East Greenwich Oil Co., Inc. v. Kenney, Pc95-5901 (1996)

CourtSuperior Court of Rhode Island
DecidedDecember 17, 1996
DocketC.A. No. PC95-5901
StatusPublished

This text of East Greenwich Oil Co., Inc. v. Kenney, Pc95-5901 (1996) (East Greenwich Oil Co., Inc. v. Kenney, Pc95-5901 (1996)) is published on Counsel Stack Legal Research, covering Superior Court of Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
East Greenwich Oil Co., Inc. v. Kenney, Pc95-5901 (1996), (R.I. Ct. App. 1996).

Opinion

DECISION
Before this Court is the appeal of East Greenwich Oil Co., Inc. and Robert DeLisle (Appellants) from a decision of the Department of Environmental Management (DEM). Jurisdiction in this Superior Court is pursuant to G.L. 1956 § 42-35-15.

Travel/Facts
Appellant Robert DeLisle is the president and owner of East Greenwich Oil Co., Inc. located at 390 Main Street in East Greenwich, Rhode Island (Facility). In March of 1985, DeLisle timely registered his facility which houses at least four Underground Storage Tank (UST) systems in accordance with Section 6 of the Emergency Regulations for Underground Storage Facilities Used For Petroleum Products and Hazardous Materials. The facility's registration was renewed each year thereafter.

In February of 1988, appellant received a letter from DEM regarding underground tank abandonment and closure at the Facility. (See Appellants' Exhibit #5). The appellant promptly responded by contacting DEM by telephone to clarify that the tanks were not abandoned, and the matter was resolved.

In March of 1993, DEM's Department of Waste Management sent a letter to appellants notifying them that documentation regarding spill containment and precision testing had not been filed with DEM for the years 1986-1992 pursuant to UST Regulations 10.05 (B), 10.08 (h) and 10.13. (See DEM's Exhibit #2).

On or about April 1, 1993, the appellant contacted DEM in response to the letter and promptly submitted documentation that satisfied the requirements of the UST requirements for spill containment for the stated time period. Appellant undertook the required precision testing and filed the results in October of 1993.

On May 25, 1993, DEM issued a Notice of Violation and Order (NOV) citing appellants' failure to perform and/or file the results of precision testing for the years 1986-1992 and included a penalty assessment of thirty-seven thousand eight hundred dollars ($37,800.00).

In June 1993, appellant requested an administrative hearing regarding the imposition of the fine. Following the hearing, the Chief Hearing Officer ruled in favor of DEM and assessed an adjusted administrative fine of twenty-nine thousand seven hundred dollars ($29,700.00). (See, Final Decision and Order). The Chief Hearing Officer's Recommended Decision was adopted by the Director as a Final Agency Order on October 5, 1995.

On appeal, appellants argue that the decision and the fine imposed by the Chief Hearing Officer of DEM were clearly erroneous in view of the reliable, probative and substantial evidence on the whole record. Specifically, the appellants argue that sufficient evidence existed to support an argument of equitable estoppel against DEM, and the Hearing Officer's assessment of the administrative penalty was excessive, improperly calculated, and not supported by the evidence.

Alternatively, DEM argues that the hearing officer correctly held that there was insufficient evidence to support appellants' argument of estoppel, and the administrative penalty was properly calculated and should be upheld.

Standard of Review
The review of a decision of the Department of Environmental Management by this Court is controlled by R.I.G.L. § 42-35-15 (g), which provides for review of a contested agency decision:

(g) The Court shall not substitute its judgment for that of the agency as to the weight of the evidence on questions of fact. The Court may affirm the decision of the agency or remand the case for further proceedings, or it may reverse or modify the decision if substantial rights of the appellant have been prejudiced because the administrative findings, inferences, conclusions, or decisions are:

(1) In violation of constitutional or statutory provisions;

(2) In excess of the statutory authority of the agency;

(3) Made upon unlawful procedure;

(4) Affected by other error of law;

(5) Clearly erroneous in view of the reliable, probative and substantial evidence on the whole record; or

(6) Arbitrary or capricious or characterized by an abuse of discretion or clearly unwarranted exercise of discretion.

This section precludes a reviewing court from substituting its judgment for that of the agency in regard to the credibility of witnesses or the weight of evidence concerning questions of fact.Costa v. Registry of Motor Vehicle, 543 A.2d 1307, 1309 (R.I. 1988); Carmody v. R.I. Conflict of Interest Commission,509 A.2d 453, 458 (R.I. 1986). Therefore, this Court's review is limited to determining whether substantial evidence exists to support the Department's Decision. Newport Shipyard v. Rhode IslandCommission for Human Rights, 484 A.2d 893 (R.I. 1984). "Substantial evidence" is that which a reasonable mind might accept to support a conclusion. Id. at 897 (quoting Caswell v.George Sherman Sand and Gravel Co., 424 A.2d 646, 647 (1981)). This is true even in cases where the court, after reviewing the certified record and evidence, might be inclined to view the evidence differently from the agency. Berberian v. Dept. ofEmployment Security, 414 A.2d 480, 482 (R.I. 1980). However, questions of law are not binding upon a reviewing court and may be freely reviewed to determine what the law is and its applicability to the facts. Carmody, 509 A.2d at 458. A trial court may also be guided by principles of equity when reviewing questions of law. See Defalco v. Voccola, 507 A.2d 474, 476 (R.I. 1989).

Estoppel
Appellants argue that there was substantial evidence to support an argument of equitable estoppel against DEM to prevent the agency from enforcing its precision testing requirements against the appellants, as well as the violations and administrative penalties resulting therefrom. In support of their argument, appellants assert that over the course of their dealings with DEM, several incidents led them to believe they were not required to perform and file precision tests and that the facility was in compliance.

Alternatively, DEM asserts that the hearing officer properly held that there was insufficient evidence to support an equitable estoppel argument and that specifically, appellants had failed to prove that DEM made any misrepresentations upon which appellants could have reasonably relied. DEM also contends that the appellants' estoppel argument was untimely pursuant to Rule 12 (b) because it was not asserted until the date of the hearing.

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Bluebook (online)
East Greenwich Oil Co., Inc. v. Kenney, Pc95-5901 (1996), Counsel Stack Legal Research, https://law.counselstack.com/opinion/east-greenwich-oil-co-inc-v-kenney-pc95-5901-1996-risuperct-1996.