MKP Enterprises, Inc. v. Underground Storage Tank Indemnification Board

39 A.3d 570, 2012 WL 402041, 2012 Pa. Commw. LEXIS 62
CourtCommonwealth Court of Pennsylvania
DecidedFebruary 9, 2012
StatusPublished
Cited by12 cases

This text of 39 A.3d 570 (MKP Enterprises, Inc. v. Underground Storage Tank Indemnification Board) is published on Counsel Stack Legal Research, covering Commonwealth Court of Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
MKP Enterprises, Inc. v. Underground Storage Tank Indemnification Board, 39 A.3d 570, 2012 WL 402041, 2012 Pa. Commw. LEXIS 62 (Pa. Ct. App. 2012).

Opinion

OPINION BY

Judge BROBSON.

Petitioner MKP Enterprises, Inc. (hereafter EPI)1 petitions for review of an order of the Underground Storage Tank Indemnification Board (Board), which rejected exceptions EPI filed to a hearing officer’s proposed report and recommendation and adopted the proposed report. The Board, in adopting the proposed report, rejected EPI’s claim for benefits from the Underground Storage Tank Indemnification Fund (the Fund).2 We affirm the order of the Board.

I. BACKGROUND

A. Triggering Event

EPI is in the business of buying, selling, storing, and distributing refined petroleum-based products, including gasoline and diesel fuel. (Stipulated Finding of Fact (S.F.F.) No. 2; Reproduced Record (R.R.) at 3a.) EPI has an underground storage tank (UST) system located at its main facility in the City of Erie. (S.F.F. No. 3; R.R. at 3a.) On November 6, 2007, EPI began to have three USTs, containing either unleaded gasoline or diesel gasoline, excavated. (S.F.F. No. 4-5; R.R. at 3a.) During the excavation process, “[sjoil [contamination was found ... [which] was believed to be [the] result of leaking around the spill buckets.” (S.F.F. Exhibit A; R.R. at 18a.) The three USTs were removed and replaced on November 7, 2007. (S.F.F. No. 5; R.R. at 3a.)

B. Fund’s Denial of EPI’s Claim

On April 14, 2008, EPI’s Operations Manager, Michael Callahan, reported the claim to the Fund by telephone call. (S.F.F. No. 6; R.R. at 4a; S.F.F. Exhibit A; R.R. at 14a.) On May 19, 2008, Ron Moore, of ICF International, the Fund’s third-party administrator (Fund Administrator), advised EPI by letter that its claim was denied because EPI failed to notify the Fund within sixty (60) days after EPI had confirmed the release of the contaminating materials. (S.F.F. No. 9; R.R. at 4a; S.F.F. Exhibit C; R.R. at 156a.) Mr. Callahan, on behalf of EPI, sent a letter to the Fund on June 12, 2008, seeking to challenge the decision to deny EPI’s claim. (S.F.F. No. 10; R.R. at 4a; S.F.F. Exhibit D; R.R. at 159a.) On August 25, 2008, Steven Harman, the Executive Director of the Fund, sent a letter to EPI, denying EPI’s claim on the same grounds as the Fund Administrator. (S.F.F. No. [575]*57511; R.R. at 4a; S.F.F. Exhibit E; R.R. at 164a-66a.)

C. Proceedings Before the Board

1. Administrative Hearing Before the Presiding Officer

On October 1, 2008, EPI filed a request with the Board for an administrative hearing. (R.R. at 197a-98a.) The Board appointed James A. Johnson as Presiding Officer (PO) for the hearing. (Record Item D.) Ultimately, the parties filed stipulations of fact and pre-hearing statements. The parties agreed that the PO could decide the merits of the case on the basis of the stipulated record. The PO issued factual findings and concluded that EPI was ineligible for coverage under the Act, because EPI failed to notify the Fund of the contamination within sixty (60) days of confirmation of the release of the contaminants.

2. Board’s Adjudication and Order

EPI filed objections with the Board, seeking to challenge the PO’s Recommended Report. The Board issued an adjudication and order, adopting the PO’s Recommended Report. In that adjudication, the Board rendered the following narrative summary of the key factual elements of the case:

Michael Callahan ... was present on November 6 when the excavation began, as was James Chestnut, the president of [Professional Petroleum Services, Inc. (PPI) ], who supervised the tank removal for [PPI],
During the excavation, [PPI] personnel, including Mr. Chestnut, encountered what they believed to be extensive contamination. The contamination was evidenced by the following: (a) severe odor and staining of the soil; (b) very obvious pyramid-shaped staining from each of the spill buckets above the tanks that ran down the side of the tanks; (c) at least two of the spill buckets were broken and appeared to be leaking and in one of them, the bottom was broken out; (d) the company’s vapor detection meter indicated petroleum contamination; and (e) impacted soil which appeared to extend beyond the limits of what was excavated.
Because of the discovered contamination, Mr. Callahan was called to the excavation pit and observed the condition of the tank pit. Mr. Callahan had a brief conversation with Mr. Chestnut about the contamination. According to Mr. Callahan, Mr. Chestnut “said that he did find some contamination” and told Mr. Callahan of his conclusion that a release had occurred. Mr. Chestnut also informed Mr. Callahan that [PPI] was required to report a release to the Pennsylvania Department of Environmental Protection (“DEP”) and that [PPI] would get some confirmatory soil samples to determine the extent of impacted soil for the purpose of DEP’s evaluation of whether to order a site assessment/characterization.
[PPI] reported the release to Susan Frey of DEP by telephone on the same day of the excavation, November 6, 2007. Consistent with her usual practice, Ms. Frey ... documented the report on a form including information about who notified her of the claim, the owner and a description of what was reported. Ms. Frey distributed copies of the completed one-page storage system report form to appropriate DEP personnel and also faxed a copy to [the Fund], as was her usual practice. Transmitting a report form to [the Fund] is not required, and not all regional DEP offices send the forms; forms received by [the Fund] generally are retained for 60 days in the [576]*576event a claim is reported corresponding to DEP’s report form.
A Water Quality Specialist at DEP, Arthur Meade, received the storage system report form shortly after it was prepared, and on November 7, 2007, Mr. Meade visited the site. From his inspection, Mr. Meade observed what he considered to be a reportable release as defined by storage tank regulations. On November 27, 2007, DEP received a Notification of Reportable Release form (“NORR”) from [EPI] and [PPI]. The NORR bore Mr. Callahan’s original signature dated November 9, 2007 and an undated signature of [PPI]’s representative. Check marks on the second page of the NORR indicated that contamination by unleaded gasoline and diesel fuel products was confirmed for the site.
[PPI] obtained soil samples at the site on November 7 and November 28, 2007. [PPI] prepared DEP’s Storage Tank Closure Report form (“Closure Report”) for each tank on December 13 and 1U, 2007, although the results from the sampling were not yet back from the laboratory. The Closure Report form noted obvious contamination attributable to each excavated tank appearing to be “from damage or malfunctioning spill buckets. ” [PPI] sent the signature page for section one of the Closure Report to Mr. Callahan via facsimile on December 26, 2007 and Mr. Callahan returned it via facsimile the following day after signing and certifying that the information in the completed Closure Report was true, accurate and complete. [PPI] sent the completed Closure Report to DEP on or about January 9, 2008 and [EPI] received the completed Closure Report the same day.

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Cite This Page — Counsel Stack

Bluebook (online)
39 A.3d 570, 2012 WL 402041, 2012 Pa. Commw. LEXIS 62, Counsel Stack Legal Research, https://law.counselstack.com/opinion/mkp-enterprises-inc-v-underground-storage-tank-indemnification-board-pacommwct-2012.