Pollard v. Conservation Commission

897 N.E.2d 1242, 73 Mass. App. Ct. 340
CourtMassachusetts Appeals Court
DecidedDecember 17, 2008
DocketNo. 06-P-1134
StatusPublished
Cited by4 cases

This text of 897 N.E.2d 1242 (Pollard v. Conservation Commission) is published on Counsel Stack Legal Research, covering Massachusetts Appeals Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Pollard v. Conservation Commission, 897 N.E.2d 1242, 73 Mass. App. Ct. 340 (Mass. Ct. App. 2008).

Opinion

Perretta, J.

Acting pursuant to the town of Norfolk’s (town) wetlands protection bylaw and associated regulations, the town’s conservation commission (commission) denied the plaintiffs’ application to build a three-bedroom, single-family house with a private well and subsurface septic system on an undeveloped lot of land. The reason for the denial was that the commission had [341]*341concluded, on essentially uncontested evidence, that the plaintiffs had failed to demonstrate that the work proposed to be done within the zero- to fifty-foot (fifty-foot) and fifty- to 100-foot (100-foot) wetland buffer zones would not harm those interests protected under the bylaw. The plaintiffs then sought certiorari review of the commission’s decision pursuant to G. L. c. 249, § 4. Acting on a motion for judgment on the pleadings, see Mass.R.Civ.P. 12(c), 365 Mass. 756 (1974), the judge in the Superior Court reversed the commission’s decision on the basis that it was unsupported by substantial evidence. We affirm the judgment.

1. The facts. On December 11, 2002, the plaintiffs filed a notice of intent to construct a single-family house on the lot in question. Subject to special conditions, the commission approved the project under G. L. c. 131, § 40, the so-called State Wetlands Protection Act (act), but denied the project under the town’s wetland protection bylaw. The plaintiffs appealed so much of the commission’s decision as was pertinent to the act to the Department of Environmental Protection (DEP). The DEP issued a superseding order of conditions and found that “the project as proposed and conditioned . . . adequately protected] the interests of the [act].” The plaintiffs thereafter withdrew their original notice of intent, modified their proposal to respond to the concerns articulated by the commission, and filed a second notice of intent under the town’s bylaw. It is this second notice of intent which is the subject of the appeal now before us. The following facts appear in the record.

a. The project. In this action, the plaintiffs seek to build a single-family residence having three bedrooms, a private well, and a subsurface septic system on a 70,878 square foot undeveloped lot (locus) located within a subdivision of the town. The locus is encumbered by a man-made drainage channel (channel) and a stormwater detention basin (basin) that function to manage stormwater runoff from nearby roadways and neighboring properties.3

A natural red maple wooded swamp receives treated storm-[342]*342water discharge from the basin. Because the basin was excavated into the groundwater table, it also receives groundwater input. The basin and the channel are subject to regulation and protection under the town’s wetlands protection bylaw and the commission’s wetlands protection regulations (regulations) pertaining to so-called “resource areas.”4 *The regulations further define as a protected resource area the “area of land extending 100 feet horizontally outward from the boundary of any [specified resource] area.” The 100-foot buffer zone area is presently wooded, with the northern portion of the site comprised of mature deciduous trees. The area within the fifty-foot buffer zone to both the basin and channel is characterized by a dense vegetative cover of saplings and shrubs.5 Due to the presence of the basin and channel, approximately ninety-seven per cent of the locus is subject to wetlands regulation, including 59,720 square feet of land within the fifty-foot buffer zone and 9,332 square feet of land within the 100-foot buffer zone. The plaintiffs propose to install a well within the fifty-foot buffer zone.

b. Wetland protection provisions. Section 3(l)(a) of the regulations establishes a presumption that provides, in pertinent part:

“[A]n undisturbed forest or naturally vegetated buffer of at least [fifty] feet. . . between the edge of [a] [Resource [a]rea . . . and the area the applicant proposes to disturb ... is necessary to protect the interests of the [b]ylaw.”

The regulations go on to provide, in section 3(l)(b), that persons seeking to disturb land within the fifty-foot buffer zone “shall have the burden of showing that [such] work . . . will not harm the interests protected by the [b]ylaw.” Section 4(3) of the regulations reads, again in pertinent part, that “[l]ands within 100 feet of . . . [specified] resource areas ... are presumed [to be] important to the protection of [wetlands] resources.” It is on the basis of that regulation that the commis[343]*343sion may require an applicant to maintain a strip of continuous, undisturbed vegetative cover within that area “unless the [applicant convinces the [cjommission that the area or part of it may be disturbed without harm to the values protected by the [bjylaw.”

Section 4(5) of the regulations has some relevance to our analysis. That regulation reads, in relevant part:

“To prevent loss of [rjesource [ajreas (including the 100 [fjoot [bjuffer [zjone. . . ), the . . . [cjommission shall require [ajpplicants to avoid alteration of [rjesource [ajreas wherever feasible; to minimize alteration of [rjesource [ajreas; and, where alteration is unavoidable, to provide full mitigation.”

More plainly put, and as stated in section 4(1) and (2) of the regulations, persons seeking relief pursuant to the regulations bear the burden of production and proof, by a preponderance of the credible evidence, that their proposed activities will not harm interests protected by the wetlands bylaw.

c. The plaintiffs’ proposal. To mitigate any adverse impacts of alterations to the buffer zones, the plaintiffs proposed the use of sedimentation and erosion controls during construction, the restoration of areas temporarily affected by construction, and the establishment of a conservation restriction over all the wetlands located on the locus and portions of the buffer zones, including 19,605 square feet of land within the fifty-foot buffer zone and 568 square feet of land within the 100-foot buffer zone.6 The plaintiffs also agreed to maintain the fifty-foot buffer zone in its natural state rather than converting any portion of it to lawn.

To address the question of potential impacts of the proposed work on wetland interests, the plaintiffs submitted to the commission, along with other materials, a report prepared by an environmental consulting and engineering firm hereinafter referred to as the “consultant.” The consultant opined in that report that the work proposed in the plaintiffs’ application would have “no im[344]*344pact on the ability of the [b]uffer [z]one... to protect the interests identified in the [commission’s] [regulations” and that the plaintiffs’ proposed project “fully complie[d] with the requirements of the [town’s] [b]ylaw.”

The consultant’s report contained a detailed discussion of the wetland functions served by the resource areas on the site and, with respect to the fifty-foot buffer zone, an individualized assessment of the impact of the proposed work on six specific wetlands values.7 Its analysis addressed issues of erosion control, protection of groundwater, protection of private and public water supplies, storm damage prevention, protection of wildlife habitat, and pollution prevention.

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Cite This Page — Counsel Stack

Bluebook (online)
897 N.E.2d 1242, 73 Mass. App. Ct. 340, Counsel Stack Legal Research, https://law.counselstack.com/opinion/pollard-v-conservation-commission-massappct-2008.