Cedarwood Land Planning v. Town of Schodack

954 F. Supp. 513, 1997 U.S. Dist. LEXIS 1045, 1997 WL 37417
CourtDistrict Court, N.D. New York
DecidedJanuary 31, 1997
Docket1:95-cv-01834
StatusPublished
Cited by11 cases

This text of 954 F. Supp. 513 (Cedarwood Land Planning v. Town of Schodack) is published on Counsel Stack Legal Research, covering District Court, N.D. New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Cedarwood Land Planning v. Town of Schodack, 954 F. Supp. 513, 1997 U.S. Dist. LEXIS 1045, 1997 WL 37417 (N.D.N.Y. 1997).

Opinion

MEMORANDUM, DECISION AND ORDER

McAVOY, Chief Judge.

This action focuses upon the circumstances surrounding plaintiff Cedarwood Land Planning’s [“Cedarwood”] attempt to develop a residential subdivision on land it owns in the defendant Town of Schodaek [the “Town”]. Cedarwood alleges that the Town, through the Schodaek Planning Board [the “Planning Board”] and the Schodaek Town Board [the “Town Board”], diminished the value of the land through the zoning, environmental and planning approval processes at issue. Cedarwood claims violations of the state and • federal constitutions, and 42 U.S.C. § 1983.

Defendants now move to dismiss the Complaint, or in the alternative, for summary judgment.

I. BACKGROUND

A. Regulatory Summary:

Before delving into the facts of this case, the Court will review some of the regulatory and procedural background involved, the alleged manipulation of which serves as the framework of many of plaintiffs contentions.

(1) SEQRA

The State Environmental Quality Review Act (“SEQRA”) is codified in Article 8 of New York’s Environmental Conservation Law. SEQRA provides a comprehensive assessment scheme by which environmental considerations play a mandatory role in governmental decisionmaking early on in certain proposed actions. See Billerbeck v. Brady, 224 A.D.2d 937, 637 N.Y.S.2d 890, 891 (4th Dep’t 1996); WEOK Broadcasting Corp v. Planning Bd. of Town of Lloyd, 165 A.D.2d 578, 568 N.Y.S.2d 974, 975 (3d Dep’t 1991), aff'd, 79 N.Y.2d 373, 583 N.Y.S.2d 170, 592 N.E.2d 778 (1992); N.Y.Envtl.Conserv.Law § 8-0103 (McKinney 1984) [hereinafter “ECL”]. The “actions” subject to SEQRA’s requirements include “projects or activities involving the issuance to a person of a lease, permit, license, certificate, or other entitlement for use or permission to act by one or more agencies[J” ECL § 8-0105(4)(i). 1

SEQRA’s primary mechanism for ensuring the environmental integrity of such actions is *516 the requirement of an Environmental Impact Statement (“EIS”). ECL § 8-0109. The EIS, to be prepared by either the applicant seeking agency approval for an action or by the agency itself, must contain: (1) a description of the proposed action and its environmental setting; (2) the short- and long-term impact of the proposed action; (3) resulting unavoidable environméntal effects and irreversible resource commitments, should the proposal be implemented; (4) alternatives to the proposed action; (5) proposed measures to minimize environmental impact; and (6) where applicable, the. growth inducing aspects and effects on use and conservation of energy resources of the proposed action. ECL § 8-0109. Such a statement “provides a means for agencies, project sponsors and the public to systematically consider significant adverse environmental impacts, alternatives and mitigation ... [and] facilitates the weighing of social, economic and environmental factors early in the planning and decision making process.” 6 NYCRR 617.2(n).

The SEQRA process itself takes a considerable amount of time, and must begin “as soon as an agency receives an application for funding or for approval of an action[.]” 6 NYCRR § 617.6(a)(1). The first step is to classify the proposed action, i.e., determine whether it is subject to SEQRA’s regulations. 2 Id. § 617(a)(l)(I). If it is, the coordinated review process begins with the project sponsor identifying all “involved agencies” in an Environmental Assessment Form (“EAF”). Id. § 617.6(a)(2). Involved agencies are those having “jurisdiction by law to fund, approve or directly undertake an action,” even if an application for such approval has not yet been submitted at the start of the SEQRA process. Id. § 617.2(s). These agencies then choose a “lead agency” from among themselves to coordinate the review process. 6 NYCRR § 617.6(b)(3)(I). The lead agency completes the EAF, providing information describing the proposed aetion, its purpose and potential environmental impacts. Id. § 617.21 (App. A).

The lead agency next is responsible for determining the significance of the proposed action. Id. § 617.7. To require an EIS, the lead agency must find at least one potentially significant adverse environmental impact (“positive declaration”). Id. § 617.7(a)(1). If there will be no adverse environmental impacts involved, or if such impacts would be insignificant, no EIS will be required (“negative declaration”). Id. § 617.7(a)(2). 3

' Once a positive declaration is issued, the EIS process begins. Under article 8, the EIS may be prepared by the applicant or the lead agency, at the applicant’s option. ECL § 8-0109(4). Should the applicant choose to prepare the EIS, a draft EIS is first prepared for submission to the lead agency. 6 NYCRR 617.8(c). 4 If the draft EIS is deemed inadequate by the lead agency, it must identify in writing the deficiencies and provide such information to the sponsor. 6 NYCRR § 617.9(a)(2)(I). The lead agency then has thirty days from receipt of any resubmitted draft EIS to determine its adequacy. Id. § 617.9(a)(ii).

Upon approval, the lead agency files and publishes a notice of completion of the draft *517 EIS. 6 NYCRR § 617.9(a)(3). This filing marks the beginning of minimum 30-day period of public comment on the draft EIS; public hearings may also be held at the option of the lead agency. Id. § 617.9(a)(4). Within 45 days after the close of any such hearings, or if no hearings are held, within 60 days from the filing of the draft EIS, the lead agency must file a final EIS, consisting of the draft EIS and its revisions, summaries of public comments received, and the lead agency’s responses to such comments. Id. § 617.9(b)(8). If, however, the lead agency feels that specific adverse environmental impacts were not addressed, or were inadequately addressed due to proposed changes in the project or a change in circumstances related to the project, it can require a supplemental EIS. Id. § 617.9(a)(7). With this requirement, all of the draft EIS procedures are followed anew. The supplemental EIS may then be incorporated into, and addressed by, the final EIS.

Within thirty days after filing the final EIS, the lead agency must file a written findings statement and decision on whether or not to approve the action. 6 NYCRR § 617.11(b). If the lead agency determines that the action should be approved, the findings statement must (1) certify that SEQRA’s requirements have been met; and (2) certify that adverse environmental effects revealed in the EIS process will be minimized or avoided to the maximum extent possible. ECL 8-0109(8); 6 NYCRR 617.11(d)(5).

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Bluebook (online)
954 F. Supp. 513, 1997 U.S. Dist. LEXIS 1045, 1997 WL 37417, Counsel Stack Legal Research, https://law.counselstack.com/opinion/cedarwood-land-planning-v-town-of-schodack-nynd-1997.