Georgia Department of Natural Resources v. Union Timber Corp.

375 S.E.2d 856, 258 Ga. 873, 29 ERC (BNA) 1703, 1989 Ga. LEXIS 77
CourtSupreme Court of Georgia
DecidedFebruary 15, 1989
Docket46275
StatusPublished
Cited by20 cases

This text of 375 S.E.2d 856 (Georgia Department of Natural Resources v. Union Timber Corp.) is published on Counsel Stack Legal Research, covering Supreme Court of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Georgia Department of Natural Resources v. Union Timber Corp., 375 S.E.2d 856, 258 Ga. 873, 29 ERC (BNA) 1703, 1989 Ga. LEXIS 77 (Ga. 1989).

Opinion

Marshall, Chief Justice.

The administrative law judge (ALJ) upheld an administrative order issued by the' Department of Natural Resources, Environmental Protection Division (EPD), requiring Union Timber Corporation (Union) either to provide proof of financial responsibility or to close a surface impoundment to which it had discharged, and in which it continues to store, hazardous wastes.

The relevant facts as found by the ALJ are as follows. Union operates a facility in Homerville, Georgia, which preserves wood, using creosote. The wastewater treatment sludge that results from this process is a listed (K001) hazardous waste under the provisions of the Georgia Hazardous Waste Management Act, OCGA § 12-8-60 et seq. (the Act), and the rules promulgated pursuant thereto, which control its storage. Union has disposed of this waste in its surface impoundment from at least November 3, 1980, until on or about November 7, 1985, and continues to store it therein. EPD rules require hazardous waste facilities to have liability insurance to compensate for injuries resulting from sudden and non-sudden events. Union has maintained the required “sudden” liability insurance, but never has had any “non-sudden” insurance, although it has made a good faith effort to obtain it. A few hazardous waste facilities in Georgia have been able to obtain the required insurance coverages or meet a financial test alternative. None has obtained a variance from the administrative regulations. Some have begun the process of closure. The rules impos *874 ing the insurance requirement gave Union 30 months’ notice of the need to obtain the required insurance. 40 CFR § 265.147 (b) (4) (iii). (The CFR was incorporated into state regulations by Department of Natural Resources rules.) In addition, Union was notified several times by the EPD of the “non-sudden” insurance requirement before it was imposed. The amount of insurance of which Union has been required to provide proof represents the minimum amount required of hazardous waste facilities generally to meet the financial responsibility requirements of the Act. Union did not apply for a variance to compliance with the Act until August 7, 1985, over a month after the administrative order was issued and over six months after the insurance was required. Union has assets of less than $5,000,000 and does not have sufficient net worth for it to pass the “financial test” provisions and so avoid the requirements for the liability insurance it lacks. 40 CFR § 265.147 (f). Union presented no evidence that a lesser amount of “non-sudden” insurance than has been required in this case would have been either sufficient to meet the Act’s requirements or available to it. Several hazardous waste facilities received letters after January 16, 1985 (the effective date of the insurance requirements) allowing them to continue to operate until November 8, 1985, without both the required insurance coverages as long as they made a good faith effort to obtain the coverages. Union did not receive such a letter. Although the nature and timing of the EPD’s enforcement efforts against hazardous waste facilities which did not have the required liability insurance varied from facility to facility, no evidence was presented of any intentional discrimination against Union. Instead, the administrative order under appeal here was issued, approximately five months after the deadline for obtaining the required “non-sudden” insurance, in an attempt to preclude an enforcement action against Union by the United States Environmental Protection Agency (EPA). Formal enforcement actions involving failures to meet the Act’s financial responsibility provisions were taken by the EPD against hazardous waste facilities in addition to Union’s. As of November 8, 1985, the EPD, pursuant to the Act, was requiring all such facilities to certify compliance with all liability insurance requirements or initiate closure. By appealing the administrative order, Union was able to continue to operate its facility without the required insurance coverage as long as the facility was able to so operate.

The superior court reversed the order of the ALJ, the Court of Appeals denied EPD’s application for discretionary appeal, and this Court granted EPD’s applications for certiorari and discretionary appeal. We reverse.

1. The superior court erroneously held that EPD is required to consider the type and size of a facility in determining liability insurance requirements. OCGA § 12-8-66 (d) provides:

*875 An application for a permit shall include a demonstration of financial responsibility including, but not limited to, guarantees, liability insurance, the posting of bonds, or any combination of guarantees, liability insurance, or bonds in accordance with Code Section 12-8-68, which financial responsibility shall be related to the type and size of facility. [Emphasis supplied.]

This provision requires a permit applicant to demonstrate financial responsibility. The italicized clause does not refer to the EPD director’s responsibility, but rather to the applicant’s responsibility.

OCGA § 12-8-68 (b), which does refer to the director’s responsibility, states:

. . . The director is authorized to establish the financial responsibility requirements for permit applicants and classes of permit applicants, including the establishment of a range of monetary amounts.

OCGA § 12-8-68 (c) then provides that “[t]he board may adopt rules and regulations . . . establishing the criteria for approval... of financial responsibility . . . .” Construed together, the above Code sections do not obligate the director to establish financial responsibility requirements for individual hazardous waste facilities. Indeed, if the director is obligated at all, he is to exercise his discretion in a manner consistent with the federal Act and such criteria as the board shall establish. OCGA §§ 12-8-62 (5); 12-8-65 (a) (16) and (21); 12-8-68 (c).

Moreover, under the evidence in the record, the ALJ found that the required financial responsibility limits of liability represented a minimum to be required generally of hazardous waste facilities. Indeed, the regulations specifically so state. 40 CFR § 265.147 (b). The fact that the director chose not to lower financial responsibility limits for Union or larger facilities in the midst of an “insurance crisis,” simply represents an exercise of discretion entrusted to him by OCGA § 12-8-68 (b).

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Austin v. Bank of America, N.A.
743 S.E.2d 399 (Supreme Court of Georgia, 2013)
Parker v. CITY OF GLENNVILLE
701 S.E.2d 182 (Supreme Court of Georgia, 2010)
Anderson v. Atlanta Committee for the Olympic Games, Inc.
537 S.E.2d 345 (Supreme Court of Georgia, 2000)
Rouse v. Department of Natural Resources
524 S.E.2d 455 (Supreme Court of Georgia, 1999)
S. J. T., Inc. v. Richmond County
430 S.E.2d 726 (Supreme Court of Georgia, 1993)
Harper v. State
417 S.E.2d 435 (Court of Appeals of Georgia, 1992)
Agan v. State
417 S.E.2d 156 (Court of Appeals of Georgia, 1992)
Board of Natural Resources v. Walker County
407 S.E.2d 436 (Court of Appeals of Georgia, 1991)
Emory University v. Levitas
401 S.E.2d 691 (Supreme Court of Georgia, 1991)
Livingston v. State
388 S.E.2d 406 (Court of Appeals of Georgia, 1989)
State v. Agan
384 S.E.2d 863 (Supreme Court of Georgia, 1989)
Claussen v. Aetna Casualty & Surety Co.
380 S.E.2d 686 (Supreme Court of Georgia, 1989)

Cite This Page — Counsel Stack

Bluebook (online)
375 S.E.2d 856, 258 Ga. 873, 29 ERC (BNA) 1703, 1989 Ga. LEXIS 77, Counsel Stack Legal Research, https://law.counselstack.com/opinion/georgia-department-of-natural-resources-v-union-timber-corp-ga-1989.