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1. The violation presents an imminent threat to public health or the
22environment or may cause serious harm to public health or the environment.
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2. The department discovers the violation before submission of a report under
24sub. (3).
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13. The violation results in a substantial economic benefit that gives the
2regulated entity a clear advantage over its business competitors.
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4. The violation is identified through monitoring or sampling required by
4permit, statute, rule, regulation, judicial or administrative order, or consent
5agreement.
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5. The violation is a violation of the same environmental requirement at the
7same facility and committed in the same manner as a violation previously reported
8by the regulated entity under sub. (3), unless the violation is caused by a change in
9business processes or activities.
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10(8) Consideration of actions by regulated entity. If the department receives
11a report that complies with sub. (3) from a regulated entity that qualifies under sub.
12(2) for participation in the Environmental Improvement Program, and the report
13discloses a potential criminal violation, the department and the department of
14justice shall take into account the diligent actions of, and reasonable care taken by,
15the regulated entity to comply with environmental requirements in deciding
16whether to pursue a criminal enforcement action and what penalty should be sought.
17In determining whether a regulated entity acted with due diligence and reasonable
18care, the department and the department of justice shall consider whether the
19regulated entity has demonstrated any of the following:
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(a) That the regulated entity took corrective action that was timely when the
21violation was discovered.
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(b) That the regulated entity exercised reasonable care in attempting to
23prevent the violation and to ensure compliance with environmental requirements.
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1(c) That the regulated entity had a documented history of good faith efforts to
2comply with environmental requirements before beginning to conduct
3environmental compliance audits.
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(d) That the regulated entity has promptly made appropriate efforts to achieve
5compliance with environmental requirements since beginning to conduct
6environmental compliance audits and those efforts were taken with due diligence.
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(e) That the regulated entity exercised reasonable care in identifying violations
8in a timely manner.
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(f) That the regulated entity willingly cooperated in any investigation that was
10conducted by this state or a local governmental unit to determine the extent and
11cause of the violation.
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12(9) Access to records. (a) Except as provided in par. (c), the department shall
13make any record, report, or other information obtained in the administration of this
14section available to the public.
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(c) The department shall keep confidential any part of a record, report, or other
16information obtained in the administration of this section, other than emission data
17or discharge data, upon receiving an application for confidential status by any person
18containing a showing satisfactory to the department that the part of a record, report,
19or other information would, if made public, divulge a method or process that is
20entitled to protection as a trade secret, as defined in s. 134.90 (1) (c), of that person.
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(d) If the department refuses to release information on the grounds that it is
22confidential under par. (c) and a person challenges that refusal, the department shall
23inform the affected regulated entity of that challenge. Unless the regulated entity
24authorizes the department to release the information, the regulated entity shall pay
1the reasonable costs incurred by this state to defend the refusal to release the
2information.
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(e) Paragraph (c) does not prevent the disclosure of any information to a
4representative of the department for the purpose of administering this section or to
5an officer, employee, or authorized representative of the federal government for the
6purpose of administering federal law. When the department provides information
7that is confidential under par. (c) to the federal government, the department shall
8also provide a copy of the application for confidential status.
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9(9m) Annual report. The department shall submit an annual report under s.
1013.172 (3) concerning the Environmental Improvement Program to the standing
11committees of the legislature with jurisdiction over environmental matters. The
12department shall submit the first annual report no later than the first day of the 24th
13month beginning after the effective date of this subsection .... [revisor inserts date].
14The department shall include all of the following in the annual report:
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(a) The number of reports received under sub. (3), including the number of
16reports by county of the facility involved and by whether the regulated entity is
17governmental or nongovernmental.
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(b) The number of violations reported by type, including the number of
19violations related to air, water, solid waste, hazardous waste, and to other specified
20aspects of environmental regulation and the number of violations involving each of
21the following:
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1. Failure to have a required permit or other approval.
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2. Failure to have a required plan.
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3. Violation of a condition of a permit or other approval.
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4. Release of a substance to the environment.
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15. Failure to report.
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(c) The average time to correct the reported violations and the number of
3violations not yet corrected, by category under par. (b).
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(d) The number of regulated entities requiring longer than 90 days to take
5corrective action and a description of the stipulated penalties associated with the
6compliance schedules for those corrective actions.
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(e) Any recommendations for changes in the program based on discussions with
8interested persons, including legislators and members of the public.
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9(10) Penalty. Any person who intentionally makes a false statement in a report
10submitted under sub. (3) shall be fined not less than $10 nor more than $10,000 or
11imprisoned for not more than 6 months or both.
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12(11) Sunset. Subsections (7) and (8) do not apply to a regulated entity that
13submits a report under sub. (3) after July 1, 2009.