ESG Watts, Inc. v. Illinois Pollution Control Board

760 N.E.2d 1004, 326 Ill. App. 3d 432
CourtAppellate Court of Illinois
DecidedDecember 5, 2001
Docket4-00-0861 Rel
StatusPublished
Cited by3 cases

This text of 760 N.E.2d 1004 (ESG Watts, Inc. v. Illinois Pollution Control Board) is published on Counsel Stack Legal Research, covering Appellate Court of Illinois primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
ESG Watts, Inc. v. Illinois Pollution Control Board, 760 N.E.2d 1004, 326 Ill. App. 3d 432 (Ill. Ct. App. 2001).

Opinions

JUSTICE MYERSCOUGH

delivered the opinion of the court:

In January 1999, the Illinois Environmental Protection Agency (IEPA) issued a notice to ESG Watts, Inc. (Watts), pursuant to section 31 (415 ILCS 5/31 (West 1998)) of the Illinois Environmental Protection Act (Act) alleging that Watts was operating a landfill in Sangamon County without adequate postclosure financial assurance in violation of section 21.1 of the Act (415 ILCS 5/21.1 (West 1998)). Watts and IEPA attempted to resolve the matter over the following year through various communications, but they were unable to come to a resolution. In February 2000, IEPA notified Watts by letter that it might refer the matter to a prosecuting authority for enforcement proceedings to resolve the matter.

In March 2000, Watts filed a petition for a hearing before the Illinois Pollution Control Board (Board) seeking a declaration that IEPA’s February 22 letter was “not authorized by law” and that Watts had met its obligations for postclosure financial assurance under the Act. In August 2000, the Board dismissed Watts’ petition as prematurely filed because the IEPA’s letter was a preenforcement action under section 31 of the Act (415 ILCS 5/31 (West 1998)) and therefore not a final agency decision for purposes of appeal. Watts appeals, arguing that (1) the Board acted illegally, arbitrarily, and capriciously when it denied jurisdiction to hear Watts’ appeal and (2) Watts’ appeal to the Board was not mooted by the expiration of the insurance policies and by the pendency of a Watts’ appeal from the disapproval of a later request to approve substitute financial assurance. We reverse.

I. BACKGROUND

At all relevant times, Watts owned and operated a landfill in Sangamon County known as the Sangamon County landfill. The Act required Watts to post with IEPA “a performance bond or other security for the purpose of insuring closure of the site and post-closure care in accordance with this Act and regulations adopted thereunder.” 415 ILCS 5/21.1(a) (West 1998). Watts obtained a pollution liability policy to cover the facility from January 26, 1998, through January 26, 1999, to meet this requirement. The policy provided coverage of $999,000 and included a $100,000 deductible.

On February 18, 1998, Watts by letter sent IEPA a copy of the insurance policy and requested a written indication that the policy satisfied its obligations under the Act. IEPA did not respond to this letter. On January 8, 1999, IEPA sent Watts a violation notice pursuant to the Act. 415 ILCS 5/31(a) (West 1998). The notice indicated that, in IEPA’s judgment, Watts’ landfill did not have adequate financial assurance as required by section 21.1 of the Act and it went on to explain the alleged deficiencies in the policy that Watts submitted. The notice directed Watts to provide a written response of how it would deal with the deficiencies, including an agreement committing itself to resolving the problem and a timetable of achieving the results.

On February 10, 1999, Watts responded to IEPA. Watts disputed some of IEPA’s interpretations and requested time to resolve the problem. It also informed IEPA that it had renewed its policy January 26, 1999, and that the new policy corrected the alleged deficiencies.

On September 15, 1999, IEPA sent Watts a notice of intent to pursue legal action pursuant to section 31(b) of the Act (415 ILCS 5/31(b) (West 1998)). IEPA stated Watts failed to adequately respond to the January 8, 1999, violation notice and alleged the same deficiencies as the violation notice. IEPA again warned that if the problem were not resolved, the matter could be transferred to a prosecutorial authority. The notice of intent also informed Watts that Watts could request a meeting to attempt to resolve the problem.

On September 17, 1999, Larry Woodward, Watts’ corporate counsel, responded to the September 1999 notice of intent. In the response, Woodward referenced a conversation that he had with Michelle Ryan, an IEPA assistant counsel. In that conversation, Ryan had indicated that she had no record of Watts’ February 10, 1999, response to the violation notice. Woodward included a copy of the February 10, 1999, response to Ryan.

On December 14, 1999, IEPA informed Watts that it had reviewed the information and still concluded that the violations in the January 8, 1999, notice had not been adequately addressed. IEPA suggested that a meeting be held to discuss the issues. On January 14, 2000, IEPA held a meeting and Watts expressed the view that IEPA failed to respond to its February 10, 1999, letter in a timely fashion and that constituted an acceptance of the financial assurance in that letter.

On January 19, 2000, Watts sent IEPA additional information relating to the insurance policy and requested written confirmation of compliance from IEPA. On February 22, 2000, IEPA informed Watts that the information still did not fulfill the requirements of section 31 of the Act because some of the information was not sent by certified mail and other information was sent outside the statutory time frame. IEPA also stated the matter “may still be referred to the Office of the Attorney General, the State’s Attorneys!,] or the United States Environmental Protection Agency for formal enforcement action for the purpose of the imposition of penalties.”

On March 23, 2000, Watts filed a petition for a hearing with the Board describing the petition as an appeal of a denial of a permit pursuant to section 21.1(e) of the Act (415 ILCS 5/21.1(e) (West 1998)). The petition asked the Board to issue an order requiring IEPA to approve the insurance policy as financial assurance for the Sangamon Valley landfill.

On April 17, 2000, IEPA moved to dismiss Watts’ petition for a hearing, explaining that the only action it had taken within the prior 35 days was to send the February 22, 2000, letter. IEPA argued that this letter was merely a preenforcement letter under section 31 of the Act and such measures are not subject to Board review.

On May 19, 2000, Watts filed a response to IEPA’s motion to dismiss. Watts argued that, although section 31 actions are not reviewable, Watts brought its petition under section 21.1 of the Act, which provides for Board review. IEPA then moved to strike Watts’ response as untimely because Watts filed its response 23 days after IEPA filed its motion to dismiss. The regulations provide for a response to a motion to dismiss to be filed within seven days. 35 Ill. Adm. Code § 103.140(c) (Conway Greene CD-ROM January 2000) (now 35 Ill. Adm. Code § 101.500(a) (Conway Greene CD-Rom April 2001/1)).

On August 24, 2000, the Board dismissed Watts’ petition as untimely. It agreed that IEPA’s only action within the prior 35-day period was the February 22, 2000, letter. The Board stated the letter was “clearly and plainly correspondence by the [IEPA] pursuant to [section 31 of the Act.” The Board stated as follows:

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814 N.E.2d 187 (Appellate Court of Illinois, 2004)

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760 N.E.2d 1004, 326 Ill. App. 3d 432, Counsel Stack Legal Research, https://law.counselstack.com/opinion/esg-watts-inc-v-illinois-pollution-control-board-illappct-2001.