monitoring Report (DMR) form (See Part I.E). Table B.1, Numeric Effluent Limitations and Monitoring Requirements for all Discharges to Surface Water Parameter ICIS Code Note (below) Discharge Limitations Monitoring Conditions 30-Day Average 7-Day Average Daily Maximum Monitoring Frequency Sample Type 50050 Flow, gpm 1 ---- ---- Limitation in Certification Weekly Instantaneous or Continuous Recorder 00530 Total Suspended Solids, mg/l 30 45 --- Weekly Grab 84066 Oil and Grease 2 ---- ----- --- Weekly Visual 03582 Oil and Grease, mg/l 2 ---- ----- 10 Weekly Grab 00400 pH, s.u. ---- ----- 6.5-9.0 Weekly In-situ or Grab 70295 Total Dissolved Solids, mg/l 3 Report ----- Report Monthly Grab 00665 Total Phosphorus, mg/l, as P 4 Report ----- Report Monthly Grab 51040 E. Coli bacteria, per 100 ml 5 Limit in Certification Limit in Certification ----- Weekly Grab 34030 Benzene, ug/l 6 Limit in Certification ----- Limit in Certification Weekly Grab 34010 Toluene, ug/l 6 Limit in Certification ----- Limit in Certification Weekly Grab 37371 Ethylbenzene, ug/l 6 Limit in Certification ----- Limit in Certification Weekly Grab 81551 Xylene, ug/l 6 Limit in Certification ----- Limit in Certification Weekly Grab Metals, Organics, Inorganics, Temperature, RADs 7 Report ----- Report Weekly Grab Page 9 of 34 Permit No.:COG070000 Table B.2, Numeric Effluent Limitations and Monitoring Requirements for all Discharges to Ground Water Parameter ICIS Code Note (below) Discharge Limitations Monitoring Conditions 30-Day Average 7-Day Average Daily Maximum Monitoring Frequency Sample Type 50050 Flow, gpm 1 ---- ---- Limitation in Certification Weekly Instantaneous or Continuous Recorder 84066 Oil and Grease 2 ---- ----- - - Weekly Visual 03582 Oil and Grease, mg/l 2 ---- ----- 10 Weekly Grab 00400 pH, s.u. ---- ----- 6.5-8.5 Weekly In-situ or Grab 70295 Total Dissolved Solids, mg/l 8 Limit in Certification ----- Limit in Certification Monthly Grab 00665 Total Phosphorus, mg/l, as P 4 Report ----- Report Monthly Grab 74056 Total Coliform, per 100 ml 5 2.2 23 Weekly Grab 34030 Benzene, ug/l 6 Limit in Certification ----- Limit in Certification Weekly Grab 34010 Toluene, ug/l 6 Limit in Certification ----- Limit in Certification Weekly Grab 37371 Ethylbenzene, ug/l 6 Limit in Certification ----- Limit in Certification Weekly Grab 81551 Xylene, ug/l 6 Limit in Certification ----- Limit in Certification Weekly Grab Metals, Organics, Inorganics, Temperature, RADs 7 Report ----- Report Weekly Grab Notes for Tables B.1 and B.2: Note 1: Flow Limit— The acute flow limit will be equal to twice the maximum flow rate provided in the permit application and will be stated on the certification. However, if the discharge flow rate exceeds the maximum flow rate identified in the application, the permittee shall notify the Division in accordance with Part II.A.2. of the Permit. The method for measuring flow rates authorizes estimates. Note 2: Oil and Grease—A visual observation of the discharge for each permitted outfall must be made once a week. In the event an oil sheen or floating oil is observed, a composite sample shall be collected weekly, analyzed, and reported on the DMR. In addition, corrective action shall be taken immediately to mitigate the discharge of oil and grease. A description of the corrective action taken must be included with the DMR. Page 10 of 34 Permit No.:COG070000 Note 3: Total Dissolved Solids (TDS) – Surface Water Outfalls—Analysis for salinity, measured as TDS, will be included in the permit certification for all discharges in the Colorado River Basin. Following the submittal of the initial six sets of monthly data, the Division shall determine whether the permittee is required to submit a report addressing salt removal in accordance with the Colorado River Salinity Standards, Regulation No. (5CCR 1002-39). If the salinity report is required, the Division shall so advise the permittee by letter or through the inclusion of a compliance schedule and the report shall be submitted within 180 days. Note 4: Total Phosphorus—Analysis for Total Phosphorus, as P, will be included in the permit certification for all discharges to waters with a control regulation for P. In accordance with the Dillon Reservoir Control Regulation (Regulation 71), monitoring for Total Phosphorus is required. In accordance with the Cherry Creek Reservoir Control Regulation (Regulation 72), monitoring and compliance with the Total Phosphorus chronic numeric effluent limit of 0.05mg/l is required. In accordance with the Chatfield Reservoir Control Regulation (Regulation 73), monitoring and compliance with the Total Phosphorus chronic numeric effluent limit of 1.0 mg/l is required. In accordance with the Bear Creek Watershed Control Regulation (Regulation 74), monitoring for Total Phosphorus is required. Note 5: E Coli and Total Coliform—Analysis and limitations for E. Coli and Total Coliform will be included in the permit certification for discharges from construction dewatering operations that involve replacing or repairing existing sanitary sewer lines, are in proximity to septic disposal systems, or other sewage disposal conveyances or vessels, where the Division has made a qualitative reasonable potential determination that E. coli or Total Coliform may be present in the discharge. The E. coli effluent limitation will be applied for discharge to surface water and will reflect the Recreational Class of the receiving stream of the discharge (Class E at 126 per 100 ml, Class P at 205 per 100 ml, and Class N at 630 per 100ml). The Total Coliform effluent limitation will be applied if the discharge is to groundwater. If the construction dewatering operation is considered in-stream (for example, bank stabilization and discharges back to the same water body), monitoring and reporting, or monitoring and compliance with the numeric effluent limitation for E. coli or Total Coliform will not be required. Note 6: Benzene, Toluene, Ethylbenzene, and Xylene — Analysis and limitations for Benzene, Toluene, Ethylbenzene, and Xylene will be included in the permit certification for construction dewatering operations where the Division has made a qualitative reasonable potential determination that Benzene, Toluene, Ethylbenzene, or Xylene may be present in the discharge. See Part I A.2.a. of the permit regarding limitations of permit coverage associated with Benzene, Toluene, Ethylbenzene, and Xylene. If the construction dewatering operation is considered in-stream (for example bank stabilization and discharges back to the same water body), monitoring and compliance with the additional numeric effluent limitations will not be required. Note 7: Metals, Organics, Inorganics, Temperature, and RADS—Analysis for additional parameters may be added to the permit certification in accordance with Part I.B.2. If the construction dewatering operation is considered in-stream (for example bank stabilization and discharges back to the same water body), monitoring for the additional parameters will not be required. Note 8: Total Dissolved Solids (TDS) – Ground Water Outfalls—Analysis for salinity, measured as TDS, will be added to the permit certification for all discharges to a different aquifer from which the ground water was pulled. If the discharge is to the same aquifer from which it was pulled, sampling for TDS will not be required provided that the remediation activity is not contributing to TDS concentrations. Page 11 of 34 Permit No.:COG070000 C. TERMS AND CONDITIONS 1. Discharge Log The permittee shall maintain a documented Discharge Log identifying the following information for each permitted outfall: a. the dates and times when a discharge commences and ends, b. records for monitoring as required by Part I.E.5. c. prior to the start of any discharge from an undefined discharge outfall(s) (see Part I.B.1), the receiving water for the discharge and the location that the outfall will be located at, including the latitude and longitude to the nearest 15 seconds, , general description of the location, and a map showing the discharge locations. d. a description of the pollutant control practices used during construction dewatering, including: i. for all filter devices- document the pollutant control filter maximum flow rate that will maintain compliance with the permit effluent limits and a drawing, sketch, and/or written description of the installation and implementation specifications. ii. for all settling devices- document the residence time and maximum flow rate that will maintain compliance with the permit effluent limits and a drawing, sketch, and/or written description of the installation and implementation specifications.. iii. for all other techniques and methods implemented to remove pollutants prior to discharge, such as but not limited to pump in gravel-packs, sump conditions, and well screens- document the technique used and its intended purpose, the maximum flow rate for operation that will maintain compliance with the permit effluent limits, and a drawing, sketch, and/ or written description of the installation and implementation specifications. iv. if no treatment has been determined necessary to remove pollutants prior to discharge in order to maintain compliance with the permit effluent limits- a statement identifying that no treatment will be provided. e. The method used to measure flow, in accordance with I.E.7. The log must be updated within 72 hours of the occurrence of any activit y requiring documentation in accordance with this subsection. 2. Practice Based Requirements a. Pollutant Control Practices: The permittee shall implement pollutant control practices to meet the effluent limitations contained in this permit. The pollutant control practices must be selected, designed, installed, implemented and maintained in accordance with good engineering, hydrologic, pollution control practices, and the manufacturer’s specifications including installation and implementation specifications, where applicable. Practices may include treatment, schedules of activities, prohibitions of practices, maintenance procedures, monitoring practices used to document the capability of the treatment practices to remove pollutants, handling and disposal practices, and other management practices necessary to meet the effluent limitations contained in this permit. 3. Practices for Discharges in Exceedance of Applicable Water Quality Standards The Division expects that compliance with the effluent limits in this permit will control discharges as necessary to meet applicable water quality standards. If at any time the permittee becomes aware that at the permitted outfall, pollutant concentrations for an effluent parameter not subject to an effluent limitation in Part I.B or the permit certification exceeds any applicable water quality standard for the receiving water, the permittee shall: Page 12 of 34 Permit No.:COG070000 a. Halt or reduce any activity if necessary to prevent the discharge of an effluent parameter(s), at the permitted outfall, in concentrations which exceed the applicable water quality standards for the receiving water; and b. Mail a written report to the Division containing all relevant monitoring data and the information consistent with that required for noncompliance in Part II.A.4 (a) within five (5) days after becoming aware of the exceedance. Coverage under this general permit may be modified, suspended, or terminated by the Division if necessary to effectively implement protection of waters of the State. If the Division finds that such new or altered discharge might be inconsistent with the conditions of the permit, the Division shall require a new or revised permit application, or require coverage under an individual permit or alternative general permit, and shall follow the procedures specified in Sections 61.5 through 61.6, and 61.15 of the Colorado Discharge Permit System Regulations. 4. Chemical Additions No chemicals are to be added that have the potential to be present in the permitted discharge, including, but not limited to, chemical additions at any point in the treatment process, unless the permittee provides advance notice to the Division of the planned changes in accordance with Part II.A.2 and the Division confirms that the new or altered discharge is appropriate for coverage under this permit. The permit applicant must submit a list of proposed chemicals, including dosage rates, used in the treatment process. Additionally, a MSDS for each chemical proposed for use must be provided to the Division. The addition of chemicals may require permitting under the Remediation Activities general permit that authorizes the discharge from remediation activities (e.g., the discharge requires treatments to remove pollutants resulting from the chemical addition). Chemicals used in waters that will, or may be, discharged to waters of the State must be used in accordance with all state and federal regulations, and in strict accordance with the manufacturer’s site-specific instructions. 4. Discharge Point All waters shall be discharged in a manner to prevent erosion, scouring, or damage to stream banks, streambeds, or ditches. 5. Discharges to Conveyances All dischargers must comply with the lawful requirements of counties; drainage districts and other state or local agencies regarding any discharges to storm drain systems or other watercourses under their jurisdiction. 6. Mixing Zone For this general permit, all numeric effluent limitations are assigned as end of pipe limits based on the Water Quality Standards. Dilution (i.e. mixing zone) considerations are not applicable in this permit. Dischargers who want consideration of a mixing allowance should apply for an individual permit Page 13 of 34 Permit No.:COG070000 7. Discharges to Waters with Total Maximum Daily Loads (TMDLs) Discharges to State waters for which an approved or established TMDL has been developed may be authorized provided there are sufficient remaining waste load allocations in the approved or established TMDL. If sufficient remaining waste load allocations are not available, coverage under an Individual permit may be required. If additional effluent limitations or other terms and conditions not included in this permit are required for discharges to segments for which a TMDL has been completed, the discharge cannot be covered under this general permit and must apply for coverage under another general permit or under an individual permit. Factors that will be taken into consideration when making this determination include the plausibility that the pollutant for which the TMDL was developed will be in the discharge, and duration and frequency of the discharge. 8. Discharges to 303(d) Listed Waters Sampling, monitoring and compliance with numeric effluent limitations may be required for discharges to 303(d) listed waters that are impaired for a specified pollutant(s), and that pollutant has the potential to be in the construction dewatering project discharge. If additional effluent limitations or other terms and conditions not included in this permit are required for discharges to 303(d), the discharge cannot be covered under this general permit and must apply for coverage under another general permit or under an individual permit. Factors that will be taken into consideration when making this determination include the plausibility that the pollutant listed on the 303(d) list will be in the discharge, and duration and frequency of the discharge. D. DEFINITIONS OF TERMS 1. “Construction Activities” refers to ground surface disturbing activities, which include, but are not limited to, clearing, grading, excavation, demolition, installation of new or improved haul roads and access roads, staging areas, stockpiling of fill materials, and borrow areas. 2. "Continuous" measurement is a measurement obtained from an automatic recording device which continually measures provides measurements. 3. "Daily Maximum limitation" for all parameters except temperature, means the limitation for this parameter shall be applied as an instantaneous maximum (or, for pH or DO, instantaneous minimum) value. The instantaneous value is defined as the analytical result of any individual sample. DMRs shall include the maximum (and/or minimum) of all instantaneous values within the calendar month. Any instantaneous value beyond the noted daily maximum limitation for the indicated parameter shall be considered a violation of this permit. 4. "Daily Maximum Temperature (DM)" is defined in the Basic Standards and Methodologies for Surface Water 1002-31, as the highest two-hour average water temperature recorded during a given 24-hour period. This will be determined using a rolling 2-hour maximum temperature. If data is collected every 15 minutes, a 2-hour maximum can be determined on every data point after the initial 2 hours of collection. Note that the time periods that overlap days (Wednesday night to Thursday morning) do not matter as the reported value on the DMR is the greatest of all the 2-hour averages. For example, data points collected at: 08:15, 08:30, 08:45, 09:00, 09:15, 09:30, 09:45, 10:00, would be averaged for a single 2 hour average data point 08:30, 08:45, 09:00, 09:15, 09:30, 09:45, 10:00, 10:15, would be averaged for a single 2-hour average data Page 14 of 34 Permit No.:COG070000 point 08:45, 09:00, 09:15, 09:30, 09:45, 10:00, 10:15, 10:30, would be averaged for a single 2 hour average data point This would continue throughout the course of a calendar day. The highest of these 2-hour averages over a month would be reported on the DMR as the daily maximum temperature. At the end/beginning of a month, the collected data should be used for the month that contains the greatest number of minutes in the 2-hour maximum. Data from 11 pm to 12:59 am would fall in the previous day. Data collected from 11:01 pm to 1:00 am would fall in the new month. 5. "Dissolved (D) metals fraction" is defined in the Basic Standards and Methodologies for Surface Water 1002- 31, as that portion of a water and suspended sediment sample which passed through a 0.40 or 0.45 UM (micron) membrane filter. Determinations of "dissolved" constituents are made using the filtrate. This may include some very small (colloidal) suspended particles which passed through the membrane filter as well as the amount of substance present in true chemical solution. 6. "Geometric mean" for E. coli bacteria concentrations, the thirty (30) day and seven (7) day averages shall be determined as the geometric mean of all samples collected in a thirty (30) day period and the geometric mean of all samples taken in a seven (7) consecutive day period respectively. The geometric mean may be calculated using two different methods. For the methods shown, a, b, c, d, etc. are individual sample results, and n is the total number of samples. Method 1: Geometric Mean = (a*b*c*d*...)(1/n) "*" - means multiply Method 2: Geometric Mean = antilog ( [log(a)+log(b)+log(c)+log(d)+...]/n ) Graphical methods, even though they may also employ the use of logarithms, may introduce significant error and may not be used. In calculating the geometric mean, for those individual sample results that are reported by the analytical laboratory to be "less than" a numeric value, a value of 1 should be used in the calculations. If all individual analytical results for the month are reported to be less than numeric values, then report "less than" the largest of those numeric values on the monthly DMR. Otherwise, report the calculated value. For any individual analytical result of "too numerous to count" (TNTC), that analysis shall be considered to be invalid and another sample shall be promptly collected for analysis. If another sample cannot be collected within the same sampling period for which the invalid sample was collected (during the same month if monthly sampling is required, during the same week if weekly sampling is required, etc.), then the following procedures apply: i. A minimum of two samples shall be collected for coliform analysis within the next sampling period. ii. If the sampling frequency is monthly or less frequent: For the period with the invalid sample results, leave the spaces on the corresponding DMR for reporting coliform results empty and attach to the DMR a letter noting that a result of TNTC was obtained for that period, and explain why another sample for that period had not been collected. If the sampling frequency is more frequent than monthly: Eliminate the result of TNTC from any further calculations, and use all the other results obtained within that month for reporting purposes. Attach a letter Page 15 of 34 Permit No.:COG070000 noting that a result of TNTC was obtained, and list all individual analytical results and corresponding sampling dates for that month. 7. “Good Engineering, Hydrologic and Pollution Control Practices: means methods, procedures, and practices that a) are based on basic scientific fact(s); b) reflect best industry practices and standards; c) are appropriate for the conditions and pollutant sources; and d) provide appropriate solutions to meet the associated permit requirements, including all effluent limitations. 8. "Grab" sample, is a single "dip and take" sample so as to be representative of the parameter being monitored. 9. “Groundwater” means any water not visible on the surface of the ground under natural conditions. 10. "In-situ" measurement is defined as a single reading, observation or measurement taken in the field at the point of discharge. 11. "Instantaneous" measurement is a single reading, observation, or measurement performed on site using existing monitoring facilities. 11. To be considered an “Intermittent Discharge” one of the following must apply: i. the maximum discharge frequency is less than 3 consecutive days (72 hours), an d less than 3 days per 7 day period, and less than 10 days total per month ii. the maximum discharge frequency is less than 5 consecutive days (120 hours) and less than 5 total days per month iii. It can be shown that discharge frequency and duration is tied solely to precipitation events, where the discharge starts and stops shortly after the precipitation event starts/stops. 12. "Maximum Weekly Average Temperature (MWAT)" is defined in the Basic Standards and Methodologies for Surface Water 1002-31, as an implementation statistic that is calculated from field monitoring data. The MWAT is calculated as the largest mathematical mean of multiple, equally spaced, daily temperatures over a seven-day consecutive period, with a minimum of three data points spaced equally through the day. For lakes and reservoirs, the MWAT is assumed to be equivalent to the maximum WAT from at least three profiles distributed throughout the growing season (generall y July-September). The MWAT is calculated by averaging all temperature data points collected during a calendar day, and then averaging the daily average temperatures for 7 consecutive days. This 7 day averaging period is a rolling average, i.e. on the 8th day, the MWAT will be the averages of the daily averages of days 2-8. The value to be reported on the DMR is the highest of all the rolling 7-day averages throughout the month. For those days that are at the end/beginning of the month, the data shall be reported for the month that contains 4 of the 7 days. Day 1: Average of all temperature data collected during the calendar day. Day 2: Average of all temperature data collected during the calendar day. Day 3: Average of all temperature data collected during the calendar day. Day 4: Average of all temperature data collected during the calendar day. Day 5: Average of all temperature data collected during the calendar day. Day 6: Average of all temperature data collected during the calendar day. Day 7: Average of all temperature data collected during the calendar day. 1st MWAT Calculation as average of previous 7 days Day 8: Average of all temperature data collected during the calendar day. Page 16 of 34 Permit No.:COG070000 2nd MWAT Calculation as average of previous 7 days Day 9: Average of all temperature data collected during the calendar day. 3rd MWAT Calculation as average of previous 7 days 13. "Potentially dissolved (PD) metals fraction” is defined in the Basic Standards and Methodologies for Surface Water 1002-31, as that portion of a constituent measured from the filtrate of a water and suspended sediment sample that was first treated with nitric acid to a pH of 2 or less and let stand for 8 to 96 hours prior to sample filtration using a 0.40 or 0.45-UM (micron) membrane filter. Note the "potentially dissolved" method cannot be used where nitric acid will interfere with the analytical procedure used for the constituent measured. 14. "Practical Quantification Limit (PQL)" means the minimum concentration of an analyte (substance) that can be measured with a high degree of confidence that the analyte is present at or above that concentration. The use of PQL in this document may refer to those PQLs shown in Part I.D of this permit or the PQLs of an individual laboratory. 15. "Quarterly measurement frequency" means samples may be collected at any time during the calendar quarter if a continual discharge occurs. If the discharge is intermittent, then samples shall be collected anytime during the quarter that the discharge occurs. Calendar quarters are defined as January-March, April- June, July- September, and October-December. 16. "Recorder" requires the continuous operation of a chart and/or totalizer (or drinking water rotor meters or pump hour meters where previously approved.) 17. "Seven (7) day average" means, with the exception of fecal coliform or E. coli bacteria (see geometric mean), the arithmetic mean of all samples collected in a seven (7) consecutive day period. Such seven (7) day averages shall be calculated for all calendar weeks, which are defined as beginning on Sunday and ending on Saturday. If the calendar week overlaps two months (i.e. the Sunday is in one month and the Saturday in the following month), the seven (7) day average calculated for that calendar week shall be associated with the month that contains the Saturday. Samples may not be used for more than one (1) reporting period. (See the “Analytical and Sampling Methods for Monitoring and Reporting Section in Part I.E.3 for guidance on calculating averages and reporting analytical results that are less than the PQL). 18. “Sta te Waters" means any and all surface or subsurface waters which are contained in or flow in or through this state, but does not include waters in sewage systems, waters in treatment works of disposal systems waters in potable water distribution systems, and all water withdrawn for use until use and treatment have been completed. 19. “Stormwater” means precipitation induced stormwater runoff, snow melt runoff, and surface runoff and drainage 20. “Surface Water” means all surface waters that meet the definition of “State Waters” but does not meet the definition of “stormwater runoff.” 21. "Thirty (30) day average" means, except for fecal coliform or E. coli bacteria (see geometric mean), the arithmetic mean of all samples collected during a thirty (30) consecutive-day period. The permittee shall report the appropriate mean of all self-monitoring sample data collected during the calendar month on the Discharge Monitoring Reports. Samples shall not be used for more than one (1) reporting period. (See the “Analytical and Sampling Methods for Monitoring and Reporting Section in Part I.E.3 for guidance on calculating averages and reporting analytical results that are less than the PQL). Page 17 of 34 Permit No.:COG070000 22. "Total Metals" means the concentration of metals determined on an unfiltered sample following vigorous digestion (Section 4.1.3), or the sum of the concentrations of metals in both the dissolved and suspended fractions, as described in Manual of Methods for Chemical Analysis of Water and Wastes, U.S. Environmental Protection Agency, March 1979, or its equivalent. 23. "Total Recoverable Metals" means that portion of a water and suspended sediment sample measured by the total recoverable analytical procedure described in Methods for Chemical Analysis of Water and Wastes, U.S. Environmental Protection Agency, March 1979 or its equivalent. 24. “Visual” observation is observing the discharge to check for the presence of a visible sheen or floating oil. 25. “Water Quality Control Division" or "Division" means the state Water Quality Control Division as established in 25-8-101 et al.) 26. "Weekly measurement frequency" means samples may be collected at any time during the week as defined as beginning on Sunday and ending on Saturday. If the discharge is intermittent, a sample must be collected for each week (as defined above) that the discharge occurs. A minimum of one sample must be collected for discharges lasting less than one week. For example, if an intermittent discharge begins on Wednesday, February 2nd and ends on Friday, February 4th, one sample must collected on the 2nd, 3rd, or 4th. If the discharge resumes on Sunday, February 13 and is intermittent through Monday, February 14th an additional sample must be collected on the 13th or 14th. E. GENERAL MONITORING, SAMPLING AND REPORTING REQUIREMENTS 1. Routine Reporting of Data Reporting of data gathered in compliance with Part I.B.2 shall be on a monthly basis. Reporting of all data gathered shall compl y with the requirements of Part I.E. (General Requirements). Monitoring results shall be summarized for each calendar month and reported on Division approved discharge monitoring report (DMR) forms (EPA form 3320-1). The permittee must submit these forms either by mail, or by using the Division’s Net-DMR services (when available). DMRs must be received by the Division no later than the 28th day of the month following the monitoring period (for example, the DMR for discharges occurring in January must be received by the Division by February 28th). If no discharge occurs during the reporting period, "No Discharge" shall be reported on the DMR. If being mailed, the original signed copy of each discharge monitoring report (DMR) shall be submitted to the Division at the following address: Colorado Department of Public Health and Environment Water Quality Control Division WQCD-P-B2 4300 Cherry Creek Drive South Denver, Colorado 80246-1530 The Discharge Monitoring Report forms shall be filled out accurately and completely in accordance with requirements of this permit and the instructions on the forms. They shall be signed by an authorized person as identified in Part I.E.8. Page 18 of 34 Permit No.:COG070000 2. Reporting for Undefined Outfalls DMRs will be mailed to the permittee for each of the numbered undefined discharge outfalls identified in the permit certification. Each outfall identified in the permit certification, and the associated DMR forms for that outfall shall only authorize and be used for reporting discharges at a single outfall at a specific location. The permittee shall establish and maintain records that identify, among other information, the exact place for each outfall for which monitoring has occurred in accordance with Part I. B. of the permit. DMRs for all outfalls must be submitted monthly as long as the certification is in effect. DMRs must be submitted for each outfall even if there was not a discharge from the outfall in a given month. For each outfall where no discharge occurs in a given month, the permittee shall mark ‘No Discharge’ on the DMR form(s). The permittee shall provide the Division with any additional monitoring data on the permitted discharge collected for entities other than the Division. If forms have not been received, please contact the Division at 303-692-3517. Sampling is required at the frequency established in the permit certification for each undefined discharge location. For multiple undefined discharge locations, as discharges occur chronologically, the data collected from the sampling event(s) in a given month from the first discharge location shall be summarized and reported on the pre-printed DMR for Discharge Number 001-AU. The data collected from the sampling event(s) in a given month from the second discharge location shall be summarized and reported on the pre- printed DMR for Discharge Number 002-AU; etc. If there is only one undefined outfall location requested in the permit application, the permit certification will only authorize one discharge location (outfall) to state water within the project boundary. The data collected from the sampling event(s) in a given month from the one authorized discharge location shall be summarized and reported on the pre-printed DMR for Discharge Number 001-AU. 3. Representative Sampling Discharge points shall be designed or modified so that a sample of the effluent can be obtained at a point after the final treatment process and prior to discharge to state waters. Samples and measurements taken as required herein shall be representative of the volume and nature of the monitored discharge. All samples shall be taken at the monitoring points specified in this permit and, unless otherwise specified, before the effluent joins or is diluted by any other waste stream, body of water, or substance. Monitoring points shall not be changed without notification to and approval by the Division. The permittee shall provide access to the Division to sample the discharge at these points. 4. Analytical and Sampling Methods for Monitoring and Reporting The permittee shall install, calibrate, use and maintain monitoring methods and equipment, including biological and indicated pollutant monitoring methods. All sampling shall be performed by the permittee according to specified methods in 40 C.F.R. Part 136; methods approved by EPA pursuant to 40 C.F.R. Part 136; or methods approved by the Division, in the absence of a method specified in or approved pursuant to 40 C.F.R. Part 136 (see text below for specifics on nonylphenol monitoring). If the permit contains a numeric effluent limit for a parameter, the analytical method and PQL selected for all monitoring conducted in accordance with this permit for that parameter shall be the one that can measure at or below the numeric effluent limit. If all specified analytical methods and corresponding PQLs are greater than the numeric effluent limit, then the analytical method with the lowest PQL shall be used. Page 19 of 34 Permit No.:COG070000 If the permit contains a report only requirement for a parameter, the analytical method and PQL chosen shall be one that can measure at or below the potential numeric effluent limit(s). If all analytical methods and corresponding PQLs are greater than the potenti al numeric effluent limit(s), then the analytical method with the lowest PQL shall be used. If the permit contains an interim effluent limitation (a limit is report until such time as a numeri c effluent limit becomes effective) for a parameter, the analytical method and PQL chosen for all monitoring conducted in accordance with this permit for the parameter shall be one that can measure to the final numeric effluent limit. If all analytical methods and corresponding PQLs are greater than the final numeric effluent limit(s), then the analytical method with the lowest PQL shall be used. For parameters such as TIN, the analytical methods chosen shall be those that can measure to the potential or final numeric effluent limit, based on the sum of the PQLs for nitrate, nitrite and ammonia. When the analytical method which complies with the above requirements has a PQL greater than the permit limit, and the permittee’s analytical result is less than the PQL, the permittee shall report "BDL" on the DMR. Such reports will not be considered as violations of the permit limit, as long as the lowest available PQL is used for the analysis. When the analytical method which complies with the above requirements has a PQL that is equal to or less than the permit limitation, and the permittee’s analyti cal result is less than the PQL, “< X” (where X = the actual PQL achieved by the laboratory) shall be reported on the DMR. For parameters that have a report only limitation, and the permittee’s analytical result is less than the PQL, “< X” (where X = the actual PQL achieved by the laboratory) shall be reported on the DMR. In the calculation of average concentrations (i.e. 7- day average, 30-day average, 2-year rolling average) any individual analytical result that is less than the PQL shall be considered to be zero for the calculation purposes. When reporting: If all individual analytical results are less than the PQL, the permittee shall report either “BDL” or “<X” (where X = the actual PQL achieved by the laboratory), following the guidance above. If one or more individual results is greater than the PQL, an average shall be calculated and reported. Note that it does not matter if the final calculated average is greater or less than the PQL, it must be reported as a value. Note that when calculating T.I.N. for a single sampling event, any value less than the PQL (for total ammonia, total nitrite, or total nitrate) shall be treated as zero. The T.I.N. concentration for a single sampling event shall then be determined as the sum of the analytical results (zeros if applicable) of same day sampling for total ammonia and total nitrite and total nitrate. From these calculated T.I.N. concentrations, the daily max imum and thirty day average concentrations shall be calculated and must be reported as a value. The present lowest PQLs for specific parameters, as determined by the State Laboratory (November 2008) are provided below. If the analytical method cannot achieve a PQL that is less than or equal to the permit limit, then the method, or a more precise method, must achieve a PQL that is less than or equal to the PQL in the table below. A listing of the PQLs for organic parameters that must meet the above requirement can be found in the Division’s Practical Quantification Limitation Guidance Document, July 2008. For nonylphenol, until such time as there is an EPA 40 CFR Part 136 method, the State is approving use of ASTM Methods D7065 and D7485. Until a statewide PQL has been developed, the permittee shall use Page 20 of 34 Permit No.:COG070000 either the default PQLs listed in the table below, or develop their own site-specific PQL in accordance with the Practical Quantification Limitation Guidance Document (July 2008) for Organic Parameters. Thi s document is available on the Division’s website at www.coloradowaterpermits.com . The delayed effective date for the monitoring requirement allows time for the permittee to develop a site-specific PQL. For hexavalent chromium, samples must be unacidified so dissolved concentrations will be measured rather than potentially dissolved concentrations. Parameter Practical Quantification Limits, Parameter Practical Quantification Limits, µg/l Aluminum 50 µg/l Manganese 2 µg/l Ammonia 1 mg/l Mercury 0.1 µg/l Arsenic 1 µg/l Mercury (low-level) 0.003 µg/l Barium 5 µg/l Nickel 50 µg/l Beryllium 1 µg/l N-Ammonia 50 µg/l BOD / CBOD 1 mg/l N Nitrate/Nitrite 0.5 mg/l Boron 50 µg/l N-Nitrate 50 µg/l Cadmium 1 µg/l N-Nitrite 10 µg/l Calcium 20 µg/l Total Nitrogen 0.5 mg/l Chloride 2 mg/l Phenols 100 µg/l Chlorine 0.1 mg/l Phosphorus 10 µg/l Total Residual Chlorine Radium 226 1 pCi/l - DPD colorimetric 0.10 mg/l Radium 228 1 pCi/l - Amperometric titration 0.05 mg/l Selenium 1 µg/l Chromium 20 µg/l Silver 0.5 µg/l Chromium, Hexavalent 20 µg/l Sodium 0.2 mg/l Copper 5 µg/l Sulfate 5 mg/l Cyanide (Direct / Distilled) 10 µg/l Sulfide 0.2 mg/l Cyanide, WAD+A47 5 µg/l Total Dissolved Solids 10 mg/l Fluoride 0.1 mg/l Total Suspended Solids 10 mg/l Iron 10 µg/l Thallium 1 µg/l Lead 1 µg/l Uranium 1 µg/l Magnesium 20 µg/l Zinc 10 µg/l 5. Records The permittee shall establish and maintain records. The records shall include the following: a. The date, type, exact location, and time of sampling or measurements; b. The individual(s) who performed the sampling or measurements; c. The date(s) the analyses were performed; d. The individual(s) who performed the analyses; e. The analytical techniques or methods used; f. The results of such analyses; and g. Any other observations which may result in an impact on the quality or quantity of the discharge as indicated in 40 CFR 122.44 (i)(1)(iii). Page 21 of 34 Permit No.:COG070000 The permittee shall retain for the duration of permit coverage or a minimum of three (3) years (whichever is greater) records of all monitoring information, including all original strip chart recordings for continuous monitoring instrumentation, all calibration and maintenance records, laboratory data sheets, copies of all reports required by this permit and records of all data used to complete the application for this permit. This period of retention shall be extended during the course of any unresolved litigation regarding the discharge of pollutants by the permittee or when requested by the Division or EPA. These records must be retained at the facilit y during active treatment. Once active treatment is complete, the records shall be maintained and made available at the request of the Division. 6. Additional Monitoring by Permittee If the permittee, using the approved analytical methods, monitors any parameter more frequently than required by this permit, then the results of such monitoring shall be included in the calculation and reporting of the values required in the Discharge Monitoring Report Form or other forms as required by the Division. Such increased frequency shall also be indicated. 7. Flow Measuring Device Flow can be measured or determined from estimates based on volume of fill water, dimension of the pipeline, capacity of the pump, or other method documented in accordance with I.C.1.e (Discharge Log). At the request of the Division, the permittee shall show proof of the accuracy of any flow-measuring device or method used in obtaining data submitted in the monitoring report. The flow-measuring device must indicate values within ten (10) percent of the actual flow being discharged from the facility. 8. Signatory and Certification Requirements a. All applications must be signed and certified for accuracy as follows: (i) In the case of corporations, by a responsible corporate officer. For purposes of this section, the responsible corporate officer is responsible for the overall operation of the facility from which the discharge described in the form originates; (ii) In the case of partnership, by a general partner; (iii) In the case of a sole proprietorship, by the proprietor; (iv) In the case of a municipal, state, or other public facility, by either a principal executive officer or ranking elected official. For purposes of this section, a principal executive officer has responsibility for the overall operation of the facility from which the discharge originates. b. All reports and other information required by the Division shall be signed and certified for accuracy by the permittee in accord with the following criteria: i) In the case of corporations, by a responsible corporate officer. For purposes of this section, the responsible corporate officer is responsible for the overall operation of the facility from which the discharge described in the form originates; ii) In the case of a partnership, by a general partner; iii) In the case of a sole proprietorship, by the proprietor; Page 22 of 34 Permit No.:COG070000 iv) In the case of a municipal, state, or other public facility, by either a principal executive officer, or ranking elected official. For purposes of this section, a principal executive officer has responsibility for the overall operation of the facility from which the discharge originates; v) By a duly authorized representative of a person described above, only if: 1) The authorization is made in writing by a person described in i, ii, iii, or iv above; 2) The authorization specifies either an individual or a position having responsibility for the overall operation of the regulated facility or activity such as the position of plant manager, operator of a well or a well field, superintendent, position of equivalent responsibility, or an individual or position having overall responsibility for environmental matters for the company. (A duly authorized representative may thus be either a named individual or any individual occupying a named position); and, 3) The written authorization is submitted to the Division. c. If an authorization as described in this section is no longer accurate because a different individual or position has responsibility for the overall operation of the facility, a new authorization satisfying the requirements of this section must be submitted to the Division prior to or together with any reports, information, or applications to be signed by an authorized representative. The permittee, or the duly authorized representative shall make and sign the following certification on all such documents: "I certify under penalty of law that this document and all attachments were prepared under my direction or supervision in accordance with a system designed to assure that qualified personnel properly gather and evaluate the information submitted. Based on my inquiry of the person or persons who manage the system, or those persons directly responsible for gathering the information, the information submitted is to the best of my knowledge and belief, true, accurate and complete. I am aware that there are significant penalties for submitting false information, including the possibility of fine and imprisonment for knowing violations." Page 23 of 34 Permit No.:COG070000 Part II A. NOTIFICATIONREQUIREMNTS 1. Notification to Parties All notification requirements under this section shall be directed as follows: a. Oral Notifications, during normal business hours shall be to: Water Quality Protection Section - Industrial Compliance Program Water Quality Control Division Telephone: (303) 692-3500 b. Written notification shall be to: Water Quality Protection Section - Industrial Compliance Program Water Quality Control Division Colorado Department of Public Health and Environment WQCD-WQP-B2 4300 Cherry Creek Drive South Denver, CO 80246-1530 2. Change in Discharge or Wastew ater Treatment The permittee shall notify the Division in writing, of any planned physical alterations or additions to the permitted facility, this includes the treatment process. Notice is required when: a. The alteration or addition is likely to result in a new or altered discharge either in terms of location or effluent quality prior to the occurrence of the new or altered discharge, or; b. The alteration or addition results in a significant change in the permittee's sludge use or disposal practices, and such alteration, addition, or change may justify the application of permit conditions that are different from or absent in the existing permit, including notification of additional use or disposal sites not reported pursuant to an approved land application plan. The permittee shall give advance notice to the Division of any planned changes in the permitted facility or activity which may result in noncompliance with permit requirements. For any pollutant for which monitoring requirements are not included in the permit certification, the permittee shall notify the Division as soon as it becomes aware that the pollutant(s) are present in the source water, influent, or effluent in concentrations greater than originally identified in the application. Whenever notification of any planned physical alterations or additions to the permitted facility is required pursuant to this section, the permittee shall furnish the Division such plans and specifications which the Division deems reasonably necessary to evaluate the effect on the discharge, the stream, or ground water. If the Division finds that such new or altered discharge might be inconsistent with the conditions of the permit, the Division shall require a new or revised permit application or a permit modification and shall follow the procedures specified in Sections 61.5 through 61.6, and 61.15 of the Colorado Discharge Permit System Regulations. Page 24 of 34 Permit No.:COG070000 3. Special Notifications Definitions a. Bypass: The intentional diversion of waste streams from any portion of a treatment facility. b. Severe Property Damage: Substantial physical damage to property at the treatment facilities which causes them to become inoperable, or substantial and permanent loss of natural resources which can reasonably be expected to occur in the absence of a bypass. It does not mean economic loss caused by delays in production. c. Upset: An exceptional incident in which there is unintentional and temporary noncompliance with permit effluent limitations because of factors beyond the reasonable control of the permittee. An upset does not include noncompliance to the extent caused by operational error, improperly designed treatment facilities, inadequate treatment facilities, lack of preventative maintenance, or careless or improper operation. 4. Noncompliance Notification a. If, for any reason, the permittee does not comply with or will be unable to comply with any discharge limitations or standards specified in this permit, the permittee shall, at a minimum, provide the Division with the following information: i) A description of the discharge and cause of noncompliance; ii) The period of noncompliance, including exact dates and times and/or the anticipated time when the discharge will return to compliance; and iii) Steps being taken to reduce, eliminate, and prevent recurrence of the noncomplying discharge. b. The permittee shall report the following circumstances orally within twenty-four (24) hours from the time the permittee becomes aware of the circumstances, and shall mail to the Division a written report containing the information requested in Part II.A.4 (a) within five (5) days after becoming aware of the following circumstances: i) Circumstances leading to any noncompliance which may endanger health or the environment regardless of the cause of the incident; ii) Circumstances leading to any unanticipated bypass which exceeds any effluent limitations in the permit; iii) Circumstances leading to any upset which causes an exceedance of any effluent limitation in the permit; iv) Daily maximum violations for any of the pollutants limited by Part I.A of this permit and specified as requiring 24-hour notification. This includes any toxic pollutant or hazardous substance or any pollutant specifically identified as the method to control any toxic pollutant or hazardous substance. c. Unless otherwise indicated in this permit, the permittee shall report instances of non-compliance which are not required to be reported within 24-hours at the time Discharge Monitoring Reports are submitted. The reports shall contain the information listed in sub-paragraph (a) of this section. Page 25 of 34 Permit No.:COG070000 5. Other Notification Requirements Reports of compliance or noncompliance with, or any progress reports on, interim and final requirements contained in any compliance schedule in the permit shall be submitted no later than fourteen (14) days following each scheduled date, unless otherwise provided by the Division. The permittee shall notify the Division, in writing, thirty (30) days in advance of a proposed transfer of permit as provided in Part II.B.3. The permittee's notification of all anticipated noncompliance does not stay any permit condition. All existing manufacturing, commercial, mining, and silvicultural dischargers must notify the Division as soon as they know or have reason to believe: a. That any activity has occurred or will occur which would result in the discharge, on a routine or frequent basis, of any toxic pollutant which is not limited in the permit, if that discharge will exceed the highest of the following "notification levels": i) One hundred micrograms per liter (100 µg/l); ii) Two hundred micrograms per liter (200 µg/l) for acrolein and acrylonitrile; five hundred micrograms per liter (500 µg/l) for 2.4-dinitrophenol and 2-methyl-4.6-dinitrophenol; and one milligram per liter (1.0 mg/l) for antimony; iii) Five (5) times the maximum concentration value reported for that pollutant in the permit application in accordance with Section 61.4(2)(g). iv) The level established by the Division in accordance with 40 C.F.R. § 122.44(f). b. That any activity has occurred or will occur which would result in any discharge, on a non-routine or infrequent basis, of a toxic pollutant which is not limited in the permit, if that discharge will exceed the highest of the following "notification levels": i) Five hundred micrograms per liter (500 µg/l); ii) One milligram per liter (1 mg/l) for antimony; and iii) Ten (10) times the maximum concentration value reported for that pollutant in the permit application iv) The level established by the Division in accordance with 40 C.F.R. § 122.44(f). 6. Bypass Notification If the permittee knows in advance of the need for a bypass, a notice shall be submitted, at least ten days before the date of the bypass, to the Division. The bypass shall be subject to Division approval and limitations imposed by the Division. Violations of requirements imposed by the Division will constitute a violation of this permit. Page 26 of 34 Permit No.:COG070000 7. Upsets a. Effect of an Upset An upset constitutes an affirmative defense to an action brought for noncompliance with permit effluent limitations if the requirements of paragraph (b) of this section are met. No determination made during administrative review of claims that noncompliance was caused by upset, and before an action for noncompliance, is final administrative action subject to judicial review. b. Conditions Necessary for a Demonstration of Upset Permittee who wishes to establish the affirmative defense of upset shall demonstrate through properly si gned contemporaneous operating logs, or other relevant evidence that: i) An upset occurred and that the permittee can identify the specific cause(s) of the upset; and ii) The permitted facility was at the time being properly operated and maintained; and iii) The permittee submitted proper notice of the upset as required in Part II.A.4. of this permit (24-hour notice); and iv) The permittee complied with any remedial measure necessary to minimize or prevent any discharge or sludge use or disposal in violation of this permit which has a reason able likelihood of adversely affecting human health or the environment. In addition to the demonstration required above, a permittee who wishes to establish the affirmative defense of upset for a violation of effluent limitations based upon water quality standards shall also demonstrate through monitoring, modeling or other methods that the relevant standards were achieved in the receiving water. c. Burden of Proof In any enforcement proceeding, the permittee seeking to establish the occurrence of an upset has the burden of proof. 8. Discharge Point Any discharge to the waters of the State from a point source other than specifically authorized by this permit is prohibited. 9. Proper Operation and Maintenance The permittee shall at all times properly operate and maintain all facilities and systems of treatment and control (and related appurtenances) which are installed or used by the permittee as necessary to achieve compliance with the conditions of this permit. Proper operation and maintenance includes effective performance and adequate laboratory and process controls, including appropriate quality assurance procedures (40 CFR 122.41(e)). This provision requires the operation of back-up or auxiliary facilities or similar systems which are installed by the permittee only when necessary to achieve compliance with the conditions of the permit. 10. Minimization of Adverse Impact The permittee shall take all reasonable steps to minimize or prevent any discharge of sludge use or disposal in violation of this permit which has a reasonable likelihood of adversely affecting human health or the environment. As necessary, accelerated or additional monitoring to determine the nature and impact of the noncomplying discharge is required. Page 27 of 34 Permit No.:COG070000 11. Removed Substances Solids, sludges, or other pollutants removed in the course of treatment or control of wastewaters shall be disposed of in accordance with applicable state and federal regulations and in a manner that will prevent the removed pollutant(s) from entering waters of the State. For all domestic wastewater treatment works, at industrial facilities, the permittee shall dispose of sludge in accordance with all State and Federal regulations. 12. Submission of Incorrect or Incomplete Information Where the permittee failed to submit any relevant facts in a permit application, or submitted incorrect information in a permit application or report to the Division, the permittee shall promptly submit the relevant information which was not submitted or any additional information needed to correct any erroneous information previously submitted. 13. Bypass a. Bypasses are prohibited and the Division may take enforcement action against the permittee for bypass, unless: i) The bypass is unavoidable to prevent loss of life, personal injury, or severe property damage; ii) There were no feasible alternatives to bypass such as the use of auxiliary treatment facilities, retention of untreated wastes, or maintenance during normal periods of equipment downtime. This condition is not satisfied if adequate back-up equipment should have been installed in the exercise of reasonable engineering judgment to prevent a bypass which occurred during normal periods of equipment downtime or preventive maintenance; and iii) Proper notices were submitted in compliance with Part II.A.4. b. "Severe property damage" as used in this Subsection means substantial physical damage to the treatment facilities which causes them to become inoperable, or substantial and permanent loss of natural resources which can reasonably be expected to occur in the absence of a bypass. Severe property damage does not mean economic loss caused by delays in production. c. The permittee may allow a bypass to occur which does not cause effluent limitations to be exceeded, but only if it also is for essential maintenance or to assure optimal operation. These bypasses are not subject to the provisions of paragraph (a) above. d. The Division may approve an anticipated bypass, after considering adverse effects, if the Division determines that the bypass will meet the conditions specified in paragraph (a) above. 14. Reduction, Loss, or Failure of Treatment Facility The permittee has the duty to halt or reduce any activity if necessary to maintain compliance with the effluent limitations of the permit. Upon reduction, loss, or failure of the treatment facility, the permittee shall, to the extent necessary to maintain compliance with its permit, control production, control sources of wastewater, or all discharges, until the facility is restored or an alternative method of treatment is provided. This provision also applies to power failures, unless an alternative power source sufficient to operate the wastewater control facilities is provided. It shall not be a defense for a permittee in an enforcement action that it would be necessary to halt or reduce the permitted activity in order to maintain compliance with the conditions of this permit. Page 28 of 34 Permit No.:COG070000 B. RESPONSIBILITIES 1. Inspections and Right to Entry The permittee shall allow the Division and/or the authorized representative, upon the presentation of credentials: a. To enter upon the permittee's premises where a regulated facility or activity is located or in which any records are required to be kept under the terms and conditions of this permit; b. At reasonable times to have access to and copy any records required to be kept under the terms and conditions of this permit and to inspect any monitoring equipment or monitoring method required in the permit; and c. To enter upon the permittee's premises in a reasonable manner and at a reasonable time to inspect and/or investigate, any actual, suspected, or potential source of water pollution, or to ascertain compliance or non-compliance with the Colorado Water Quality Control Act or any other applicable state or federal statute or regulation or any order promulgated by the Division. The investigation may include, but is not limited to, the following: sampling of any discharge and/or process waters, the taking of photographs, interviewing of any person having knowledge related to the discharge permit or alleged violation, access to any and all facilities or areas within the permittee's premises that may have any affect on the discharge, permit, or alleged violation. Such entry is also authorized for the purpose of inspecting and copying records required to be kept concerning any effluent source. d. The permittee shall provide access to the Division to sample the discharge at a point after the final treatment process but prior to the discharge mixing with state waters upon presentation of proper credentials. In the making of such inspections, investigations, and determinations, the Division, insofar as practicable, may designate as its authorized representatives any qualified personnel of the Department of Agriculture. The Division may also request assistance from any other state or local agency or institution. 2. Duty to Provide Information The permittee shall furnish to the Division, within a reasonable time, any information which the Division may request to determine whether cause exists for modifying, revoking and reissuing, or terminating this permit, or to determine compliance with this permit. The permittee shall also furnish to the Division, upon request, copies of records required to be kept by this permit. 3. Transfer of Ow nership or Control a. Except as provided in paragraph b. of this section, a permit may be transferred by a permittee only if the permit has been modified or revoked and reissued as provided in Section 61.8(8) of the Colorado Discharge Permit System Regulations, to identify the new permittee and to incorporate such other requirements as may be necessary under the Federal Act. b. A permit may be automatically transferred to a new permittee if: i) The current permittee notifies the Division in writing 30 days in advance of the proposed transfer date; and ii) The notice includes a written agreement between the existing and new permittee(s) containing a specific date for transfer of permit responsibility, coverage and liability between them; and iii) The Division does not notify the existing permittee and the proposed new permittee of its intent to modify, or revoke and reissue the permit. Page 29 of 34 Permit No.:COG070000 iv) Fee requirements of the Colorado Discharge Permit System Regulations, Section 61.15, have been met. 4. Availability of Reports Except for data determined to be confidential under Section 308 of the Federal Clean Water Act and the Colorado Discharge Permit System Regulations 5 CCR 1002-61, Section 61.5(4), all reports prepared in accordance with the terms of this permit shall be available for public inspection at the offices of the Division and the Environmental Protection Agency. The name and address of the permit applicant(s) and permittee(s), permit applications, permits and effluent data shall not be considered confidential. Knowingly making false statements on any such report may result in the imposition of criminal penalties as provided for in Section 309 of the Federal Clean Water Act, and Section 25-8-610 C.R.S. 5. Modification, Suspension, Revocation, or Termination of Permits By the Division The filing of a request by the permittee for a permit modification, revocation and reissuance, termination or a notification of planned changes or anticipated noncompliance, does not stay any permit condition. a. A permit may be modified, suspended, or terminated in whole or in part during its term for reasons determined by the Division including, but not limited to, the following: i) Violation of any terms or conditions of the permit; ii) Obtaining a permit by misrepresentation or failing to disclose any fact which is material to the granting or denial of a permit or to the establishment of terms or conditions of the permit; or iii) Materially false or inaccurate statements or information in the permit application or the permit. iv) A determination that the permitted activity endangers human health or the classified or existing uses of state waters and can only be regulated to acceptable levels by permit modifications or termination. b. A permit may be modified in whole or in part for the following causes, provided that such modification complies with the provisions of Section 61.10 of the Colorado Discharge Permit System Regulations: i) There are material and substantial alterations or additions to the permitted facility or activity which occurred after permit issuance which justify the application of permit conditions that are different or absent in the existing permit. ii) The Division has received new information which was not available at the time of permit issuance (other than revised regulations, guidance, or test methods) and which would have justified the application of different permit conditions at the time of issuance. For permits issued to new sources or new dischargers, this cause includes information derived from effluent testing required under Section 61.4(7)(e) of the Colorado Discharge Permit System Regulations. This provision allows a modification of the permit to include conditions that are less stringent than the existing permit only to the extent allowed under Section 61.10 of the Colorado Discharge Permit System Regulations. iii) The standards or regulations on which the permit was based have been changed by promulgation of amended standards or regulations or by judicial decision after the permit was issued. Permits may be modified during their terms for this cause only as follows: (A) The permit condition requested to be modified was based on a promulgated effluent limitation guideline, EPA approved water quality standard, or an effluent limitation set forth in 5 CCR 1002-62, § 62 et seq.; and Page 30 of 34 Permit No.:COG070000 (B) EPA has revised, withdrawn, or modified that portion of the regulation or effluent limitation guideline on which the permit condition was based, or has approved a Commission action with respect to the water quality standard or effluent limitation on which the permit condition was based; and (C) The permittee requests modification after the notice of final action by which the EPA effluent limitation guideline, water quality standard, or effluent limitation is revised, withdrawn, or modified; or (D) For judicial decisions, a court of competent jurisdiction has remanded and stayed EPA promulgated regulations or effluent limitation guidelines, if the remand and stay concern that portion of the regulations or guidelines on which the permit condition was based and a request is filed by the permittee in accordance with this Regulation, within ninety (90) days of judicial remand. iv) The Division determines that good cause exists to modify a permit condition because of events over which the permittee has no control and for which there is no reasonable available remedy. v) The permittee has received a variance. vi) When required to incorporate applicable toxic effluent limitation or standards adopted pursuant to §307(a) of the Federal act. vii) When required by the reopener conditions in the permit. viii) As necessary under 40 C.F.R. 403.8(e), to include a compliance schedule for the development of a pretreatment program. ix) When the level of discharge of any pollutant which is not limited in the permit exceeds the level which can be achieved by the technology-based treatment requirements appropriate to the permittee under Section 61.8(2) of the Colorado Discharge Permit System Regulations. x) To establish a pollutant notification level required in Section 61.8(5) of the Colorado Discharge Permit System Regulations. xi) To correct technical mistakes, such as errors in calculation, or mistaken interpretations of law made in determining permit conditions, to the extent allowed in Section 61.10 of the Colorado State Discharge Permit System Regulations. xii) When required by a permit condition to incorporate a land application plan for beneficial reuse of sewage sludge, to revise an existing land application plan, or to add a land application plan. xiii) For any other cause provided in Section 61.10 of the Colorado Discharge Permit System Regulations. c. At the request of a permittee, the Division may modify or terminate a permit and issue a new permit if the following conditions are met: i) The Regional Administrator has been notified of the proposed modification or termination and does not object in writing within thirty (30) days of receipt of notification, ii) The Division finds that the permittee has shown reasonable grounds consistent with the Federal and State statutes and regulations for such modifications or termination; iii) Requirements of Section 61.15 of the Colorado Discharge Permit System Regulations have been met, and iv) Requirements of public notice have been met. Page 31 of 34 Permit No.:COG070000 d. Permit modification (except for minor modifications), termination or revocation and reissuance actions shall be subject to the requirements of Sections 61.5(2), 61.5(3), 61.6, 61.7 and 61.15 of the Colorado Discharge Permit System Regulations. The Division shall act on a permit modification request, other than minor modification requests, within 180 days of receipt thereof. Except for minor modifications, the terms of the existing permit govern and are enforceable until the newly issued permit is formally modified or revoked and reissued following public notice. e. Upon consent by the permittee, the Division may make minor permit modifications without following the requirements of Sections 61.5(2), 61.5(3), 61.7, and 61.15 of the Colorado Discharge Permit System Regulations. Minor modifications to permits are limited to: i) Correcting typographical errors; or ii) Increasing the frequency of monitoring or reporting by the permittee; or iii) Changing an interim date in a schedule of compliance, provided the new date of compliance is not more than 120 days after the date specific in the existing permit and does not interfere with attainment of the final compliance date requirement; or iv) Allowing for a transfer in ownership or operational control of a facility where the Division determines that no other change in the permit is necessary, provided that a written agreement containing a specific date for transfer of permit responsibility, coverage and liability between the current and new permittees has been submitted to the Division; or v) Changing the construction schedule for a discharger which is a new source, but no such change shall affect a discharger's obligation to have all pollution control equipment installed and in operation prior to discharge; or vi) Deleting a point source outfall when the discharge from that outfall is terminated and does not result in discharge of pollutants from other outfalls except in accordance with permit limits. f. When a permit is modified, only the conditions subject to modification are reopened. If a permit is revoked and reissued, the entire permit is reopened and subject to revision and the permit is reissued for a new term. g. The filing of a request by the permittee for a permit modification, revocation and reissuance or termination does not stay any permit condition. h. All permit modifications and reissuances are subject to the antibacksliding provisions set forth in 61.10(e) through (g). 6. Oil and Hazardous Substance Liability Nothing in this permit shall be construed to preclude the institution of any legal action or relieve the permittee from any responsibilities, liabilities, or penalties to which the permittee is or may be subject to under Section 311 (Oil and Hazardous Substance Liability) of the Clean Water Act. 7. State Law s Nothing in this permit shall be construed to preclude the institution of any legal action or relieve the permittee from any responsibilities, liabilities, or penalties established pursuant to any applicable State law or regulation under authority granted by Section 510 of the Clean Water Act. Nothing in this permit shall be construed to prevent or limit application of any emergency power of the division. 8. Permit Violations Failure to comply with any terms and/or conditions of this permit shall be a violation of this permit. The discharge of any pollutant identified in this permit more frequently than or at a level in excess of that Page 32 of 34 Permit No.:COG070000 authorized shall constitute a violation of the permit. Except as provided in Part I.E and Part II.A or B, nothing in this permit shall be construed to relieve the permittee from civil or criminal penalties for noncompliance (40 CFR 122.41(a)(1)). 9. Property Rights The issuance of this permit does not convey any property or water rights in either real or personal property, or stream flows, or any exclusive privileges, nor does it authorize any injury to private property or any invasion of personal rights, nor any infringement of Federal, State or local laws or regulations. 10. Severability The provisions of this permit are severable. If any provision of this permit, or the application of any provision of this permit to any circumstance, is held invalid, the application of such provision to other circumstances and the application of the remainder of this permit shall not be affected. 11. Renew al Application If the permittee desires to continue to discharge, a permit renewal application shall be submitted at least one hundred eighty (180) days before this permit expires. If the permittee anticipates there will be no discharge after the expiration date of this permit, the Division should be promptly notified so that it can terminate the permit in accordance with Part II.B.5. 12. Confidentiality Any information relating to any secret process, method of manufacture or production, or sales or marketing data which has been declared confidential by the permittee, and which may be acquired, ascertained, or discovered, whether in any sampling investigation, emergency investigation, or otherwise, shall not be publicly disclosed by any member, officer, or employee of the Commission or the Division, but shall be kept confidential. Any person seeking to invoke the protection of this Subsection (12) shall bear the burden of proving its applicability. This section shall never be interpreted as preventing full disclosure of effluent data. 13. Fees The permittee is required to submit payment of an annual fee as set forth in the 2005 amendments to the Water Quality Control Act. Section 25-8-502 (l) (b), and the Colorado Discharge Permit System Regulations 5 CCR l002-61, Section 61.l5 as amended. Failure to submit the required fee when due and payable is a violation of the permit and will result in enforcement action pursuant to Section 25-8-60l et. seq., C.R.S. l973 as amended. 14. Duration of Permit The duration of a permit shall be for a fixed term and shall not exceed five (5) years. Filing of a timely and complete application shall cause the expired permit to continue in force to the effective date of the new permit. The permit's duration may be extended only through administrative extensions and not through interim modifications. 15. Section 307 Toxics If a toxic effluent standard or prohibition, including any applicable schedule of compliance specified, is established by regulation pursuant to Section 307 of the Federal Act for a toxic pollutant which is present in the permittee's discharge and such standard or prohibition is more stringent than any limitation upon such pollutant in the discharge permit, the Division shall institute proceedings to modify or revoke and reissue the permit to conform to the toxic effluent standard or prohibition. Page 33 of 34 Permit No.:COG070000 16. Effect of Permit Issuance a. The issuance of a permit does not convey any property rights or any exclusive privilege. b. The issuance of a permit does not authorize any injury to person or property or any invasion of personal rights, nor does it authorize the infringement of federal, state, or local laws or regulations. c. Except for any toxic effluent standard or prohibition imposed under Section 307 of the Federal act or any standard for sewage sludge use or disposal under Section 405(d) of the Federal act, compliance with a permit during its term constitutes compliance, for purposes of enforcement, with Sections 301, 302, 306, 318, 403, and 405(a) and (b) of the Federal act. However, a permit may be modified, revoked and reissued, or terminated during its term for cause as set forth in Section 61.8(8) of the Colorado Discharge Permit System Regulations. d. Compliance with a permit condition which implements a particular standard for sewage sludge use or disposal shall be an affirmative defense in any enforcement action brought for a violation of that standard for sewage sludge use or disposal. Page 1 of 10 4300 Cherry Creek Drive S., Denver, CO 80246-1530 P 303-692-2000 www.colorado.gov/cdphe/wqcd APPLICATION GUIDANCE DOCUMENT COLORADO DISCHARGE PERMIT SYSTEM (CDPS) General Permits:  Construction Dewatering (COG070000)  Remediation Activities Discharging To Surface Water (COG315000), or  Remediation Activities Discharging To Groundwater (COG316000) Contents A. PERMIT INFORMATION .................................................................................................................. 2 Table 1: Locations of Potential Groundwater Contamination .................................................................. 2 Table 2: General Permit Descriptions and Information .......................................................................... 3 B. CONTACT INFORMATION ............................................................................................................... 5 C. PERMITTED FACILITY INFORMATION ................................................................................................. 5 D. PROJECT DESCRIPTION ................................................................................................................. 5 E. ADDITIONAL INFORMATION ............................................................................................................ 7 F. REQUIRED CERTIFICATION SIGNATURE [Reg. 61.4(1)(h)] ........................................................................ 7 APPENDIX A: Information for Submitting Required Data ......................................................................... 8 APPENDIX B: Resources for Determining Groundwater Contamination Potential ........................................... 9 APPENDIX C: Division Determination Using the Application Information and Data ....................................... 10 This guidance is designed to assist in completing the application for processing each of the three permit types listed above. The Water Quality Control Division may request additional information and characterization of the proposed discharge to ensure that the appropriate permit coverage is requested and the appropriate permit certification is issued. The division may deny or change the requested type of discharge permit after review of the submitted application and will notify the applicant of the changes. Please note:  Coverage under the “Subterranean Dewatering or Well Development” General Permit (COG6030000) is not available using this permit application form.  The discharge of contaminated groundwater to an impoundment is regulated by the Solid Waste Program in the Hazardous Materials and Waste Management Division, and also cannot be covered under any of the above permits.  The discharge of uncontaminated groundwater to land may be discharged under the division’s Low Risk Discharge Guidance: Discharges of Uncontaminated Groundwater to Land as an alternative to obtaining coverage to discharge under this permit. The low risk policy is available for download at www.coloradowaterpermits.com.  As provided in General Permit COR030000, the discharge of uncontaminated groundwater to land may also be discharged under an exisiting construction stormwater permit where permit conditions are met. COG070000/COG315000/COG316000 Discharge Permit Application Guidance www.coloradowaterpermits.com Page 2 of 10 A. PERMIT INFORMATION Reason for Application: Indicate whether this is an application for a new certification or if you are renewing an existing certification (as required prior to the expiration date of an existing general permit or certification). If you are renewing an existing certification, please provide the existing permit certification number. Applicant is: Indicate the entity that will hold (be legally responsible for) the permit. Application is for the following discharge permit (select ONE): In order to determine whether your project qualifies for coverage under a construction dewatering general permit (COG070000) or requires a remediation general permit (COG315000 or COG316000), you must determine whether there are known sources of groundwate r contamination located in the vicinity of your project site. Where nearby sources of groundwater contaminations are identified, you will need to determine whether your project has the potential to draw -in contaminated groundwater. The best way to make this determination is to use the criteria in Table 1 below to determine if your project site is located in the vicinity of potential ground water contamination. If so, collect a sample of groundwater from your project site (i.e., water that is representative of the water you propose to discharge). Then, use Table 1 to determine what parameters to include in your analysis, have it analyzed for those parameters described, and submit the data with your permit application. Table 1: Locations of Potential Groundwater Contamination Is Your Project Site Located in the Vicinity of Potential Groundwater Contamination? 1 Project Location Relative to a Source of Potential Groundwater Contamination Analytical Data Likely to be Required with the Permit Application Within 0.25 mile of an open Leaking Underground Storage Tank (LUST) site (Note that closed LUSTs are assumed to pose a low risk for potential groundwater contamination and, therefore, the submission of analytical data based on proximity to a closed LUST is not required) BTEX only Within 0.5 mile of an open Voluntary Cleanup (VCUP) site All parameters listed in Attachment 1 of the permit application (or an alternate list approved by the division)2 Within 0.5 mile of an Environmental Covenant Within 0.5 mile of an open Resource Conservation Recovery Act (RCRA) Corrective Action Site Within 1.0 mile or more of a Superfund site or National Priorities List (NPL) site with associated groundwater contamination 1 This table provides examples of sources of contamination. Other types and sources of potential groundwater contamination may exist. 2 Analyze a groundwater sample that is representative of the water you propose to discharge for the parameters of concern for the project areas (i.e., total, dissolved, potentially dissolved). This may be a subset of Attachment 1 in the permit application. Note this subset list must be approved by the division. See Important Notes in Appendix A at the end of this guidance for more information on this topic. COG070000/COG315000/COG316000 Discharge Permit Application Guidance www.coloradowaterpermits.com Page 3 of 10 Information regarding the locations of the various types of contaminated sites (LUST, VCUP, Environmental Covenants, RCRA Corrective Action, or Superfund) may be found in Appendix B of this document. Once you have determined if your project site is located in the vicinity of potential groundwater contamination, use the flowchart on the following page to help determine the appropriate permit coverage for your discharge. Table 2 below supplements the selection process by providing possible groundwater contamination scenarios and general permit descriptions and coverage. Select the one type of permit coverage most appropriate for this project. Please note that one application is intended to cover one project and one type of permit. Where multiple projects or types of permits are required, you must submit an appropriate number of permit applications. Table 2: General Permit Descriptions and Information1 Construction Dewatering (COG70000) Remediation Activities Discharging to Surface Waters (COG315000) Remediation Activities Discharging to Ground Water (COG316000) Covered Discharges Uncontaminated source water OR Contaminated (by BTEX only) source water2 that has come into contact with construction activities Discharges from treatment and/or remedial activities of contaminated groundwater, alluvial water, stormwater, and/or surface water (which may be associated with construction activities) Discharges from treatment and/or remedial activities of contaminated groundwater, alluvial water, stormwater, and/or surface water (which may be associated with construction activities) Discharge Location To surface water and/or to land with potential percolation to groundwater To surface water or land with potential percolation to groundwater hydrologically connected to surface water To land with the potential to percolate to groundwater not hydrologically connected to surface water Applicant Requirements BTEX3 Analysis (if within one quarter mile of an open LUST) Influent Screening4 Influent Screening Division Authorization Discharges under this permit will not be authorized if pollutants may be present in the source water in concentration greater than a numeric water quality standard of the receiving water Discharges under this permit may be authorized if pollutants may be present in the source water in concentration greater than a numeric water quality standard of the receiving water Discharges under this permit may be authorized if pollutants may be present in the source water in concentration greater than a numeric water quality standard of the receiving water 1 The Division may deny or change the requested type of discharge permit after review of the submitted application and will notify the applicant of the changes. 2 Source Water: Groundwater, surface water, alluvial water, or stormwater mixed with groundwater and/or surface water 3 BTEX: Benzene, Toluene, Ethylbenzene, and Xylene (BTEX) are common pollutants found in petroleum based products 4 See Attachment 1 in the permit application packet Additional information and resources for identification of contaminated groundwater and sampling procedures can be found in this guidance document:  APPENDIX A: Information for Completing Analyticals Required  APPENDIX B: Resources for Determining Groundwater Contamination Potential  APPENDIX C: Division Determination Using the Application Information and Data COG070000/COG315000/COG316000 Discharge Permit Application Guidance www.coloradowaterpermits.com Page 4 of 10 *One-half the water quality standard is a general comparison. This may vary on a case by case basis resulting in different permit coverage than what is stated above. COG070000/COG315000/COG316000 Discharge Permit Application Guidance www.coloradowaterpermits.com Page 5 of 10 B. CONTACT INFORMATION Provide the required contact information. Note that the person listed as the Permittee (Responsible Position) must also be the person that signs and certifies the permit application. This person receives all permit correspondences and is legally responsible for compliance with the permit. Note that the person listed as the DMR Cognizant Official will receive all pre-printed discharge monitoring report (DMR) forms associated with the permit. C. PERMITTED FACILITY INFORMATION Provide the required facility information. Facility or Project Latitude/Longitude: The following definitions are based on text from the EPA Data Standard.  Horizontal Collection Method: Describes the method used to determine the latitude and longitude coordinates for a point on the earth. This specifies what type of method or device was used to identify the latitude and longitude, e.g., a Global Positioning System (GPS) device, Google Earth, an address, an intersection, a census block centroid, etc. The key is that the horizontal collection method determines how the coordinates were collected, not where.  Reference Point: The text that identifies the place for which the geographic coordinates were established. This specifies the location at the place where the coordinates were taken, e.g., entrance to a facility, center of a facility, etc. The key is that the reference point determines where the coordinates were collected, not how.  Horizontal Reference Datum: The horizontal reference datum is the coordinate reference system to which the latitude/longitude data relate. Per EPA's Latitude/Longitude Data Standard, there are three possible values associated with horizontal reference datum. Horizontal reference datum possible responses are as follows: o North American Datum of 1927 (NAD27): If you are reporting a location using a USGS 7.5 -minute map, NAD27 is your default datum. o North American Datum of 1983 (NAD83): NAD83 updated NAD27 with current measurements using radio astronomy and satellite observations. When the USGS began publishing digital data, the NAD83 was used, which provided a more accurate representa tion of the earth’s shape and a more accurate depiction of the location of objects on the earth. o World Geodetic System of 1984 (WGS84): If you used a GPS or Google Earth to calculate your latitude/longitude coordinates, WGS84 is the default datum. Standard Industrial Classification (SIC) Code(s) for this Facility: Standard Industrial Classification (SIC) codes are four digit numerical codes assigned by the U.S. government to business establishments to identify the primary business of the establishm ent. SIC codes can be obtained at: https://www.osha.gov/pls/imis/sicsearch.html. The most common SIC code for businesses conducting construction-related work is 1799: Special Trade Contractors, Not Elsewhere Classified. This includes dewatering contractors. D. PROJECT DESCRIPTION D.1 Description of Activity and D.2 Description of Discharge: Provide thorough and detailed responses to the questions in these sections in order to facilitate and expedite the review and processing of your application. Note that “in-stream” work is: o Conducted within approximately the ordinary high water mark* of the stream, and/or o Conducted on the bank of the stream, and o potentially including subsurface flow to the stream. COG070000/COG315000/COG316000 Discharge Permit Application Guidance www.coloradowaterpermits.com Page 6 of 10 * “The term ordinary high water mark means that line on the shore established by the fluctuations of water and indicated by physical characteristics such as a clear, natural line impressed on the bank, shelving, changes in the character of soil, destruction of terrestrial vegetation, the presence of litter and debris, or other appropriate means that consider the characteristics of the surrounding area.” (Taken directly from USACE Regulatory Guidance Letter “Ordinary High Water Mark Identification” dated 12/07/2005) D.3 Discharge Outfalls: “Outfalls” refer to the physical location where the dewatering effluent is released. This outfall location may be different from the source water location. For example, you may dewater your project site by pumping water from the excavation (the source), through any best management practice or treatment to the point the water is released (the outfall), and into the nearby stream, storm sewer, etc. This portion of the permit application requires information regarding your outfall location(s). What is a defined outfall versus an undefined outfall? The permit application requires that you specify whether the outfall is defined or undefined.  A defined outfall has a known location, specified by latitude and longitude at the time of permit application. Where defined outfalls are requested, the division will mail DMRs that include the specified location information. Permittees often find this information helpful in managing their DMRs, and submitting the correct DMR form for the outfall location.  An undefined outfall has an unknown location at the time of permit application. Undefined outfalls are only available for construction dewatering (COG07000, Part I.B.1). In this case the specific location for each discharge is established by the permittee at the time the discharge commences, and may not be changed once established. Permittees are responsible for making sure that the same DMR (for example the DMR labeled “Outfall 001A”) is always used for the same outfall sampling location. A single DMR cannot be used for multiple locations in the field. Undefined outfalls provide flexibility during construction activities; however, they may be difficult to manage and the most stringent water quality standards for all potentially impacted streams are applied to all discharge outfalls. What is the maximum number of outfalls that I can request? You are allowed to request up to 20 defined outfalls and 20 undefined outfalls in one permit application. Undefined outfalls are only available for construction dewatering. Where your project requires additional outfalls, you may request a modification to your permit certification to add additional outfalls. Is this a discharge to surface water or to land with the potential to percolate to groundwater? The permit application requires that you specify whether the outfall is a discharge is to surface water or to land with the potential to percolate to ground water.  A discharge to surface water can occur directly or through a conveyance such as a ditch or a storm sewer system.  A discharge to groundwater occurs through land application and/or through discharge to a sediment basin with percolation to groundwater.  If your discharge is to a sediment basin and the basin overtops, the division may determine that your discharge is to both surface water and groundwater, and will include appropriate permit limitations for both surface water and groundwater in your permit certificatio n. How do I estimate the maximum flowrate? The estimated maximum discharge flow rate must be provided in order for the division to process the permit application. In order to estimate your maximum flow rate, you might consider the maximum capacity of the pumps at your site and the total number of pumps that can be operating together at one ex cavation. For stream diversions, you might estimate the maximum flow rate of the stream around your work activity. For remediation projects where treatment is in place, estimate the maximum flow rate appropriate for your treatment system. COG070000/COG315000/COG316000 Discharge Permit Application Guidance www.coloradowaterpermits.com Page 7 of 10 The Division will apply your flow information in your permit certification as follows:  For construction dewatering, the acute flow limit (i.e., maximum flow limitation) will be equal to twice the estimated maximum rate flow rate provided in the permit application.  For groundwater remediation, both the acute flow limit (i.e., maximum flow limitation) and the chronic flow limit (i.e., 30-day average flow limitation) will be based on the design capacity of the treatment as provided in the permit application. Where will the sampling occur? Per the general permit, discharge points shall be designed or modified so that a sample of the effluent can be obtained at a point after the final treatment process and prior to discharge to state waters. All samples must be taken at the monitoring points specified in this permit and, unless otherwise specified, before the effluent joins or is diluted by any other waste stream, body of water, or substance. Monitoring points cannot be changed without notification to and approval by the division. The permittee must provide access to the division to sample the discharge at these points. E. ADDITIONAL INFORMATION E.1 Nearby Sources of Potential Groundwater Contamination: In this portion of the application, you are required to document the results of your due diligence efforts, including whether or not you identified potential sources of groundwater contamination in the vicinity of your project. Information to help you complete this portion of the application was provided in the flowchart a nd tables above, as well as in Appendix A-C of this guidance document. E.2 Chemical Additions: List any chemicals to be used in, or applied to, waters that may be discharged. Include a copy of each chemical’s current Material Safety Data Sheet. All chemicals used in waters that may be discharged must be approved by the division. E.3 Site Maps and Schematics: The complete application must include these maps and site sketches. WATER RIGHTS The permittee is responsible for contacting the State Engineers Office as appropriate. Issuance of a CDPS permit does not negate the need to also have the necessary water rights in place. It is also important to understand that even if the activity has an existing CDPS permit, there is no guarantee that the p roper water rights are in place. F. REQUIRED CERTIFICATION SIGNATURE [Reg. 61.4(1)(h)] The application must be signed by the responsible party in order to be processed by the Division. An original (wet) signature is required on the permit application submitted to the division. COG070000/COG315000/COG316000 Discharge Permit Application Guidance www.coloradowaterpermits.com Page 8 of 10 APPENDIX A: Information for Submitting Required Data A list of required parameters to be sampled for is found in Attachment 1 of the permit application. (See important notes.) Unless otherwise indicated by the division, all influent screening must adhere to the following stipulations:  Metals analyses must be performed for the analytical form (total recoverable, potentially dissolved, and/or dissolved) identified in Attachment 1 of the permit application.  Analytical methods for metals must measure below or equal to the practical quantitation limit (PQL) identi fied in Attachment 1 of the permit application.  Analytical methods and PQLs selected for all parameters must be in accordance with the criteria established in the permit application.  The sample collected must be representative of the source water. IMPORTANT NOTES:  Alternate List of Parameters: Where the applicant can identify the parameters associated with the source of potential groundwater contamination, the applicant may contact the division to request approval to analyze only for those parameters, and to submit data for only those parameters with the permit application.  In lieu of submitting analytical data, you may choose to demonstrate that your site is not likely to be impacted by nearby sources of contamination by submitting other relevant information with your permit application for review and consideration by the division. For example, you may submit information regarding the geology and hydrogeology of the site, groundwater flow direction, or historic groundwater data. This information must be accompanied by a narrative discussion of how and why this information shows that groundwater at your project site is not likely to be contaminated. The division will review this information, and determine if it is sufficient to demonstrate that groundwater at the site is not likely to be contam inated. Where the division finds the information to be insufficient, the division will require additional data or information, potentially delaying the processing of the permit.  Applicants applying under the General Permit for Remediation Activities Discharging to Groundwater (COG316000) are encouraged to contact the division prior to sample collection to ensure that the correct metal speciation is included in the sample analysis. COG070000/COG315000/COG316000 Discharge Permit Application Guidance www.coloradowaterpermits.com Page 9 of 10 APPENDIX B: Resources for Determining Groundwater Contamination Potential The following resources are available for determining if contaminated groundwater may be located near your project site:  Leaking Underground Storage Tanks (LUSTs): Oil and Public Safety (OPS) COSTIS database (Storage Tank Database). Search for events by city, county, or zip code on the OPS website. o https://www.colorado.gov/pacific/ops/PetroleumMaps  Superfund Sites: The CDPHE HMWMD maintains a list of active Superfund sites on its website. The division may require data even if your site is greater than one-mile from a Superfund site, based on the nature and extent of contamination at these sites. o https://www.colorado.gov/pacific/cdphe/superfund-sites o https://www.colorado.gov/pacific/cdphe/hm-gis-data  National Priorities List (NPL) sites: The U.S. Environmental Protection Agency maintains a list of national priorities sites on their website. o https://www.epa.gov/superfund/national-priorities-list-npl-sites-state#CO  Voluntary Cleanup Sites (VCUPs): The CDPHE Hazardous Materials and Waste Management Division (HMWMD) maintains a list of VCUPs by County. Visit the HMWMD website, and select the “Voluntary Cleanup Sites Grouped by County” list at the top of the page. o https://www.colorado.gov/pacific/cdphe/voluntary-cleanup o https://www.colorado.gov/pacific/cdphe/hm-gis-data  Environmental Covenants: Environmental Covenant Sites are listed on the CDPHE HMWMD website. The county the site is located in and a map of the contaminated area are provided on this webpage. o https://www.colorado.gov/pacific/cdphe/hmcovenants o https://www.colorado.gov/pacific/cdphe/hm-gis-data  RCRA Corrective Action Sites: The U.S. Environmental Protection Agency maintains a list of RCRA Hazardous Waste Corrective Action sites in Colorado that are undergoing or potentially undergoing groundwater remediation. o https://www.epa.gov/cleanups/cleanups-my-community o Visit the CDPHE’s Hazardous Waste Corrective Action Unit Contacts for more information on a corrective action site.  Brownfield Sites: The CDPHE HMWMD maintains a list of active Superfund sites on its website. o https://www.colorado.gov/pacific/cdphe/brownfields o https://www.colorado.gov/pacific/cdphe/hm-gis-data COG070000/COG315000/COG316000 Discharge Permit Application Guidance www.coloradowaterpermits.com Page 10 of 10 APPENDIX C: Division Determination Using the Application Information and Data As a general rule of thumb, the division will make an initial determination of appropriate permit coverage based largely on the proximity of your project site to known sources of contamination and the potential to draw -in the contaminated groundwater. The division will then review analytical data and information submitted with the application, along with any additional information available to the division, to determine whether your project has the potential to draw-in contaminated groundwater and to verify that you have selected the correct permit coverage for your project. Where analytical data is included with the permit application, the division will conservatively compare the maximum detected concentration of each detected constituent to one -half the applicable water quantity standard to determine if there is reasonable potential for a pollutant in the source water to exceed a water quality standard of the receiving water.  For project sites where no known potential sources of contamination are located within one mile of the project site AND the permit applicant has no other information which would indicate that the discharge may be contaminated: o No source water analytical data is required with the permit application.  These projects will typically be permitted under Construction Dewatering (COG070000)  For project sites where known potential sources of BTEX contamination (i.e. LUSTs) are located within one- quarter mile of the project site: o BTEX data is required with the application, unless the applicant can provide other information indicating there is no reasonable potential for BTEX to contribute pollutants to the source water.  Where the data shows that the source water does not contain concentrations of BTEX greater than ½ the water quality standards of the receiving water, the project may be permitted under Construction Dewatering (COG070000).  Where the data show that the source water does contain concentrations of BTEX greater than ½ the water quality standards of the receiving water, the project may be permitted under Remediation Activities Discharging to Surface Water (COG315000) or Remediation Activities Discharging to Groundwater (COG316000), or an individual permit as applicable.  For project sites where other known potential sources of contamination are located within one mile of the project site: o Pre-screening data (see Attachment 1 of the application) is required, unless the applicant can provide other information indicating that there is no reasonable potential for the contamination to contribute pollutants to the source water being discharged.  Where the data show that the source water does contain concentrations of potential pollutants from the contamination source that are greater than ½ the water quality standards of the receiving water, the project may be permitted under Remediation Activities Discharging to Surface Water (COG315000) or Remediation Activities Discharging to Groundwater (COG316000), or an individual permit as applicable. The flowchart in this guidance summarizes the above detailed process used by the division for evaluating dat a and determining appropriate permit coverage. Note that other factors may be considered outside of these guidelines, resulting in the need for additional information to supplement the permit application. MULBERRY CONNECTION │SWMP REPORT APPENDIX D – EXAMPLE LOGS Outdoor Storage of Materials Log Identification of Pollutant Date Onsite Date Removed Containment Method Vehicle Equipment Maintenance and Fueling Log Identification of Pollutant Date Onsite Date Removed Containment Method Routine Maintenance Log Identification of Pollutant Date Onsite Date Removed Containment Method Onsite Waste Management Log Identification of Pollutant Date Onsite Date Removed Containment Method Non-Industrial Waste Sources Log Identification of Pollutant Date Onsite Date Removed Containment Method Additional Pollutant Sources Log Identification of Pollutant Date Onsite Date Removed Containment Method Control Measure Name Description Implementation Installation Procedures Inspection Expectations Describe the control measure and what pollutant sources it will provide effective treatment for (part I.C.2.a.iv of the permit). Include the mechanism used for treatment of the pollutant source. Describe how the control measure will be implemented in accordance with good engineering, hydrologic and pollution control practices. Include the phase(s) of construction the control measure will be implemented for. Describe the process required to install the control measure and have it adequately treat the intended pollutant source. Include specific depths, lengths, materials, and any other applicable information necessary to properly install the control measure. Describe how often the control measure will be inspected and what key features should be checked during each inspection (is the silt fence tail entrenched, are the straw wattles staked ever 4 feet, etc.) Control Measure Name Maintenance Requirements Control Measure Diagram Describe maintenance requirements, such as how to repair damaged sections, what qualifies as a failed control measure and when it needs to be replaced. Also include criteria that would trigger maintenance (i.e. 50% capacity of the control measure has been reached). Land Disturbance / BMP Installation / Stabilization Log Date Initiated Description of Activity Date Ceased Identification of BMP / Stabilization Method Date Implemented Date Removed Land Disturbance / Control Measure Installation / Stabilization Log Identification of Control Measure / Stabilization Method CONSTRUCTION STORMWATER SITE INSPECTION REPORT Facility Name Permittee Date of Inspection Weather Conditions Permit Certification # Disturbed Acreage Phase of Construction Inspector Title Inspector Name Is the above inspector a qualified stormwater manager? (permittee is responsible for ensuring that the inspector is a qualified stormwater manager) YES NO INSPECTION FREQUENCY Check the box that describes the minimum inspection frequency utilized when conducting each inspection At least one inspection every 7 calendar days At least one inspection every 14 calendar days, with post-storm event inspections conducted within 24 hours after the end of any precipitation or snowmelt event that causes surface erosions • This is this a post-storm event inspection. Event Date: _____________________ Reduced inspection frequency - Include site conditions that warrant reduced inspection frequency • Post-storm inspections at temporarily idle sites • Inspections at completed sites/area • Winter conditions exclusion Have there been any deviations from the minimum inspection schedule? If yes, describe below. YES NO INSPECTION REQUIREMENTS* i. Visually verify all implemented control measures are in effective operational condition and are working as designed in the specifications ii. Determine if there are new potential sources of pollutants iii. Assess the adequacy of control measures at the site to identify areas requiring new or modified control measures to minimize pollutant discharges iv. Identify all areas of non-compliance with the permit requirements, and if necessary, implement corrective action *Use the attached Control Measures Requiring Routine Maintenance and Inadequate Control Measures Requiring Corrective Action forms to document results of this assessment that trigger either maintenance or corrective actions AREAS TO BE INSPECTED Is there evidence of, or the potential for, pollutants leaving the construction site boundaries, entering the stormwater drainage system or discharging to state waters at the following locations? NO YES If "YES” describe discharge or potential for discharge below. Document related maintenance, inadequate control measures and corrective actions Inadequate Control Measures Requiring Corrective Action form Construction site perimeter All disturbed areas Designated haul routes Material and waste storage areas exposed to precipitation Locations where stormwater has the potential to discharge offsite Locations where vehicles exit the site Other: ____________________ CONTROL MEASURES REQUIRING ROUTINE MAINTENANCE Definition: Any control measure that is still operating in accordance with its design and the requirements of the permit, but requires maintenance to prevent a breach of the control measure. These items are not subject to the corrective action requirements as specified in Part I.B.1.c of the permit. Are there control measures requiring maintenance? NO YES If “YES” document below Date Observed Location Control Measure Maintenance Required Date Completed INADEQUATE CONTROL MEASURES REQUIRING CORRECTIVE ACTION Definition: Any control measure that is not designed or implemented in accordance with the requirements of the permit and/or any control measure that is not implemented to operate in accordance with its design. This includes control measures that have not been implemented for pollutant sources. If it is infeasible to install or repair the control measure immediately after discovering the deficiency the reason must be documented and a schedule included to return the control measure to effective operating condition as possible. Are there inadequate control measures requiring corrective action? NO YES If “YES” document below Are there additional control measures needed that were not in place at the time of inspection? NO YES If “YES” document below Date Discovered Location Description of Inadequate Control Measure Description of Corrective Action Was deficiency corrected when discovered? YES/NO if “NO” provide reason and schedule to correct Date Corrected REPORTING REQUIREMENTS The permittee shall report the following circumstances orally within twenty-four (24) hours from the time the permittee becomes aware of the circumstances, and shall mail to the division a written report containing the information requested within five (5) working days after becoming aware of the following circumstances. The division may waive the written report required if the oral report has been received within 24 hours. All Noncompliance Requiring 24-Hour Notification per Part II.L.6 of the Permit a. Endangerment to Health or the Environment Circumstances leading to any noncompliance which may endanger health or the environment regardless of the cause of the incident (See Part II.L.6.a of the Permit) This category would primarily result from the discharge of pollutants in violation of the permit b. Numeric Effluent Limit Violations o Circumstances leading to any unanticipated bypass which exceeds any effluent limitations (See Part II.L.6.b of the Permit) o Circumstances leading to any upset which causes an exceedance of any effluent limitation (See Part II.L.6.c of the Permit) o Daily maximum violations (See Part II.L.6.d of the Permit) Numeric effluent limits are very uncommon in certifications under the COR400000 general permit. This category of noncompliance only applies if numeric effluent limits are included in a permit certification. Has there been an incident of noncompliance requiring 24-hour notification? NO YES If “YES” document below Date and Time of Incident Location Description of Noncompliance Description of Corrective Action Date and Time of 24 Hour Oral Notification Date of 5 Day Written Notification * *Attach copy of 5 day written notification to report. Indicate if written notification was waived, including the name of the division personnel who granted waiver. After adequate corrective action(s) and maintenance have been taken, or where a report does not identify any incidents requiring corrective action or maintenance, the individual(s) designated as the Qualified Stormwater Manager, shall sign and certify the below statement: “I verify that, to the best of my knowledge and belief, all corrective action and maintenance items identified during the inspection are complete, and the site is currently in compliance with the permit.” ______________________________________ _______________________________________ Name of Qualified Stormwater Manager Title of Qualified Stormwater Manager ______________________________________ _______________________________________ Signature of Qualified Stormwater Manager Date Notes/Comments BMP Corrective Action Log Date Identified Inspector Description of BMP Deficiency Corrective Action Taken Date Completed Control Measure Corrective Action Log Description of Control Measure Deficiency MULBERRY CONNECTION │SWMP REPORT APPENDIX E – SPILL REPORTING Five day reporting form Incident / spill / sanitary sewer overflow release Use this form to report i ncidents impacting waters of the state The Water Quality Control Division distinguishes between reporting requirements for incidents that occur at entities operating under a Colorado Discharge Permit System (CDPS) permit and those resulting from non-permitted activities. Permitted activities - Reporting and management of non-compliance incidents and spills that occur as a result of permitted activities should be performed in accordance with the specific requirements in the notifications section of your permit. You may use this form to submit the information requested in the permit. Non-permitted activities - In the case of an activity where a permit does not address reporting of, or response to, a given spill please submit a written summary of the event, your response, and clean up efforts to the division within five working days of the date of the event. This form is provided for your convenience. If you have any questions please contact the division’s field s ervices staff person assigned to your spill case. Prior to the five working day deadline you may request an extension to submit the report if needed for sampling analysis or other reasons. To request an extensi on please send an email to the division’s field s ervices staff person assigned to your spill cas e or to the spill administrator. The field services contact list is available at: www.colorado.gov/cdphe/wq-inspection-services-contact-us. Please send the completed form or report with signature to the division’s field services spill administrator: Michelle Thiebaud 222 S. Sixth Street, 232 Grand Junction, CO 81501 Telephone: 970-248-7150 Fax: 970-248-7198 Email: michelle.thiebaud@state.co.us 1. Incident background information Incident/spill number (division provided) Date of event County Type of incident / s pill / SSO (check one) ☐ Sanitary sewer overflow ☐ Potable water /reuse water / reclaimed water ☐ Biosolids ☐ W astewater treatment plant bypass or upset (authorized outfall point) ☐ Petroleum product ☐ Oil or gas field production s pill ☐ W astewater t r eatment plant spill or overflow (other than outfall) ☐ Chemical ☐ Other Estimated v olume r eleased Size and depth of area affected Contact information Potentially responsible party contact name Potentially r esponsible party company/agency name CDPHE Permit number and facility name (if applicable) Email a ddress Phone 2. Incident information: Please provide the following information. A. Describe incident including source, cause, and location (e.g. address, latitude/longitude). B. Material released, e.g. untreated wastewater, specific chemical or produc t , biosolids . Please attach the OSHA Material Safety Data Sheets for any and all chemicals or products in spill or release. Revised November 2017 C. Actual or estimated duration of the event and time spill was fully controlled/stopped. If release is still occurring, the date and time the release is expected to be stopped. D. Describe measures taken or planned to contain, reduce, and clean up spill or release. E. Describe s teps taken or planned to prevent reoccurrence. 3. Incident impact to state w aters (As defined in § 25-8-103(19), C.R.S.). Examples of state waters include: stormwater conveyances (when they discharge to surface water), perennial streams, intermittent or ephemeral gulches, ditches, ponds, lakes, reservoi rs, irrigation canals, wetlands and groundwater. A. Did flow or materials reach surface water of the s tate? If so, identify the water body or bodies and describe the path of flow. W hat quantity of material reached the surface waters and what was the resulting impact? B. Did flow or materials reach groundwater of the s tate? If so, identify the water body or bodies and describe the path of flow. If yes, what quantity of material reached the ground or groundwater and what was the resulting impact? C. Did the incident include any of the following? If so, please include additional details below. ☐ Chemical r elease ☐ Fish k ill ☐ Sheen on water D. Were any water quality samples or other samples taken? If so, please describe sampling process , sampling location(s) in relationship to the incident, i.e. up/down stream and attach results. 4. Incident impact to areas or water u sers A. Describe the potential impact of the incident /spill/SSO to public use areas or downstream water users. This includes parks and swim beaches or public water s ystem sources and irrigation diversions . B. W ere the impacted area users and downstream water users notified and describe the method of notification , e.g. signs posted, via phone. C. List any downstream users who were notified. I hereby certify that the information presented above is accurate and complete. Signature Name and title Company, o rganization Date MULBERRY CONNECTION │SWMP REPORT APPENDIX F – CONTROL MEASURE DETAILS Surface Roughening (SR) EC-1 November 2010 Urban Drainage and Flood Control District SR-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph SR-1. Surface roughening via imprinting for temporary stabilization. Description Surface roughening is an erosion control practice that involves tracking, scarifying, imprinting, or tilling a disturbed area to provide temporary stabilization of disturbed areas. Surface roughening creates variations in the soil surface that help to minimize wind and water erosion. Depending on the technique used, surface roughening may also help establish conditions favorable to establishment of vegetation. Appropriate Uses Surface roughening can be used to provide temporary stabilization of disturbed areas, such as when revegetation cannot be immediately established due to seasonal planting limitations. Surface roughening is not a stand-alone BMP, and should be used in conjunction with other erosion and sediment controls. Surface roughening is often implemented in conjunction with grading and is typically performed using heavy construction equipment to track the surface. Be aware that tracking with heavy equipment will also compact soils, which is not desirable in areas that will be revegetated. Scarifying, tilling, or ripping are better surface roughening techniques in locations where revegetation is planned. Roughening is not effective in very sandy soils and cannot be effectively performed in rocky soil. Design and Installation Typical design details for surfacing roughening on steep and mild slopes are provided in Details SR-1 and SR-2, respectively. Surface roughening should be performed either after final grading or to temporarily stabilize an area during active construction that may be inactive for a short time period. Surface roughening should create depressions 2 to 6 inches deep and approximately 6 inches apart. The surface of exposed soil can be roughened by a number of techniques and equipment. Horizontal grooves (running parallel to the contours of the land) can be made using tracks from equipment treads, stair-step grading, ripping, or tilling. Fill slopes can be constructed with a roughened surface. Cut slopes that have been smooth graded can be roughened as a subsequent operation. Roughening should follow along the contours of the slope. The tracks left by truck mounted equipment working perpendicular to the contour can leave acceptable horizontal depressions; however, the equipment will also compact the soil. Surface Roughening Functions Erosion Control Yes Sediment Control No Site/Material Management No EC-1 Surface Roughening (SR) SR-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Maintenance and Removal Care should be taken not to drive vehicles or equipment over areas that have been surface roughened. Tire tracks will smooth the roughened surface and may cause runoff to collect into rills and gullies. Because surface roughening is only a temporary control, additional treatments may be necessary to maintain the soil surface in a roughened condition. Areas should be inspected for signs of erosion. Surface roughening is a temporary measure, and will not provide long-term erosion control. Surface Roughening (SR) EC-1 November 2010 Urban Drainage and Flood Control District SR-3 Urban Storm Drainage Criteria Manual Volume 3 EC-1 Surface Roughening (SR) SR-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Temporary and Permanent Seeding (TS/PS) EC-2 November 2010 Urban Drainage and Flood Control District TS/PS-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph TS/PS -1. Equipment used to drill seed. Photo courtesy of Douglas County. Description Temporary seeding can be used to stabilize disturbed areas that will be inactive for an extended period. Permanent seeding should be used to stabilize areas at final grade that will not be otherwise stabilized. Effective seeding includes preparation of a seedbed, selection of an appropriate seed mixture, proper planting techniques, and protection of the seeded area with mulch, geotextiles, or other appropriate measures. Appropriate Uses When the soil surface is disturbed and will remain inactive for an extended period (typically 30 days or longer), proactive stabilization measures should be implemented. If the inactive period is short-lived (on the order of two weeks), techniques such as surface roughening may be appropriate. For longer periods of inactivity, temporary seeding and mulching can provide effective erosion control. Permanent seeding should be used on finished areas that have not been otherwise stabilized. Typically, local governments have their own seed mixes and timelines for seeding. Check jurisdictional requirements for seeding and temporary stabilization. Design and Installation Effective seeding requires proper seedbed preparation, selection of an appropriate seed mixture, use of appropriate seeding equipment to ensure proper coverage and density, and protection with mulch or fabric until plants are established. The USDCM Volume 2 Revegetation Chapter contains detailed seed mix, soil preparations, and seeding and mulching recommendations that may be referenced to supplement this Fact Sheet. Drill seeding is the preferred seeding method. Hydroseeding is not recommended except in areas where steep slopes prevent use of drill seeding equipment, and even in these instances it is preferable to hand seed and mulch. Some jurisdictions do not allow hydroseeding or hydromulching. Seedbed Preparation Prior to seeding, ensure that areas to be revegetated have soil conditions capable of supporting vegetation. Overlot grading can result in loss of topsoil, resulting in poor quality subsoils at the ground surface that have low nutrient value, little organic matter content, few soil microorganisms, rooting restrictions, and conditions less conducive to infiltration of precipitation. As a result, it is typically necessary to provide stockpiled topsoil, compost, or other Temporary and Permanent Seeding Functions Erosion Control Yes Sediment Control No Site/Material Management No EC-2 Temporary and Permanent Seeding (TS/PS) TS/PS-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 soil amendments and rototill them into the soil to a depth of 6 inches or more. Topsoil should be salvaged during grading operations for use and spread on areas to be revegetated later. Topsoil should be viewed as an important resource to be utilized for vegetation establishment, due to its water-holding capacity, structure, texture, organic matter content, biological activity, and nutrient content. The rooting depth of most native grasses in the semi-arid Denver metropolitan area is 6 to 18 inches. At a minimum, the upper 6 inches of topsoil should be stripped, stockpiled, and ultimately respread across areas that will be revegetated. Where topsoil is not available, subsoils should be amended to provide an appropriate plant-growth medium. Organic matter, such as well digested compost, can be added to improve soil characteristics conducive to plant growth. Other treatments can be used to adjust soil pH conditions when needed. Soil testing, which is typically inexpensive, should be completed to determine and optimize the types and amounts of amendments that are required. If the disturbed ground surface is compacted, rip or rototill the surface prior to placing topsoil. If adding compost to the existing soil surface, rototilling is necessary. Surface roughening will assist in placement of a stable topsoil layer on steeper slopes, and allow infiltration and root penetration to greater depth. Prior to seeding, the soil surface should be rough and the seedbed should be firm, but neither too loose nor compacted. The upper layer of soil should be in a condition suitable for seeding at the proper depth and conducive to plant growth. Seed-to-soil contact is the key to good germination. Seed Mix for Temporary Vegetation To provide temporary vegetative cover on disturbed areas which will not be paved, built upon, or fully landscaped or worked for an extended period (typically 30 days or more), plant an annual grass appropriate for the time of planting and mulch the planted areas. Annual grasses suitable for the Denver metropolitan area are listed in Table TS/PS-1. These are to be considered only as general recommendations when specific design guidance for a particular site is not available. Local governments typically specify seed mixes appropriate for their jurisdiction. Seed Mix for Permanent Revegetation To provide vegetative cover on disturbed areas that have reached final grade, a perennial grass mix should be established. Permanent seeding should be performed promptly (typically within 14 days) after reaching final grade. Each site will have different characteristics and a landscape professional or the local jurisdiction should be contacted to determine the most suitable seed mix for a specific site. In lieu of a specific recommendation, one of the perennial grass mixes appropriate for site conditions and growth season listed in Table TS/PS-2 can be used. The pure live seed (PLS) rates of application recommended in these tables are considered to be absolute minimum rates for seed applied using proper drill-seeding equipment. If desired for wildlife habitat or landscape diversity, shrubs such as rubber rabbitbrush (Chrysothamnus nauseosus), fourwing saltbush (Atriplex canescens) and skunkbrush sumac (Rhus trilobata) could be added to the upland seedmixes at 0.25, 0.5 and 1 pound PLS/acre, respectively. In riparian zones, planting root stock of such species as American plum (Prunus americana), woods rose (Rosa woodsii), plains cottonwood (Populus sargentii), and willow (Populus spp.) may be considered. On non-topsoiled upland sites, a legume such as Ladak alfalfa at 1 pound PLS/acre can be included as a source of nitrogen for perennial grasses. Temporary and Permanent Seeding (TS/PS) EC-2 November 2010 Urban Drainage and Flood Control District TS/PS-3 Urban Storm Drainage Criteria Manual Volume 3 Seeding dates for the highest success probability of perennial species along the Front Range are generally in the spring from April through early May and in the fall after the first of September until the ground freezes. If the area is irrigated, seeding may occur in summer months, as well. See Table TS/PS-3 for appropriate seeding dates. Table TS/PS-1. Minimum Drill Seeding Rates for Various Temporary Annual Grasses Speciesa (Common name) Growth Seasonb Pounds of Pure Live Seed (PLS)/acrec Planting Depth (inches) 1. Oats Cool 35 - 50 1 - 2 2. Spring wheat Cool 25 - 35 1 - 2 3. Spring barley Cool 25 - 35 1 - 2 4. Annual ryegrass Cool 10 - 15 ½ 5. Millet Warm 3 - 15 ½ - ¾ 6. Sudangrass Warm 5–10 ½ - ¾ 7. Sorghum Warm 5–10 ½ - ¾ 8. Winter wheat Cool 20–35 1 - 2 9. Winter barley Cool 20–35 1 - 2 10. Winter rye Cool 20–35 1 - 2 11. Triticale Cool 25–40 1 - 2 a Successful seeding of annual grass resulting in adequate plant growth will usually produce enough dead-plant residue to provide protection from wind and water erosion for an additional year. This assumes that the cover is not disturbed or mowed closer than 8 inches. Hydraulic seeding may be substituted for drilling only where slopes are steeper than 3:1 or where access limitations exist. When hydraulic seeding is used, hydraulic mulching should be applied as a separate operation, when practical, to prevent the seeds from being encapsulated in the mulch. b See Table TS/PS-3 for seeding dates. Irrigation, if consistently applied, may extend the use of cool season species during the summer months. c Seeding rates should be doubled if seed is broadcast, or increased by 50 percent if done using a Brillion Drill or by hydraulic seeding. EC-2 Temporary and Permanent Seeding (TS/PS) TS/PS-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Table TS/PS-2. Minimum Drill Seeding Rates for Perennial Grasses Commona Name Botanical Name Growth Seasonb Growth Form Seeds/ Pound Pounds of PLS/acre Alakali Soil Seed Mix Alkali sacaton Sporobolus airoides Cool Bunch 1,750,000 0.25 Basin wildrye Elymus cinereus Cool Bunch 165,000 2.5 Sodar streambank wheatgrass Agropyron riparium 'Sodar' Cool Sod 170,000 2.5 Jose tall wheatgrass Agropyron elongatum 'Jose' Cool Bunch 79,000 7.0 Arriba western wheatgrass Agropyron smithii 'Arriba' Cool Sod 110,000 5.5 Total 17.75 Fertile Loamy Soil Seed Mix Ephriam crested wheatgrass Agropyron cristatum 'Ephriam' Cool Sod 175,000 2.0 Dural hard fescue Festuca ovina 'duriuscula' Cool Bunch 565,000 1.0 Lincoln smooth brome Bromus inermis leyss 'Lincoln' Cool Sod 130,000 3.0 Sodar streambank wheatgrass Agropyron riparium 'Sodar' Cool Sod 170,000 2.5 Arriba western wheatgrass Agropyron smithii 'Arriba' Cool Sod 110,000 7.0 Total 15.5 High Water Table Soil Seed Mix Meadow foxtail Alopecurus pratensis Cool Sod 900,000 0.5 Redtop Agrostis alba Warm Open sod 5,000,000 0.25 Reed canarygrass Phalaris arundinacea Cool Sod 68,000 0.5 Lincoln smooth brome Bromus inermis leyss 'Lincoln' Cool Sod 130,000 3.0 Pathfinder switchgrass Panicum virgatum 'Pathfinder' Warm Sod 389,000 1.0 Alkar tall wheatgrass Agropyron elongatum 'Alkar' Cool Bunch 79,000 5.5 Total 10.75 Transition Turf Seed Mixc Ruebens Canadian bluegrass Poa compressa 'Ruebens' Cool Sod 2,500,000 0.5 Dural hard fescue Festuca ovina 'duriuscula' Cool Bunch 565,000 1.0 Citation perennial ryegrass Lolium perenne 'Citation' Cool Sod 247,000 3.0 Lincoln smooth brome Bromus inermis leyss 'Lincoln' Cool Sod 130,000 3.0 Total 7.5 Temporary and Permanent Seeding (TS/PS) EC-2 November 2010 Urban Drainage and Flood Control District TS/PS-5 Urban Storm Drainage Criteria Manual Volume 3 Table TS/PS-2. Minimum Drill Seeding Rates for Perennial Grasses (cont.) Common Name Botanical Name Growth Seasonb Growth Form Seeds/ Pound Pounds of PLS/acre Sandy Soil Seed Mix Blue grama Bouteloua gracilis Warm Sod-forming bunchgrass 825,000 0.5 Camper little bluestem Schizachyrium scoparium 'Camper' Warm Bunch 240,000 1.0 Prairie sandreed Calamovilfa longifolia Warm Open sod 274,000 1.0 Sand dropseed Sporobolus cryptandrus Cool Bunch 5,298,000 0.25 Vaughn sideoats grama Bouteloua curtipendula 'Vaughn' Warm Sod 191,000 2.0 Arriba western wheatgrass Agropyron smithii 'Arriba' Cool Sod 110,000 5.5 Total 10.25 Heavy Clay, Rocky Foothill Seed Mix Ephriam crested wheatgrassd Agropyron cristatum 'Ephriam' Cool Sod 175,000 1.5 Oahe Intermediate wheatgrass Agropyron intermedium 'Oahe' Cool Sod 115,000 5.5 Vaughn sideoats gramae Bouteloua curtipendula 'Vaughn' Warm Sod 191,000 2.0 Lincoln smooth brome Bromus inermis leyss 'Lincoln' Cool Sod 130,000 3.0 Arriba western wheatgrass Agropyron smithii 'Arriba' Cool Sod 110,000 5.5 Total 17.5 a All of the above seeding mixes and rates are based on drill seeding followed by crimped hay or straw mulch. These rates should be doubled if seed is broadcast and should be increased by 50 percent if the seeding is done using a Brillion Drill or is applied through hydraulic seeding. Hydraulic seeding may be substituted for drilling only where slopes are steeper than 3:1. If hydraulic seeding is used, hydraulic mulching should be done as a separate operation. b See Table TS/PS-3 for seeding dates. c If site is to be irrigated, the transition turf seed rates should be doubled. d Crested wheatgrass should not be used on slopes steeper than 6H to 1V. e Can substitute 0.5 lbs PLS of blue grama for the 2.0 lbs PLS of Vaughn sideoats grama. EC-2 Temporary and Permanent Seeding (TS/PS) TS/PS-6 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Table TS/PS-3. Seeding Dates for Annual and Perennial Grasses Annual Grasses (Numbers in table reference species in Table TS/PS-1) Perennial Grasses Seeding Dates Warm Cool Warm Cool January 1–March 15   March 16–April 30 4 1,2,3   May 1–May 15 4  May 16–June 30 4,5,6,7 July 1–July 15 5,6,7 July 16–August 31 September 1–September 30 8,9,10,11 October 1–December 31   Mulch Cover seeded areas with mulch or an appropriate rolled erosion control product to promote establishment of vegetation. Anchor mulch by crimping, netting or use of a non-toxic tackifier. See the Mulching BMP Fact Sheet for additional guidance. Maintenance and Removal Monitor and observe seeded areas to identify areas of poor growth or areas that fail to germinate. Reseed and mulch these areas, as needed. An area that has been permanently seeded should have a good stand of vegetation within one growing season if irrigated and within three growing seasons without irrigation in Colorado. Reseed portions of the site that fail to germinate or remain bare after the first growing season. Seeded areas may require irrigation, particularly during extended dry periods. Targeted weed control may also be necessary. Protect seeded areas from construction equipment and vehicle access. Soil Binders (SB) EC-3 November 2010 Urban Drainage and Flood Control District SB-1 Urban Storm Drainage Criteria Manual Volume 3 Description Soil binders include a broad range of treatments that can be applied to exposed soils for temporary stabilization to reduce wind and water erosion. Soil binders may be applied alone or as tackifiers in conjunction with mulching and seeding applications. Acknowledgement: This BMP Fact Sheet has been adapted from the 2003 California Stormwater Quality Association (CASQA) Stormwater BMP Handbook: Construction (www.cabmphandbooks.com). Appropriate Uses Soil binders can be used for short-term, temporary stabilization of soils on both mild and steep slopes. Soil binders are often used in areas where work has temporarily stopped, but is expected to resume before revegetation can become established. Binders are also useful on stockpiled soils or where temporary or permanent seeding has occurred. Prior to selecting a soil binder, check with the state and local jurisdiction to ensure that the chemicals used in the soil binders are allowed. The water quality impacts of some types of soil binders are relatively unknown and may not be allowed due to concerns about potential environmental impacts. Soil binders must be environmentally benign (non-toxic to plant and animal life), easy to apply, easy to maintain, economical, and should not stain paved or painted surfaces. Soil binders should not be used in vehicle or pedestrian high traffic areas, due to loss in effectiveness under these conditions. Site soil type will dictate appropriate soil binders to be used. Be aware that soil binders may not function effectively on silt or clay soils or highly compacted areas. Check manufacturer's recommendations for appropriateness with regard to soil conditions. Some binders may not be suitable for areas with existing vegetation. Design and Installation Properties of common soil binders used for erosion control are provided in Table SB-1. Design and installation guidance below are provided for general reference. Follow the manufacturer's instructions for application rates and procedures. Soil Binders Functions Erosion Control Yes Sediment Control No Site/Material Management Moderate Photograph SB-1. Tackifier being applied to provide temporary soil stabilization. Photo courtesy of Douglas County. EC-3 Soil Binders (SB) SB-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Table SB-1. Properties of Soil Binders for Erosion Control (Source: CASQA 2003) Evaluation Criteria Binder Type Plant Material Based (short lived) Plant Material Based (long lived) Polymeric Emulsion Blends Cementitious- Based Binders Resistance to Leaching High High Low to Moderate Moderate Resistance to Abrasion Moderate Low Moderate to High Moderate to High Longevity Short to Medium Medium Medium to Long Medium Minimum Curing Time before Rain 9 to 18 hours 19 to 24 hours 0 to 24 hours 4 to 8 hours Compatibility with Existing Vegetation Good Poor Poor Poor Mode of Degradation Biodegradable Biodegradable Photodegradable/ Chemically Degradable Photodegradable/ Chemically Degradable Specialized Application Equipment Water Truck or Hydraulic Mulcher Water Truck or Hydraulic Mulcher Water Truck or Hydraulic Mulcher Water Truck or Hydraulic Mulcher Liquid/Powder Powder Liquid Liquid/Powder Powder Surface Crusting Yes, but dissolves on rewetting Yes Yes, but dissolves on rewetting Yes Clean Up Water Water Water Water Erosion Control Application Rate Varies Varies Varies 4,000 to 12,000 lbs/acre Typ. Soil Binders (SB) EC-3 November 2010 Urban Drainage and Flood Control District SB-3 Urban Storm Drainage Criteria Manual Volume 3 Factors to consider when selecting a soil binder generally include:  Suitability to situation: Consider where the soil binder will be applied, if it needs a high resistance to leaching or abrasion, and whether it needs to be compatible with existing vegetation. Determine the length of time soil stabilization will be needed, and if the soil binder will be placed in an area where it will degrade rapidly. In general, slope steepness is not a discriminating factor.  Soil types and surface materials: Fines and moisture content are key properties of surface materials. Consider a soil binder's ability to penetrate, likelihood of leaching, and ability to form a surface crust on the surface materials.  Frequency of application: The frequency of application can be affected by subgrade conditions, surface type, climate, and maintenance schedule. Frequent applications could lead to high costs. Application frequency may be minimized if the soil binder has good penetration, low evaporation, and good longevity. Consider also that frequent application will require frequent equipment clean up. An overview of major categories of soil binders, corresponding to the types included in Table SB-1 follows. Plant-Material Based (Short Lived) Binders  Guar: A non-toxic, biodegradable, natural galactomannan-based hydrocolloid treated with dispersant agents for easy field mixing. It should be mixed with water at the rate of 11 to 15 lbs per 1,000 gallons. Recommended minimum application rates are provided in Table SB-2. Table SB-2. Application Rates for Guar Soil Stabilizer Slope (H:V) Flat 4:1 3:1 2:1 1:1 Application Rate (lb/acre) 40 45 50 60 70  Psyllium: Composed of the finely ground muciloid coating of plantago seeds that is applied as a wet slurry to the surface of the soil. It dries to form a firm but rewettable membrane that binds soil particles together but permits germination and growth of seed. Psyllium requires 12 to 18 hours drying time. Application rates should be from 80 to 200 lbs/acre, with enough water in solution to allow for a uniform slurry flow.  Starch: Non-ionic, cold-water soluble (pre-gelatinized) granular cornstarch. The material is mixed with water and applied at the rate of 150 lb/acre. Approximate drying time is 9 to 12 hours. Plant-Material Based (Long Lived) Binders  Pitch and Rosin Emulsion: Generally, a non-ionic pitch and rosin emulsion has a minimum solids content of 48 percent. The rosin should be a minimum of 26 percent of the total solids content. The soil stabilizer should be a non-corrosive, water dilutable emulsion that upon application cures to a water insoluble binding and cementing agent. For soil erosion control applications, the emulsion is diluted and should be applied as follows: o For clayey soil: 5 parts water to 1 part emulsion EC-3 Soil Binders (SB) SB-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 o For sandy soil: 10 parts water to 1 part emulsion Application can be by water truck or hydraulic seeder with the emulsion and product mixture applied at the rate specified by the manufacturer. Polymeric Emulsion Blend Binders  Acrylic Copolymers and Polymers: Polymeric soil stabilizers should consist of a liquid or solid polymer or copolymer with an acrylic base that contains a minimum of 55 percent solids. The polymeric compound should be handled and mixed in a manner that will not cause foaming or should contain an anti-foaming agent. The polymeric emulsion should not exceed its shelf life or expiration date; manufacturers should provide the expiration date. Polymeric soil stabilizer should be readily miscible in water, non-injurious to seed or animal life, non-flammable, should provide surface soil stabilization for various soil types without inhibiting water infiltration, and should not re-emulsify when cured. The applied compound should air cure within a maximum of 36 to 48 hours. Liquid copolymer should be diluted at a rate of 10 parts water to 1 part polymer and the mixture applied to soil at a rate of 1,175 gallons/acre.  Liquid Polymers of Methacrylates and Acrylates: This material consists of a tackifier/sealer that is a liquid polymer of methacrylates and acrylates. It is an aqueous 100 percent acrylic emulsion blend of 40 percent solids by volume that is free from styrene, acetate, vinyl, ethoxylated surfactants or silicates. For soil stabilization applications, it is diluted with water in accordance with manufacturer's recommendations, and applied with a hydraulic seeder at the rate of 20 gallons/acre. Drying time is 12 to 18 hours after application.  Copolymers of Sodium Acrylates and Acrylamides: These materials are non-toxic, dry powders that are copolymers of sodium acrylate and acrylamide. They are mixed with water and applied to the soil surface for erosion control at rates that are determined by slope gradient, as summarized in Table SB-3. Table SB-3. Application Rates for Copolymers of Sodium Acrylates and Acrylamides Slope (H:V) Flat to 5:1 5:1 to 3:1 2:2 to 1:1 Application Rate (lb/acre) 3.0-5.0 5.0-10.0 10.0-20.0  Polyacrylamide and Copolymer of Acrylamide: Linear copolymer polyacrylamide is packaged as a dry flowable solid. When used as a stand-alone stabilizer, it is diluted at a rate of 11 lb/1,000 gal. of water and applied at the rate of 5.0 lb/acre.  Hydrocolloid Polymers: Hydrocolloid Polymers are various combinations of dry flowable polyacrylamides, copolymers, and hydrocolloid polymers that are mixed with water and applied to the soil surface at rates of 55 to 60 lb/acre. Drying times are 0 to 4 hours. Cementitious-Based Binders  Gypsum: This formulated gypsum based product readily mixes with water and mulch to form a thin protective crust on the soil surface. It is composed of high purity gypsum that is ground, calcined and processed into calcium sulfate hemihydrate with a minimum purity of 86 percent. It is mixed in a hydraulic seeder and applied at rates 4,000 to 12,000 lb/acre. Drying time is 4 to 8 hours. Soil Binders (SB) EC-3 November 2010 Urban Drainage and Flood Control District SB-5 Urban Storm Drainage Criteria Manual Volume 3 Installation After selecting an appropriate soil binder, the untreated soil surface must be prepared before applying the soil binder. The untreated soil surface must contain sufficient moisture to assist the agent in achieving uniform distribution. In general, the following steps should be followed:  Follow manufacturer's written recommendations for application rates, pre-wetting of application area, and cleaning of equipment after use.  Prior to application, roughen embankment and fill areas.  Consider the drying time for the selected soil binder and apply with sufficient time before anticipated rainfall. Soil binders should not be applied during or immediately before rainfall.  Avoid over spray onto roads, sidewalks, drainage channels, sound walls, existing vegetation, etc.  Soil binders should not be applied to frozen soil, areas with standing water, under freezing or rainy conditions, or when the temperature is below 40°F during the curing period.  More than one treatment is often necessary, although the second treatment may be diluted or have a lower application rate.  Generally, soil binders require a minimum curing time of 24 hours before they are fully effective. Refer to manufacturer's instructions for specific cure time.  For liquid agents: o Crown or slope ground to avoid ponding. o Uniformly pre-wet ground at 0.03 to 0.3 gal/yd2 or according to manufacturer's recommendations. o Apply solution under pressure. Overlap solution 6 to 12 in. o Allow treated area to cure for the time recommended by the manufacturer, typically at least 24 hours. o Apply second treatment before first treatment becomes ineffective, using 50 percent application rate. o In low humidity, reactivate chemicals by re-wetting with water at 0.1 to 0.2 gal/yd2. Maintenance and Removal Soil binders tend to break down due to natural weathering. Weathering rates depend on a variety of site- specific and product characteristics. Consult the manufacturer for recommended reapplication rates and reapply the selected soil binder as needed to maintain effectiveness. Soil binders can fail after heavy rainfall events and may require reapplication. In particular, soil binders will generally experience spot failures during heavy rainfall events. If runoff penetrates the soil at the top of a slope treated with a soil binder, it is likely that the runoff will undercut the stabilized soil layer and discharge at a point further down slope. EC-3 Soil Binders (SB) SB-6 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Areas where erosion is evident should be repaired and soil binder or other stabilization reapplied, as needed. Care should be exercised to minimize the damage to protected areas while making repairs. Most binders biodegrade after exposure to sun, oxidation, heat and biological organisms; therefore, removal of the soil binder is not typically required. Mulching (MU) EC-4 November 2010 Urban Drainage and Flood Control District MU-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph MU-1. An area that was recently seeded, mulched, and crimped. Description Mulching consists of evenly applying straw, hay, shredded wood mulch, bark or compost to disturbed soils and securing the mulch by crimping, tackifiers, netting or other measures. Mulching helps reduce erosion by protecting bare soil from rainfall impact, increasing infiltration, and reducing runoff. Although often applied in conjunction with temporary or permanent seeding, it can also be used for temporary stabilization of areas that cannot be reseeded due to seasonal constraints. Mulch can be applied either using standard mechanical dry application methods or using hydromulching equipment that hydraulically applies a slurry of water, wood fiber mulch, and often a tackifier. Appropriate Uses Use mulch in conjunction with seeding to help protect the seedbed and stabilize the soil. Mulch can also be used as a temporary cover on low to mild slopes to help temporarily stabilize disturbed areas where growing season constraints prevent effective reseeding. Disturbed areas should be properly mulched and tacked, or seeded, mulched and tacked promptly after final grade is reached (typically within no longer than 14 days) on portions of the site not otherwise permanently stabilized. Standard dry mulching is encouraged in most jurisdictions; however, hydromulching may not be allowed in certain jurisdictions or may not be allowed near waterways. Do not apply mulch during windy conditions. Design and Installation Prior to mulching, surface-roughen areas by rolling with a crimping or punching type roller or by track walking. Track walking should only be used where other methods are impractical because track walking with heavy equipment typically compacts the soil. A variety of mulches can be used effectively at construction sites, including the following types: Mulch Functions Erosion Control Yes Sediment Control Moderate Site/Material Management No EC-4 Mulching (MU) MU-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3  Clean, weed- and seed-free, long-stemmed grass hay (preferred) or cereal grain straw. Hay is preferred because it is less susceptible to removal by wind. Mulch should be applied evenly at a rate of 2 tons per acre and must be tacked or fastened by an approved method suitable for the type of mulch used. At least 50 percent of the grass hay mulch, by weight, should be 10 inches or more in length.  Grass hay mulch must be anchored and not merely placed on the surface. This can be accomplished mechanically by crimping or with the aid of tackifiers or nets. Anchoring with a crimping implement is preferred, and is the recommended method for areas flatter than 3:1. Mechanical crimpers must be capable of tucking the long mulch fibers into the soil to a depth of 3 inches without cutting them. An agricultural disk, while not an ideal substitute, may work if the disk blades are dull or blunted and set vertically; however, the frame may have to be weighted to afford proper soil penetration.  On small areas sheltered from the wind and heavy runoff, spraying a tackifier on the mulch is satisfactory for holding it in place. For steep slopes and special situations where greater control is needed, erosion control blankets anchored with stakes should be used instead of mulch.  Hydraulic mulching consists of wood cellulose fibers mixed with water and a tackifying agent and should be applied at a rate of no less than 1,500 pounds per acre (1,425 lbs of fibers mixed with at least 75 lbs of tackifier) with a hydraulic mulcher. For steeper slopes, up to 2000 pounds per acre may be required for effective hydroseeding. Hydromulch typically requires up to 24 hours to dry; therefore, it should not be applied immediately prior to inclement weather. Application to roads, waterways and existing vegetation should be avoided.  Erosion control mats, blankets, or nets are recommended to help stabilize steep slopes (generally 3:1 and steeper) and waterways. Depending on the product, these may be used alone or in conjunction with grass or straw mulch. Normally, use of these products will be restricted to relatively small areas. Biodegradable mats made of straw and jute, straw-coconut, coconut fiber, or excelsior can be used instead of mulch. (See the ECM/TRM BMP for more information.)  Some tackifiers or binders may be used to anchor mulch. Check with the local jurisdiction for allowed tackifiers. Manufacturer's recommendations should be followed at all times. (See the Soil Binder BMP for more information on general types of tackifiers.)  Rock can also be used as mulch. It provides protection of exposed soils to wind and water erosion and allows infiltration of precipitation. An aggregate base course can be spread on disturbed areas for temporary or permanent stabilization. The rock mulch layer should be thick enough to provide full coverage of exposed soil on the area it is applied. Maintenance and Removal After mulching, the bare ground surface should not be more than 10 percent exposed. Reapply mulch, as needed, to cover bare areas. Compost Blanket and Filter Berm (CB) EC-5 November 2010 Urban Drainage and Flood Control District CB-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph CB-1. Application of a compost blanket to a disturbed area. Photo courtesy of Caltrans. Description A compost blanket is a layer of compost uniformly applied to the soil in disturbed areas to control erosion, facilitate revegetation, and retain sediment resulting from sheet-flow runoff. A compost filter berm is a dike of compost or a compost product that is placed perpendicular to runoff to control erosion in disturbed areas and retain sediment. Compost berms can be placed at regular intervals to help reduce the formation of rill and gully erosion when a compost blanket is stabilizing a slope. Appropriate Uses Compost blankets can be used as an alternative to erosion control blankets and mulching to help stabilize disturbed areas where sheet flow conditions are present. Compost blankets should not be used in areas of concentrated flows. Compost provides an excellent source of nutrients for plant growth, and should be considered for use in areas that will be permanently vegetated. Design and Installation See Detail CB-1 for design details and notes. Do not place compost in areas where it can easily be transported into drainage pathways or waterways. When using a compost blanket on a slope, berms should be installed periodically to reduce the potential for concentrated flow and rilling. Seeding should be completed before an area is composted or incorporated into the compost. Compost quality is an important consideration when selecting compost blankets or berms. Representative compost quality factors include pH, salinity, moisture content, organic matter content, stability (maturity), and physical contaminants. The compost should meet all local, state, and federal quality requirements. Biosolids compost must meet the Standards for Class A biosolids outlined in 40 CFR Part 503. The U.S. Composting Council (USCC) certifies compost products under its Seal of Testing Assurance (STA) Program. Compost producers whose products have been certified through the STA Program provide customers with a standard product label that allows comparison between compost products. Only STA certified, Class I compost should be used. Compost Blankets and Berms Functions Erosion Control Yes Sediment Control Moderate Site/Material Management No EC-5 Compost Blanket and Filter Berm (CB) CB-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Maintenance and Removal When rills or gullies develop in an area that has been composted, fill and cover the area with additional compost and install berms as necessary to help reduce erosion. Weed control can be a maintenance challenge in areas using compost blankets. A weed control strategy may be necessary, including measures such as mechanical removal and spot application of targeted herbicides by licensed applicators. For compost berms, accumulated sediments should be removed from behind the berm when the sediments reach approximately one third the height of the berm. Areas that have been washed away should be replaced. If the berm has experienced significant or repeated washouts, a compost berm may not be the appropriate BMP for this area. Compost blankets and berms biodegrade and do not typically require removal following site stabilization. Compost Blanket and Filter Berm (CB) EC-5 November 2010 Urban Drainage and Flood Control District CB-3 Urban Storm Drainage Criteria Manual Volume 3 EC-5 Compost Blanket and Filter Berm (CB) CB-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Rolled Erosion Control Products (RECP) EC-6 November 2010 Urban Drainage and Flood Control District RECP-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph RECP-1. Erosion control blanket protecting the slope from erosion and providing favorable conditions for revegetation. Description Rolled Erosion Control Products (RECPs) include a variety of temporary or permanently installed manufactured products designed to control erosion and enhance vegetation establishment and survivability, particularly on slopes and in channels. For applications where natural vegetation alone will provide sufficient permanent erosion protection, temporary products such as netting, open weave textiles and a variety of erosion control blankets (ECBs) made of biodegradable natural materials (e.g., straw, coconut fiber) can be used. For applications where natural vegetation alone will not be sustainable under expected flow conditions, permanent rolled erosion control products such as turf reinforcement mats (TRMs) can be used. In particular, turf reinforcement mats are designed for discharges that exert velocities and sheer stresses that exceed the typical limits of mature natural vegetation. Appropriate Uses RECPs can be used to control erosion in conjunction with revegetation efforts, providing seedbed protection from wind and water erosion. These products are often used on disturbed areas on steep slopes, in areas with highly erosive soils, or as part of drainageway stabilization. In order to select the appropriate RECP for site conditions, it is important to have a general understanding of the general types of these products, their expected longevity, and general characteristics. The Erosion Control Technology Council (ECTC 2005) characterizes rolled erosion control products according to these categories:  Mulch control netting: A planar woven natural fiber or extruded geosynthetic mesh used as a temporary degradable rolled erosion control product to anchor loose fiber mulches.  Open weave textile: A temporary degradable rolled erosion control product composed of processed natural or polymer yarns woven into a matrix, used to provide erosion control and facilitate vegetation establishment.  Erosion control blanket (ECB): A temporary degradable rolled erosion control product composed of processed natural or polymer fibers which are mechanically, structurally or chemically bound together to form a continuous matrix to provide erosion control and facilitate vegetation establishment. ECBs can be further differentiated into rapidly degrading single-net and double-net types or slowly degrading types. Rolled Erosion Control Products Functions Erosion Control Yes Sediment Control No Site/Material Management No EC-6 Rolled Erosion Control Products (RECP) RECP-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3  Turf Reinforcement Mat (TRM): A rolled erosion control product composed of non-degradable synthetic fibers, filaments, nets, wire mesh, and/or other elements, processed into a permanent, three- dimensional matrix of sufficient thickness. TRMs, which may be supplemented with degradable components, are designed to impart immediate erosion protection, enhance vegetation establishment and provide long-term functionality by permanently reinforcing vegetation during and after maturation. Note: TRMs are typically used in hydraulic applications, such as high flow ditches and channels, steep slopes, stream banks, and shorelines, where erosive forces may exceed the limits of natural, unreinforced vegetation or in areas where limited vegetation establishment is anticipated. Tables RECP-1 and RECP-2 provide guidelines for selecting rolled erosion control products appropriate to site conditions and desired longevity. Table RECP-1 is for conditions where natural vegetation alone will provide permanent erosion control, whereas Table RECP-2 is for conditions where vegetation alone will not be adequately stable to provide long-term erosion protection due to flow or other conditions. Rolled Erosion Control Products (RECP) EC-6 November 2010 Urban Drainage and Flood Control District RECP-3 Urban Storm Drainage Criteria Manual Volume 3 Table RECP-1. ECTC Standard Specification for Temporary Rolled Erosion Control Products (Adapted from Erosion Control Technology Council 2005) Product Description Slope Applications* Channel Applications* Minimum Tensile Strength1 Expected Longevity Maximum Gradient C Factor2,5 Max. Shear Stress3,4,6 Mulch Control Nets 5:1 (H:V) ≤0.10 @ 5:1 0.25 lbs/ft2 (12 Pa) 5 lbs/ft (0.073 kN/m) Up to 12 months Netless Rolled Erosion Control Blankets 4:1 (H:V) ≤0.10 @ 4:1 0.5 lbs/ft2 (24 Pa) 5 lbs/ft (0.073 kN/m) Single-net Erosion Control Blankets & Open Weave Textiles 3:1 (H:V) ≤0.15 @ 3:1 1.5 lbs/ft2 (72 Pa) 50 lbs/ft (0.73 kN/m) Double-net Erosion Control Blankets 2:1 (H:V) ≤0.20 @ 2:1 1.75 lbs/ft2 (84 Pa) 75 lbs/ft (1.09 kN/m) Mulch Control Nets 5:1 (H:V) ≤0.10 @ 5:1 0.25 lbs/ft2 (12 Pa) 25 lbs/ft (0.36 kN/m) 24 months Erosion Control Blankets & Open Weave Textiles (slowly degrading) 1.5:1 (H:V) ≤0.25 @ 1.5:1 2.00 lbs/ft2 (96 Pa) 100 lbs/ft (1.45 kN/m) 24 months Erosion Control Blankets & Open Weave Textiles 1:1 (H:V) ≤0.25 @ 1:1 2.25 lbs/ft2 (108 Pa) 125 lbs/ft (1.82 kN/m) 36 months * C Factor and shear stress for mulch control nettings must be obtained with netting used in conjunction with pre-applied mulch material. (See Section 5.3 of Chapter 7 Construction BMPs for more information on the C Factor.) 1 Minimum Average Roll Values, Machine direction using ECTC Mod. ASTM D 5035. 2 C Factor calculated as ratio of soil loss from RECP protected slope (tested at specified or greater gradient, H:V) to ratio of soil loss from unprotected (control) plot in large-scale testing. 3 Required minimum shear stress RECP (unvegetated) can sustain without physical damage or excess erosion (> 12.7 mm (0.5 in) soil loss) during a 30-minute flow event in large-scale testing. 4 The permissible shear stress levels established for each performance category are based on historical experience with products characterized by Manning's roughness coefficients in the range of 0.01 - 0.05. 5 Acceptable large-scale test methods may include ASTM D 6459, or other independent testing deemed acceptable by the engineer. 6 Per the engineer’s discretion. Recommended acceptable large-scale testing protocol may include ASTM D 6460, or other independent testing deemed acceptable by the engineer. EC-6 Rolled Erosion Control Products (RECP) RECP-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Table RECP-2. ECTC Standard Specification for Permanent1 Rolled Erosion Control Products (Adapted from: Erosion Control Technology Council 2005) Product Type Slope Applications Channel Applications TRMs with a minimum thickness of 0.25 inches (6.35 mm) per ASTM D 6525 and UV stability of 80% per ASTM D 4355 (500 hours exposure). Maximum Gradient Maximum Shear Stress4,5 Minimum Tensile Strength2,3 0.5:1 (H:V) 6.0 lbs/ft2 (288 Pa) 125 lbs/ft (1.82 kN/m) 0.5:1 (H:V) 8.0 lbs/ft2 (384 Pa) 150 lbs/ft (2.19 kN/m) 0.5:1 (H:V) 10.0 lbs/ft2 (480 Pa) 175 lbs/ft (2.55 kN/m) 1 For TRMs containing degradable components, all property values must be obtained on the non- degradable portion of the matting alone. 2 Minimum Average Roll Values, machine direction only for tensile strength determination using ASTM D 6818 (Supersedes Mod. ASTM D 5035 for RECPs) 3 Field conditions with high loading and/or high survivability requirements may warrant the use of a TRM with a tensile strength of 44 kN/m (3,000 lb/ft) or greater. 4 Required minimum shear stress TRM (fully vegetated) can sustain without physical damage or excess erosion (> 12.7 mm (0.5 in.) soil loss) during a 30-minute flow event in large scale testing. 5 Acceptable large-scale testing protocols may include ASTM D 6460, or other independent testing deemed acceptable by the engineer. Design and Installation RECPs should be installed according to manufacturer’s specifications and guidelines. Regardless of the type of product used, it is important to ensure no gaps or voids exist under the material and that all corners of the material are secured using stakes and trenching. Continuous contact between the product and the soil is necessary to avoid failure. Never use metal stakes to secure temporary erosion control products. Often wooden stakes are used to anchor RECPs; however, wood stakes may present installation and maintenance challenges and generally take a long time to biodegrade. Some local jurisdictions have had favorable experiences using biodegradable stakes. This BMP Fact Sheet provides design details for several commonly used ECB applications, including: ECB-1 Pipe Outlet to Drainageway ECB-2 Small Ditch or Drainageway ECB-3 Outside of Drainageway Rolled Erosion Control Products (RECP) EC-6 November 2010 Urban Drainage and Flood Control District RECP-5 Urban Storm Drainage Criteria Manual Volume 3 Staking patterns are also provided in the design details according to these factors:  ECB type  Slope or channel type For other types of RECPs including TRMs, these design details are intended to serve as general guidelines for design and installation; however, engineers should adhere to manufacturer’s installation recommendations. Maintenance and Removal Inspection of erosion control blankets and other RECPs includes:  Check for general signs of erosion, including voids beneath the mat. If voids are apparent, fill the void with suitable soil and replace the erosion control blanket, following the appropriate staking pattern.  Check for damaged or loose stakes and secure loose portions of the blanket. Erosion control blankets and other RECPs that are biodegradable typically do not need to be removed after construction. If they must be removed, then an alternate soil stabilization method should be installed promptly following removal. Turf reinforcement mats, although generally resistant to biodegradation, are typically left in place as a dense vegetated cover grows in through the mat matrix. The turf reinforcement mat provides long-term stability and helps the established vegetation resist erosive forces. EC-6 Rolled Erosion Control Products (RECP) RECP-6 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Rolled Erosion Control Products (RECP) EC-6 November 2010 Urban Drainage and Flood Control District RECP-7 Urban Storm Drainage Criteria Manual Volume 3 EC-6 Rolled Erosion Control Products (RECP) RECP-8 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Rolled Erosion Control Products (RECP) EC-6 November 2010 Urban Drainage and Flood Control District RECP-9 Urban Storm Drainage Criteria Manual Volume 3 Temporary Outlet Protection (TOP) EC-8 November 2010 Urban Drainage and Flood Control District TOP-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph TOP-1. Riprap outlet protection. Description Outlet protection helps to reduce erosion immediately downstream of a pipe, culvert, slope drain, rundown or other conveyance with concentrated, high- velocity flows. Typical outlet protection consists of riprap or rock aprons at the conveyance outlet. Appropriate Uses Outlet protection should be used when a conveyance discharges onto a disturbed area where there is potential for accelerated erosion due to concentrated flow. Outlet protection should be provided where the velocity at the culvert outlet exceeds the maximum permissible velocity of the material in the receiving channel. Note: This Fact Sheet and detail are for temporary outlet protection, outlets that are intended to be used for less than 2 years. For permanent, long-term outlet protection, see the Major Drainage chapter of Volume 1. Design and Installation Design outlet protection to handle runoff from the largest drainage area that may be contributing runoff during construction (the drainage area may change as a result of grading). Key in rock, around the entire perimeter of the apron, to a minimum depth of 6 inches for stability. Extend riprap to the height of the culvert or the normal flow depth of the downstream channel, whichever is less. Additional erosion control measures such as vegetative lining, turf reinforcement mat and/or other channel lining methods may be required downstream of the outlet protection if the channel is susceptible to erosion. See Design Detail OP-1 for additional information. Maintenance and Removal Inspect apron for damage and displaced rocks. If rocks are missing or significantly displaced, repair or replace as necessary. If rocks are continuously missing or displaced, consider increasing the size of the riprap or deeper keying of the perimeter. Remove sediment accumulated at the outlet before the outlet protection becomes buried and ineffective. When sediment accumulation is noted, check that upgradient BMPs, including inlet protection, are in effective operating condition. Outlet protection may be removed once the pipe is no longer draining an upstream area, or once the downstream area has been sufficiently stabilized. If the drainage pipe is permanent, outlet protection can be left in place; however, permanent outlet protection should be designed and constructed in accordance with the requirements of the Major Drainage chapter of Volume 2. Outlet Protection Functions Erosion Control Yes Sediment Control Moderate Site/Material Management No EC-8 Temporary Outlet Protection (TOP) TOP-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Temporary Outlet Protection (TOP) EC-8 November 2010 Urban Drainage and Flood Control District TOP-3 Urban Storm Drainage Criteria Manual Volume 3 Wind Erosion/Dust Control (DC) EC-14 November 2010 Urban Drainage and Flood Control District DC-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph DC-1. Water truck used for dust suppression. Photo courtesy of Douglas County. Description Wind erosion and dust control BMPs help to keep soil particles from entering the air as a result of land disturbing construction activities. These BMPs include a variety of practices generally focused on either graded disturbed areas or construction roadways. For graded areas, practices such as seeding and mulching, use of soil binders, site watering, or other practices that provide prompt surface cover should be used. For construction roadways, road watering and stabilized surfaces should be considered. Appropriate Uses Dust control measures should be used on any site where dust poses a problem to air quality. Dust control is important to control for the health of construction workers and surrounding waterbodies. Design and Installation The following construction BMPs can be used for dust control:  An irrigation/sprinkler system can be used to wet the top layer of disturbed soil to help keep dry soil particles from becoming airborne.  Seeding and mulching can be used to stabilize disturbed surfaces and reduce dust emissions.  Protecting existing vegetation can help to slow wind velocities across the ground surface, thereby limiting the likelihood of soil particles to become airborne.  Spray-on soil binders form a bond between soil particles keeping them grounded. Chemical treatments may require additional permitting requirements. Potential impacts to surrounding waterways and habitat must be considered prior to use.  Placing rock on construction roadways and entrances will help keep dust to a minimum across the construction site.  Wind fences can be installed on site to reduce wind speeds. Install fences perpendicular to the prevailing wind direction for maximum effectiveness. Maintenance and Removal When using an irrigation/sprinkler control system to aid in dust control, be careful not to overwater. Overwatering will cause construction vehicles to track mud off-site. Wind Erosion Control/ Dust Control Functions Erosion Control Yes Sediment Control No Site/Material Management Moderate Concrete Washout Area (CWA) MM-1 November 2010 Urban Drainage and Flood Control District CWA-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph CWA-1. Example of concrete washout area. Note gravel tracking pad for access and sign. Description Concrete waste management involves designating and properly managing a specific area of the construction site as a concrete washout area. A concrete washout area can be created using one of several approaches designed to receive wash water from washing of tools and concrete mixer chutes, liquid concrete waste from dump trucks, mobile batch mixers, or pump trucks. Three basic approaches are available: excavation of a pit in the ground, use of an above ground storage area, or use of prefabricated haul- away concrete washout containers. Surface discharges of concrete washout water from construction sites are prohibited. Appropriate Uses Concrete washout areas must be designated on all sites that will generate concrete wash water or liquid concrete waste from onsite concrete mixing or concrete delivery. Because pH is a pollutant of concern for washout activities, when unlined pits are used for concrete washout, the soil must have adequate buffering capacity to result in protection of state groundwater standards; otherwise, a liner/containment must be used. The following management practices are recommended to prevent an impact from unlined pits to groundwater:  The use of the washout site should be temporary (less than 1 year), and  The washout site should be not be located in an area where shallow groundwater may be present, such as near natural drainages, springs, or wetlands. Design and Installation Concrete washout activities must be conducted in a manner that does not contribute pollutants to surface waters or stormwater runoff. Concrete washout areas may be lined or unlined excavated pits in the ground, commercially manufactured prefabricated washout containers, or aboveground holding areas constructed of berms, sandbags or straw bales with a plastic liner. Although unlined washout areas may be used, lined pits may be required to protect groundwater under certain conditions. Do not locate an unlined washout area within 400 feet of any natural drainage pathway or waterbody or within 1,000 feet of any wells or drinking water sources. Even for lined concrete washouts, it is advisable to locate the facility away from waterbodies and drainage paths. If site constraints make these Concrete Washout Area Functions Erosion Control No Sediment Control No Site/Material Management Yes MM-1 Concrete Washout Area (CWA) CWA-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 setbacks infeasible or if highly permeable soils exist in the area, then the pit must be installed with an impermeable liner (16 mil minimum thickness) or surface storage alternatives using prefabricated concrete washout devices or a lined aboveground storage area should be used. Design details with notes are provided in Detail CWA-1 for pits and CWA-2 for aboveground storage areas. Pre-fabricated concrete washout container information can be obtained from vendors. Maintenance and Removal A key consideration for concrete washout areas is to ensure that adequate signage is in place identifying the location of the washout area. Part of inspecting and maintaining washout areas is ensuring that adequate signage is provided and in good repair and that the washout area is being used, as opposed to washout in non-designated areas of the site. Remove concrete waste in the washout area, as needed to maintain BMP function (typically when filled to about two-thirds of its capacity). Collect concrete waste and deliver offsite to a designated disposal location. Upon termination of use of the washout site, accumulated solid waste, including concrete waste and any contaminated soils, must be removed from the site to prevent on-site disposal of solid waste. If the wash water is allowed to evaporate and the concrete hardens, it may be recycled. Photograph CWA-3. Earthen concrete washout. Photo courtesy of CDOT. Photograph CWA-2. Prefabricated concrete washout. Photo courtesy of CDOT. Concrete Washout Area (CWA) MM-1 November 2010 Urban Drainage and Flood Control District CWA-3 Urban Storm Drainage Criteria Manual Volume 3 MM-1 Concrete Washout Area (CWA) CWA-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Stockpile Management (SP) MM-2 November 2010 Urban Drainage and Flood Control District SP-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph SP-1. A topsoil stockpile that has been partially revegetated and is protected by silt fence perimeter control. Description Stockpile management includes measures to minimize erosion and sediment transport from soil stockpiles. Appropriate Uses Stockpile management should be used when soils or other erodible materials are stored at the construction site. Special attention should be given to stockpiles in close proximity to natural or manmade storm systems. Design and Installation Locate stockpiles away from all drainage system components including storm sewer inlets. Where practical, choose stockpile locations that that will remain undisturbed for the longest period of time as the phases of construction progress. Place sediment control BMPs around the perimeter of the stockpile, such as sediment control logs, rock socks, silt fence, straw bales and sand bags. See Detail SP-1 for guidance on proper establishment of perimeter controls around a stockpile. For stockpiles in active use, provide a stabilized designated access point on the upgradient side of the stockpile. Stabilize the stockpile surface with surface roughening, temporary seeding and mulching, erosion control blankets, or soil binders. Soils stockpiled for an extended period (typically for more than 60 days) should be seeded and mulched with a temporary grass cover once the stockpile is placed (typically within 14 days). Use of mulch only or a soil binder is acceptable if the stockpile will be in place for a more limited time period (typically 30-60 days). Timeframes for stabilization of stockpiles noted in this fact sheet are "typical" guidelines. Check permit requirements for specific federal, state, and/or local requirements that may be more prescriptive. Stockpiles should not be placed in streets or paved areas unless no other practical alternative exists. See the Stabilized Staging Area Fact Sheet for guidance when staging in roadways is unavoidable due to space or right-of-way constraints. For paved areas, rock socks must be used for perimeter control and all inlets with the potential to receive sediment from the stockpile (even from vehicle tracking) must be protected. Maintenance and Removal Inspect perimeter controls and inlet protection in accordance with their respective BMP Fact Sheets. Where seeding, mulch and/or soil binders are used, reseeding or reapplication of soil binder may be necessary. When temporary removal of a perimeter BMP is necessary to access a stockpile, ensure BMPs are reinstalled in accordance with their respective design detail section. Stockpile Management Functions Erosion Control Yes Sediment Control Yes Site/Material Management Yes MM-2 Stockpile Management (SM) SP-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 When the stockpile is no longer needed, properly dispose of excess materials and revegetate or otherwise stabilize the ground surface where the stockpile was located. Stockpile Management (SP) MM-2 November 2010 Urban Drainage and Flood Control District SP-3 Urban Storm Drainage Criteria Manual Volume 3 MM-2 Stockpile Management (SM) SP-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Stockpile Management (SP) MM-2 November 2010 Urban Drainage and Flood Control District SP-5 Urban Storm Drainage Criteria Manual Volume 3 MM-2 Stockpile Management (SM) SP-6 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Good Housekeeping Practices (GH) MM-3 November 2010 Urban Drainage and Flood Control District GH-1 Urban Storm Drainage Criteria Manual Volume 3 Photographs GH-1 and GH-2. Proper materials storage and secondary containment for fuel tanks are important good housekeeping practices. Photos courtesy of CDOT and City of Aurora. Description Implement construction site good housekeeping practices to prevent pollution associated with solid, liquid and hazardous construction-related materials and wastes. Stormwater Management Plans (SWMPs) should clearly specify BMPs including these good housekeeping practices:  Provide for waste management.  Establish proper building material staging areas.  Designate paint and concrete washout areas.  Establish proper equipment/vehicle fueling and maintenance practices.  Control equipment/vehicle washing and allowable non- stormwater discharges.  Develop a spill prevention and response plan. Acknowledgement: This Fact Sheet is based directly on EPA guidance provided in Developing Your Stormwater Pollution Prevent Plan (EPA 2007). Appropriate Uses Good housekeeping practices are necessary at all construction sites. Design and Installation The following principles and actions should be addressed in SWMPs:  Provide for Waste Management. Implement management procedures and practices to prevent or reduce the exposure and transport of pollutants in stormwater from solid, liquid and sanitary wastes that will be generated at the site. Practices such as trash disposal, recycling, proper material handling, and cleanup measures can reduce the potential for stormwater runoff to pick up construction site wastes and discharge them to surface waters. Implement a comprehensive set of waste-management practices for hazardous or toxic materials, such as paints, solvents, petroleum products, pesticides, wood preservatives, acids, roofing tar, and other materials. Practices should include storage, handling, inventory, and cleanup procedures, in case of spills. Specific practices that should be considered include: Solid or Construction Waste o Designate trash and bulk waste-collection areas on- site. Good Housekeeping Functions Erosion Control No Sediment Control No Site/Material Management Yes MM-3 Good Housekeeping Practices (GH) GH-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Photograph GH-3. Locate portable toilet facilities on level surfaces away from waterways and storm drains. Photo courtesy of WWE. o Recycle materials whenever possible (e.g., paper, wood, concrete, oil). o Segregate and provide proper disposal options for hazardous material wastes. o Clean up litter and debris from the construction site daily. o Locate waste-collection areas away from streets, gutters, watercourses, and storm drains. Waste- collection areas (dumpsters, and such) are often best located near construction site entrances to minimize traffic on disturbed soils. Consider secondary containment around waste collection areas to minimize the likelihood of contaminated discharges. o Empty waste containers before they are full and overflowing. Sanitary and Septic Waste o Provide convenient, well-maintained, and properly located toilet facilities on-site. o Locate toilet facilities away from storm drain inlets and waterways to prevent accidental spills and contamination of stormwater. o Maintain clean restroom facilities and empty portable toilets regularly. o Where possible, provide secondary containment pans under portable toilets. o Provide tie-downs or stake-downs for portable toilets. o Educate employees, subcontractors, and suppliers on locations of facilities. o Treat or dispose of sanitary and septic waste in accordance with state or local regulations. Do not discharge or bury wastewater at the construction site. o Inspect facilities for leaks. If found, repair or replace immediately. o Special care is necessary during maintenance (pump out) to ensure that waste and/or biocide are not spilled on the ground. Hazardous Materials and Wastes o Develop and implement employee and subcontractor education, as needed, on hazardous and toxic waste handling, storage, disposal, and cleanup. o Designate hazardous waste-collection areas on-site. o Place all hazardous and toxic material wastes in secondary containment. Good Housekeeping Practices (GH) MM-3 November 2010 Urban Drainage and Flood Control District GH-3 Urban Storm Drainage Criteria Manual Volume 3 o Hazardous waste containers should be inspected to ensure that all containers are labeled properly and that no leaks are present.  Establish Proper Building Material Handling and Staging Areas. The SWMP should include comprehensive handling and management procedures for building materials, especially those that are hazardous or toxic. Paints, solvents, pesticides, fuels and oils, other hazardous materials or building materials that have the potential to contaminate stormwater should be stored indoors or under cover whenever possible or in areas with secondary containment. Secondary containment measures prevent a spill from spreading across the site and may include dikes, berms, curbing, or other containment methods. Secondary containment techniques should also ensure the protection of groundwater. Designate staging areas for activities such as fueling vehicles, mixing paints, plaster, mortar, and other potential pollutants. Designated staging areas enable easier monitoring of the use of materials and clean up of spills. Training employees and subcontractors is essential to the success of this pollution prevention principle. Consider the following specific materials handling and staging practices: o Train employees and subcontractors in proper handling and storage practices. o Clearly designate site areas for staging and storage with signs and on construction drawings. Staging areas should be located in areas central to the construction site. Segment the staging area into sub-areas designated for vehicles, equipment, or stockpiles. Construction entrances and exits should be clearly marked so that delivery vehicles enter/exit through stabilized areas with vehicle tracking controls (See Vehicle Tracking Control Fact Sheet). o Provide storage in accordance with Spill Protection, Control and Countermeasures (SPCC) requirements and plans and provide cover and impermeable perimeter control, as necessary, for hazardous materials and contaminated soils that must be stored on site. o Ensure that storage containers are regularly inspected for leaks, corrosion, support or foundation failure, or other signs of deterioration and tested for soundness. o Reuse and recycle construction materials when possible.  Designate Concrete Washout Areas. Concrete contractors should be encouraged to use the washout facilities at their own plants or dispatch facilities when feasible; however, concrete washout commonly occurs on construction sites. If it is necessary to provide for concrete washout areas on- site, designate specific washout areas and design facilities to handle anticipated washout water. Washout areas should also be provided for paint and stucco operations. Because washout areas can be a source of pollutants from leaks or spills, care must be taken with regard to their placement and proper use. See the Concrete Washout Area Fact Sheet for detailed guidance. Both self-constructed and prefabricated washout containers can fill up quickly when concrete, paint, and stucco work are occurring on large portions of the site. Be sure to check for evidence that contractors are using the washout areas and not dumping materials onto the ground or into drainage facilities. If the washout areas are not being used regularly, consider posting additional signage, relocating the facilities to more convenient locations, or providing training to workers and contractors. When concrete, paint, or stucco is part of the construction process, consider these practices which will help prevent contamination of stormwater. Include the locations of these areas and the maintenance and inspection procedures in the SWMP. MM-3 Good Housekeeping Practices (GH) GH-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 o Do not washout concrete trucks or equipment into storm drains, streets, gutters, uncontained areas, or streams. Only use designated washout areas. o Establish washout areas and advertise their locations with signs. Ensure that signage remains in good repair. o Provide adequate containment for the amount of wash water that will be used. o Inspect washout structures daily to detect leaks or tears and to identify when materials need to be removed. o Dispose of materials properly. The preferred method is to allow the water to evaporate and to recycle the hardened concrete. Full service companies may provide dewatering services and should dispose of wastewater properly. Concrete wash water can be highly polluted. It should not be discharged to any surface water, storm sewer system, or allowed to infiltrate into the ground in the vicinity of waterbodies. Washwater should not be discharged to a sanitary sewer system without first receiving written permission from the system operator.  Establish Proper Equipment/Vehicle Fueling and Maintenance Practices. Create a clearly designated on-site fueling and maintenance area that is clean and dry. The on-site fueling area should have a spill kit, and staff should know how to use it. If possible, conduct vehicle fueling and maintenance activities in a covered area. Consider the following practices to help prevent the discharge of pollutants to stormwater from equipment/vehicle fueling and maintenance. Include the locations of designated fueling and maintenance areas and inspection and maintenance procedures in the SWMP. o Train employees and subcontractors in proper fueling procedures (stay with vehicles during fueling, proper use of pumps, emergency shutoff valves, etc.). o Inspect on-site vehicles and equipment regularly for leaks, equipment damage, and other service problems. o Clearly designate vehicle/equipment service areas away from drainage facilities and watercourses to prevent stormwater run-on and runoff. o Use drip pans, drip cloths, or absorbent pads when replacing spent fluids. o Collect all spent fluids, store in appropriate labeled containers in the proper storage areas, and recycle fluids whenever possible.  Control Equipment/Vehicle Washing and Allowable Non-Stormwater Discharges. Implement practices to prevent contamination of surface and groundwater from equipment and vehicle wash water. Representative practices include: o Educate employees and subcontractors on proper washing procedures. o Use off-site washing facilities, when available. o Clearly mark the washing areas and inform workers that all washing must occur in this area. o Contain wash water and treat it using BMPs. Infiltrate washwater when possible, but maintain separation from drainage paths and waterbodies. Good Housekeeping Practices (GH) MM-3 November 2010 Urban Drainage and Flood Control District GH-5 Urban Storm Drainage Criteria Manual Volume 3 o Use high-pressure water spray at vehicle washing facilities without detergents. Water alone can remove most dirt adequately. o Do not conduct other activities, such as vehicle repairs, in the wash area. o Include the location of the washing facilities and the inspection and maintenance procedures in the SWMP.  Develop a Spill Prevention and Response Plan. Spill prevention and response procedures must be identified in the SWMP. Representative procedures include identifying ways to reduce the chance of spills, stop the source of spills, contain and clean up spills, dispose of materials contaminated by spills, and train personnel responsible for spill prevention and response. The plan should also specify material handling procedures and storage requirements and ensure that clear and concise spill cleanup procedures are provided and posted for areas in which spills may potentially occur. When developing a spill prevention plan, include the following: o Note the locations of chemical storage areas, storm drains, tributary drainage areas, surface waterbodies on or near the site, and measures to stop spills from leaving the site. o Provide proper handling and safety procedures for each type of waste. Keep Material Safety Data Sheets (MSDSs) for chemical used on site with the SWMP. o Establish an education program for employees and subcontractors on the potential hazards to humans and the environment from spills and leaks. o Specify how to notify appropriate authorities, such as police and fire departments, hospitals, or municipal sewage treatment facilities to request assistance. Emergency procedures and contact numbers should be provided in the SWMP and posted at storage locations. o Describe the procedures, equipment and materials for immediate cleanup of spills and proper disposal. o Identify personnel responsible for implementing the plan in the event of a spill. Update the spill prevention plan and clean up materials as changes occur to the types of chemicals stored and used at the facility. MM-3 Good Housekeeping Practices (GH) GH-6 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Spill Prevention, Control, and Countermeasure (SPCC) Plan Construction sites may be subject to 40 CFR Part 112 regulations that require the preparation and implementation of a SPCC Plan to prevent oil spills from aboveground and underground storage tanks. The facility is subject to this rule if it is a non-transportation-related facility that:  Has a total storage capacity greater than 1,320 gallons or a completely buried storage capacity greater than 42,000 gallons.  Could reasonably be expected to discharge oil in quantities that may be harmful to navigable waters of the United States and adjoining shorelines. Furthermore, if the facility is subject to 40 CFR Part 112, the SWMP should reference the SPCC Plan. To find out more about SPCC Plans, see EPA's website on SPPC at www.epa.gov/oilspill/spcc.htm. Reporting Oil Spills In the event of an oil spill, contact the National Response Center toll free at 1-800-424- 8802 for assistance, or for more details, visit their website: www.nrc.uscg.mil. Maintenance and Removal Effective implementation of good housekeeping practices is dependent on clear designation of personnel responsible for supervising and implementing good housekeeping programs, such as site cleanup and disposal of trash and debris, hazardous material management and disposal, vehicle and equipment maintenance, and other practices. Emergency response "drills" may aid in emergency preparedness. Checklists may be helpful in good housekeeping efforts. Staging and storage areas require permanent stabilization when the areas are no longer being used for construction-related activities. Construction-related materials, debris and waste must be removed from the construction site once construction is complete. Design Details See the following Fact Sheets for related Design Details: MM-1 Concrete Washout Area MM-2 Stockpile Management SM-4 Vehicle Tracking Control Design details are not necessary for other good housekeeping practices; however, be sure to designate where specific practices will occur on the appropriate construction drawings. Silt Fence (SF) SC-1 November 2010 Urban Drainage and Flood Control District SF-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph SF-1. Silt fence creates a sediment barrier, forcing sheet flow runoff to evaporate or infiltrate. Description A silt fence is a woven geotextile fabric attached to wooden posts and trenched into the ground. It is designed as a sediment barrier to intercept sheet flow runoff from disturbed areas. Appropriate Uses A silt fence can be used where runoff is conveyed from a disturbed area as sheet flow. Silt fence is not designed to receive concentrated flow or to be used as a filter fabric. Typical uses include:  Down slope of a disturbed area to accept sheet flow.  Along the perimeter of a receiving water such as a stream, pond or wetland.  At the perimeter of a construction site. Design and Installation Silt fence should be installed along the contour of slopes so that it intercepts sheet flow. The maximum recommended tributary drainage area per 100 lineal feet of silt fence, installed along the contour, is approximately 0.25 acres with a disturbed slope length of up to 150 feet and a tributary slope gradient no steeper than 3:1. Longer and steeper slopes require additional measures. This recommendation only applies to silt fence installed along the contour. Silt fence installed for other uses, such as perimeter control, should be installed in a way that will not produce concentrated flows. For example, a "J-hook" installation may be appropriate to force runoff to pond and evaporate or infiltrate in multiple areas rather than concentrate and cause erosive conditions parallel to the silt fence. See Detail SF-1 for proper silt fence installation, which involves proper trenching, staking, securing the fabric to the stakes, and backfilling the silt fence. Properly installed silt fence should not be easily pulled out by hand and there should be no gaps between the ground and the fabric. Silt fence must meet the minimum allowable strength requirements, depth of installation requirement, and other specifications in the design details. Improper installation of silt fence is a common reason for silt fence failure; however, when properly installed and used for the appropriate purposes, it can be highly effective. Silt Fence Functions Erosion Control No Sediment Control Yes Site/Material Management No SC-1 Silt Fence (SF) SF-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Photograph SF-2. When silt fence is not installed along the contour, a "J-hook" installation may be appropriate to ensure that the BMP does not create concentrated flow parallel to the silt fence. Photo courtesy of Tom Gore. Maintenance and Removal Inspection of silt fence includes observing the material for tears or holes and checking for slumping fence and undercut areas bypassing flows. Repair of silt fence typically involves replacing the damaged section with a new section. Sediment accumulated behind silt fence should be removed, as needed to maintain BMP effectiveness, typically before it reaches a depth of 6 inches. Silt fence may be removed when the upstream area has reached final stabilization. Silt Fence (SF) SC-1 November 2010 Urban Drainage and Flood Control District SF-3 Urban Storm Drainage Criteria Manual Volume 3 SC-1 Silt Fence (SF) SF-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Sediment Control Log (SCL) SC-2 November 2010 Urban Drainage and Flood Control District SCL-1 Urban Storm Drainage Criteria Manual Volume 3 Photographs SCL-1 and SCL-2. Sediment control logs used as 1) a perimeter control around a soil stockpile; and, 2) as a "J-hook" perimeter control at the corner of a construction site. Description A sediment control log is a linear roll made of natural materials such as straw, coconut fiber, or other fibrous material trenched into the ground and held with a wooden stake. Sediment control logs are also often referred to as "straw wattles." They are used as a sediment barrier to intercept sheet flow runoff from disturbed areas. Appropriate Uses Sediment control logs can be used in the following applications to trap sediment:  As perimeter control for stockpiles and the site.  As part of inlet protection designs.  As check dams in small drainage ditches. (Sediment control logs are not intended for use in channels with high flow velocities.)  On disturbed slopes to shorten flow lengths (as an erosion control).  As part of multi-layered perimeter control along a receiving water such as a stream, pond or wetland. Sediment control logs work well in combination with other layers of erosion and sediment controls. Design and Installation Sediment control logs should be installed along the contour to avoid concentrating flows. The maximum allowable tributary drainage area per 100 lineal feet of sediment control log, installed along the contour, is approximately 0.25 acres with a disturbed slope length of up to 150 feet and a tributary slope gradient no steeper than 3:1. Longer and steeper slopes require additional measures. This recommendation only applies to sediment control logs installed along the contour. When installed for other uses, such as perimeter control, it should be installed in a way that will not produce concentrated flows. For example, a "J-hook" installation may be appropriate to force runoff to pond and evaporate or infiltrate in multiple areas rather than concentrate and cause erosive conditions parallel to the BMP. Sediment Control Log Functions Erosion Control Moderate Sediment Control Yes Site/Material Management No SC-2 Sediment Control Log (SCL) SCL-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Although sediment control logs initially allow runoff to flow through the BMP, they can quickly become a barrier and should be installed is if they are impermeable. Design details and notes for sediment control logs are provided in Detail SCL-1. Sediment logs must be properly trenched and staked into the ground to prevent undercutting, bypassing and displacement. When installed on slopes, sediment control logs should be installed along the contours (i.e., perpendicular to flow). Improper installation can lead to poor performance. Be sure that sediment control logs are properly trenched, anchored and tightly jointed. Maintenance and Removal Be aware that sediment control logs will eventually degrade. Remove accumulated sediment before the depth is one-half the height of the sediment log and repair damage to the sediment log, typically by replacing the damaged section. Once the upstream area is stabilized, remove and properly dispose of the logs. Areas disturbed beneath the logs may need to be seeded and mulched. Sediment control logs that are biodegradable may occasionally be left in place (e.g., when logs are used in conjunction with erosion control blankets as permanent slope breaks). However, removal of sediment control logs after final stabilization is typically recommended when used in perimeter control, inlet protection and check dam applications. Sediment Control Log (SCL) SC-2 November 2010 Urban Drainage and Flood Control District SCL-3 Urban Storm Drainage Criteria Manual Volume 3 SC-2 Sediment Control Log (SCL) SCL-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Sediment Control Log (SCL) SC-2 November 2010 Urban Drainage and Flood Control District SCL-5 Urban Storm Drainage Criteria Manual Volume 3 Inlet Protection (IP) SC-6 November 2010 Urban Drainage and Flood Control District IP-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph IP-1. Inlet protection for a curb opening inlet. Description Inlet protection consists of permeable barriers installed around an inlet to filter runoff and remove sediment prior to entering a storm drain inlet. Inlet protection can be constructed from rock socks, sediment control logs, silt fence, block and rock socks, or other materials approved by the local jurisdiction. Area inlets can also be protected by over-excavating around the inlet to form a sediment trap. Appropriate Uses Install protection at storm sewer inlets that are operable during construction. Consider the potential for tracked-out sediment or temporary stockpile areas to contribute sediment to inlets when determining which inlets must be protected. This may include inlets in the general proximity of the construction area, not limited to downgradient inlets. Inlet protection is not Design and Installation a stand-alone BMP and should be used in conjunction with other upgradient BMPs. To function effectively, inlet protection measures must be installed to ensure that flows do not bypass the inlet protection and enter the storm drain without treatment. However, designs must also enable the inlet to function without completely blocking flows into the inlet in a manner that causes localized flooding. When selecting the type of inlet protection, consider factors such as type of inlet (e.g., curb or area, sump or on-grade conditions), traffic, anticipated flows, ability to secure the BMP properly, safety and other site-specific conditions. For example, block and rock socks will be better suited to a curb and gutter along a roadway, as opposed to silt fence or sediment control logs, which cannot be properly secured in a curb and gutter setting, but are effective area inlet protection measures. Several inlet protection designs are provided in the Design Details. Additionally, a variety of proprietary products are available for inlet protection that may be approved for use by local governments. If proprietary products are used, design details and installation procedures from the manufacturer must be followed. Regardless of the type of inlet protection selected, inlet protection is most effective when combined with other BMPs such as curb socks and check dams. Inlet protection is often the last barrier before runoff enters the storm sewer or receiving water. Design details with notes are provided for these forms of inlet protection: IP-1. Block and Rock Sock Inlet Protection for Sump or On-grade Inlets IP-2. Curb (Rock) Socks Upstream of Inlet Protection, On-grade Inlets Inlet Protection (various forms) Functions Erosion Control No Sediment Control Yes Site/Material Management No SC-6 Inlet Protection (IP) IP-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 IP-3. Rock Sock Inlet Protection for Sump/Area Inlet IP-4. Silt Fence Inlet Protection for Sump/Area Inlet IP-5. Over-excavation Inlet Protection IP-6. Straw Bale Inlet Protection for Sump/Area Inlet CIP-1. Culvert Inlet Protection Propriety inlet protection devices should be installed in accordance with manufacturer specifications. More information is provided below on selecting inlet protection for sump and on-grade locations. Inlets Located in a Sump When applying inlet protection in sump conditions, it is important that the inlet continue to function during larger runoff events. For curb inlets, the maximum height of the protective barrier should be lower than the top of the curb opening to allow overflow into the inlet during larger storms without excessive localized flooding. If the inlet protection height is greater than the curb elevation, particularly if the filter becomes clogged with sediment, runoff will not enter the inlet and may bypass it, possibly causing localized flooding, public safety issues, and downstream erosion and damage from bypassed flows. Area inlets located in a sump setting can be protected through the use of silt fence, concrete block and rock socks (on paved surfaces), sediment control logs/straw wattles embedded in the adjacent soil and stacked around the area inlet (on pervious surfaces), over-excavation around the inlet, and proprietary products providing equivalent functions. Inlets Located on a Slope For curb and gutter inlets on paved sloping streets, block and rock sock inlet protection is recommended in conjunction with curb socks in the gutter leading to the inlet. For inlets located along unpaved roads, also see the Check Dam Fact Sheet. Maintenance and Removal Inspect inlet protection frequently. Inspection and maintenance guidance includes:  Inspect for tears that can result in sediment directly entering the inlet, as well as result in the contents of the BMP (e.g., gravel) washing into the inlet.  Check for improper installation resulting in untreated flows bypassing the BMP and directly entering the inlet or bypassing to an unprotected downstream inlet. For example, silt fence that has not been properly trenched around the inlet can result in flows under the silt fence and directly into the inlet.  Look for displaced BMPs that are no longer protecting the inlet. Displacement may occur following larger storm events that wash away or reposition the inlet protection. Traffic or equipment may also crush or displace the BMP.  Monitor sediment accumulation upgradient of the inlet protection. Inlet Protection (IP) SC-6 November 2010 Urban Drainage and Flood Control District IP-3 Urban Storm Drainage Criteria Manual Volume 3  Remove sediment accumulation from the area upstream of the inlet protection, as needed to maintain BMP effectiveness, typically when it reaches no more than half the storage capacity of the inlet protection. For silt fence, remove sediment when it accumulates to a depth of no more than 6 inches. Remove sediment accumulation from the area upstream of the inlet protection as needed to maintain the functionality of the BMP.  Propriety inlet protection devices should be inspected and maintained in accordance with manufacturer specifications. If proprietary inlet insert devices are used, sediment should be removed in a timely manner to prevent devices from breaking and spilling sediment into the storm drain. Inlet protection must be removed and properly disposed of when the drainage area for the inlet has reached final stabilization. SC-6 Inlet Protection (IP) IP-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Inlet Protection (IP) SC-6 November 2010 Urban Drainage and Flood Control District IP-5 Urban Storm Drainage Criteria Manual Volume 3 SC-6 Inlet Protection (IP) IP-6 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Inlet Protection (IP) SC-6 November 2010 Urban Drainage and Flood Control District IP-7 Urban Storm Drainage Criteria Manual Volume 3 Sediment Basin (SB) SC-7 November 2010 Urban Drainage and Flood Control District SB-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph SB-1. Sediment basin at the toe of a slope. Photo courtesy of WWE. Description A sediment basin is a temporary pond built on a construction site to capture eroded or disturbed soil transported in storm runoff prior to discharge from the site. Sediment basins are designed to capture site runoff and slowly release it to allow time for settling of sediment prior to discharge. Sediment basins are often constructed in locations that will later be modified to serve as post-construction stormwater basins. Appropriate Uses Most large construction sites (typically greater than 2 acres) will require one or more sediment basins for effective management of construction site runoff. On linear construction projects, sediment basins may be impractical; instead, sediment traps or other combinations of BMPs may be more appropriate. Sediment basins should not be used as stand-alone sediment controls. Erosion and other sediment controls should also be implemented upstream. When feasible, the sediment basin should be installed in the same location where a permanent post- construction detention pond will be located. Design and Installation The design procedure for a sediment basin includes these steps:  Basin Storage Volume: Provide a storage volume of at least 3,600 cubic feet per acre of drainage area. To the extent practical, undisturbed and/or off-site areas should be diverted around sediment basins to prevent “clean” runoff from mixing with runoff from disturbed areas. For undisturbed areas (both on-site and off-site) that cannot be diverted around the sediment basin, provide a minimum of 500 ft3/acre of storage for undeveloped (but stable) off-site areas in addition to the 3,600 ft3/acre for disturbed areas. For stable, developed areas that cannot be diverted around the sediment basin, storage volume requirements are summarized in Table SB-1.  Basin Geometry: Design basin with a minimum length-to-width ratio of 2:1 (L:W). If this cannot be achieved because of site space constraints, baffling may be required to extend the effective distance between the inflow point(s) and the outlet to minimize short-circuiting.  Dam Embankment: It is recommended that embankment slopes be 4:1 (H:V) or flatter and no steeper than 3:1 (H:V) in any location. Sediment Basins Functions Erosion Control No Sediment Control Yes Site/Material Management No SC-7 Sediment Basin (SB) SB-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3  Inflow Structure: For concentrated flow entering the basin, provide energy dissipation at the point of inflow. Table SB-1. Additional Volume Requirements for Undisturbed and Developed TributaryAreas Draining through Sediment Basins Imperviousness (%) Additional Storage Volume (ft3) Per Acre of Tributary Area Undeveloped 500 10 800 20 1230 30 1600 40 2030 50 2470 60 2980 70 3560 80 4360 90 5300 100 6460  Outlet Works: The outlet pipe shall extend through the embankment at a minimum slope of 0.5 percent. Outlet works can be designed using one of the following approaches: o Perforated Riser/Plate: Follow the design criteria for Full Spectrum Detention outlets in the EDB BMP Fact Sheet provided in Chapter 4 of this manual for sizing of outlet perforations with an emptying time of approximately 72 hours. In lieu of the well-screen trash rack, pack uniformly sized 1½ - to 2-inch gravel in front of the plate. This gravel will need to be cleaned out frequently during the construction period as sediment accumulates within it. The gravel pack will need to be removed and disposed of following construction to reclaim the basin for use as a permanent detention facility. If the basin will be used as a permanent extended detention basin for the site, a well-screen trash rack will need to be installed once contributing drainage areas have been stabilized and the gravel pack and accumulated sediment have been removed. o Floating Skimmer: If a floating skimmer is used, install it using manufacturer’s recommendations. Illustration SB-1 provides an illustration of a Faircloth Skimmer Floating Outlet™, one of the more commonly used floating skimmer outlets. A skimmer should be designed to release the design volume in no less than 48 hours. The use of a floating skimmer outlet can increase the sediment capture efficiency of a basin significantly. A floating outlet continually decants cleanest water off the surface of the pond and releases cleaner water than would discharge from a perforated riser pipe or plate. Sediment Basin (SB) SC-7 November 2010 Urban Drainage and Flood Control District SB-3 Urban Storm Drainage Criteria Manual Volume 3 Illustration SB-1. Outlet structure for a temporary sediment basin - Faircloth Skimmer Floating Outlet. Illustration courtesy of J. W. Faircloth & Sons, Inc., FairclothSkimmer.com. o Outlet Protection: Outlet protection should be provided where the velocity of flow will exceed the maximum permissible velocity of the material of the waterway into which discharge occurs. This may require the use of a riprap apron at the outlet location and/or other measures to keep the waterway from eroding. o Emergency Spillway: Provide a stabilized emergency overflow spillway for rainstorms that exceed the capacity of the sediment basin volume and its outlet. Protect basin embankments from erosion and overtopping. If the sediment basin will be converted to a permanent detention basin, design and construct the emergency spillway(s) as required for the permanent facility. If the sediment basin will not become a permanent detention basin, it may be possible to substitute a heavy polyvinyl membrane or properly bedded rock cover to line the spillway and downstream embankment, depending on the height, slope, and width of the embankments. Maintenance and Removal Maintenance activities include the following: • Dredge sediment from the basin, as needed to maintain BMP effectiveness, typically when the design storage volume is no more than one-third filled with sediment. • Inspect the sediment basin embankments for stability and seepage. • Inspect the inlet and outlet of the basin, repair damage, and remove debris. Remove, clean and replace the gravel around the outlet on a regular basis to remove the accumulated sediment within it and keep the outlet functioning. • Be aware that removal of a sediment basin may require dewatering and associated permit requirements. • Do not remove a sediment basin until the upstream area has been stabilized with vegetation. SC-7 Sediment Basin (SB) SB-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Final disposition of the sediment basin depends on whether the basin will be converted to a permanent post-construction stormwater basin or whether the basin area will be returned to grade. For basins being converted to permanent detention basins, remove accumulated sediment and reconfigure the basin and outlet to meet the requirements of the final design for the detention facility. If the sediment basin is not to be used as a permanent detention facility, fill the excavated area with soil and stabilize with vegetation. Sediment Basin (SB) SC-7 November 2010 Urban Drainage and Flood Control District SB-5 Urban Storm Drainage Criteria Manual Volume 3 SC-7 Sediment Basin (SB) SB-6 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Sediment Basin (SB) SC-7 November 2010 Urban Drainage and Flood Control District SB-7 Urban Storm Drainage Criteria Manual Volume 3 Construction Phasing/Sequencing (CP) SM-1 November 2010 Urban Drainage and Flood Control District CP-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph CP-1. Construction phasing to avoid disturbing the entire area at one time. Photo courtesy of WWE. Description Effective construction site management to minimize erosion and sediment transport includes attention to construction phasing, scheduling, and sequencing of land disturbing activities. On most construction projects, erosion and sediment controls will need to be adjusted as the project progresses and should be documented in the SWMP. Construction phasing refers to disturbing only part of a site at a time to limit the potential for erosion from dormant parts of a site. Grading activities and construction are completed and soils are effectively stabilized on one part of a site before grading and construction begins on another portion of the site. Construction sequencing or scheduling refers to a specified work schedule that coordinates the timing of land disturbing activities and the installation of erosion and sediment control practices. Appropriate Uses All construction projects can benefit from upfront planning to phase and sequence construction activities to minimize the extent and duration of disturbance. Larger projects and linear construction projects may benefit most from construction sequencing or phasing, but even small projects can benefit from construction sequencing that minimizes the duration of disturbance. Typically, erosion and sediment controls needed at a site will change as a site progresses through the major phases of construction. Erosion and sediment control practices corresponding to each phase of construction must be documented in the SWMP. Design and Installation BMPs appropriate to the major phases of development should be identified on construction drawings. In some cases, it will be necessary to provide several drawings showing construction-phase BMPs placed according to stages of development (e.g., clearing and grading, utility installation, active construction, final stabilization). Some municipalities in the Denver area set maximum sizes for disturbed area associated with phases of a construction project. Additionally, requirements for phased construction drawings vary among local governments within the UDFCD boundary. Some local governments require separate erosion and sediment control drawings for initial BMPs, interim conditions (in active construction), and final stabilization. Construction Scheduling Functions Erosion Control Moderate Sediment Control Moderate Site/Material Management Yes SM-1 Construction Phasing/Sequencing (CP) CP-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Typical construction phasing BMPs include:  Limit the amount of disturbed area at any given time on a site to the extent practical. For example, a 100-acre subdivision might be constructed in five phases of 20 acres each.  If there is carryover of stockpiled material from one phase to the next, position carryover material in a location easily accessible for the pending phase that will not require disturbance of stabilized areas to access the stockpile. Particularly with regard to efforts to balance cut and fill at a site, careful planning for location of stockpiles is important. Typical construction sequencing BMPs include:  Sequence construction activities to minimize duration of soil disturbance and exposure. For example, when multiple utilities will occupy the same trench, schedule installation so that the trench does not have to be closed and opened multiple times.  Schedule site stabilization activities (e.g., landscaping, seeding and mulching, installation of erosion control blankets) as soon as feasible following grading.  Install initial erosion and sediment control practices before construction begins. Promptly install additional BMPs for inlet protection, stabilization, etc., as construction activities are completed. Table CP-1 provides typical sequencing of construction activities and associated BMPs. Maintenance and Removal When the construction schedule is altered, erosion and sediment control measures in the SWMP and construction drawings should be appropriately adjusted to reflect actual "on the ground" conditions at the construction site. Be aware that changes in construction schedules can have significant implications for site stabilization, particularly with regard to establishment of vegetative cover. Construction Phasing/Sequencing (CP) SM-1 November 2010 Urban Drainage and Flood Control District CP-3 Urban Storm Drainage Criteria Manual Volume 3 Table CP -1. Typical Phased BMP Installation for Construction Projects Project Phase BMPs Pre- disturbance, Site Access  Install sediment controls downgradient of access point (on paved streets this may consist of inlet protection).  Establish vehicle tracking control at entrances to paved streets. Fence as needed.  Use construction fencing to define the boundaries of the project and limit access to areas of the site that are not to be disturbed. Note: it may be necessary to protect inlets in the general vicinity of the site, even if not downgradient, if there is a possibility that sediment tracked from the site could contribute to the inlets. Site Clearing and Grubbing  Install perimeter controls as needed on downgradient perimeter of site (silt fence, wattles, etc).  Limit disturbance to those areas planned for disturbance and protect undisturbed areas within the site (construction fence, flagging, etc).  Preserve vegetative buffer at site perimeter.  Create stabilized staging area.  Locate portable toilets on flat surfaces away from drainage paths. Stake in areas susceptible to high winds.  Construct concrete washout area and provide signage.  Establish waste disposal areas.  Install sediment basins.  Create dirt perimeter berms and/or brush barriers during grubbing and clearing.  Separate and stockpile topsoil, leave roughened and/or cover.  Protect stockpiles with perimeter control BMPs. Stockpiles should be located away from drainage paths and should be accessed from the upgradient side so that perimeter controls can remain in place on the downgradient side. Use erosion control blankets, temporary seeding, and/or mulch for stockpiles that will be inactive for an extended period.  Leave disturbed area of site in a roughened condition to limit erosion. Consider temporary revegetation for areas of the site that have been disturbed but that will be inactive for an extended period.  Water to minimize dust but not to the point that watering creates runoff. SM-1 Construction Phasing/Sequencing (CP) CP-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Project Phase BMPs Utility And Infrastructure Installation In Addition to the Above BMPs:  Close trench as soon as possible (generally at the end of the day).  Use rough-cut street control or apply road base for streets that will not be promptly paved.  Provide inlet protection as streets are paved and inlets are constructed.  Protect and repair BMPs, as necessary.  Perform street sweeping as needed. Building Construction In Addition to the Above BMPs:  Implement materials management and good housekeeping practices for home building activities.  Use perimeter controls for temporary stockpiles from foundation excavations.  For lots adjacent to streets, lot-line perimeter controls may be necessary at the back of curb. Final Grading In Addition to the Above BMPs:  Remove excess or waste materials.  Remove stored materials. Final Stabilization In Addition to the Above BMPs:  Seed and mulch/tackify.  Seed and install blankets on steep slopes.  Remove all temporary BMPs when site has reached final stabilization. Protection of Existing Vegetation (PV) SM-2 November 2010 Urban Drainage and Flood Control District PV-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph PV-1. Protection of existing vegetation and a sensitive area. Photo courtesy of CDOT. Description Protection of existing vegetation on a construction site can be accomplished through installation of a construction fence around the area requiring protection. In cases where upgradient areas are disturbed, it may also be necessary to install perimeter controls to minimize sediment loading to sensitive areas such as wetlands. Existing vegetation may be designated for protection to maintain a stable surface cover as part of construction phasing, or vegetation may be protected in areas designated to remain in natural condition under post-development conditions (e.g., wetlands, mature trees, riparian areas, open space). Appropriate Uses Existing vegetation should be preserved for the maximum practical duration on a construction site through the use of effective construction phasing. Preserving vegetation helps to minimize erosion and can reduce revegetation costs following construction. Protection of wetland areas is required under the Clean Water Act, unless a permit has been obtained from the U.S. Army Corps of Engineers (USACE) allowing impacts in limited areas. If trees are to be protected as part of post-development landscaping, care must be taken to avoid several types of damage, some of which may not be apparent at the time of injury. Potential sources of injury include soil compaction during grading or due to construction traffic, direct equipment-related injury such as bark removal, branch breakage, surface grading and trenching, and soil cut and fill. In order to minimize injuries that may lead to immediate or later death of the tree, tree protection zones should be developed during site design, implemented at the beginning of a construction project, as well as continued during active construction. Design and Installation General Once an area has been designated as a preservation area, there should be no construction activity allowed within a set distance of the area. Clearly mark the area with construction fencing. Do not allow stockpiles, equipment, trailers or parking within the protected area. Guidelines to protect various types of existing vegetation follow. Protection of Existing Vegetation Functions Erosion Control Yes Sediment Control Moderate Site/Material Management Yes SM-2 Protection of Existing Vegetation (PV) PV-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Surface Cover During Phased Construction Install construction fencing or other perimeter controls around areas to be protected from clearing and grading as part of construction phasing. Maintaining surface cover on steep slopes for the maximum practical duration during construction is recommended. Open Space Preservation Where natural open space areas will be preserved as part of a development, it is important to install construction fencing around these areas to protect them from compaction. This is particularly important when areas with soils with high infiltration rates are preserved as part of LID designs. Preserved open space areas should not be used for staging and equipment storage. Wetlands and Riparian Areas Install a construction fence around the perimeter of the wetland or riparian (streamside vegetation) area to prevent access by equipment. In areas downgradient of disturbed areas, install a perimeter control such as silt fence, sediment control logs, or similar measure to minimize sediment loading to the wetland. Tree Protection 1  Before beginning construction operations, establish a tree protection zone around trees to be preserved by installing construction fences. Allow enough space from the trunk to protect the root zone from soil compaction and mechanical damage, and the branches from mechanical damage (see Table PV-1). If low branches will be kept, place the fence outside of the drip line. Where this is not possible, place fencing as far away from the trunk as possible. In order to maintain a healthy tree, be aware that about 60 percent of the tree's root zone extends beyond the drip line. Table PV-1 Guidelines for Determining the Tree Protection Zone (Source: Matheny and Clark, 1998; as cited in GreenCO and WWE 2008) Distance from Trunk (ft) per inch of DBH Species Tolerance to Damage Young Mature Over mature Good 0.5' 0.75' 1.0' Moderate 0.75' 1.0' 1.25' Poor 1.0' 1.25' 1.5' Notes: DBH = diameter at breast height (4.5 ft above grade); Young = <20% of life expectancy; Mature = 20%-80% of life expectancy; Over mature =>80% of life expectancy  Most tree roots grow within the top 12 to 18 inches of soil. Grade changes within the tree protection zone should be avoided where possible because seemingly minor grade changes can either smother 1 Tree Protection guidelines adapted from GreenCO and WWE (2008). Green Industry Best Management Practices (BMPs) for the Conservation and Protection of Water Resources in Colorado: Moving Toward Sustainability, Third Release. See www.greenco.org for more detailed guidance on tree preservation. Protection of Existing Vegetation (PV) SM-2 November 2010 Urban Drainage and Flood Control District PV-3 Urban Storm Drainage Criteria Manual Volume 3 roots (in fill situations) or damage roots (in cut situations). Consider small walls where needed to avoid grade changes in the tree protection zone.  Place and maintain a layer of mulch 4 to 6-inch thick from the tree trunk to the fencing, keeping a 6-inch space between the mulch and the trunk. Mulch helps to preserve moisture and decrease soil compaction if construction traffic is unavoidable. When planting operations are completed, the mulch may be reused throughout planting areas.  Limit access, if needed at all, and appoint one route as the main entrance and exit to the tree protection zone. Within the tree protection zone, do not allow any equipment to be stored, chemicals to be dumped, or construction activities to take place except fine grading, irrigation system installation, and planting operations. These activities should be conducted in consultation with a landscaping professional, following Green Industry BMPs.  Be aware that soil compaction can cause extreme damage to tree health that may appear gradually over a period of years. Soil compaction is easier to prevent than repair. Maintenance and Removal Repair or replace damaged or displaced fencing or other protective barriers around the vegetated area. If damage occurs to a tree, consult an arborist for guidance on how to care for the tree. If a tree in a designated preservation area is damaged beyond repair, remove and replace with a 2-inch diameter tree of the same or similar species. Construction equipment must not enter a wetland area, except as permitted by the U.S. Army Corps of Engineers (USACE). Inadvertent placement of fill in a wetland is a 404 permit violation and will require notification of the USACE. If damage to vegetation occurs in a protected area, reseed the area with the same or similar species, following the recommendations in the USDCM Revegetation chapter. Construction Fence (CF) SM-3 November 2010 Urban Drainage and Flood Control District CF-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph CF-1. A construction fence helps delineate areas where existing vegetation is being protected. Photo courtesy of Douglas County. Description A construction fence restricts site access to designated entrances and exits, delineates construction site boundaries, and keeps construction out of sensitive areas such as natural areas to be preserved as open space, wetlands and riparian areas. Appropriate Uses A construction fence can be used to delineate the site perimeter and locations within the site where access is restricted to protect natural resources such as wetlands, waterbodies, trees, and other natural areas of the site that should not be disturbed. If natural resource protection is an objective, then the construction fencing should be used in combination with other perimeter control BMPs such as silt fence, sediment control logs or similar measures. Design and Installation Construction fencing may be chain link or plastic mesh and should be installed following manufacturer’s recommendations. See Detail CF-1 for typical installations. Do not place construction fencing in areas within work limits of machinery. Maintenance and Removal  Inspect fences for damage; repair or replace as necessary.  Fencing should be tight and any areas with slumping or fallen posts should be reinstalled.  Fencing should be removed once construction is complete. Construction Fence Functions Erosion Control No Sediment Control No Site/Material Management Yes SM-3 Construction Fence (CF) CF-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Construction Fence (CF) SM-3 November 2010 Urban Drainage and Flood Control District CF-3 Urban Storm Drainage Criteria Manual Volume 3 Vehicle Tracking Control (VTC) SM-4 November 2010 Urban Drainage and Flood Control District VTC-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph VTC-1. A vehicle tracking control pad constructed with properly sized rock reduces off-site sediment tracking. Description Vehicle tracking controls provide stabilized construction site access where vehicles exit the site onto paved public roads. An effective vehicle tracking control helps remove sediment (mud or dirt) from vehicles, reducing tracking onto the paved surface. Appropriate Uses Implement a stabilized construction entrance or vehicle tracking control where frequent heavy vehicle traffic exits the construction site onto a paved roadway. An effective vehicle tracking control is particularly important during the following conditions:  Wet weather periods when mud is easily tracked off site.  During dry weather periods where dust is a concern.  When poorly drained, clayey soils are present on site. Although wheel washes are not required in designs of vehicle tracking controls, they may be needed at particularly muddy sites. Design and Installation Construct the vehicle tracking control on a level surface. Where feasible, grade the tracking control towards the construction site to reduce off-site runoff. Place signage, as needed, to direct construction vehicles to the designated exit through the vehicle tracking control. There are several different types of stabilized construction entrances including: VTC-1. Aggregate Vehicle Tracking Control. This is a coarse-aggregate surfaced pad underlain by a geotextile. This is the most common vehicle tracking control, and when properly maintained can be effective at removing sediment from vehicle tires. VTC-2. Vehicle Tracking Control with Construction Mat or Turf Reinforcement Mat. This type of control may be appropriate for site access at very small construction sites with low traffic volume over vegetated areas. Although this application does not typically remove sediment from vehicles, it helps protect existing vegetation and provides a stabilized entrance. Vehicle Tracking Control Functions Erosion Control Moderate Sediment Control Yes Site/Material Management Yes SM-4 Vehicle Tracking Control (VTC) VTC-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Photograph VTC-2. A vehicle tracking control pad with wheel wash facility. Photo courtesy of Tom Gore. VTC-3. Stabilized Construction Entrance/Exit with Wheel Wash. This is an aggregate pad, similar to VTC-1, but includes equipment for tire washing. The wheel wash equipment may be as simple as hand-held power washing equipment to more advance proprietary systems. When a wheel wash is provided, it is important to direct wash water to a sediment trap prior to discharge from the site. Vehicle tracking controls are sometimes installed in combination with a sediment trap to treat runoff. Maintenance and Removal Inspect the area for degradation and replace aggregate or material used for a stabilized entrance/exit as needed. If the area becomes clogged and ponds water, remove and dispose of excess sediment or replace material with a fresh layer of aggregate as necessary. With aggregate vehicle tracking controls, ensure rock and debris from this area do not enter the public right-of-way. Remove sediment that is tracked onto the public right of way daily or more frequently as needed. Excess sediment in the roadway indicates that the stabilized construction entrance needs maintenance. Ensure that drainage ditches at the entrance/exit area remain clear. A stabilized entrance should be removed only when there is no longer the potential for vehicle tracking to occur. This is typically after the site has been stabilized. When wheel wash equipment is used, be sure that the wash water is discharged to a sediment trap prior to discharge. Also inspect channels conveying the water from the wash area to the sediment trap and stabilize areas that may be eroding. When a construction entrance/exit is removed, excess sediment from the aggregate should be removed and disposed of appropriately. The entrance should be promptly stabilized with a permanent surface following removal, typically by paving. Vehicle Tracking Control (VTC) SM-4 November 2010 Urban Drainage and Flood Control District VTC-3 Urban Storm Drainage Criteria Manual Volume 3 SM-4 Vehicle Tracking Control (VTC) VTC-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Vehicle Tracking Control (VTC) SM-4 November 2010 Urban Drainage and Flood Control District VTC-5 Urban Storm Drainage Criteria Manual Volume 3 SM-4 Vehicle Tracking Control (VTC) VTC-6 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Stabilized Construction Roadway (SCR) SM-5 November 2010 Urban Drainage and Flood Control District SCR-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph SCR-1. Stabilized construction roadway. Description A stabilized construction roadway is a temporary method to control sediment runoff, vehicle tracking, and dust from roads during construction activities. Appropriate Uses Use on high traffic construction roads to minimize dust and erosion. Stabilized construction roadways are used instead of rough-cut street controls on roadways with frequent construction traffic. Design and Installation Stabilized construction roadways typically involve two key components: 1) stabilizing the road surface with an aggregate base course of 3-inch-diameter granular material and 2) stabilizing roadside ditches, if applicable. Early application of road base is generally suitable where a layer of coarse aggregate is specified for final road construction. Maintenance and Removal Apply additional gravel as necessary to ensure roadway integrity. Inspect drainage ditches along the roadway for erosion and stabilize, as needed, through the use of check dams or rolled erosion control products. Gravel may be removed once the road is ready to be paved. Prior to paving, the road should be inspected for grade changes and damage. Regrade and repair as necessary. Stabilized Construction Roadway Functions Erosion Control Yes Sediment Control Moderate Site/Material Management Yes Stabilized Staging Area (SSA) SM-6 November 2010 Urban Drainage and Flood Control District SSA-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph SSA-1. Example of a staging area with a gravel surface to prevent mud tracking and reduce runoff. Photo courtesy of Douglas County. Description A stabilized staging area is a clearly designated area where construction equipment and vehicles, stockpiles, waste bins, and other construction-related materials are stored. The contractor office trailer may also be located in this area. Depending on the size of the construction site, more than one staging area may be necessary. Appropriate Uses Most construction sites will require a staging area, which should be clearly designated in SWMP drawings. The layout of the staging area may vary depending on the type of construction activity. Staging areas located in roadways due to space constraints require special measures to avoid materials being washed into storm inlets. Design and Installation Stabilized staging areas should be completed prior to other construction activities beginning on the site. Major components of a stabilized staging area include:  Appropriate space to contain storage and provide for loading/unloading operations, as well as parking if necessary.  A stabilized surface, either paved or covered, with 3-inch diameter aggregate or larger.  Perimeter controls such as silt fence, sediment control logs, or other measures.  Construction fencing to prevent unauthorized access to construction materials.  Provisions for Good Housekeeping practices related to materials storage and disposal, as described in the Good Housekeeping BMP Fact Sheet.  A stabilized construction entrance/exit, as described in the Vehicle Tracking Control BMP Fact Sheet, to accommodate traffic associated with material delivery and waste disposal vehicles. Over -sizing the stabilized staging area may result in disturbance of existing vegetation in excess of that required for the project. This increases costs, as well as requirements for long-term stabilization following the construction period. When designing the stabilized staging area, minimize the area of disturbance to the extent practical. Stabilized Staging Area Functions Erosion Control Yes Sediment Control Moderate Site/Material Yes SM-6 Stabilized Staging Area (SSA) SSA-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 See Detail SSA-1 for a typical stabilized staging area and SSA-2 for a stabilized staging area when materials staging in roadways is required. Maintenance and Removal Maintenance of stabilized staging areas includes maintaining a stable surface cover of gravel, repairing perimeter controls, and following good housekeeping practices. When construction is complete, debris, unused stockpiles and materials should be recycled or properly disposed. In some cases, this will require disposal of contaminated soil from equipment leaks in an appropriate landfill. Staging areas should then be permanently stabilized with vegetation or other surface cover planned for the development. Minimizing Long-Term Stabilization Requirements  Utilize off-site parking and restrict vehicle access to the site.  Use construction mats in lieu of rock when staging is provided in an area that will not be disturbed otherwise.  Consider use of a bermed contained area for materials and equipment that do not require a stabilized surface.  Consider phasing of staging areas to avoid disturbance in an area that will not be otherwise disturbed. Stabilized Staging Area (SSA) SM-6 November 2010 Urban Drainage and Flood Control District SSA-3 Urban Storm Drainage Criteria Manual Volume 3 SM-6 Stabilized Staging Area (SSA) SSA-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Street Sweeping and Vacuuming (SS) SM-7 November 2010 Urban Drainage and Flood Control District SS-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph SS-1. A street sweeper removes sediment and potential pollutants along the curb line at a construction site. Photo courtesy of Tom Gore. Description Street sweeping and vacuuming remove sediment that has been tracked onto roadways to reduce sediment transport into storm drain systems or a surface waterway. Appropriate Uses Use this practice at construction sites where vehicles may track sediment offsite onto paved roadways. Design and Installation Street sweeping or vacuuming should be conducted when there is noticeable sediment accumulation on roadways adjacent to the construction site. Typically, this will be concentrated at the entrance/exit to the construction site. Well-maintained stabilized construction entrances, vehicle tracking controls and tire wash facilities can help reduce the necessary frequency of street sweeping and vacuuming. On smaller construction sites, street sweeping can be conducted manually using a shovel and broom. Never wash accumulated sediment on roadways into storm drains. Maintenance and Removal  Inspect paved roads around the perimeter of the construction site on a daily basis and more frequently, as needed. Remove accumulated sediment, as needed.  Following street sweeping, check inlet protection that may have been displaced during street sweeping.  Inspect area to be swept for materials that may be hazardous prior to beginning sweeping operations. Street Sweeping/ Vacuuming Functions Erosion Control No Sediment Control Yes Site/Material Management Yes Dewatering Operations (DW) SM-9 November 2010 Urban Drainage and Flood Control District DW-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph DW-1. A relatively small dewatering operation using straw bales and a dewatering bag. Photograph DW-2. Dewatering bags used for a relatively large dewatering operation. Description The BMPs selected for construction dewatering vary depending on site- specific features such as soils, topography, anticipated discharge quantities, and discharge location. Dewatering typically involves pumping water from an inundated area to a BMP, and then downstream to a receiving waterway, sediment basin, or well- vegetated area. Dewatering typically involves use of several BMPs in sequence. Appropriate Uses Dewatering operations are used when an area of the construction site needs to be dewatered as the result of a large storm event, groundwater, or existing ponding conditions. This can occur during deep excavation, utility trenching, and wetland or pond excavation. Design and Installation Dewatering techniques will vary depending on site conditions. However, all dewatering discharges must be treated to remove sediment before discharging from the construction site. Discharging water into a sediment trap or basin is an acceptable treatment option. Water may also be treated using a dewatering filter bag, and a series of straw bales or sediment logs. If these previous options are not feasible due to space or the ability to passively treat the discharge to remove sediment, then a settling tank or an active treatment system may need to be utilized. Settling tanks are manufactured tanks with a series of baffles to promote settling. Flocculants can also be added to the tank to induce more rapid settling. This is an approach sometimes used on highly urbanized construction sites. Contact the state agency for special requirements prior to using flocculents and land application techniques. Some commonly used methods to handle the pumped water without surface discharge include land application to vegetated areas through a perforated discharge hose (i.e., the "sprinkler method") or dispersal from a water truck for dust control. Dewatering Operations Functions Erosion Control Moderate Sediment Control Yes Site/Material Management Yes SM-9 Dewatering Operations (DW) DW-2 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Dewatering discharges to non-paved areas must minimize the potential for scour at the discharge point either using a velocity dissipation device or dewatering filter bag. Design Details are provided for these types of dewatering situations: DW-1. Dewatering for Pond Already Filled with Water DW-2 Dewatering Sump for Submersed Pump DW-3 Sump Discharge Settling Basin DW-4 Dewatering Filter Bag Maintenance and Removal When a sediment basin or trap is used to enable settling of sediment from construction dewatering discharges, inspect the basin for sediment accumulation. Remove sediment prior to the basin or trap reaching half full. Inspect treatment facilities prior to any dewatering activity. If using a sediment control practice such as a sediment trap or basin, complete all maintenance requirements as described in the fact sheets prior to dewatering. Properly dispose of used dewatering bags, as well as sediment removed from the dewatering BMPs. Depending on the size of the dewatering operation, it may also be necessary to revegetate or otherwise stabilize the area where the dewatering operation was occurring. Dewatering Operations (DW) SM-9 November 2010 Urban Drainage and Flood Control District DW-3 Urban Storm Drainage Criteria Manual Volume 3 SM-9 Dewatering Operations (DW) DW-4 Urban Drainage and Flood Control District November 2010 Urban Storm Drainage Criteria Manual Volume 3 Dewatering Operations (DW) SM-9 November 2010 Urban Drainage and Flood Control District DW-5 Urban Storm Drainage Criteria Manual Volume 3 Paving and Grinding Operations (PGO) SM-12 November 2010 Urban Drainage and Flood Control District PGO-1 Urban Storm Drainage Criteria Manual Volume 3 Photograph PGO-1. Paving operations on a Colorado highway. Photo courtesy of CDOT. Description Manage runoff from paving and grinding operations to reduce pollutants entering storm drainage systems and natural drainageways. Appropriate Uses Use runoff management practices during all paving and grinding operations such as surfacing, resurfacing, and saw cutting. Design and Installation There are a variety of management strategies that can be used to manage runoff from paving and grinding operations:  Establish inlet protection for all inlets that could potentially receive runoff.  Schedule paving operations when dry weather is forecasted.  Keep spill kits onsite for equipment spills and keep drip pans onsite for stored equipment.  Install perimeter controls when asphalt material is used on embankments or shoulders near waterways, drainages, or inlets.  Do not wash any paved surface into receiving storm drain inlets or natural drainageways. Instead, loose material should be swept or vacuumed following paving and grinding operations.  Store materials away from drainages or waterways.  Recycle asphalt and pavement material when feasible. Material that cannot be recycled must be disposed of in accordance with applicable regulations. See BMP Fact Sheets for Inlet Protection, Silt Fence and other perimeter controls selected for use during paving and grinding operations. Maintenance and Removal Perform maintenance and removal of inlet protection and perimeter controls in accordance with their respective fact sheets. Promptly respond to spills in accordance with the spill prevention and control plan. Paving and Grinding Operations Functions Erosion Control No Sediment Control No Site/Material Management Yes